Satin Creditcare Network Ltd
Bond Highlights
Yield to Maturity
10.45%
Balance Tenure
7 months
Rating
A- ICRA
Interest Frequency
Quarterly
Coupon Rate
10.40% p.a
Maturity Date
30 Apr 2027
Type of Security
Secured
Staggered Maturity
No
Projected Cashflow
Your Investment
₹101,311.23
Interest Payout
₹7,721.64
Total Payout
₹107,721.64
| Date | Interest | Face Value Repayment | Total Amount | TDS (INR) | Net Receivable After TDS (INR) | Remarks |
|---|---|---|---|---|---|---|
| 10 Sep 2026 | — | — | (₹101,311.23) | — | — | Investment Amount |
| 02 Nov 2026 | ₹2,621.37 | — | ₹2,621.37 | ₹262.13 | ₹2,359.23 | |
| 02 Feb 2027 | ₹2,621.37 | — | ₹2,621.37 | ₹262.13 | ₹2,359.23 | |
| 30 Apr 2027 | ₹2,478.90 | ₹100,000.00 | ₹102,478.90 | ₹247.89 | ₹102,231.01 | Maturity - 100% FV Redemption |
| Total | ₹7,721.64 | ₹100,000.00 | ₹107,721.64 | ₹772.16 | ₹106,949.47 |
Know This Issuer
Satin Creditcare Network Ltd
Bond Highlights
Yield to Maturity
10.45%
Balance Tenure
7 months
Rating
A- ICRA
Interest Frequency
Quarterly
Coupon Rate
10.40% p.a
Maturity Date
30 Apr 2027
Type of Security
Secured
Staggered Maturity
No
Investment Calculator
Thu, 10 Sep 2026
Face Value
₹100,000
Purchase Price
100.20
Accrued Interest
₹1,111.23
Current Yield
10.38%
Yield to Maturity
10.45%
Settlement Amount
₹101,311.23
(Includes Accrued Interest)