ResourceNCD
Power Finance Tranche I NCD 2026- Details
Last updated August 22, 2026
This IPO News reference page covers “Power Finance Tranche I NCD 2026- Details”. The page is organized around power finance tranche i ncd details, company financials (restated consolidated), power finance tranche i ncd objectives, power finance tranche i ncd important links, about company. IPO News presents the structured facts and tables in its own layout and wording.
Topics Covered
- Power Finance Tranche I NCD Details
- Company Financials (Restated Consolidated)
- Power Finance Tranche I NCD Objectives
- Power Finance Tranche I NCD Important Links
- About Company
- Company Address
- Power Finance Tranche I NCD Lead Manager
- Power Finance Tranche I 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 Jan 16 and closes on Jan 30, 2026.
- Get more details on Power Finance Tranche I NCD Details 2026.
Data Tables
| Issue Size (Base) |
₹500.00 Cr |
| Issue Size (Shelf) |
₹10000.00 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 |
NSE |
| Credit Rating |
CARE Ratings Limited : AAACrisil Ratings Limited : AAAICRA Limited : AAA |
| Period Ended |
30 Sep 2025 |
31 Mar 2025 |
31 Mar 2024 |
31 Mar 2023 |
| Assets |
12,22,628.83 |
11,78,086.50 |
10,38,877.38 |
8,96,111.86 |
| Total Income |
57,530.14 |
1,06,598.70 |
91,174.87 |
77,625.19 |
| Profit After Tax |
16,815.84 |
30,514.40 |
26,461.18 |
21,178.59 |
| Amount in ₹ Crore |
| # |
Issue Objects |
| 1 |
For the purpose of onward lending, financing / refinancing the existing indebtedness of our Company, and/or debt servicing (payment of interest and/or repayment / prepayment of interest and principal of existing borrowings of the Company). |
| 2 |
General Corporate Purposes. |
|
Series 1 |
Series 2 |
Series 3 |
Series 4 |
Series 5 |
| Frequency of Interest Payment |
Annual |
Annual |
NA |
Annual |
Cumulative |
| Nature |
Secured |
Secured |
Secured |
Secured |
Secured |
| Tenor |
5 Years |
10 Years |
121 Months |
15 Years |
15 Years |
| Coupon (% per Annum) |
6.85% |
7.00% |
NA |
7.05% |
NA |
| Effective Yield (% per Annum) |
6.85% |
6.99% |
6.80% |
7.04% |
7.05% |
| Amount on Maturity (In Rs.) |
Rs 1,000.00 |
Rs 1,000.00 |
Rs 1,00,000.00 |
Rs 1,000.00 |
Rs 2,780.50 |
Source record: View original public source ↗