There is a newer version of the record available.

Published November 29, 2022 | Version 2022.11.29

India ISIN Database, by Nemo

Authors/Creators

Description

<h2>Additions</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
<h2>Changes</h2>

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

If you use this dataset, please cite it as below.

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