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Bonds
10.25% Satin Creditcare Network 2026
active
non convertible debentures
Secured
ISIN
INE836B07881
Investment Details
Key Terms
Minimum Investment
₹3,03,010.27
For Settlement Date Dec 15, 2025
Maturity Date
20 Aug 2026
8 Months 5 Days
Payment Frequency
monthly
Coupon Rate
10.25 %
fixed
Financial Details
Coupon Type
fixed
Yield to maturity
8.77% p.a
Current Yield
10.13%
Clean Price
₹101.20
Dirty Price
₹101.00
Bond Details
Issue Size
N/A
Base Issue Size
N/A
Greenshoe Option Size
N/A
Issue Closes
N/A
Issue Type
nbfc
Face Value
₹1,00,000.00
Listed
Yes
Allotment Mode
N/A
Mode OF Issue
private placement
Settlement Date
Dec 15, 2025
Coupon Type
fixed
Call Date
N/A
Put Date
N/A
Tier
N/A
Perpetual
No
Issue Date
21 Aug 2024
Risk Factor
Tax Type
Taxable
Tax Free
Mode of Issue
Public
Private
Seniority
Non-Senior
Senior
Security
Unsecured
Secured
Issue Managers
Current MD/CEO
H.P.Singh
Debenture Trustee
Catalyst Trusteeship Limited
Credit Rating
Instrument Rating
A
Rating Rationale (ICRA)
Download Details
Rating Date
16/07/25
Outlook
stable
Cash Flow
Investment Amount
₹3,03,010.27
Settlement Date
Payment Term
monthly
Units
3
Repayment Schedule
Download
Date
Interest
(10.25%)
Principal
Jan 22, 2026
₹2,611.65
-
Feb 22, 2026
₹2,611.65
-
Mar 22, 2026
₹2,358.90
-
Apr 22, 2026
₹2,611.65
-
May 22, 2026
₹2,527.41
-
Jun 22, 2026
₹2,611.65
-
Jul 22, 2026
₹2,527.41
-
Aug 21, 2026
₹2,527.41
₹3,00,000.00
Net Returns
₹20,387.73
₹3,00,000.00
Gross Returns
(Interest Earned + Total Principal)
₹3,20,387.73
Documents
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Debt Quality
Security
This bond is SECURED
Seniority
In case of default, the bond holders will be considered 'Senior' for payment
Listed
It got listed on exchange on Aug 23, 2024
Issuer
Satin Creditcare Network
Issuer Overview
Satin
Industry
N/A
Year Founded
1998
Sector
N/A
Ownership
N/A
Head Office
Gurugram
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Close
Investment Calculator
3 units
₹3,23,398.00
Total Returns
Invested Amount
₹3,03,010.27
Earned Interest
₹20,387.73
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