Published November 29, 2022
| Version 2022.11.29
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 |
|---|---|---|---|---|
IN90DG301011 |
SWARA FINCARE LIMITED EQ PP RE. 1/- | SWARA FINCARE LIMITED | EQUITY SHARES | Active |
INE001A14ZU8 |
HOUSING DEVELOPMENT FINANCE CORPORATION LTD 362D CP 28NOV23 | HOUSING DEVELOPMENT FINANCE CORPORATION LTD | COMMERCIAL PAPER | Active |
INE018A14JD2 |
LARSEN AND TOUBRO LIMITED 90D CP 28FEB23 | LARSEN AND TOUBRO LIMITED | COMMERCIAL PAPER | Active |
INE027E14NV9 |
L&T FINANCE LIMITED 364D CP 28NOV23 | L&T FINANCE LIMITED | COMMERCIAL PAPER | Active |
INE028A16CZ4 |
BANK OF BARODA CD 30NOV23 | BANK OF BARODA | CERTIFICATE OF DEPOSIT | Active |
INE03BW14018 |
KOTAK INVESTMENT ADVISORS LIMITED 91D CP 28FEB23 | KOTAK INVESTMENT ADVISORS LIMITED | COMMERCIAL PAPER | Active |
INE08QO01027 |
LIMELIGHT LAB GROWN DIAMONDS LIMITED EQ NEW FV RE. 1/- | LIMELIGHT LAB GROWN DIAMONDS LIMITED | EQUITY SHARES | Active |
INE093JB7DG3 |
ANAND RATHI GLOBAL FINANCE LIMITED SR P109 I BR NCD 12JN28 FVRS1LAC | ANAND RATHI GLOBAL FINANCE LIMITED | DEBENTURE | Active |
INE093JB7DH1 |
ANAND RATHI GLOBAL FINANCE LIMITED SR P109 II BR NCD 12JN28 FVRS1LAC | ANAND RATHI GLOBAL FINANCE LIMITED | DEBENTURE | Active |
INE09OL14BV5 |
BIRLA GROUP HOLDINGS PRIVATE LIMITED 59D CP 27JAN23 | BIRLA GROUP HOLDINGS PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INE0DG301012 |
SWARA FINCARE LIMITED EQ | SWARA FINCARE LIMITED | EQUITY SHARES | Active |
INE0DUS01014 |
GURU GANESH FINANCE (INDIA) LIMITED EQ | GURU GANESH FINANCE (INDIA) LIMITED | EQUITY SHARES | Active |
INE0DUT01012 |
INNOVA CAPTAB LIMITED EQ | INNOVA CAPTAB LIMITED | EQUITY SHARES | Deleted |
INE0DUT01020 |
INNOVA CAPTAB LIMITED EQ NEW FV RS.10/- | INNOVA CAPTAB LIMITED | EQUITY SHARES | Active |
INE0DUT03018 |
INNOVA CAPTAB LIMITED 0.01% PREF 18JL26 | INNOVA CAPTAB LIMITED | PREFERENCE SHARES | Active |
INE0DUU01010 |
NEXOME REAL ESTATES PRIVATE LIMITED EQ | NEXOME REAL ESTATES PRIVATE LIMITED | EQUITY SHARES | Active |
INE0DUV01018 |
GINNI FINANCIAL SERVICES LIMITED EQ | GINNI FINANCIAL SERVICES LIMITED | EQUITY SHARES | Active |
INE0DUW01016 |
APOLLO DIALYSIS PRIVATE LIMITED EQ | APOLLO DIALYSIS PRIVATE LIMITED | EQUITY SHARES | Active |
INE0DUW04010 |
APOLLO DIALYSIS PRIVATE LIMITED 0.1% PREF 12MY30 | APOLLO DIALYSIS PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0DUW04028 |
APOLLO DIALYSIS PRIVATE LIMITED 0.1% PREF 03JN31 | APOLLO DIALYSIS PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0DUX01014 |
NISUS FINCORP PRIVATE LIMITED EQ | NISUS FINCORP PRIVATE LIMITED | EQUITY SHARES | Active |
INE0IP408027 |
ILP 3 INDIA 8 PRIVATE LIMITED 12 BD 14NV42 FVRS1000 | ILP 3 INDIA 8 PRIVATE LIMITED | BOND | Active |
INE0IX307013 |
ROYAL BUILDSQUARE PRIVATE LIMITED 12 NCD 01SP26 FVRS10LAC | ROYAL BUILDSQUARE PRIVATE LIMITED | DEBENTURE | Active |
INE0IZU03048 |
JINDAL STEEL ODISHA LIMITED PREF 27OT42 | JINDAL STEEL ODISHA LIMITED | PREFERENCE SHARES | Active |
INE0J7Q07157 |
DME DEVELOPMENT LIMITED SR II STRPPS V BR NCD 30NV32 PPRS2LAC | DME DEVELOPMENT LIMITED | BOND | Active |
INE0J7Q07165 |
DME DEVELOPMENT LIMITED SR II STRPPS IX BR NCD 30NV36 PPRS2LAC | DME DEVELOPMENT LIMITED | BOND | Active |
INE0J7Q07199 |
DME DEVELOPMENT LIMITED SR II STRPPS VIII BR NCD 30NV35 PPRS2LAC | DME DEVELOPMENT LIMITED | BOND | Active |
INE0J9Z07204 |
TORUS FINANCIAL MARKETS PRIVATE LIMITED SR TFMB010 BR LOA 03JN28 FVRS10LAC | TORUS FINANCIAL MARKETS PRIVATE LIMITED | DEBENTURE | Active |
INE0KZ901017 |
NEO ASSET MANAGEMENT PRIVATE LIMITED EQ | NEO ASSET MANAGEMENT PRIVATE LIMITED | EQUITY SHARES | Active |
INE0L5G01011 |
NEO WEALTH MANAGEMENT PRIVATE LIMITED EQ | NEO WEALTH MANAGEMENT PRIVATE LIMITED | EQUITY SHARES | Active |
INE0M2P07056 |
PILOT FLEET PRIVATE LIMITED 13.63 NCD 30NV24 FVRS1000 | PILOT FLEET PRIVATE LIMITED | DEBENTURE | Active |
INE0MDF07320 |
COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED SR CFHFA018 10.6915 LOA 16JU27 FVRS1LAC | COSMEA FINANCIAL HOLDINGS PRIVATE LIMITED | DEBENTURE | Active |
INE0MLP03016 |
BEEJAPURI DAIRY PRIVATE LIMITED 0.001% SERIES A PREF 29NV37 | BEEJAPURI DAIRY PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0MLP03024 |
