S

Si Creva Capital Services 10.00% Jul 2028 NCD

Secured NCD

Si Creva Capital Services Private Limited

Secured, Taxable, Redeemable NCD

Browse: bonds maturing in 2028

Current YTM
No live YTM available
Coupon Rate
10.00%
Per annum
Maturity Date
07 Jul 2028
1.9 Yrs to Maturity
Interest Payment
Quarterly
Frequency
Face Value
₹100,000
Per Bond
Market Position
YTM (Annual) EST
~10.00%
Proxied from coupon — no live trade, not a true YTM
10Y G-Sec Benchmark
6.68%
Reference point, not this bond's tenor
Spread over G-Sec
+493 bps
vs 1.9Y G-Sec at 5.07% *
Top 25% of similar-tenor peers by spread
Tenure
1.9 Years
Remaining to maturity
Price vs Yield

Price chart data not available

Secondary market trade data is collected over time as bonds trade on BSE/NSE. Needs at least 3 trade dates.
Cashflow Timeline
7 Oct 2026
Interest Payment
₹2,500.00 / Bond
7 Jan 2027
Interest Payment
₹2,500.00 / Bond
7 Apr 2027
Interest Payment
₹2,500.00 / Bond
7 Jul 2027
Interest Payment
₹2,500.00 / Bond
7 Oct 2027
Interest Payment
₹2,500.00 / Bond
7 Jan 2028
Interest Payment
₹2,500.00 / Bond
7 Apr 2028
Interest Payment
₹2,500.00 / Bond
7 Jul 2028
Principal Payment
₹100,000.00 / Bond

Next 7 coupons + principal at maturity · per ₹100,000 face value

Bond Timeline
— Issue / Maturity | Coupon (projected) ● Rating action ┊ Today
Today Rating action: A by CRISIL on 2026-07-29 Rating action: A by CRISIL on 2026-06-25 Rating action: by CRISIL on 2026-06-16 Issued 2025-07-07 Matures 2028-07-07

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

Key Metrics
Coupon Rate
10.00%
YTM (Annual)
Credit Rating
Remaining Tenure
1.9 Years
Advanced metrics
Modified Duration
1.65 Yrs
Macaulay Duration
1.69 Yrs
Issue Size
₹150 Cr
Minimum Investment
₹100,000
(1 Bond)
Market Characteristics
Modified Duration
1.65 Yrs
Price sensitivity per 1% yield move
Payment Frequency
Quarterly
Last Trade
No recorded trades
Trades (30 Days)
0
Exchange-reported sessions
Security Status
Secured
No call option
Observations
  • This bond is secured.
  • No public credit rating is available for this bond.
  • No secondary-market trades recorded in the last 30 days.
  • Coupon is in line with the median for tracked NCD bonds. (based on 18935 tracked NCD bonds with a stated coupon)
Structured Overview Data as of 16 Jul 2026
Instrument Type
NCD
Issue Date
2025-07-07
Day Count Convention
30/360
Listed Exchange
UNLISTED
Call / Put Option
None disclosed

Issued by Si Creva Capital Services Private Limited, 10% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE SERIES 1A DATE OF MATURITY 07/07/2028 is a secured, ncd paying a 10.00% p.a. coupon quarterly. The instrument repays principal on maturity.

Rating Action History 3 actions
DateAgencyActionRatingOutlookRationale
2026-07-29 CRISIL Other A View →
2026-06-25 CRISIL Other A View →
2026-06-16 CRISIL Other View →
Data Coverage
DatasetRecordsDetailFreshness
Credit Ratings 0
Rating Actions History 3 2026-07-29
Secondary-Market Trades 0
Reg52(4) Payment Disclosures 0
  • No public credit rating on file for this bond.
  • No secondary-market trades recorded — YTM figures use the coupon rate as a proxy.
Documents
Entity metadata
Source
nsdl_master_promoted
Last Updated
16 Jul 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.

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Maturity
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Maturity
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Coupon
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Maturity
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Coupon
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Maturity
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