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Chemmanur Credits June NCD 2025- Details
Last updated August 22, 2026
This IPO News reference page covers “Chemmanur Credits June NCD 2025- Details”. The page is organized around chemmanur credits june ncd details, chemmanur credits and investments limited financial information (restated consolidated), chemmanur credits june ncd promoters, chemmanur credits june ncd objectives, chemmanur credits june ncd important links. IPO News presents the structured facts and tables in its own layout and wording.
Topics Covered
- Chemmanur Credits June NCD Details
- Chemmanur Credits And Investments Limited Financial Information (Restated Consolidated)
- Chemmanur Credits June NCD Promoters
- Chemmanur Credits June NCD Objectives
- Chemmanur Credits June NCD Important Links
- About Company
- Company Address
- Chemmanur Credits June NCD Lead Manager
- Chemmanur Credits June NCD Registrar
Key Facts
- India's trusted financial research platform since 2015. Live IPO GMP, subscription data, allotment status, Rights Issues, NCDs and unbiased stock broker reviews.
- The NCD opens for public subscription on 3 June and closes on 16 June, 2025.
- Get more details on Chemmanur Credits and Investments NCD Issue 2025.
Data Tables
| Issue Size (Base) |
₹50.00 Cr |
| Face Value |
₹1000 each NCD |
| Issue Price |
₹1000 per NCD |
| Market Lot |
1 NCD |
| Min Order Qty |
10 NCD |
| Min Order Amount |
₹10000 |
| Listing at |
BSE |
| Tenor |
366 Days, 18, 24, 36, 60, and 70 Months |
| Credit Rating |
IND BBB-/Stable by India Ratings and Research Private Limited. |
| Series |
Series I to VII |
| Payment Frequency |
Monthly and Cumulative |
| Period Ended |
31 Mar 2024 |
31 Mar 2023 |
31 Mar 2022 |
| Assets |
635.04 |
499.42 |
430.46 |
| Revenue |
106.14 |
83.21 |
73.49 |
| Profit After Tax |
1.72 |
0.80 |
2.66 |
| Net Worth |
0.00 |
0.00 |
0.00 |
| Reserves and Surplus |
29.03 |
27.41 |
26.52 |
| Total Borrowing |
0.00 |
0.00 |
0.00 |
| Amount in ₹ Crore |
| # |
Issue Objects |
| 1 |
For onward lending, financing, and repayment/prepayment of principal and interest on borrowings of the Company; and |
| 2 |
General corporate purposes |
|
Series 1 |
Series 2 |
Series 3 |
Series 4 |
Series 5 |
Series 6 |
Series 7 |
| Frequency of Interest Payment |
Monthly |
Monthly |
Monthly |
Monthly |
Cumulative |
Cumulative |
Cumulative |
| Nature |
Secured |
Secured |
Secured |
Secured |
Secured |
Secured |
Secured |
| Tenor |
18 Months |
24 Months |
36 Months |
60 Months |
366 Days |
24 Months |
70 Months |
| Coupon (% per Annum) |
10.50% |
10.90% |
11.30% |
12.00% |
NA |
NA |
NA |
| Effective Yield (% per Annum) |
11.02% |
11.46% |
11.90% |
12.68% |
9.50% |
11.00% |
12.62% |
| Amount on Maturity (In Rs.) |
Rs 1,000.00 |
Rs 10,000.00 |
Rs 1,000.00 |
Rs 1,000.00 |
Rs 1,095.27 |
Rs 1,232.00 |
Rs 2,000.28 |
Source record: View original public source ↗