BEEJAPURI DAIRY PRIVATE LIMITED 0.001% SERIES A1 PREF 09MY38 | BEEJAPURI DAIRY PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0MLP03032 |
BEEJAPURI DAIRY PRIVATE LIMITED 0.001% SERIES A PREF 21MR37 | BEEJAPURI DAIRY PRIVATE LIMITED | PREFERENCE SHARES | Active |
INE0NDH25011 |
NEXUS SELECT TRUST REIT | NEXUS SELECT TRUST | REAL ESTATE INVESTMENT TRUSTS | Active |
INE0NLV01016 |
NEO MARKETS SERVICES PRIVATE LIMITED EQ | NEO MARKETS SERVICES PRIVATE LIMITED | EQUITY SHARES | Active |
INE0NTZ01010 |
PRABHU ROCKSHAPE MACHINERY LIMITED EQ | PRABHU ROCKSHAPE MACHINERY LIMITED | EQUITY SHARES | Active |
INE0NXD07016 |
ET FLEET PRIVATE LIMITED 14.75 NCD 25NV25 FVRS10LAC | ET FLEET PRIVATE LIMITED | DEBENTURE | Active |
INE0NXI01018 |
HAMPI ENERGY LIMITED EQ | HAMPI ENERGY LIMITED | EQUITY SHARES | Active |
INE0NXJ01016 |
DOVE SOFT LIMITED EQ | DOVE SOFT LIMITED | EQUITY SHARES | Active |
INE0NXK01014 |
KIDCITY SOLUTIONS PRIVATE LIMITED EQ | KIDCITY SOLUTIONS PRIVATE LIMITED | EQUITY SHARES | Active |
INE0NXL01012 |
SILVER SPARK APPAREL LIMITED EQ | SILVER SPARK APPAREL LIMITED | EQUITY SHARES | Active |
INE0NXM01010 |
RENDER WISE SOLUTIONS PRIVATE LIMITED EQ | RENDER WISE SOLUTIONS PRIVATE LIMITED | EQUITY SHARES | Active |
INE0NXS01017 |
DEVELOPMENT ENVIRONERGY SERVICES LIMITED EQ | DEVELOPMENT ENVIRONERGY SERVICES LIMITED | EQUITY SHARES | Active |
INE0NXT01015 |
THIRUVANANTHPURAM ROAD DEVELOPMENT COMPANY LIMITED EQ | THIRUVANANTHPURAM ROAD DEVELOPMENT COMPANY LIMITED | EQUITY SHARES | Active |
INE0NXW01019 |
UNINOR INDUSTRIES LIMITED EQ | UNINOR INDUSTRIES LIMITED | EQUITY SHARES | Active |
INE0NXX01017 |
INDDAIS CARE LIMITED EQ | INDDAIS CARE LIMITED | EQUITY SHARES | Active |
INE0NXY01015 |
PROFIT BLOOM PRIVATE LIMITED EQ | PROFIT BLOOM PRIVATE LIMITED | EQUITY SHARES | Active |
INE0NXZ01012 |
EUROPA DEVELOPERS PRIVATE LIMITED EQ | EUROPA DEVELOPERS PRIVATE LIMITED | EQUITY SHARES | Active |
INE0NY001014 |
ARYAN REALCON LIMITED EQ | ARYAN REALCON LIMITED | EQUITY SHARES | Active |
INE110L14RK2 |
RELIANCE JIO INFOCOMM LIMITED 89D CP 27FEB23 | RELIANCE JIO INFOCOMM LIMITED | COMMERCIAL PAPER | Active |
INE110L14RL0 |
RELIANCE JIO INFOCOMM LIMITED 91D CP 06MAR23 | RELIANCE JIO INFOCOMM LIMITED | COMMERCIAL PAPER | Active |
INE110L14RM8 |
RELIANCE JIO INFOCOMM LIMITED 89D CP 28FEB23 | RELIANCE JIO INFOCOMM LIMITED | COMMERCIAL PAPER | Active |
INE110L14RN6 |
RELIANCE JIO INFOCOMM LIMITED 89D CP 01MAR23 | RELIANCE JIO INFOCOMM LIMITED | COMMERCIAL PAPER | Active |
INE115A07QB9 |
LIC HOUSING FINANCE LIMITED TR 426 7.7201 LOA 12FB26 FVRS10LAC | LIC HOUSING FINANCE LIMITED | DEBENTURE | Active |
INE140A14X74 |
PIRAMAL ENTERPRISES LIMITED 183D CP 31MAY23 | PIRAMAL ENTERPRISES LIMITED | COMMERCIAL PAPER | Active |
INE140A14X82 |
PIRAMAL ENTERPRISES LIMITED 86D CP 23FEB23 | PIRAMAL ENTERPRISES LIMITED | COMMERCIAL PAPER | Active |
INE140R14104 |
CHAITANYA INDIA FIN CREDIT PRIVATE LIMITED 62D CP 30JAN23 | CHAITANYA INDIA FIN CREDIT PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INE148I07NC8 |
INDIABULLS HOUSING FINANCE LIMITED SR I CAT III & IV 9.30 LOA 28DC24 FVRS1000 | INDIABULLS HOUSING FINANCE LIMITED | DEBENTURE | Active |
INE171A16KL5 |
THE FEDERAL BANK LIMITED CD 31JAN23 | THE FEDERAL BANK LIMITED | CERTIFICATE OF DEPOSIT | Active |
INE179P14148 |
DVARA KSHETRIYA GRAMIN FINANCIAL SERVICES PRIVATE LIMITED 90D CP 27FEB23 | DVARA KSHETRIYA GRAMIN FINANCIAL SERVICES PRIVATE LIMITED | COMMERCIAL PAPER | Active |
INE233A14XB2 |
GODREJ INDUSTRIES LIMITED 90D CP 02MAR23 | GODREJ INDUSTRIES LIMITED | COMMERCIAL PAPER | Active |
INE233A14XC0 |
GODREJ INDUSTRIES LIMITED 91D CP 06MAR23 | GODREJ INDUSTRIES LIMITED | COMMERCIAL PAPER | Active |
INE238AD6173 |
AXIS BANK LIMITED CD 29NOV23 | AXIS BANK LIMITED | CERTIFICATE OF DEPOSIT | Active |
INE245A14HF0 |
THE TATA POWER COMPANY LIMITED 88D CP 28FEB23 | THE TATA POWER COMPANY LIMITED | COMMERCIAL PAPER | Active |
INE306N14VF4 |
TATA CAPITAL FINANCIAL SERVICES LIMITED 62D CP 30JAN23 | TATA CAPITAL FINANCIAL SERVICES LIMITED | COMMERCIAL PAPER | Active |
INE359A04024 |
ESCORTS FINANCE LIMITED 1% PREF 02NV42 | ESCORTS FINANCE LIMITED | PREFERENCE SHARES | Active |
INE366T07105 |
LIGHT MICROFINANCE PRIVATE LIMITED 11.95 LOA 24NV27 FVRS10000 | LIGHT MICROFINANCE PRIVATE LIMITED | DEBENTURE | Active |
INE389H14IZ7 |
