Published August 13, 2022
| Version 2022.8.13
Software
Open
India ISIN Database, by Nemo
Authors/Creators
Description
<h2>Additions</h2>
<h2>Changes</h2>
The following new ISINs were added:
| ISIN | Description | Issuer | Type | Status |
|---|---|---|---|---|
IN90IHV03018 |
NINEROOT TECHNOLOGIES PRIVATE LIMITED 0.01% SERIES B1 PARTLY PAID UP PREF 28JL41 | NINEROOT TECHNOLOGIES PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE00W103076 |
VENDIMAN PRIVATE LIMITED 0.001% CLASS A1 PREF 01NV40 | VENDIMAN PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE01EU07170 |
SAGAR DEPOSITS AND ADVANCES LIMITED 18.75 LOA 29OT23 FVRS25LAC | SAGAR DEPOSITS AND ADVANCES LIMITED | DEBENTURE | Active |
INE028E14KP5 |
KOTAK SECURITIES LTD 181D CP 14FEB23 | KOTAK SECURITIES LTD | COMMERCIAL PAPER | Active |
INE09OL14BD3 |
BIRLA GROUP HOLDINGS PRIVATE LIMITED 91D CP 16NOV22 | BIRLA GROUP HOLDINGS PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INE0B4P14390 |
LOANTAP CREDIT PRODUCTS PRIVATE LIMITED 273D CP 19MAY23 | LOANTAP CREDIT PRODUCTS PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INE0CL708061 |
MESINDUS VENTURES LIMITED OCD 30MY32 FVRS10 | MESINDUS VENTURES LIMITED | DEBENTURE | Active |
INE0HPL03065 |
KARKINOS HEALTHCARE PRIVATE LIMITED 0.01% SERIES A PREF 23NV23 | KARKINOS HEALTHCARE PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0IYO08076 |
NEOTREX STEEL PRIVATE LIMITED SR 2022C CCD 10JL32 FVRS10 | NEOTREX STEEL PRIVATE LIMITED | DEBENTURE | Active |
INE0KZK07012 |
NAV GRIH DEVELOPERS PRIVATE LIMITED NCD 05FB27 FVRS10LAC | NAV GRIH DEVELOPERS PRIVATE LIMITED | DEBENTURE | Active |
INE0MU701014 |
CIGS TECH INNOVATIONS PRIVATE LIMITED EQ | CIGS TECH INNOVATIONS PRIVATE LIMITED | EQUITY SHARES | Active |
INE0MYC18015 |
ABARC-AST-011-TRUST CLASS A SECURITY RECEIPT 12AUG22 | ABARC-AST-011-TRUST | SECURITISED INSTRUMENT | Active |
INE0MYC18023 |
ABARC-AST-011-TRUST CLASS B SECURITY RECEIPT 12AUG22 | ABARC-AST-011-TRUST | SECURITISED INSTRUMENT | Active |
INE0MYH01010 |
FRONTIER PEST CONTROL LIMITED EQ | FRONTIER PEST CONTROL LIMITED | EQUITY SHARES | Active |
INE0MYI01018 |
ABC RENEWABLE ENERGY PRIVATE LIMITED EQ | ABC RENEWABLE ENERGY PRIVATE LIMITED | EQUITY SHARES | Active |
INE0MYK01014 |
HUOBAN ENERGY 11 PRIVATE LIMITED EQ | HUOBAN ENERGY 11 PRIVATE LIMITED | EQUITY SHARES | Active |
INE0MYL01012 |
BEEHIVE SHIPPING AND TRADING PRIVATE LIMITED EQ | BEEHIVE SHIPPING AND TRADING PRIVATE LIMITED | EQUITY SHARES | Active |
INE0MYM01010 |
LTR SSM PRIVATE LIMITED EQ | LTR SSM PRIVATE LIMITED | EQUITY SHARES | Active |
INE101V07011 |
PHARANDE PROMOTERS & BUILDERS PVT. LTD. 14.1 NCD 31MR25 FVRS1LAC | PHARANDE PROMOTERS & BUILDERS PVT. LTD. | DEBENTURE | Active |
INE200W07282 |
VISAGE HOLDINGS AND FINANCE PRIVATE LIMITED 11.8792 NCD 10AG25 FVRS1LAC | VISAGE HOLDINGS AND FINANCE PRIVATE LIMITED | DEBENTURE | Active |
INE208A14CN3 |
ASHOK LEYLAND LIMITED 43D CP 29SEP22 | ASHOK LEYLAND LIMITED | COMMERCIAL PAPER | Active |
INE227J07027 |
KALPATARU LIMITED NCD 30JU26 FVRS1CR | KALPATARU LIMITED | DEBENTURE | Active |
INE237A169P8 |
KOTAK MAHINDRA BANK LIMITED CD 17AUG23 | KOTAK MAHINDRA BANK LIMITED | CERTIFICATE OF DEPOSIT | Active |
INE242A14XB3 |
INDIAN OIL CORPORATION LIMITED 61D CP 17OCT22 | INDIAN OIL CORPORATION LIMITED | COMMERCIAL PAPER | Active |
INE423A14RN6 |
ADANI ENTERPRISES LIMITED 92D CP 18NOV22 | ADANI ENTERPRISES LIMITED | COMMERCIAL PAPER | Active |
INE481G14DN1 |
ULTRATECH CEMENT LIMITED 91D CP 16NOV22 | ULTRATECH CEMENT LIMITED | COMMERCIAL PAPER | Active |
INE481G14DO9 |
ULTRATECH CEMENT LIMITED 78D CP 04NOV22 | ULTRATECH CEMENT LIMITED | COMMERCIAL PAPER | Active |
INE509M07329 |
SONATA FINANCE PRIVATE LIMITED 12.50 NCD 14AG23 FVRS10LAC | SONATA FINANCE PRIVATE LIMITED | DEBENTURE | Active |
INE514E16CC4 |
EXPORT IMPORT BANK OF INDIA CD 17AUG23 | EXPORT IMPORT BANK OF INDIA | CERTIFICATE OF DEPOSIT | Active |
INE556F08KB4 |
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR IV 7.11 BD 27FB26 FVRS10LAC | SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA | BOND | Active |
INE562A16KV4 |
INDIAN BANK CD 04OCT22 | INDIAN BANK | CERTIFICATE OF DEPOSIT | Active |
INE860H07HX8 |
ADITYA BIRLA FINANCE LIMITED SR E1 7.5 NCD 18AG25 FVRS10LAC | ADITYA BIRLA FINANCE LIMITED | DEBENTURE | Suspended |
INE992M14DF1 |
PHILLIP FINANCE & INVESTMENT SERVICES INDIA PRIVATE LIMITED 91D CP 15NOV22 | PHILLIP FINANCE & INVESTMENT SERVICES INDIA PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INF209KB14K7 |
ADITYA BIRLA SUN LIFE MUTUAL FUND NIFTY 200 MOMENTUM 30 ETF | ADITYA BIRLA SUN LIFE MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF209KB15K4 |
ADITYA BIRLA SUN LIFE MUTUAL FUND NIFTY 200 QUALITY 30 ETF | ADITYA BIRLA SUN LIFE MUTUAL FUND | MUTUAL FUND UNIT | Active |
The following ISINs changed their status:
<table> <thead> <tr> <th>ISIN</th> <th>Description</th> <th>Old Status</th> <th>New Status</th> </tr> </thead> <tbody> <tr> <td><code>IN002021Y486</code></td> <td> GOVERNMENT OF INDIA 31366 182 DAYS TBILL 11AG22 FV RS 100 </td> <td>Suspended</td> <td>Deleted</td> </tr> <tr> <td><code>IN002021Z202</code></td> <td> GOVERNMENT OF INDIA 30673 364 DAYS TBILL 11AG22 FV RS 100 </td> <td>Suspended</td> <td>Deleted</td> </tr> <tr> <td><code>IN002022X064</code></td> <td> GOVERNMENT OF INDIA 31614 091 DAYS TBILL 11AG22 FV RS 100 </td> <td>Suspended</td> <td>Deleted</td> </tr> <tr> <td><code>INE014W18011</code></td> <td> EARC TRUST- SC 231 SERIES I SECURITY RECEIPTS 28SP16 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE027E07493</code></td> <td> L&T FINANCE LIMITED SR-H OPT 2 7.81 NCD 21JL22 FVRS25LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE027E07543</code></td> <td> L&T FINANCE LIMITED SR-M 7.71 NCD 08AG22 FVRS25LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE027E07857</code></td> <td> L&T FINANCE LIMITED SR L OPT 2 8.9333 NCD 08AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE029A14BO3</code></td> <td> BHARAT PETROLEUM CORPORATION LTD. 42D CP 29JUL22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE037E03129</code></td> <td> TATA TELESERVICES LIMITED 0.1% SERIES VIII TRANCH 2 PREF 06AG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE04H215016</code></td> <td> SANSAR TRUST DEC 2018 III SR A PTC 28DC18 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE04N618013</code></td> <td> EARC TRUST - SC 342 CLASS A SR 24DC18 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE04N618021</code></td> <td> EARC TRUST - SC 342 CLASS B SR 24DC18 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE051307754</code></td> <td> CHEMMANUR CREDITS AND INVESTMENTS LIMITED SR VII 11 NCD 08AG22 FVRS1000 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE051307762</code></td> <td> CHEMMANUR CREDITS AND INVESTMENTS LIMITED SR VIII 11 NCD 08AG22 FVRS1000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE063U18012</code></td> <td> EARC TRUST - SC 188 SERIES I SECURITY RECEIPTS 31DC15 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE074U18019</code></td> <td> EARC TRUST - SC 177 SERIES I SECURITY RECEIPTS 29DC15 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE07IL15014</code></td> <td> MM TRUST MAR 19 II SR A PTC 29MR19 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE089C07091</code></td> <td> STERLITE TECHNOLOGIES LIMITED 8.7 LOA 27AP21 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE090W07303</code></td> <td> LENDINGKART FINANCE LIMITED 11.50 NCD 04AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE095A16O45</code></td> <td> INDUSIND BANK LIMITED CD 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE09LQ15013</code></td> <td> MM TRUST JUN 19 I SEREIS A PTC 28JU19 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE09OL14AO2</code></td> <td> BIRLA GROUP HOLDINGS PRIVATE LIMITED 91D CP 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0GYU07061</code></td> <td> VIRESCENT RENEWABLE ENERGY TRUST SR F 7.95% NCD 11AG25 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE0HBA07010</code></td> <td> VAYUPUTRA BUILDERS AND INFRASTRUCTURES PRIVATE LIMITED 12 NCD 30MR25 FVRS1LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0I5V15015</code></td> <td> MOBIL TRUST SERIES 19 PTC SERIES A1 22JUN21 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE115A07CT1</code></td> <td> LIC HOUSING FINANCE LIMITED 9.35 NCD 24JL22 FVRS10LAC LOA UPTO 06MR13 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE115A07MG7</code></td> <td> LIC HOUSING FINANCE LIMITED TR345 7.42NCD15JL22FVRS10LACLOAUPTO30NV17 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE160A16MF6</code></td> <td> PUNJAB NATIONAL BANK CD 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE168Y07014</code></td> <td> AZURE POWER MARS PRIVATE LIMITED 9.6 NCD 28OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE169Y07012</code></td> <td> AZURE POWER ( HARYANA ) PRIVATE LIMITED 9.62 NCD 25OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE170Y07010</code></td> <td> AZURE POWER ( PUNJAB ) PRIVATE LIMITED 9.6 NCD 28OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE171Y07018</code></td> <td> AZURE SUNSHINE PRIVATE LIMITED 9.6 NCD 28OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE179P07282</code></td> <td> DVARA KSHETRIYA GRAMIN FINANCIAL SERVICES PRIVATE LIMITED 11 NCD 12FB26 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE213W08051</code></td> <td> FULLERTON INDIA HOME FINANCE COMPANY LIMITED SR 5 8.4 NCD 12AG32 FVRS1CR </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE229O18012</code></td> <td> EARC SAF - 1 TRUST CLASS I SECURITY RECEIPTS 06DC12 