Friday, 9 October 2026 Every NSE & BSE announcement, by company
ALFA Filings Every announcement, straight from the exchange

Debt & Borrowing

Every debt & borrowing announcement on NSE and BSE that our alert engine sent, newest first.

18:06 IST BSE
Debt & BorrowingPaisalo Digital Ltd PAISALO

Paisalo Digital Debt & Borrowing: ₹15.68 Cr

Paisalo Digital Limited successfully completed a half-yearly interest payment on its USD 44 million FCCBs. The ₹15.68 Crore disbursement confirms timely debt servicing and stable liquidity.

Value
₹15.68 Cr
18:02 IST NSE
Debt & BorrowingAvenue Supermarts Ltd DMART

Avenue Supermarts Debt & Borrowing: ₹300 Cr

Avenue Supermarts Limited has allotted unsecured Commercial Paper worth ₹300 Crore. The instrument carries a 7.18% interest rate with a 90-day tenure maturing in September 2026.

Value
₹300.0 Cr
Execution
90 days
17:17 IST NSE
Debt & BorrowingPNB Housing Finance Ltd PNBHOUSING

PNB Housing Finance Debt & Borrowing: ₹500 Cr

PNB Housing Finance allotted ₹500 Crore in secured, rated, non-convertible debentures via private placement. The 5-year NCDs carry an 8.35% coupon rate to boost capital.

Value
₹500.0 Cr
Execution
5 Years
15:07 IST NSE
Debt & BorrowingMinda Corporation Ltd MINDACORP

Minda Corporation Debt & Borrowing: ₹100 Cr

Minda Corporation Limited allotted Commercial Paper worth ₹100 Crore with a 7.70% discount rate. The security matures in September 2026, shoring up short-term working capital.

Value
₹100.0 Cr
Execution
3 months (Issue Date: 09-06-2026; Redemption Date: 04-09-2026)
13:16 IST NSE
Debt & BorrowingNTPC Ltd NTPC

NTPC Debt & Borrowing

NTPC Limited has redeemed its Series 39 STRPP J bonds following their maturity on June 9, 2026. The company has requested the exchange to delist these securities.

13:17 IST BSE
Debt & BorrowingMufin Green Finance Ltd MUFIN

Mufin Green Finance Debt & Borrowing: ₹100 Cr

Mufin Green Finance allotted Rs.100 Crore worth of secured non-convertible debentures via private placement. The instruments carry an 11% coupon rate with a 15-month tenure.

Value
₹100.0 Cr
Execution
15 Months and 3 Days
13:07 IST BSE
Debt & BorrowingVikran Engineering Ltd VIKRAN

Vikran Engineering Debt & Borrowing: ₹20 Cr

Vikran Engineering Limited allotted 40 secured NCDs totaling ₹20 Crore via private placement. The unlisted instruments carry an 11% coupon and a 24-month tenure.

Value
₹20.00 Cr
Execution
24 Months
13:06 IST NSE
Debt & BorrowingNTPC Ltd NTPC

NTPC Debt & Borrowing: ₹7.6 Cr

NTPC Limited has successfully completed the full redemption of its Series 39 bonds. The company paid ₹7.60 Crore covering both principal and final interest obligations.

Value
₹7.60 Cr
12:48 IST BSE
Debt & BorrowingSammaan Capital Ltd SAMMAANCAP

Sammaan Capital Debt & Borrowing: ₹0.27 Cr

Sammaan Capital Limited confirmed timely monthly interest payments totaling ₹0.27 Crore for seven NCD series. The payments maintain the company's debt servicing compliance for listed securities.

Value
₹0.27 Cr
12:43 IST BSE
Debt & BorrowingSammaan Capital Ltd SAMMAANCAP

Sammaan Capital Debt & Borrowing: ₹5.02 Cr

Sammaan Capital Limited confirmed the timely payment of ₹5.02 Crore interest on its NCDs. This highlights the company's consistent debt servicing and operational liquidity.

Value
₹5.02 Cr
12:37 IST NSE
Debt & BorrowingSammaan Capital Ltd SAMMAANCAP

Sammaan Capital Debt & Borrowing: ₹1.49 Cr

Sammaan Capital Limited confirmed the timely payment of ₹1.49 Crore in interest for its listed NCDs. This highlights the company's continued adherence to its debt obligations.

Value
₹1.49 Cr
11:01 IST NSE
Debt & BorrowingREC Ltd RECLTD

REC Debt & Borrowing: ₹106.6 Cr

REC Limited confirmed timely interest payment of ₹106.59 Crore for its NCD Series 169. This disclosure ensures compliance with SEBI's debt security listing regulations.

Value
₹106.6 Cr
23:12 IST BSE
Debt & BorrowingQuint Digital Ltd QUINT

Quint Digital Debt & Borrowing: ₹100 Cr

Quint Digital Limited executed a Debenture Trust Deed for issuing ₹100 Crore in Non-Convertible Debentures. This debt issuance aims to raise capital via private placement.

Value
₹100.0 Cr
18:54 IST BSE
Debt & BorrowingBajaj Finance Ltd BAJFINANCE

Bajaj Finance Debt & Borrowing: ₹157.9 Cr

Bajaj Finance Limited processed Rs. 157.88 Crore in interest payments for its non-convertible debentures. The timely fulfillment of debt obligations confirms the company's strong liquidity profile.

Value
₹157.9 Cr
18:38 IST BSE
Debt & BorrowingLodha Developers Ltd LODHA

Lodha Developers Debt & Borrowing: ₹12.65 Cr

Lodha Developers fixed record dates for ₹12.65 Crore partial debenture redemptions and interest payments. These payments are scheduled for late June and July 2026.

Value
₹12.65 Cr
17:39 IST NSE
Debt & BorrowingIIFL Finance Ltd IIFL

IIFL Finance Debt & Borrowing: ₹555 Cr

IIFL Finance confirmed the full redemption of Commercial Papers worth ₹555 Crore on June 08, 2026. This full repayment of short-term debt strengthens the company's liquidity profile.

Value
₹555.0 Cr
17:24 IST NSE
Debt & BorrowingThe Ramco Cements Ltd RAMCOCEM

The Ramco Cements Debt & Borrowing: ₹100.8 Cr

The Ramco Cements Limited fulfilled payment obligations of ₹100.76 Crore for its Commercial Paper. This includes full principal redemption and interest payment upon maturity.

Value
₹100.8 Cr
16:58 IST NSE
Debt & BorrowingSwastik Pipe Ltd SWASTIK

Swastik Pipe Debt & Borrowing: ₹139.3 Cr

Swastik Pipe initiated debt restructuring for ₹139.29 Crore with SBI and consortium lenders. A 2.50% automatic appropriation on receipts will fund outstanding debt repayment.

Value
₹139.3 Cr
16:35 IST BSE
Debt & BorrowingGrasim Industries Ltd GRASIM

Grasim Industries Debt & Borrowing: ₹65.6 Cr

Grasim Industries Limited made a full interest payment of ₹65.60 Crore on its listed NCDs. This timely fulfillment of debt obligations confirms the company's financial liquidity.

Value
₹65.60 Cr
16:28 IST NSE
Debt & BorrowingCeat Ltd CEATLTD

Ceat Debt & Borrowing

CEAT Limited announced record dates for the redemption of three Commercial Paper series maturing between June and September 2026. This is a routine debt maturity notification.