KEC INTERNATIONAL LIMITED 88D CP 03MAR23 | KEC INTERNATIONAL LIMITED | COMMERCIAL PAPER | Active |
INE403Q07CZ4 |
KOSAMATTAM FINANCE LIMITED OPT II 8.25 LOA 09JN25 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DA5 |
KOSAMATTAM FINANCE LIMITED OP III LOA 09JL25 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DB3 |
KOSAMATTAM FINANCE LIMITED OPT IV 9 LOA 09JN26 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DC1 |
KOSAMATTAM FINANCE LIMITED OP VII LOA 09JL27 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DD9 |
KOSAMATTAM FINANCE LIMITED OP VIII LOA 09MY30 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DE7 |
KOSAMATTAM FINANCE LIMITED OP V LOA 09AP26 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE403Q07DF4 |
KOSAMATTAM FINANCE LIMITED OPT VI 9.5 LOA 09JN27 FVRS1000 | KOSAMATTAM FINANCE LIMITED | DEBENTURE | Active |
INE457A16IJ6 |
BANK OF MAHARASHTRA CD 31JAN23 | BANK OF MAHARASHTRA | CERTIFICATE OF DEPOSIT | Active |
INE457A16IK4 |
BANK OF MAHARASHTRA CD 01FEB23 | BANK OF MAHARASHTRA | CERTIFICATE OF DEPOSIT | Active |
INE472A14MU9 |
BLUE STAR LIMITED 90D CP 01MAR23 | BLUE STAR LIMITED | COMMERCIAL PAPER | Active |
INE484J14PN3 |
GODREJ PROPERTIES LIMITED 94D CP 09MAR23 | GODREJ PROPERTIES LIMITED | COMMERCIAL PAPER | Active |
INE484J14PO1 |
GODREJ PROPERTIES LIMITED 89D CP 06MAR23 | GODREJ PROPERTIES LIMITED | COMMERCIAL PAPER | Active |
INE504H07130 |
ANAND RATHI FINANCIAL SERVICES LTD. SR SP08 I BR NCD 04JN28 FVRS1LAC | ANAND RATHI FINANCIAL SERVICES LTD. | DEBENTURE | Active |
INE504H07148 |
ANAND RATHI FINANCIAL SERVICES LTD. SR SP08 II BR NCD 04JN28 FVRS1LAC | ANAND RATHI FINANCIAL SERVICES LTD. | DEBENTURE | Active |
INE504H07155 |
ANAND RATHI FINANCIAL SERVICES LTD. SR SP08 III BR NCD 04JN28 FVRS1LAC | ANAND RATHI FINANCIAL SERVICES LTD. | DEBENTURE | Active |
INE523H07BW7 |
JM FINANCIAL PRODUCTS LIMITED TR DB 8.50 NCD 02JU25 FVRS10LAC | JM FINANCIAL PRODUCTS LIMITED | DEBENTURE | Active |
INE582L14GQ2 |
TATA HOUSING DEVELOPMENT COMPANY LIMITED 86D CP 23FEB23 | TATA HOUSING DEVELOPMENT COMPANY LIMITED | COMMERCIAL PAPER | Active |
INE608A16PN1 |
PUNJAB AND SIND BANK CD 31JAN23 | PUNJAB AND SIND BANK | CERTIFICATE OF DEPOSIT | Active |
INE667F14GC3 |
SUNDARAM HOME FINANCE LIMITED 188D CP 08JUN23 | SUNDARAM HOME FINANCE LIMITED | COMMERCIAL PAPER | Active |
INE700G14DR5 |
HDFC SECURITIES LIMITED 82D CP 20FEB23 | HDFC SECURITIES LIMITED | COMMERCIAL PAPER | Active |
INE732I14511 |
ANGEL ONE LIMITED 30D CP 29DEC22 | ANGEL ONE LIMITED | COMMERCIAL PAPER | Active |
INE774D14RL0 |
MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD 184D CP 02JUN23 | MAHINDRA & MAHINDRA FINANCIAL SERVICES LTD | COMMERCIAL PAPER | Active |
INE790C03010 |
PATSPIN INDIA LIMITED 0.50% PREF 31MR30 | PATSPIN INDIA LIMITED | PREFERENCE SHARES | Active |
INE945W01020 |
INCRED PRIME FINANCE LIMITED EQ NEW FV RE. 1/- | INCRED PRIME FINANCE LIMITED | EQUITY SHARES | Active |
INE945W03034 |
INCRED PRIME FINANCE LIMITED 0.001% PREF 08MY38 | INCRED PRIME FINANCE LIMITED | PREFERENCE SHARES | Active |
INE945W03042 |
INCRED PRIME FINANCE LIMITED 0.001% PREF 25AP38 | INCRED PRIME FINANCE LIMITED | PREFERENCE SHARES | Active |
INE956O03129 |
LENSKART SOLUTIONS PRIVATE LIMITED 0.001% SERIES I1 PREF 17NV37 | LENSKART SOLUTIONS PRIVATE LIMITED | PREFERENCE SHARES | Active |
INF204KC1774 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FUND XLIV SERIES 2 RG GRW13MR23 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1782 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FD XLIV SR 2 RG IDCWPYT13MR23 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1790 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FD XLIV SERIES 2 DR GRW13MR23 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1808 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FD XLIV SERIES2 DRIDCWPYT13MR23 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1816 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FUND XLIV SERIES 3 RG GRW30JU26 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1824 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FD XLIV SR 3 RG IDCWPYT30JU26 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1832 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FUND XLIV SERIES 3 DR GRW30JU26 | NIPPON INDIA MUTUAL FUND | MUTUAL FUND UNIT | Active |
