India Infrastructure Finance Company Limited

Nbfc · Financial Services

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Methodology v1.0 Download Report (PDF)
Latest Rating
AAA (CARE)
Total Debt Outstanding
₹36,898 Cr
Across 59 instruments
Listed Bonds
59
First Issue
2012-07-27
Latest Issue
2025-07-31
Maturity Range
2026 - 2042
Observation
59 active bonds tracked from this issuer.
View details →
Coverage: High Data Quality: High Sources: NSE, BSE, SEBI, rating agencies
01 Issuer Overview
Sector
Financial Services
Issuer Type
Nbfc
First Tracked Bond
2012-07-27
Start of this issuer's debt program timeline
  • 59 active bonds tracked from this issuer.
  • 32 of 58 tracked bonds with a stated security status are secured. (based on 58 bonds with a disclosed security status)

India Infrastructure Finance Company Limited, an NBFC in the financial services sector, is tracked on RetailBonds.in. Outstanding bonds carry coupons between 6.99% - 10.00%, paid annual. Maturities on outstanding bonds fall between 2026 - 2042.

Data sourced from NSDL, BSE, NSE, and registered credit rating agencies. Verify against the issuer's offer document before transacting.

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02 Debt Profile
Outstanding Bonds
59
Tracked by RetailBonds
Amount Tracked
₹36,898 Cr
Of bonds tracked by RetailBonds — not the issuer's total outstanding debt (disclosed for 58 of 59 bonds)
Avg Coupon
7.97%
Range 6.99% - 10.00%
Avg Remaining Tenure
5.6 Yrs
Nearest maturity 2026-11
Secured
55%
32 of 58 bonds with known status
Callable
8
Of 59 bonds
Avg Spread vs G-Sec
+109 bps
Credit premium (indicative)

Maturity Profile

Active bonds maturing, by year. Bar height relative to the tallest year (10 bonds).

0 2026: 1 bond, ₹75 Cr tracked, avg coupon 7.95% 1 2026 2027: 5 bonds, ₹1,145 Cr tracked, avg coupon 7.86% 5 2027 2028: 10 bonds, ₹5,793 Cr tracked, avg coupon 8.07% 10 2028 2029: 5 bonds, ₹2,407 Cr tracked, avg coupon 8.39% 5 2029 2030: 7 bonds, ₹4,720 Cr tracked, avg coupon 7.91% 7 2030 2031: 2 bonds, ₹125 Cr tracked, avg coupon 8.64% 2 2031 2032: 4 bonds, ₹2,834 Cr tracked, avg coupon 7.22% 4 2032 2033: 7 bonds, ₹1,963 Cr tracked, avg coupon 7.96% 7 2033 2034: 7 bonds, ₹4,713 Cr tracked, avg coupon 8.02% 7 2034 2035: 1 bond, ₹2,000 Cr tracked, avg coupon 7.08% 1 2035 2037: 1 bond, ₹1,033 Cr tracked 1 2037 2038: 3 bonds, ₹5,000 Cr tracked, avg coupon 7.63% 3 2038 2039: 4 bonds, ₹5,040 Cr tracked, avg coupon 7.41% 4 2039 2042+: 2 bonds, ₹50 Cr tracked, avg coupon 10.00% 2 2042+

Security Type / Instrument Mix

  • NCD 53 bonds · 90% · ₹35,331 Cr tracked
  • Psu Bond 6 bonds · 10% · ₹1,567 Cr tracked

Funding Evolution

■ Issued that year — Cumulative outstanding (tracked)
2012: ₹1,567 Cr issued 2012 2013: ₹5,326 Cr issued 2013 2014: ₹3,925 Cr issued 2014 2016: ₹200 Cr issued 2016 2017: ₹350 Cr issued 2017 2018: ₹150 Cr issued 2018 2020: ₹3,160 Cr issued 2020 2022: ₹1,500 Cr issued 2022 2023: ₹5,500 Cr issued 2023 2024: ₹9,620 Cr issued 2024 2025: ₹5,600 Cr issued 2025 Cumulative: ₹1,567 Cr Cumulative: ₹6,893 Cr Cumulative: ₹10,818 Cr Cumulative: ₹11,018 Cr Cumulative: ₹11,368 Cr Cumulative: ₹11,518 Cr Cumulative: ₹14,678 Cr Cumulative: ₹16,178 Cr Cumulative: ₹21,678 Cr Cumulative: ₹31,298 Cr Cumulative: ₹36,898 Cr

Based on 58 of 59 active bonds with a known issue date and issue size — the rest are excluded, not assumed zero.

