...
Vested > INR Bonds > Navi Finserv Limited 13 Sep 2025
Bond Logo

Navi Finserv Limited 13 Sep 2025

Navi Finserv Limited 13 Sep 2025

ISIN: INE342T07478

Yield

11.05%

Matures in

9m

Min. Investment

₹4,981

Interest Payment

Monthly

-

Know Your Returns

Earn - in - at - p.a

You Invest

-

You Receive

-

Average. Interest Payout

-

Earn - in - at - p.a

Potential Returns

You Invest

₹21,150

Bank FD*

₹22,150

Bond

₹24,150
*FD rate data sourced from State Bank of India.

View cash flow details

You Invest

10 May ‘24

₹21,150

Principal Amount(Last traded price) info-icon
Principal amount is the price at which the bond was last bought or sold in the market.

₹20,150

Accrued Interest info-icon
Accrued interest is the interest that has built up on the bond since the last payment, but hasn’t been paid yet.

₹1,000

Interest Payment (Monthly)

Note: The interest shown is after deducting 10% tds

10 Jun ‘24

₹850

10 Jun ‘24

₹850

10 Nov ‘25

₹850

10 Dec ‘25

₹850

Total Returns on

10 Dec ‘25

₹24,550

Principal Payout info-icon