INF204KC1840 |
NIPPON INDIA MUTUAL FUND FIXED HORIZON FUND XLIV SR 3 DR IDCWPYT30JU26 | NIPPON INDIA 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>IN9982X01029</code></td> <td> SATYA MICROCAPITAL LIMITED EQ PP RS.4/- </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE008A08U50</code></td> <td> IDBI BANK LIMITED 8.99 BD 13DC27 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE012I14NJ7</code></td> <td> JM FINANCIAL SERVICES LIMITED 91D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE014N07047</code></td> <td> NATIONAL COOPERATIVE DEVELOPMENT CORPORATION SR III 8.16 BD 23NV22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE01A207047</code></td> <td> JM FINANCIAL HOME LOANS LIMITED TRANCHE D 9.25 NCD 18NV22 FVRS1OLAC </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE01I507406</code></td> <td> KLM AXIVA FINVEST LIMITED SR V OPT I 10 LOA 01NV22 FVRS1000 </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE01QN01016</code></td> <td> SHRILEKHA BUSINESS CONSULTANCY PRIVATE LIMITED EQ </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE020B08DZ4</code></td> <td> REC LIMITED SR215 7.65 BD 30NV37 FVRS10LAC </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE02Q408026</code></td> <td> TATA UNISTORE LIMITED 0.01 OCD 15JL24 FVRS10000 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE053F08205</code></td> <td> INDIAN RAILWAY FINANCE CORPORATION LIMITED SR 165 7.64 BD 28NV37 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE060X01018</code></td> <td> DEV INFORMATION TECHNOLOGY LIMITED EQ </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE070A14653</code></td> <td> SHREE CEMENT LIMITED 77D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE085A14IF8</code></td> <td> CHAMBAL FERTILISERS AND CHEMICALS LIMITED 72D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE092T08EW0</code></td> <td> IDFC FIRST BANK LIMITED 8.595 NCD 12DC22 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE094H04014</code></td> <td> SPECTRUM POWER GENERATION LIMITED 0.05% PREF 11112022 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0A2407019</code></td> <td> ORIGO COMMODITIES INDIA PRIVATE LIMITED SR A 13.18 NCD 18NV22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0AV904017</code></td> <td> WEST PIONEER PROPERTIES (INDIA) PRIVATE LIMITED 8% PREF 18MR34 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0D2915015</code></td> <td> VIDYA TRUST 2020 SERIES I SERIES A PTC 11MR20 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0FDZ08056</code></td> <td> GOODWORKER TECHNOLOGIES PRIVATE LIMITED SR 5 6 LOA 02DC24 FVRS10 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0FDZ08064</code></td> <td> GOODWORKER TECHNOLOGIES PRIVATE LIMITED SR 6 6 LOA 02DC25 FVRS10 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0HNE15028</code></td> <td> CREDAVENUE CLAYMORE 03 2021 SERIES A2 PTC 31MAR21 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0IMP15016</code></td> <td> CREDAVENUE KAMARI 07 2021 SERIES A1 PTC 30JUL21 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0IQC15023</code></td> <td> NORTHERN ARC 2021 MFI FERGANA SERIES A2 PTC 02AUG21 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE0IWA14044</code></td> <td> SUN PETROCHEMICALS PRIVATE LIMITED 86D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE128M14191</code></td> <td> L&T METRO RAIL (HYDERABAD) LIMITED 56D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE140A14U10</code></td> <td> PIRAMAL ENTERPRISES LIMITED 211D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE195S08041</code></td> <td> SUNNY VIEW ESTATES PRIVATE LIMITED 11.75 NCD 13AP26 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE233A14VZ5</code></td> <td> GODREJ INDUSTRIES LIMITED 91D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE242A08544</code></td> <td> INDIAN OIL CORPORATION LIMITED SR XXV 7.44 NCD 25NV27 FVRS10LAC </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE246R07210</code></td> <td> NIIF INFRASTRUCTURE FINANCE LIMITED SR-PP-5 7.73 NCD 24NV22 FVRS10LAC </td> <td>Active</td> <td>Blocked Due To Aca</td> </tr> <tr> <td><code>INE248U14LR9</code></td> <td> IIFL WEALTH PRIME LIMITED 87D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE270B01027</code></td> <td> MAFATLAL