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE229O18020</code></td> <td> EARC SAF - 1 TRUST CLASS II SECURITY RECEIPTS 06DC12 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE238A164Z7</code></td> <td> AXIS BANK LIMITED CD 11AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE238A165Z4</code></td> <td> AXIS BANK LIMITED CD 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE238A166Y5</code></td> <td> AXIS BANK LIMITED CD 10AG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE246R07202</code></td> <td> NIIF INFRASTRUCTURE FINANCE LIMITED SR-PP-4 7.935 NCD 11AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE248U14KZ4</code></td> <td> IIFL WEALTH PRIME LIMITED 91D CP 05AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE261F08BN5</code></td> <td> NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT NCD SR 20F 7.18 LOA 08AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE263T18010</code></td> <td> EARC TRUST - SC 137 SERIES I SECURITY RECEIPTS 29JU15 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE282T18010</code></td> <td> EARC TRUST - SC 143 SERIES I SECURITY RECEIPTS 22JL15 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE306N07MZ5</code></td> <td> TATA CAPITAL FINANCIAL SERVICES LIMITED SR F 7.95 NCD 12AG32 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE338I14DB4</code></td> <td> MOTILAL OSWAL FINANCIAL SERVICES LIMITED 182D CP 11AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE360Q07013</code></td> <td> AZURE URJA PRIVATE LIMITED 9.6 NCD 28OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE402J08016</code></td> <td> FLICKER PROJECTS PRIVATE LTD CCD 30AG27 FVRS100 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE402J08024</code></td> <td> FLICKER PROJECTS PRIVATE LTD CCD 28FB28 FVRS100 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE402J08032</code></td> <td> FLICKER PROJECTS PRIVATE LTD 13 CCD 12DC28 FVRS100 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE423A14OZ7</code></td> <td> ADANI ENTERPRISES LIMITED 180D CP 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE438A07110</code></td> <td> APOLLO TYRES LIMITED SR-A 7.5 LOA 21OT21 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE460M14222</code></td> <td> SEMBCORP ENERGY INDIA LIMITED 27D CP 27JUL22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE460M14230</code></td> <td> SEMBCORP ENERGY INDIA LIMITED 22D CP 22JUL22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE463A14MC6</code></td> <td> BERGER PAINTS INDIA LIMITED 45D CP 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE463A14MD4</code></td> <td> BERGER PAINTS INDIA LIMITED 48D CP 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE467V07156</code></td> <td> HOUSE OF KIERAYA PRIVATE LIMITED ROUND 14 17 NCD 29JL22 FVRS1LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE473R18019</code></td> <td> EARC TRUST - SC 103 SERIES I SECURITY RECEIPTS 30SP14 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE476A16SR8</code></td> <td> CANARA BANK CD 28JUL22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE476M07743</code></td> <td> L&T FINANCE LIMITED SR-K OPT-3 8.9 NCD 28JL22 FVRS25LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE476M07BE6</code></td> <td> L&T FINANCE LIMITED SR-G OPT 2 7.72 NCD 19JL22 FVRS25LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE481G14DC4</code></td> <td> ULTRATECH CEMENT LIMITED 364D CP 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE481T07011</code></td> <td> AZURE SUNRISE PRIVATE LIMITED 9.62 NCD 25OT22 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE514E08GA6</code></td> <td> EXPORT IMPORT BANK OF INDIA SR Y 03 7.10 BD 18MR26 FVRS10LAC </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE524P15019</code></td> <td> INDIA STANDARD LOAN TRUST - VII SR-A PTC 13SP13 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE524P15027</code></td> <td> INDIA STANDARD LOAN TRUST - VII SR-B PTC 13SP13 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE549K07980</code></td> <td> MUTHOOT FINCORP LIMITED SR VI BR NCD 04AP23 FVRS10LAC </td> <td>Suspended</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE549K07AR8</code></td> <td> MUTHOOT FINCORP LIMITED 7 NCD 22AG22 FVRS250000 </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE556Q15019</code></td> <td> PLATINUM TRUST FEBRUARY 2014 SR-A PTC 28FB14 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE572E09403</code></td> <td> PNB HOUSING FINANCE LTD SR-XXX 7.91 LOA 29MR22 FVRS10LAC </td> <td>Blocked Due To Aca</td> <td>Deleted</td> </tr> <tr> <td><code>INE572E09486</code></td> <td> PNB HOUSING FINANCE LTD SR-XXXVI OPT B 7.59 LOA 27JL22 FVRS10LAC </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE572O07ED4</code></td> <td> EDEL LAND LIMITED SERIES B2E901A BR NCD 26AG22 FVRS1LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE628A14GE2</code></td> <td> UPL