Navi Finserv Limited
Secured
Private Issue
Inactive
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Credit Rating
India RatingsA
Face Value
₹10,00,000
YTM
9.93%
Coupon Rate
9.15%
Taxability
Taxable
Issue Size
80.00Cr
Wint Wealth curated
Wint Wealth's curation for Navi Finserv Limited
Comfortable Capitalisation
Navi has net-worth of more than ₹ 2200 Crore with Debt/equity of 2.75x as of Sep’23.
Comfortable Portfolio Quality
Navi's GNPA and NNPA are 2.65% and 0.29% respectively as of Sep’23.
Diversified Set of Lenders
Navi has more than 30 lenders, including banks – HDFC Bank, SBI, ICICI, Kotak Mahindra, etc.
Bond Key Highlights
Allotment Date
30 Sep 2021
Maturity Date
30 Sep 2023
Interest repayment frequency
Monthly
Issuer ownership
Non PSU
Seniority in repayment
Senior
Other ratings
Not Available
How to know if a bond is right for you?
Evaluate a bond using the P3L2R framework designed by experts at Wint Wealth with these factors:
Promoters/Equity Investors
Presence of institutional investor
Portfolio Quality (GNPA)
Less than 5% GNPA
Profitability
Company should have reported profit for latest financial year
Leverage
Leverage should be less than 5x
Lenders
Diversified lender base
Rating
No downgrade in rating in last 12 months
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FAQs on Navi Finserv Limited
What is the coupon rate on the Navi Finserv Limited Bond?
The bond's coupon rate is 9.15%.
How frequently is the interest paid on Navi Finserv Limited Bond?
The interest earned from this Bond is paid Monthly.
What is the credit rating of the Navi Finserv Limited Bond?
The bond has been assigned a credit rating of India RatingsA which reflects the issuer's creditworthiness and the likelihood of default.
What is the ISIN number of the Navi Finserv Limited Bond?
The ISIN number for Navi Finserv Limited is INE342T07080.