INDUSTRIES LIMITED EQ FV RS.10/- </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE516Q08406</code></td> <td> ASIRVAD MICRO FINANCE LIMITED 11.25 NCD 25NV28 FVRS1CR </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE550X14938</code></td> <td> SHAREKHAN BNP PARIBAS FINANCIAL SERVICES LIMITED 91D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE563J14906</code></td> <td> ASTEC LIFESCIENCES LIMITED 91D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE608A16PL5</code></td> <td> PUNJAB AND SIND BANK CD 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE622E07012</code></td> <td> GAYATRI SUGARS LIMITED SR-ONE 4 NCD 13MR23 FVRS10 LOA UPTO 13MR17 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE660A07QE8</code></td> <td> SUNDARAM FINANCE LIMITED SERIES T9 7.50 NCD 07NV22 FVRS10LAC </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE667F14FW3</code></td> <td> SUNDARAM HOME FINANCE LIMITED 213D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE700G14CX5</code></td> <td> HDFC SECURITIES LIMITED 91D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE729N14GX1</code></td> <td> TVS CREDIT SERVICES LIMITED 91D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE729N14GY9</code></td> <td> TVS CREDIT SERVICES LIMITED 91D CP 23NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE763G14NB6</code></td> <td> ICICI SECURITIES LIMITED 86D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE800X08038</code></td> <td> HERO HOUSING FINANCE LIMITED SR HHFLNCD007 8.75 NCD 25NV32 FVRS1CR </td> <td>Suspended</td> <td>Active</td> </tr> <tr> <td><code>INE850D14MV8</code></td> <td> GODREJ AGROVET LIMITED 87D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE850M14BC2</code></td> <td> NORTHERN ARC CAPITAL LIMITED 91D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE860H14Y58</code></td> <td> ADITYA BIRLA FINANCE LIMITED 91D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE870H14OQ3</code></td> <td> NETWORK18 MEDIA & INVESTMENTS LTD. 87D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE871V03018</code></td> <td> JINDAL UNITED STEEL LIMITED 0.01% PREF 24OT28 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE886H14HQ3</code></td> <td> TV18 BROADCAST LIMITED 86D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE891D14VX9</code></td> <td> REDINGTON LIMITED 29D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE891K08141</code></td> <td> AXIS FINANCE LIMITED SR 9 8.06 NCD 26NV32 FVRS1CR </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE891K14LL0</code></td> <td> AXIS FINANCE LIMITED 245D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE915D07P24</code></td> <td> CITICORP FINANCE (INDIA) LIMITED TR 1 BR NCD 28NV29 FVRS10LAC </td> <td>Active</td> <td>Suspended</td> </tr> <tr> <td><code>INE929O14735</code></td> <td> RELIANCE RETAIL VENTURES LIMITED 91D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE945W14387</code></td> <td> INCRED FINANCIAL SERVICES LIMITED 184D CP 24NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INE975F14XK8</code></td> <td> KOTAK MAHINDRA INVESTMENTS LIMITED 58D CP 25NOV22 </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF109KB15T7</code></td> <td> ICICI PRUDENTIAL MUTUAL FUND VALUE FD SR 16 CUM 02MR21 </td> <td>Blocked Due To Aca</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01230</code></td> <td> HSBC MUTUAL FUND INFRASTRUCTURE EQ FD IDCWREI OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01248</code></td> <td> HSBC MUTUAL FUND INFRASTRUCTURE EQ FD IDCWPAY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01255</code></td> <td> HSBC MUTUAL FUND INFRASTRUCTURE EQ FD GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01461</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FUND INSTITUTIONAL GROWTH OPEN END </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01479</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FUND INST HALF YRLYIDCWREINVEST </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01487</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FUND INST HALF YRLYIDCWPAYOUT OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01495</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FD INST MONTHLYIDCWREINV OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01503</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FD INST MONTHLYIDCWPAYOUT OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01560</code></td> <td> HSBC MUTUAL FUND FLEXI DEBT FD REG HALF YRLY DIVIDEND PAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01917</code></td> <td> HSBC MUTUAL FUND SHORT DURATION FD REGULAR GROWTH OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01982</code></td> <td> HSBC MUTUAL FUND SHORT DURATION FD REG WEEKLYIDCWREINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01990</code></td> <td> HSBC MUTUAL FUND SHORT DURATION FD REG MTHLYIDCWPAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AA6</code></td> <td> HSBC MUTUAL FUND SHORT DURATION FD REG MTHLYIDCWREINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AG3</code></td> <td> HSBC MUTUAL FUND LOW DURATION FD INST DLYIDCWREINVEST </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AH1</code></td> <td> HSBC MUTUAL FUND LOW DURATION FD INST GROWTH OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AI9</code></td> <td> HSBC MUTUAL FUND LOW DURATION FD INST MTHLYIDCWREINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AJ7</code></td> <td> HSBC MUTUAL FUND LOW DURATION FD INST MTHLYIDCWPAY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AL3</code></td> <td> HSBC MUTUAL FUND LOW DURATION FD INST WKLYIDCWREINVEST </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AT6</code></td> <td> HSBC MUTUAL FUND SMALLCP EQUITY FUNDIDCWREINVESTMENT O </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AU4</code></td> <td> HSBC MUTUAL FUND SMALLCP EQUITY FUNDIDCWPAYOUT OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01AV2</code></td> <td> HSBC MUTUAL FUND SMALLCP EQUITY FUND - GROWTH OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01DK9</code></td> <td> HSBC MUTUAL FUND INFRASTRUCTURE EQ FD DIR GROWTH OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01DP8</code></td> <td> HSBC MUTUAL FUND SMALLCP EQUITY FUND DIRECT PLANIDCWREINV OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01DQ6</code></td> <td> HSBC MUTUAL FUND SMALLCP EQUITY FUND DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01LG0</code></td> <td> HSBC MUTUAL FUND SHORT DURATION FD REG QTYIDCWREI OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01NH4</code></td> <td> HSBC MUTUAL FUND EQ HYBRD FD DIRECT GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01NJ0</code></td> <td> HSBC MUTUAL FUND EQ HYBRD FD DIRECTIDCWREINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01NK8</code></td> <td> HSBC MUTUAL FUND EQ HYBRD FD REGULAR GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01NL6</code></td> <td> HSBC MUTUAL FUND EQ HYBRD FD RG PLIDCWPAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01NM4</code></td> <td> HSBC MUTUAL FUND EQ HYBRD FD RG PL IDCWREINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PL1</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FD DIRECT MTHLYIDCWPAY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PO5</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FUND RG PL GRWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PP2</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FUND RG PL HLFIDCWY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PQ0</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FUND RG HLFYRIDCWEIN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PR8</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FUND RG MTHIDCWEI </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01PS6</code></td> <td> HSBC MUTUAL FUND CORPORATE BOND FUND RG MTHYIDCWY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QB0</code></td> <td> HSBC MUTUAL FUND MIDCAP FUND DIRECT PLAN GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QC8</code></td> <td> HSBC MUTUAL FUND HSBC MIDCAP FUND DIRECT PLAN IDCW PAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QD6</code></td> <td> HSBC MUTUAL FUND MIDCAP FUND DIRECT PLAN IDCW REINVESTMENT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QE4</code></td> <td> HSBC MUTUAL FUND MIDCAP FUND REGULAR PLAN GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QF1</code></td> <td> HSBC MUTUAL FUND MIDCAP FUND REGULAR PLAN IDCW PAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF336L01QG9</code></td> <td> HSBC