LIMITED 90D CP 11AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE651J14AW0</code></td> <td> JM FINANCIAL CREDIT SOLUTIONS LIMITED 183D CP 15SEP22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE672T18012</code></td> <td> EARC TRUST - SC 146 SERIES I SECURITY RECEIPTS 01SP15 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE691I07BS8</code></td> <td> L&T FINANCE LIMITED SR-W OPT 6 8.82 NCD 05AG22 FVRS25LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE715S18011</code></td> <td> EARC TRUST - SC 118 SERIES I SECURITY RECEIPTS 18MR15 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE721A07RA4</code></td> <td> SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR 01 PPD 8.72 NCD 17AG32 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE723X14BK1</code></td> <td> TRUST INVESTMENT ADVISORS PRIVATE LIMITED 90D CP 07JUL22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE732T18014</code></td> <td> EARC TRUST - SC 154 SERIES I SECURITY RECEIPTS 28SP15 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE733T18012</code></td> <td> EARC TRUST - SC 155 SERIES I SECURITY RECEIPTS 24SP15 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE734T18010</code></td> <td> EARC TRUST - SC 156 SERIES I SECURITY RECEIPTS 24SP15 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE744Z07019</code></td> <td> GLUHEND INDIA PRIVATE LIMITED 8 NCD 30JU21 FVRS413777 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE756I07DK2</code></td> <td> HDB FINANCIAL SERVICES LIMITED SR 2020 A/0/159 NCD 10AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE756I07EI4</code></td> <td> HDB FINANCIAL SERVICES LIMITED SR A1 FX 182 7.5 NCD 23SP25 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE756I08017</code></td> <td> HDB FINANCIAL SERVICES LIMITED 10.2 BD 09AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE763G14MO1</code></td> <td> ICICI SECURITIES LIMITED 61D CP 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE790I14BZ9</code></td> <td> HSBC INVESTDIRECT FINANCIAL SERVICES (I)LTD 91D CP 11AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE824H14HS0</code></td> <td> JULIUS BAER CAPITAL (INDIA) PRIVATE LIMITED 90D CP 10AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE824H14HU6</code></td> <td> JULIUS BAER CAPITAL (INDIA) PRIVATE LIMITED 83D CP 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE837V18017</code></td> <td> EARC TRUST - SC 223 SERIES I SECURITY RECEIPTS 02SP16 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE856U18019</code></td> <td> EARC TRUST - SC 207 SERIES I SECURITY RECEIPTS 30MR16 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE857Q14899</code></td> <td> TATA CLEANTECH CAPITAL LIMITED 91D CP 11AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE858U18015</code></td> <td> EARC TRUST - SC 209 SERIES I SECURITY RECEIPTS 29MR16 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE860H08EH6</code></td> <td> ADITYA BIRLA FINANCE LIMITED SR EP1 7.57 NCD 03AG35 PPRS440000 </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE870H14OF6</code></td> <td> NETWORK18 MEDIA & INVESTMENTS LTD. 87D CP 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE886H14HI0</code></td> <td> TV18 BROADCAST LIMITED 83D CP 08AUG22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE916DA7QT0</code></td> <td> KOTAK MAHINDRA PRIME LIMITED 5.2264 NCD 05AG22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE918K07GC4</code></td> <td> EDELWEISS FINANCE & INVESTMENTS LTD SR E2H001A BR NCD 26AG22 FVRS1LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE946Z18017</code></td> <td> EARC TRUST - SC 297 SERIES I SECURITY RECEIPTS 31MR18 </td> <td>Active</td> <td>Deleted</td> </tr> </tbody> </table>The following ISINs changed other fields:
@@ INE0LEW01013
-Description:SATYACARE SOLUTIONS PRIVATE LIMITED EQ
+Description:SATYACARE SOLUTIONS LIMITED EQ
-Issuer:SATYACARE SOLUTIONS PRIVATE LIMITED
+Issuer:SATYACARE SOLUTIONS LIMITED
@@ INE0MDF07148
-Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 9.8671 LOA 16DC24 FVRS1LAC
+Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 TYPE I 9.8671 LOA 16DC24 FVRS1LAC
@@ INE0MDF07155
-Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 10.2276 LOA 16OT25 FVRS1LAC
+Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 TYPE II 10.2276 LOA 16OT25 FVRS1LAC
@@ INE0MDF07163
-Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 10.5938 LOA 16DC26 FVRS1LAC
+Description:COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR FA 008 TYPE III 10.5938LOA 16DC26 FVRS1LAC
@@ INF082J01416
-Description:QUANTUM MUTUAL FUND NIFTY 50 ETF FUND OF FUND DIRECT GRWTH
+Description:QUANTUM MUTUAL FUND NIFTY 50 ETF FUND OF FUND DIRECT GRWTH
@@ INF082J01424
-Description:QUANTUM MUTUAL FUND NIFTY 50 ETF FUND OF FUND RGULAR GROWTH