03 Credit Profile
  • AAA 48 bonds · 81%
  • AA 7 bonds · 12%
  • Unrated 4 bonds · 7%
AgencyRatingOutlookBonds
CARE AAA 15
ICRA AAA 13
INDIA_RATINGS AAA Stable 10
CRISIL AAA 7
INDIA_RATINGS AAA 6
BRICKWORK AAA 4
BRICKWORK AAA Stable 3
CARE AA+ 3
ICRA AA+ 3
CRISIL AAA Stable 2
ICRA AAA Stable 2
ICRA AA Stable 1

Recent Rating Actions

No rating action history available.

04 Outstanding Bonds View all bonds →
ISIN Bond Name Coupon Rating Maturity YTM Last Trade
INE691I07DW6 LTIFCL-7.95%-16-11-26-PVT 7.95% AA+ (CARE) 2026-11-16
INE691I08487 LTIFC-8.05%-4-1-27-PVT 8.05% AA+ (ICRA) 2027-01-04
INE691I08495 LTIFC-8.05%-29-1-27-PVT 8.05% AA+ (CARE) 2027-01-29
INE787H08154 IIFCL-7.47%-7-11-27-PVT 7.47% AAA (CARE) 2027-11-07
INE787H07081 IIFCL-IIIB-7.38%-15-11-27-PVT AAA (ICRA) 2027-11-15
INE787H07115 IIFCL-7.38%-IVB-21-11-27-B-PVT AAA (BRICKWORK) 2027-11-21
INE787H07149 7.36% p.a. for category I,II,III and IV. additional coupon rate of 0.50% p.a.to be paid to original allottees under category IV portion. Public Issue of Tax Free Secured Redeemable Non Convertible Bonds 2012-13 (Trache I Series II) Letter of allotment. Da 7.36% AAA (ICRA) 2028-01-22 5.19% 2026-08-24
INE787H08170 IIFCL-7.47%-20-3-28-PVT 7.47% AAA (CARE) 2028-03-20
INE787H08188 7.56% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 20/03/2028 7.56% AAA (CARE) 2028-03-20
INE787H07172 7.02% P.A. FOR CATEGORY I,II,III AND IV. ADDITIONAL COUPON RATE OF 0.50% P.A.TO BE PAID TO ORIGINAL ALLOTTEES UNDER CATEGORY IV PORTION. PUBLIC ISSUE OF TAX FREE SECURED REDEEMABLE NON CONVERTIBLE BONDS 2012-13 (TRANCHE II SERIES II) LETTER OF ALLOTMENT. 7.02% AAA (ICRA) 2028-03-26
INE787H07198 IIFCL-8.26%-VB-23-8-28-A-PVT 8.26% AAA (BRICKWORK) 2028-08-23
INE787H07214 IIFCL-8.46%-VIB-30-8-28-PVT 8.46% AAA (INDIA_RATINGS) 2028-08-30 5.25% 2026-08-12
INE787H07255 IIFCL-8.48%-VIIB-5-9-28-PVT 8.48% AAA (INDIA_RATINGS) 2028-09-05 5.05% 2026-08-11
INE691I08529 LTIFCL-9.1000%-31-10-28-PVT 9.10% AAA (INDIA_RATINGS) 2028-10-31
INE787H07289 8.38% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS 2013-14. TRANCHE I SERIES 2A. LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2028 8.38% 2028-11-12 5.24% 2026-07-06
INE787H07297 8.63% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS 2013-14. TRANCHE I SERIES 2B LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2028 8.63% AAA (ICRA) 2028-11-12 5.26% 2026-07-20
INE787H07362 8.73% (IN CASE THE BONDS ARE HELD BY CATEGORY I, II AND III INVESTORS (NON-RETAI INVESTORS) THE COUPON RATE SHALL BE REDUCED BY 25BPS) SECURED REDEEMABLE NON-CONVERTIBLE BONDS 2013-14. TRANCHE II. SERIES 2B. LETTER OF ALLOTMENT. DATE OF MATURITY 22/01/202 8.73% AAA (ICRA) 2029-01-22 5.18% 2026-08-24
INE787H07339 8.48% SECURED REDEEMABLE NON-CONVERTIBLE BONDS 2013-14. TRANCHE II. SERIES 2A. LETTER OF ALLOTMENT. DATE OF MATURITY 22/01/2029 8.48% AAA (BRICKWORK) 2029-01-22 5.25% 2026-08-05
INE787H07396 8.55% SECURED REDEEMABLE TAX FREE NON-CONVERTIBLE BONDS 2013-14. TRANCHE III. SERIES 2A. LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2029 8.55% AAA (ICRA) 2029-03-27 5.30% 2026-08-19
INE787H07420 RESET RATE SECURED REDEEMABLE TAX FREE NON-CONVERTIBLE BONDS 2013-14. TRANCHE III. SERIES 2B. LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2029 AAA (BRICKWORK) 2029-03-27 5.40% 2026-08-19
INE691I08511 LTIFCL-7.80%-13-7-29-PVT 7.80% AA+ (CARE) 2029-07-13