MUTUAL FUND MIDCAP FUND REGULAR PLAN IDCW REINVESTMENT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01031</code></td> <td> L & T MUTUAL FUND FLEXICAP FUND GROWTH OPEN ENDED RG GRW </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01049</code></td> <td> L & T MUTUAL FUND FLEXICAP FUND RG DIVIDENDPAYOUT OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01056</code></td> <td> L & T MUTUAL FUND FLEXICAP FD RG DIVI REINVST OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01098</code></td> <td> L & T MUTUAL FUND LRG & MIDCAP FD GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01106</code></td> <td> L & T MUTUAL FUND LRG & MIDCAP FD DIVI PAYOUT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01114</code></td> <td> L & T MUTUAL FUND LRG & MIDCAP FD DIV REINVST </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01155</code></td> <td> L & T MUTUAL FUND INDIA LARGE CAP FUND GROWTH OPTION OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01163</code></td> <td> L & T MUTUAL FUND INDIA LARGE CAP FUND DIVI PAYOUT OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF677K01171</code></td> <td> L & T MUTUAL FUND INDIA LARGE CAP FUND DIVI REINVST OPEN ENDED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01031</code></td> <td> L & T MUTUAL FUND CONSR HYB FD REG MONTHLY DIVI PAYOUT OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01049</code></td> <td> L & T MUTUAL FUND CONSR HYB FD REG MONTHLY DIV REINVST OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01056</code></td> <td> L & T MUTUAL FUND CONSR HYB FD REG CUMULATIVE OP ED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01064</code></td> <td> L & T MUTUAL FUND CONSR HYB FD REG QTRLY DIVI PAYOUT OP ED </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01A72</code></td> <td> L & T MUTUAL FUND FOCUSED EQ FD DRDVPY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01A80</code></td> <td> L & T MUTUAL FUND FOCUSED EQ FD DR DVREINVESTEMENT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01A98</code></td> <td> L & T MUTUAL FUND FOCUSED EQ FD DR GRWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01AX7</code></td> <td> L & T MUTUAL FUND ULTRA SHORTTERM INSTITU-DAILY DIV REINVST OPE </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01B06</code></td> <td> L & T MUTUAL FUND FOCUSRED EQ FD RG PL DVPY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01B14</code></td> <td> L & T MUTUAL FUND FOCUSED EQ FD RG PL GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01B22</code></td> <td> L & T MUTUAL FUND FOCUSED EQ FD RG PL DV REINVESTEMENT </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EI0</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EJ8</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND DLY DIVI REINV OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EK6</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND WKLY DIVI REINV OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EL4</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND MNTLY DIVI PAY OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EM2</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND MNTLY DIVI REINV OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01EN0</code></td> <td> L & T MUTUAL FUND OVERNIGHT FUND DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FA4</code></td> <td> L & T MUTUAL FUND FLEXICAP FUND DIRECT PLAN DIVI REINV OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FB2</code></td> <td> L & T MUTUAL FUND FLEXICAP FUND DIRECT PLAN DIVIDEND PAY OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FC0</code></td> <td> L & T MUTUAL FUND FLEXICAP FD DIRECT PLAN GROWTH OPEN END </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FP2</code></td> <td> L & T MUTUAL FUND INDIA LARGE CAP FUND DIRECT PLAN DIVI PAYOPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FQ0</code></td> <td> L & T MUTUAL FUND INDIA LARGE CAP FUND DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FS6</code></td> <td> L & T MUTUAL FUND LRG & MIDCAP FD DIRECT DIVI PAY </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01FT4</code></td> <td> L & T MUTUAL FUND LRG & MIDCAP FD DIRECT GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01GF1</code></td> <td> L & T