+Description:QUANTUM MUTUAL FUND NIFTY 50 ETF FUND OF FUND RGULAR GROWTH
@@ INF0GCD01453
-Description:TRUST MUTUAL FUND OVERNIGHT FUND DIRECT PLAN GROWTH
+Description:TRUST MUTUAL FUND OVERNIGHT FUND DIRECT PLAN GROWTH
@@ INF205KA1353
-Description:INVESCO MUTUAL FUND MEDIUM DURATION FD RG QTRLY IDCWPY
+Description:INVESCO MUTUAL FUND MEDIUM DURATION FD RG QTRLY IDCWPY
@@ INF205KA1361
-Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND RG DISCRET IDCWPY
+Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND RG DISCRET IDCWPY
@@ INF205KA1403
-Description:INVESCO MUTUAL FUND MEDIUM DURATION FD DR QTRLY IDCW PAYOUT
+Description:INVESCO MUTUAL FUND MEDIUM DURATION FD DR QTRLY IDCW PAYOUT
@@ INF205KA1411
-Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND DR DISCR IDCWPY
+Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND DR DISCR IDCWPY
@@ INF205KA1429
-Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND DR GRWTH
+Description:INVESCO MUTUAL FUND MEDIUM DURATION FUND DR GRWTH
@@ INF205KA1452
-Description:INVESCO MUTUAL FUND FLEXICAP FUND REGULAR IDCW PAYOUT
+Description:INVESCO MUTUAL FUND FLEXICAP FUND REGULAR IDCW PAYOUT
@@ INF205KA1478
-Description:INVESCO MUTUAL FUND FLEXICAP FUND REGULAR IDCW REINVESTMENT
+Description:INVESCO MUTUAL FUND FLEXICAP FUND REGULAR IDCW REINVESTMENT
@@ INF205KA1486
-Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT IDCW PAYOUT
+Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT IDCW PAYOUT
@@ INF205KA1494
-Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT GROWTH
+Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT GROWTH
@@ INF205KA1502
-Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT IDCW REINVESTMENT
+Description:INVESCO MUTUAL FUND FLEXICAP FUND DIRECT IDCW REINVESTMENT
@@ INF205KA1544
-Description:INVESCO MUTUAL FUND FIXED MATURITY PLAN SR-35-PLA RG IDCWY06JL27
+Description:INVESCO MUTUAL FUND FIXED MATURITY PLAN SR-35-PLA RG IDCWY06JL27
@@ INF205KA1585
-Description:INVESCO MUTUAL FUND EQQQ NASDAQ 100ETF FOF (II-IENF) DR GRWTH
+Description:INVESCO MUTUAL FUND EQQQ NASDAQ 100ETF FOF (II-IENF) DR GRWTH
@@ INF663L01W22
-Description:PGIM INDIA MUTUAL FUND SMALL CAP FUND DIRECT PLAN IDCW REINVESTMENT
+Description:PGIM INDIA MUTUAL FUND SMALL CAP FUND DIRECT PLAN IDCW REINVESTMENT
@@ INF663L01W89
-Description:PGIM INDIA MUTUAL FUND GLOBAL SLCT REALEST SECUR FOF DR PLIDCWREINV
+Description:PGIM INDIA MUTUAL FUND GLOBAL SLCT REALEST SECUR FOF DR PLIDCWREINV
@@ INF663L01W97
-Description:PGIM INDIA MUTUAL FUND GLOBAL SELECT REAL ESTATE SECUR FD RG GRWTH
+Description:PGIM INDIA MUTUAL FUND GLOBAL SELECT REAL ESTATE SECUR FD RG GRWTH
@@ INF754K01MJ8
-Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD RG PL IDCW IDCW REINV
+Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD RG PL IDCW IDCW REINV
@@ INF754K01MK6
-Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD RG PL IDCW TRNSFR
+Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD RG PL IDCW TRNSFR
@@ INF754K01ML4
-Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FUND DIRECT PLAN GROWTH
+Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FUND DIRECT PLAN GROWTH
@@ INF754K01MM2
-Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD DIRECT PLAN IDCW PAY
+Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD DIRECT PLAN IDCW PAY
@@ INF754K01MN0
-Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD DR PL IDCW REINVESTME
+Description:EDELWEISS MUTUAL FUND RECENTLY LISTED IPO FD DR PL IDCW REINVESTME
@@ INF754K01NA5
-Description:EDELWEISS MUTUAL FUND NIFTY 50 INDEX FUND REGULAR PLAN IDCW TRNSFR
+Description:EDELWEISS MUTUAL FUND NIFTY 50 INDEX FUND REGULAR PLAN IDCW TRNSFR
@@ INF754K01NB3
-Description:EDELWEISS MUTUAL FUND NIFTY 50 INDEX FUND DIRECT PLAN GROWTH
+Description:EDELWEISS MUTUAL FUND NIFTY 50 INDEX FUND DIRECT PLAN GROWTH
@@ INF754K01NG2
-Description:EDELWEISS MUTUAL FUND NIFTY 100 QUALITY30 INDEX FUND RG PL IDCWPY
+Description:EDELWEISS MUTUAL FUND NIFTY 100 QUALITY30 INDEX FUND RG PL IDCWPY
@@ INF754K01NJ6
-Description:EDELWEISS MUTUAL FUND NIFTY 100 QUALITY 30 INDEX FUND DR PL GRWTH
+Description:EDELWEISS MUTUAL FUND NIFTY 100 QUALITY 30 INDEX FUND DR PL GRWTH
@@ INF754K01NX7
-Description:EDELWEISS MUTUAL FUND BHARATBONDETF FOF APR2032 RGPL IDCWREI16AP32
+Description:EDELWEISS MUTUAL FUND BHARATBONDETF FOF APR2032 RGPL IDCWREI16AP32
@@ INF754K01NY5
-Description:EDELWEISS MUTUAL FUND BHARAT BOND ETF FOF-APRIL 2032 DR GRW16AP32
+Description:EDELWEISS MUTUAL FUND BHARAT BOND ETF FOF-APRIL 2032 DR GRW16AP32
@@ INF754K01OL0
-Description:EDELWEISS MUTUAL FUND FOCUSED EQUITY FUND REGULAR PLAN GRWTH
+Description:EDELWEISS MUTUAL FUND FOCUSED EQUITY FUND REGULAR PLAN GRWTH
@@ INF754K01OR7
-Description:EDELWEISS MUTUAL FUND FOCUSED EQUITY FUND DIRECT IDCWREINVESTMENT
+Description:EDELWEISS MUTUAL FUND FOCUSED EQUITY FUND DIRECT IDCWREINVESTMENT