INE691I07EJ1 L&TIFCL-8.55%-28-01-2030-PVT 8.55% AAA (CRISIL) 2030-01-28
INE691I08537 LTIFCL-8.30%-10-6-30-PVT 8.30% AAA (CRISIL) 2030-06-10 8.00% 2026-06-25
INE691I07EO1 LIF-8.1%-28-6-30-PVT 8.10% AAA (CRISIL) 2030-06-28 7.78% 2026-08-17
INE691I08545 LIFCL-8.15%-19-7-30-PVT 8.15% AAA (CRISIL) 2030-07-19
INE787H08212 IIFCL-6.99%-31-7-30-PVT 6.99% AAA (CARE) 2030-07-31
INE691I07EU8 LTIFCL-7.66%-9-9-30-PVT 7.66% AAA (CRISIL) 2030-09-09 7.95% 2026-08-13
INE691I07EX2 LTIFCL-7.62%-30-12-30-PVT 7.62% AAA (CRISIL) 2030-12-30
INE691I08453 LTIFCL-8.65%-08-08-31-PVT 8.65% AA+ (ICRA) 2031-08-08
INE691I08461 LTIFCL--8.63%-12-08-31-PVT 8.63% AA+ (ICRA) 2031-08-12
INE787H08048 IIFCL-7.17-12-3-32-PVT 7.17% AAA (CRISIL) 2032-03-12
INE787H08196 IIFCL-7.28%-27-03-32-PVT 7.28% AAA (INDIA_RATINGS) 2032-03-27
INE787H07099 IIFCL-IIIC-7.41%-15-11-32-PVT AAA (ICRA) 2032-11-15
INE787H07123 IIFCL-7.41%-IVC-21-11-32-C-PVT AAA (ICRA) 2032-11-21
INE787H07156 7.40% p.a. for category I,II,III and IV. additional coupon rate of 0.50% p.a.to be paid to original allottees under category IV portion. Public Issue of Tax Free Secured Redeemable Non Convertible Bonds 2012-13 (Trache I Series III) Letter of allotment. D 7.40% AAA (ICRA) 2033-01-22 2026-08-25
INE787H07180 7.08% P.A. FOR CATEGORY I,II,III AND IV. ADDITIONAL COUPON RATE OF 0.50% P.A.TO BE PAID TO ORIGINAL ALLOTTEES UNDER CATEGORY IV PORTION. PUBLIC ISSUE OF TAX FREE SECURED REDEEMABLE NON CONVERTIBLE BONDS 2012-13 (TRANCHE II SERIES III) LETTER OF ALLOTMENT. 7.08% AAA (ICRA) 2033-03-26
INE787H08055 IIFCL-7.46%-31-5-33-PVT 7.46% AAA (INDIA_RATINGS) 2033-05-31
INE787H07206 IIFCL-8.19%-VC-23-8-33-B-PVT 8.19% AAA (CARE) 2033-08-23
INE787H07222 IIFCL-8.37%-VIC-30-8-33-PVT 8.37% AAA (ICRA) 2033-08-30
INE787H07305 8.50% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS 2013-14. TRANCHE I SERIES 3A LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2033 8.50% 2033-11-12
INE787H07313 8.75% SECURED REDEEMABLE NON-CONVERTIBLE TAX FREE BONDS 2013-14. TRANCHE I SERIES 3B LETTER OF ALLOTMENT. DATE OF MATURITY 12/11/2033 8.75% 2033-11-12 5.16% 2026-08-05
INE787H07347 8.66% SECURED REDEEMABLE NON-CONVERTIBLE BONDS 2013-14. TRANCHE II. SERIES 3A. LETTER OF ALLOTMENT. DATE OF MATURITY 22/01/2034 8.66% AAA (ICRA) 2034-01-22 5.15% 2026-08-17
INE787H07370 8.91% (IN CASE THE BONDS ARE HELD BY CATEGORY I, II AND III INVESTORS (NON-RETAI INVESTORS) THE COUPON RATE SHALL BE REDUCED BY 25BPS) SECURED REDEEMABLE NON-CONVERTIBLE BONDS 2013-14. TRANCHE II. SERIES 3B. LETTER OF ALLOTMENT. DATE OF MATURITY 22/01/203 8.91% AAA (CARE) 2034-01-22 2026-08-26
INE787H07438 RESET RATE SECURED REDEEMABLE TAX FREE NON-CONVERTIBLE BONDS 2013-14. TRANCHE III. SERIES 3B. LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2034 AAA (BRICKWORK) 2034-03-27 5.25% 2026-08-14
INE787H07404 8.55% SECURED REDEEMABLE TAX FREE NON-CONVERTIBLE BONDS 2013-14. TRANCHE III. SERIES 3A. LETTER OF ALLOTMENT. DATE OF MATURITY 27/03/2034 8.55% AAA (ICRA) 2034-03-27
INE787H08139 IIFCL-7.37%-2-9-34-PVT 7.37% AAA (CARE) 2034-09-02
INE787H08147 IIFCL-7.26%-7-11-34-PVT 7.26% AAA (CARE) 2034-11-07
INE787H08162 IIFCL-7.35%-20-12-34-PVT 7.35% AAA (INDIA_RATINGS) 2034-12-20
INE787H08204 7.08% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 15/05/2035 7.08% AAA (CARE) 2035-05-15
INE787H07057 IIFCL-9.41%-XA-27-7-37-A-PVT AAA (CRISIL) 2037-07-27 7.99% 2026-08-06
Compare (/) Compare Bonds