MUTUAL FUND CONSR HYB FD DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01GH7</code></td> <td> L & T MUTUAL FUND CONSR HYB FD DIRECT MNTLY DIVI PAY OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01HF9</code></td> <td> L & T MUTUAL FUND LIQUID DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01HG7</code></td> <td> L & T MUTUAL FUND LIQUID DIRECT PLAN DAILY DIVI REINVEST OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01HS2</code></td> <td> L & T MUTUAL FUND ULTRA SHORT TERM FUND DIRECT PLAN GROWTH OPEN </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01JB4</code></td> <td> L & T MUTUAL FUND LIQUID SUPER INSTITUTIONAL DLY DIVI REINV </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01JG3</code></td> <td> L & T MUTUAL FUND LIQUID SUPER INSTITUTIONAL PLAN WKLY DIVI REI </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF917K01JH1</code></td> <td> L & T MUTUAL FUND LIQUID SUPER INSTITUTIONAL PLAN GROWTH </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF959L01AT5</code></td> <td> NAVI MUTUAL FUND LIQUID FD DIRECT PLAN GROWTH OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF959L01AV1</code></td> <td> NAVI MUTUAL FUND LIQUID FD REG GROWTH OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF959L01BB1</code></td> <td> NAVI MUTUAL FUND LIQUIDFD REG DAILY IDCWREI OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF959L01BD7</code></td> <td> NAVI MUTUAL FUND LIQUIDFD REG MONTHLY IDCWPY OP </td> <td>Active</td> <td>Deleted</td> </tr> <tr> <td><code>INF959L01BE5</code></td> <td> NAVI MUTUAL FUND LIQUIDFD REG MONTHLY IDCWREI OP </td> <td>Active</td> <td>Deleted</td> </tr> </tbody> </table>The following ISINs changed other fields:
@@ INE00VW08063
-Description:SKYZEN INFRABUILD PRIVATE LIMITED OCD 25MY28 FVRS10
+Description:SKYZEN INFRABUILD PRIVATE LIMITED OCD 28MY28 FVRS10
@@ INE02JQ07027
-Description:SAKET ENGINEERS PRIVATE LIMITED 17.25 NCD 28JN24 FVRS845238.09
+Description:SAKET ENGINEERS PRIVATE LIMITED 17.25 NCD 28JN24 FVRS557539.68
@@ INE03PI01014
-Description:RIASH REALTY PRIVATE LIMITED EQ
+Description:RIASH RENEWABLE MATERIALS PRIVATE LIMITED EQ
-Issuer:RIASH REALTY PRIVATE LIMITED
+Issuer:RIASH RENEWABLE MATERIALS PRIVATE LIMITED
@@ INE05Y601015
-Description:PRIMACY INDUSTRIES LIMITED EQ
+Description:PRIMACY INDUSTRIES PRIVATE LIMITED EQ
-Issuer:PRIMACY INDUSTRIES LIMITED
+Issuer:PRIMACY INDUSTRIES PRIVATE LIMITED
@@ INE05Y607012
-Description:PRIMACY INDUSTRIES LIMITED 1 OCD 31MR28 FVRS1LAC
+Description:PRIMACY INDUSTRIES PRIVATE LIMITED 1 OCD 31MR28 FVRS1LAC
-Issuer:PRIMACY INDUSTRIES LIMITED
+Issuer:PRIMACY INDUSTRIES PRIVATE LIMITED
@@ INE05Y608010
-Description:PRIMACY INDUSTRIES LIMITED 0.01 CCD 29SP26 FVRS100
+Description:PRIMACY INDUSTRIES PRIVATE LIMITED 0.01 CCD 29SP26 FVRS100
-Issuer:PRIMACY INDUSTRIES LIMITED
+Issuer:PRIMACY INDUSTRIES PRIVATE LIMITED
@@ INE05Y608028
-Description:PRIMACY INDUSTRIES LIMITED 1 CCD 30SP23 FVRS1LAC
+Description:PRIMACY INDUSTRIES PRIVATE LIMITED 1 CCD 30SP23 FVRS1LAC
-Issuer:PRIMACY INDUSTRIES LIMITED
+Issuer:PRIMACY INDUSTRIES PRIVATE LIMITED
@@ INE05Y608036
-Description:PRIMACY INDUSTRIES LIMITED SR A 0.01 CCD 12OT26 FVRS100
+Description:PRIMACY INDUSTRIES PRIVATE LIMITED SR A 0.01 CCD 12OT26 FVRS100
-Issuer:PRIMACY INDUSTRIES LIMITED
+Issuer:PRIMACY INDUSTRIES PRIVATE LIMITED
@@ INE09S408019
-Description:HIGHWAY AMENITIES DEVELOPERS PRIVATE LIMITED 12.30 NCD 25AG27 FVRS100
+Description:HIGHWAY AMENITIES DEVELOPERS PRIVATE LIMITED 12.30 NCD 30SP27 FVRS100
@@ INE559N13015
-Description:S.R.G. HOUSING FINANCE LIMITED WARRANTS 18MY24
+Description:S.R.G. HOUSING FINANCE LIMITED WARRANTS 24MY24
@@ INE908I07503
-Description:GMR ENTERPRISES PRIVATE LIMITED SR C TR II BR NCD 30SP22 FVRS10LAC
+Description:GMR ENTERPRISES PRIVATE LIMITED SR C TR II BR NCD 30NV22 FVRS10LAC
@@ INE966H07016
-Description:ZEE MEDIA CORPORATION LIMITED 9 NCD 31JL25 FVRS716500
+Description:ZEE MEDIA CORPORATION LIMITED 9 NCD 31JL25 FVRS673000
Notes
Files
captn3m0/india-isin-data-v2022.11.29.zip
Files
(2.6 MB)
| Name | Size | Download all |
|---|---|---|
|
md5:af14baef59bc1582bcf1809460f35313
|
2.6 MB | Preview Download |
Additional details
Related works
- Is supplement to
- https://github.com/captn3m0/india-isin-data/tree/v2022.11.29 (URL)