@@ INF760K01JV6
-Description:CANARA ROBECO MUTUAL FUND FOCUSED EQUITY FUND RG IDCW PAYOUT
+Description:CANARA ROBECO MUTUAL FUND FOCUSED EQUITY FUND RG IDCW PAYOUT
@@ INF760K01JW4
-Description:CANARA ROBECO MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
+Description:CANARA ROBECO MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
@@ INF760K01JY0
-Description:CANARA ROBECO MUTUAL FUND VALUE FUND DIRECT PLAN IDCW PAYOUT
+Description:CANARA ROBECO MUTUAL FUND VALUE FUND DIRECT PLAN IDCW PAYOUT
@@ INF760K01KA8
-Description:CANARA ROBECO MUTUAL FUND VALUE FUND REGULAR PLAN IDCW REINVEST
+Description:CANARA ROBECO MUTUAL FUND VALUE FUND REGULAR PLAN IDCW REINVEST
@@ INF760K01KB6
-Description:CANARA ROBECO MUTUAL FUND VALUE FUND REGULAR PLAN IDCW PAYOUT
+Description:CANARA ROBECO MUTUAL FUND VALUE FUND REGULAR PLAN IDCW PAYOUT
@@ INF761K01FM1
-Description:BOI AXA MUTUAL FUND BLUECHIP FUND DIRECT PLAN IDCW REIN
+Description:BOI AXA MUTUAL FUND BLUECHIP FUND DIRECT PLAN IDCW REIN
@@ INF761K01FN9
-Description:BOI AXA MUTUAL FUND BLUECHIP FUND REGULAR PLAN IDCW PAYOUT
+Description:BOI AXA MUTUAL FUND BLUECHIP FUND REGULAR PLAN IDCW PAYOUT
@@ INF846K010C0
-Description:AXIS MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
+Description:AXIS MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
@@ INF846K010H9
-Description:AXIS MUTUAL FUND CRISIL SDL2027 DEBTIDX FD RG PL GRW 31MY27
+Description:AXIS MUTUAL FUND CRISIL SDL2027 DEBTIDX FD RG PL GRW 31MY27
@@ INF846K011G9
-Description:AXIS MUTUAL FUND EQUITY ETFS FOF DIRECT PLAN GROWTH
+Description:AXIS MUTUAL FUND EQUITY ETFS FOF DIRECT PLAN GROWTH
@@ INF846K011I5
-Description:AXIS MUTUAL FUND NIFTY MIDCAP 50 INDEX FUND DR PL IDCWREINV
+Description:AXIS MUTUAL FUND NIFTY MIDCAP 50 INDEX FUND DR PL IDCWREINV
@@ INF846K014B4
-Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PLAN ANNUAL IDCW PAYOUT
+Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PLAN ANNUAL IDCW PAYOUT
@@ INF846K014H1
-Description:AXIS MUTUAL FUND NIFTY SMALLCAP 50 INDEX FUND DR PL IDCWPAYT
+Description:AXIS MUTUAL FUND NIFTY SMALLCAP 50 INDEX FUND DR PL IDCWPAYT
@@ INF846K015A3
-Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN ANNUAL IDCW REINVES
+Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN ANNUAL IDCW REINVES
@@ INF846K015B1
-Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PLAN MONTHLY IDCW REINV
+Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PLAN MONTHLY IDCW REINV
@@ INF846K015C9
-Description:AXIS MUTUAL FUND VALUE FUND REGULAR PLAN IDCW REINVEST
+Description:AXIS MUTUAL FUND VALUE FUND REGULAR PLAN IDCW REINVEST
@@ INF846K015D7
-Description:AXIS MUTUAL FUND NIFTY 50 INDEX FUND DIRECT PLAN IDCW REINVES
+Description:AXIS MUTUAL FUND NIFTY 50 INDEX FUND DIRECT PLAN IDCW REINVES
@@ INF846K016A1
-Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN ANNUAL IDCW PAYOUT
+Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN ANNUAL IDCW PAYOUT
@@ INF846K016B9
-Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PL MONTHLY IDCW PAYOUT
+Description:AXIS MUTUAL FUND FLOATER FUND REGULAR PL MONTHLY IDCW PAYOUT
@@ INF846K016E3
-Description:AXIS MUTUAL FUND MULTICAP FUND REGULAR PLAN GROWTH
+Description:AXIS MUTUAL FUND MULTICAP FUND REGULAR PLAN GROWTH
@@ INF846K016G8
-Description:AXIS MUTUAL FUND EQUITY ETFS FOF REGULAR PLAN IDCW REINVEST
+Description:AXIS MUTUAL FUND EQUITY ETFS FOF REGULAR PLAN IDCW REINVEST
@@ INF846K017B7
-Description:AXIS MUTUAL FUND FLOATER FUND RG PL QUARTERLY IDCW REINV
+Description:AXIS MUTUAL FUND FLOATER FUND RG PL QUARTERLY IDCW REINV
@@ INF846K017H4
-Description:AXIS MUTUAL FUND NIFTY SMALLCAP 50 INDEX FUND RG IDCW PAYOUT
+Description:AXIS MUTUAL FUND NIFTY SMALLCAP 50 INDEX FUND RG IDCW PAYOUT
@@ INF846K018A7
-Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN MONTHLY IDCW PAYOUT
+Description:AXIS MUTUAL FUND FLOATER FUND DIRECT PLAN MONTHLY IDCW PAYOUT
@@ INF846K018D1
-Description:AXIS MUTUAL FUND NIFTY 50 INDEX FUND REGULAR PLAN IDCW REINVE
+Description:AXIS MUTUAL FUND NIFTY 50 INDEX FUND REGULAR PLAN IDCW REINVE
@@ INF846K018E9
-Description:AXIS MUTUAL FUND MULTICAP FUND REGULAR PLAN IDCW REINVESTMENT
+Description:AXIS MUTUAL FUND MULTICAP FUND REGULAR PLAN IDCW REINVESTMENT
@@ INF846K019A5
-Description:AXIS MUTUAL FUND FLOATER FUND DR PL QUARTERLY IDCW PAYOUT
+Description:AXIS MUTUAL FUND FLOATER FUND DR PL QUARTERLY IDCW PAYOUT
@@ INF903JA1JF3
-Description:SUNDARAM MUTUAL FUND LIQUID FUND RG PL FORTNIGHTLY IDCW REINV
+Description:SUNDARAM MUTUAL FUND LIQUID FUND RG PL FORTNIGHTLY IDCW REINV
@@ INF903JA1JG1
-Description:SUNDARAM MUTUAL FUND LIQUID FUND REGULAR PLAN QUARTERLY IDCW REIN
+Description:SUNDARAM MUTUAL FUND LIQUID FUND REGULAR PLAN QUARTERLY IDCW REIN
@@ INF903JA1JI7
