N
A / Stable Secured NCD

Navi Finserv Limited

Secured, Rated, Taxable, Redeemable NCD

Browse: A rated bonds · bonds maturing in 2027

Current YTM
10.37%
Market YTM
Coupon Rate
10.30%
Per annum
Maturity Date
30 Sep 2027
1.1 Yrs to Maturity
Interest Payment
Monthly
Frequency
Face Value
₹10,000
Per Bond
Market Position
YTM (Annual)
10.37%
Live, last traded 2026-08-25
10Y G-Sec Benchmark
6.68%
Reference point, not this bond's tenor
Spread over G-Sec
+476 bps
vs 1.1Y G-Sec at 5.61%
Above the median spread for similar-tenor peers
Tenure
1.1 Years
Remaining to maturity
Price vs Yield
— Price (Clean) — Yield (YTM)
2026-08-11 2026-08-25
Cashflow Timeline
11 Sep 2026
Interest Payment
₹85.83 / Bond
11 Oct 2026
Interest Payment
₹85.83 / Bond
11 Nov 2026
Interest Payment
₹85.83 / Bond
11 Dec 2026
Interest Payment
₹85.83 / Bond
11 Jan 2027
Interest Payment
₹85.83 / Bond
11 Feb 2027
Interest Payment
₹85.83 / Bond
11 Mar 2027
Interest Payment
₹85.83 / Bond
11 Apr 2027
Interest Payment
₹85.83 / Bond
30 Sep 2027
Principal Payment
₹10,000.00 / Bond

Next 8 coupons + principal at maturity · per ₹10,000 face value

Bond Timeline
— Issue / Maturity | Coupon (projected) ● Rating action ┊ Today
Today Initial rating: A by CRISIL on 2026-07-08 Rating action: by CRISIL on 2026-06-26 Issued 2025-08-11 Matures 2027-09-30

2 rating actions on file since issue — hover a dot for detail.

Key Metrics
Coupon Rate
10.30%
YTM (Annual)
10.37%
Credit Rating
A
(CRISIL)
Remaining Tenure
1.1 Years
Advanced metrics
Modified Duration
1.03 Yrs
Macaulay Duration
1.03 Yrs
Issue Size
₹515 Cr
Minimum Investment
₹10,000
(1 Bond)
Market Characteristics
Modified Duration
1.03 Yrs
Price sensitivity per 1% yield move
Payment Frequency
Monthly
Last Trade
2026-08-25
BSE
Trades (30 Days)
20
Exchange-reported sessions
Security Status
Secured
No call option
Observations
  • This bond is secured.
  • 20 secondary-market trades recorded in the last 30 days.
  • Coupon is 0.30 percentage points above the median for tracked NCD bonds. (based on 18935 tracked NCD bonds with a stated coupon)
Structured Overview Data as of 8 Aug 2026
Instrument Type
NCD
Issue Date
2025-08-11
Day Count Convention
30/360
Listed Exchange
BSE
Call / Put Option
None disclosed

Issued by Navi Finserv Limited, NFL-10.30%-30-09-27-PVT is a secured, rated, ncd paying a 10.30% p.a. coupon monthly. The instrument repays principal on maturity.

Rating Action History 2 actions
DateAgencyActionRatingOutlookRationale
2026-07-08 CRISIL Initial A Stable View →
2026-06-26 CRISIL Other View →
Recent Market Prices
Trade DateClean PriceYTM (%)Trades
2026-08-25 100.4000 10.3700 4
2026-08-24 100.0600 10.7400 5
2026-08-21 100.4300 10.3500 1
2026-08-20 99.5700 11.2500 1
2026-08-19 100.6900 10.0800 3
2026-08-17 100.9100 9.8600 12
2026-08-14 102.2300 8.5400 3
2026-08-13 99.4800 11.3400 3
2026-08-12 99.4700 11.3500 1
2026-08-11 100.3300 10.4600 16
Data Coverage
DatasetRecordsDetailFreshness
Credit Ratings 1 CRISIL 2025-08-31
Rating Actions History 2 2026-07-08
Secondary-Market Trades 10 BSE 2026-08-25
Reg52(4) Payment Disclosures 0
Documents
Entity metadata
Source
bse_bonds
Last Updated
8 Aug 2026

Risk warning: This page is for informational purposes only. Bond investments carry credit risk, interest rate risk, and liquidity risk. Credit ratings reflect agency opinion at a point in time. Nothing here constitutes investment advice or a recommendation. Verify all details against the issuer's offer document and the exchange. RetailBonds.in is not a SEBI-registered intermediary. See our full disclaimer.

Frequently Asked Questions
What is the coupon rate on Navi Finserv 10.30% Sep 2027 NCD?

Navi Finserv 10.30% Sep 2027 NCD carries a coupon of 10.30%, paid monthly, on a face value of ₹10,000.

When does Navi Finserv 10.30% Sep 2027 NCD mature?

Navi Finserv 10.30% Sep 2027 NCD matures on 2027-09-30, 1.1 years from today.

What is Navi Finserv 10.30% Sep 2027 NCD rated?

Navi Finserv 10.30% Sep 2027 NCD is rated A by CRISIL. As of 2025-08-31.

Is Navi Finserv 10.30% Sep 2027 NCD secured?

Navi Finserv 10.30% Sep 2027 NCD is a secured bond.

Where does Navi Finserv 10.30% Sep 2027 NCD trade?

Navi Finserv 10.30% Sep 2027 NCD is listed on BSE.

What yield does Navi Finserv 10.30% Sep 2027 NCD currently offer?

The last recorded trade on 2026-08-25 priced Navi Finserv 10.30% Sep 2027 NCD at ₹100.40, implying a yield to maturity of 10.37%.

More Bonds from This Issuer
N
Navi Finserv 10.60% Sep 2026 NCD
A
Coupon
10.60%
Maturity
10 Sep 2026
N
Navi Finserv 10.00% Oct 2026 NCD
A
Coupon
10.00%
Maturity
30 Oct 2026
N
Navi Finserv 10.40% Nov 2026 NCD
A
Coupon
10.40%
Maturity
13 Nov 2026
1
Navi Finserv 10.25% Dec 2026 NCD
A
Coupon
10.25%
Maturity
31 Dec 2026
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