YTM and Last Trade depend on secondary-market volume — shown only for bonds with a recorded BSE/NSE trade.

05 Market Activity

Last 30 days, across all outstanding bonds from this issuer.

Traded Value (Last 30 Days)
₹0.0 Cr
Number of Trades (Last 30 Days)
54
Avg. Yield (Last 30 Days)
5.6%
06 Regulatory Filings

No regulatory filings captured yet for this issuer.

07 Methodology & Data Coverage
DatasetCountFreshness
Credit Ratings (current) 69 2026-06-28
Rating Actions History 0
Secondary-Market Trades 95 2026-08-26
Reg52(4) Payment Disclosures 0

Methodology version 1.0. See full methodology for sources and limitations.

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Frequently Asked Questions
How many active bonds does India Infrastructure Finance Company Limited have?

India Infrastructure Finance Company Limited currently has 59 active bonds with coupons 6.99% - 10.00%, maturities spanning 2026 - 2042.

What is India Infrastructure Finance Company Limited's credit rating?

The most recent rating on India Infrastructure Finance Company Limited's bonds is AAA (CARE), published by BRICKWORK, CARE, CRISIL, ICRA, INDIA_RATINGS.

Are India Infrastructure Finance Company Limited's bonds secured?

Of the 58 bonds with a disclosed security status, 32 are secured (55%) and 26 are unsecured.

When do India Infrastructure Finance Company Limited's bonds mature?

India Infrastructure Finance Company Limited's active bonds mature between 2026 - 2042; the nearest matures in 2026-11; the average tenure is 5.6 Yrs.

What is the average coupon on India Infrastructure Finance Company Limited's bonds?

The average coupon across India Infrastructure Finance Company Limited's 59 active bonds is 7.97%.

Disclaimer: This page aggregates publicly available data about India Infrastructure Finance Company Limited for informational purposes only. Ratings shown are the opinion of the issuing rating agency and are not buy/sell recommendations. RetailBonds.in does not issue its own ratings or investment advice. Verify all data against the issuer’s offer document before transacting.