-Description:SUNDARAM MUTUAL FUND LIQUID FUND REGULAR PRINCIPAL UNITS BONUS
+Description:SUNDARAM MUTUAL FUND LIQUID FUND REGULAR PRINCIPAL UNITS BONUS
@@ INF903JA1JJ5
-Description:SUNDARAM MUTUAL FUND LIQUID FUND DR PL FORTNIGHTLY IDCW REINV
+Description:SUNDARAM MUTUAL FUND LIQUID FUND DR PL FORTNIGHTLY IDCW REINV
@@ INF903JA1JK3
-Description:SUNDARAM MUTUAL FUND LIQUID FUND DIRECT PLAN QUARTERLY IDCW REINV
+Description:SUNDARAM MUTUAL FUND LIQUID FUND DIRECT PLAN QUARTERLY IDCW REINV
@@ INF903JA1JS6
-Description:SUNDARAM MUTUAL FUND LOW DURATION FUND RGPL QUARTERLY IDCW REINV
+Description:SUNDARAM MUTUAL FUND LOW DURATION FUND RGPL QUARTERLY IDCW REINV
@@ INF903JA1JW8
-Description:SUNDARAM MUTUAL FUND LOW DURATION FD RG PL PRINCIPAL UNTBONUS
+Description:SUNDARAM MUTUAL FUND LOW DURATION FD RG PL PRINCIPAL UNTBONUS
@@ INF903JA1KA2
-Description:SUNDARAM MUTUAL FUND LOW DURATION FUND DIRECT PLAN WEEKLYIDCWPY
+Description:SUNDARAM MUTUAL FUND LOW DURATION FUND DIRECT PLAN WEEKLYIDCWPY
@@ INF966L01AN3
-Description:QUANT MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
+Description:QUANT MUTUAL FUND VALUE FUND DIRECT PLAN GROWTH
@@ INF966L01AP8
-Description:QUANT MUTUAL FUND VALUE FUND DIRECT PLAN IDCW REINVESTEMENT
+Description:QUANT MUTUAL FUND VALUE FUND DIRECT PLAN IDCW REINVESTEMENT
@@ INF966L01AR4
-Description:QUANT MUTUAL FUND VALUE FUND REGULAR PLAN IDCW PAYOUT
+Description:QUANT MUTUAL FUND VALUE FUND REGULAR PLAN IDCW PAYOUT
<h2>Removals</h2>The following ISINs were completely removed (likely in error):
| ISIN | Description | Issuer | Type | Status |
|---|---|---|---|---|
INE423W15028 |
GALE IFMR CAPITAL 2016 SR-A2 PTC 30DC16 | GALE IFMR CAPITAL 2016 | SECURITISED INSTRUMENT | Deleted |
INE423X18012 |
INVENT/1617/IDBI/S100 TRUST SERIES I SECURITY RECEIPT 20FB17 | INVENT/1617/IDBI/S100 TRUST | SECURITISED INSTRUMENT | Active |
INE423Y01016 |
SBFC FINANCE PRIVATE LIMITED EQ | SBFC FINANCE PRIVATE LIMITED | EQUITY SHARES | Active |
INE423Y07013 |
SBFC FINANCE PRIVATE LIMITED SR-1 9.4 NCD 28SP20 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Deleted |
INE423Y07021 |
SBFC FINANCE PRIVATE LIMITED SR A 9.25 NCD 03FB22 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Deleted |
INE423Y07039 |
SBFC FINANCE PRIVATE LIMITED SR A 9.25 NCD 11FB22 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Deleted |
INE423Y07047 |
SBFC FINANCE PRIVATE LIMITED SR B 9.30 NCD 17FB22 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Deleted |
INE423Y07054 |
SBFC FINANCE PRIVATE LIMITED SR B 9.25 NCD 14MR22 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Deleted |
INE423Y07062 |
SBFC FINANCE PRIVATE LIMITED SR A 8.57 NCD 06AG24 FVRS10LAC | SBFC FINANCE PRIVATE LIMITED | DEBENTURE | Active |
INE423Z01013 |
SUPERTECH INFRASTRUCTURE PRIVATE LIMITED EQ | SUPERTECH INFRASTRUCTURE PRIVATE LIMITED | EQUITY SHARES | Active |
INE432Y01017 |
DEN RAJKOT CITY COMMUNICATION PRIVATE LIMITED EQ | DEN RAJKOT CITY COMMUNICATION PRIVATE LIMITED | EQUITY SHARES | Active |
INE432Z01014 |
SHAHI EXPORTS PRIVATE LIMITED EQ | SHAHI EXPORTS PRIVATE LIMITED | EQUITY SHARES | Active |
INE432Z01022 |
SHAHI EXPORTS PRIVATE LIMITED EQ CLASS B | SHAHI EXPORTS PRIVATE LIMITED | EQUITY SHARES | Active |
INE433C01011 |
SOFTCELL TECHNOLOGIES LTD EQ | SOFTCELL TECHNOLOGIES PRIVATE LIMITED | EQUITY SHARES | Blocked Due To Aca |
INE433C01029 |
SOFTCELL TECHNOLOGIES PRIVATE LIMITED EQ NEW FV RS.10 | SOFTCELL TECHNOLOGIES PRIVATE LIMITED | EQUITY SHARES | Active |
INE433D01027 |
ATLANTA INFRASTRUCTURE AND FINANCE LIMITED EQ NEW FV RE. 1/- | ATLANTA INFRASTRUCTURE AND FINANCE LIMITED | EQUITY SHARES | Active |
INE433F01014 |
FIAT SUND.AUTO EQ | FIAT SUNDARAM AUTO FINANCE LIMITED | EQUITY SHARES | Active |
INE433G01012 |
SACHETA METALS LIMITED EQ | SACHETA METALS LIMITED | EQUITY SHARES | Active |
INE433K18026 |
ARCIL - RETAIL LOAN PORTFOLIO - 001- I TRU CLASS B SECURITY RECEIPT 30JU09 | ARCIL - RETAIL LOAN PORTFOLIO - 001- I TRU | SECURITISED INSTRUMENT | Active |
INE433L01012 |
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED CLASS A EQ | BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED | EQUITY SHARES | Active |
INE433L01020 |
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED CLASS B EQ | BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED | EQUITY SHARES | Active |
INE433L01038 |
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED CLASS C EQ | BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED | EQUITY SHARES | Active |
INE433L01046 |
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED CLASS D EQ | BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED | EQUITY SHARES | Active |
INE433L03018 |
BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED 0.01% CLASS A PREF 03DC28 | BENGAL SHRIRAM HITECH CITY PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE433M01010 |
