Tata Capital 8.05% Feb 2033 NCD
Tata Capital Limited
Secured, Rated, Taxable, Redeemable NCD
Browse: AAA rated bonds · bonds maturing in 2033
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Secondary market trade data is collected over time as bonds trade on BSE/NSE. Needs at least 3 trade dates.Next 6 coupons + principal at maturity · per ₹1,000,000 face value
1 rating action on file since issue — hover a dot for detail.
Advanced metrics
- This bond is secured.
- No secondary-market trades recorded in the last 30 days.
- Coupon is 1.95 percentage points below the median for tracked NCD bonds. (based on 18927 tracked NCD bonds with a stated coupon)
Tata Capital Limited issued this secured, rated, ncd (8.05% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES TCFSL NCD O FY 2022-23 OPTION II DATE OF MATURITY 21/02/2033) carrying a 8.05% p.a. coupon, paid annual. It repays principal on maturity.
| Date | Agency | Action | Rating | Outlook | Rationale |
|---|---|---|---|---|---|
| 2026-07-22 | CRISIL | Initial | AAA | Stable | View → |
| Dataset | Records | Detail | Freshness |
|---|---|---|---|
| Credit Ratings | 1 | ICRA | 2023-02-09 |
| Rating Actions History | 1 | — | 2026-07-22 |
| Secondary-Market Trades | 0 | — | — |
| Reg52(4) Payment Disclosures | 0 | — | — |
- No secondary-market trades recorded — YTM figures use the coupon rate as a proxy.
Entity metadata
- Source
- nsdl_master_promoted
- Last Updated
- 16 Jul 2026
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What is the coupon rate on Tata Capital 8.05% Feb 2033 NCD?
Tata Capital 8.05% Feb 2033 NCD carries a coupon of 8.05%, paid annual, on a face value of ₹1,000,000.
When does Tata Capital 8.05% Feb 2033 NCD mature?
Tata Capital 8.05% Feb 2033 NCD matures on 2033-02-21, 6.5 years from today.
What is Tata Capital 8.05% Feb 2033 NCD rated?
Tata Capital 8.05% Feb 2033 NCD is rated AAA by ICRA. As of 2023-02-09.
Is Tata Capital 8.05% Feb 2033 NCD secured?
Tata Capital 8.05% Feb 2033 NCD is a secured bond.
Can Tata Capital 8.05% Feb 2033 NCD be called or put back early?
Tata Capital 8.05% Feb 2033 NCD is puttable -- holders may require the issuer to repurchase it on scheduled put dates.