IL&FS TAMIL NADU POWER COMPANY LIMITED EQ | IL&FS TAMIL NADU POWER COMPANY LIMITED | EQUITY SHARES | Active |
INE433M07017 |
IL&FS TAMIL NADU POWER COMPANY LIMITED SR-1A 9.8 NCD 15MR21 FVRS10LAC | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M07025 |
IL&FS TAMIL NADU POWER COMPANY LIMITED SR-1B 9.8 NCD 15MR21 FVRS10LAC | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M07033 |
IL&FS TAMIL NADU POWER COMPANY LIMITED SR-1A 9.8 NCD 16MR20 FVRS10LAC | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Active |
INE433M07041 |
IL&FS TAMIL NADU POWER COMPANY LIMITED SR-1B 9.8 NCD 14MR21 FVRS10LAC | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Active |
INE433M08163 |
IL&FS TAMIL NADU POWER COMPANY LIMITED CCD 20MR16 FVRS10000 | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M08189 |
IL&FS TAMIL NADU POWER COMPANY LIMITED CCD 31MR16 FVRS10000 | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M08395 |
IL&FS TAMIL NADU POWER COMPANY LIMITED CCD 20MR18 FVRS10000 | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M08403 |
IL&FS TAMIL NADU POWER COMPANY LIMITED CCD 31MR18 FVRS10000 | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433M08411 |
IL&FS TAMIL NADU POWER COMPANY LIMITED 16 CCD 01AP18 FVRS1CR | IL&FS TAMIL NADU POWER COMPANY LIMITED | DEBENTURE | Deleted |
INE433N01018 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED EQ | SMAAASH ENTERTAINMENT PRIVATE LIMITED | EQUITY SHARES | Active |
INE433N03014 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED PREF 10AP18 | SMAAASH ENTERTAINMENT PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE433N03022 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED 0.01% PREF 23OT22 | SMAAASH ENTERTAINMENT PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE433N03030 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED 0.01% PREF 04DC22 | SMAAASH ENTERTAINMENT PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE433N03048 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED 0.01% PREF 21FB22 | SMAAASH ENTERTAINMENT PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE433N03055 |
SMAAASH ENTERTAINMENT PRIVATE LIMITED 0.01% PREF 22MR23 | SMAAASH ENTERTAINMENT PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE434P08032 |
INDIABULLS ESTATE LIMITED 15 CCD 30NV14 FVRS1000 | INDIABULLS ESTATE LIMITED | DEBENTURE | Deleted |
INE434P08040 |
INDIABULLS ESTATE LIMITED 15 OCD 30NV14 FVRS1000 | INDIABULLS ESTATE LIMITED | DEBENTURE | Deleted |
INE434R01017 |
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INE434S15023 |
SHRI TRUST -F- 2015 SR-A2 PTC 27FB15 | SHRI TRUST -F- 2015 | SECURITISED INSTRUMENT | Deleted |
INE434S15031 |
SHRI TRUST -F- 2015 SR-A1 PTC 27FB15 | SHRI TRUST -F- 2015 | SECURITISED INSTRUMENT | Deleted |
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INE434U01011 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED EQ | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | EQUITY SHARES | Active |
INE434U03017 |
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INE434U03025 |
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INE434U03033 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED 12% PREF 01AP36 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE434U03041 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES E PREF 16FB40 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE434U03058 |
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INE434U03066 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES C(2) TYPE A PREF 31MR28 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE434U03074 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES C(2) TYPE C PREF 31MR28 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE434U03082 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES B PREF 31MR28 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE434U03090 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES C (1) TYPE B PREF 31MR28 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE434U03108 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED SERIES C (2) TYPE B PREF 31MR28 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Deleted |
INE434U03116 |
TESSOLVE SEMICONDUCTOR PRIVATE LIMITED 0.01% SERIES F PREF 09AP41 | TESSOLVE SEMICONDUCTOR PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE434V15019 |
MOTOR DRL TRUST JUNE C TRANCHE 1 SR-A PTC 20JU16 | MOTOR DRL TRUST JUNE C TRANCHE 1 | SECURITISED INSTRUMENT | Deleted |
Notes
Files
captn3m0/india-isin-data-v2022.8.13.zip
Files
(2.5 MB)
| Name | Size | Download all |
|---|---|---|
|
md5:a88e1a62c3d336fc908f52f7e6c528a6
|
2.5 MB | Preview Download |
Additional details
Related works
- Is supplement to
- https://github.com/captn3m0/india-isin-data/tree/v2022.8.13 (URL)