Zetwerk Manufacturing Businesses Limited

Corporate

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Methodology v1.0 Download Report (PDF)
Latest Rating
A- (CRISIL)
Total Debt Outstanding
₹1,001 Cr
Across 26 instruments
Listed Bonds
26
First Issue
2024-12-24
Latest Issue
2026-03-27
Maturity Range
2026 - 2031
Observation
26 active bonds tracked from this issuer.
View details →
Coverage: High Data Quality: High Sources: NSE, BSE, SEBI, rating agencies
01 Issuer Overview
Sector
Issuer Type
Corporate
First Tracked Bond
2024-12-24
Start of this issuer's debt program timeline
  • 26 active bonds tracked from this issuer.
  • 26 of 26 tracked bonds with a stated security status are secured. (based on 26 bonds with a disclosed security status)
  • Most recent rating action: other by CRISIL on 2026-08-04.

Operating in India, Zetwerk Manufacturing Businesses Limited is classified as a corporate issuer. Bond coupons here span 10.40% - 14.75%, paid monthly. The maturity ladder spans 2026 - 2031.

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
26
Tracked by RetailBonds
Amount Tracked
₹1,001 Cr
Of bonds tracked by RetailBonds — not the issuer's total outstanding debt
Avg Coupon
11.61%
Range 10.40% - 14.75%
Avg Remaining Tenure
1.6 Yrs
Nearest maturity 2026-12
Secured
100%
26 of 26 bonds with known status
Callable
13
Of 26 bonds
Avg Spread vs G-Sec
+615 bps
Credit premium (indicative)

Maturity Profile

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

0 2026: 1 bond, ₹25 Cr tracked, avg coupon 11.25% 1 bond 2026 2027: 10 bonds, ₹455 Cr tracked, avg coupon 11.35% 10 bonds 2027 2028: 10 bonds, ₹328 Cr tracked, avg coupon 11.72% 10 bonds 2028 2029: 4 bonds, ₹123 Cr tracked, avg coupon 11.53% 4 bonds 2029 2031: 1 bond, ₹70 Cr tracked, avg coupon 13.75% 1 bond 2031

Security Type / Instrument Mix

  • NCD 26 bonds · 100% · ₹1,001 Cr tracked

Funding Evolution

■ Issued that year — Cumulative outstanding (tracked)
2024: ₹25 Cr issued 2024 2025: ₹648 Cr issued 2025 2026: ₹328 Cr issued 2026 Cumulative: ₹25 Cr Cumulative: ₹673 Cr Cumulative: ₹1,001 Cr

Based on 26 of 26 active bonds with a known issue date and issue size.

03 Credit Profile
  • A 6 bonds · 23%
  • Unrated 20 bonds · 77%
AgencyRatingOutlookBonds
CRISIL A- 6

Recent Rating Actions

2026-08-04 · CRISIL
Other
2026-06-30 · CRISIL
A
Initial · Negative
04 Outstanding Bonds View all bonds →
ISIN Bond Name Coupon Rating Maturity YTM Last Trade
INE09PO07073 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 23/12/2026 11.25% 2026-12-23
INE09PO07313 12% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 14/03/2027 12.00% 2027-03-14
INE09PO07222 12.85% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 01/04/2027 12.85% 2027-04-01
INE09PO07081 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 13/05/2027 11.25% 2027-05-13
INE09PO07123 10.40% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 04/09/2027 10.40% A- (CRISIL) 2027-09-04
INE09PO07321 10.6% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 24/09/2027 10.60% 2027-09-24
INE09PO07172 10.40% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 10/11/2027 10.40% A- (CRISIL) 2027-11-10
INE09PO07180 10.40% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE TRANCHE III DATE OF MATURITY 17/11/2027 10.40% A- (CRISIL) 2027-11-17 14.70% 2026-07-16
INE09PO07099 14.75% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 01/12/2027 14.75% 2027-12-01
INE09PO07198 10.4% SECURED RATED UNLISTED REEDEMABLE NON CONVERTIBLE DEBENTURE TRANCHE 1 DATE OF MATURITY 11/12/2027 10.40% A- (CRISIL) 2027-12-11
INE09PO07206 10.40% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE TRANCHE II DATE OF MATURITY 18/12/2027 10.40% A- (CRISIL) 2027-12-18 12.00% 2026-08-07
INE09PO07107 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE LETTER OF ALLOTMENT DATE OF MATURITY 07/01/2028 11.25% 2028-01-07
INE09PO07263 10.4% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE TRANCHE 3 DATE OF MATURITY 03/02/2028 10.40% 2028-02-03
INE09PO07289 10.4% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE TRACHE 4 DATE OF MATURITY 12/02/2028 10.40% 2028-02-12
INE09PO07131 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 11/03/2028 11.25% 2028-03-11
INE09PO07149 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 12/03/2028 11.25% 2028-03-12
INE09PO07156 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 15/03/2028 11.25% 2028-03-15
INE09PO07164 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 08/04/2028 11.25% 2028-04-08
INE09PO07214 11.25% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 10/06/2028 11.25% 2028-06-10
INE09PO07230 14.45% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 24/12/2028 14.45% A- (CRISIL) 2028-12-24
INE09PO07255 14.45% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 29/12/2028 14.45% 2028-12-29
INE09PO07248 10.5% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 08/01/2029 10.50% 2029-01-08
INE09PO07271 12.3% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE SERIES A DATE OF MATURITY 03/02/2029 12.30% 2029-02-03
INE09PO07297 12.3% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE SERIES B DATE OF MATURITY 09/02/2029 12.30% 2029-02-09
INE09PO07339 11.02% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 26/03/2029 11.02% 2029-03-26
INE09PO07305 13.75% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE TRANCHE 1 DATE OF MATURITY 31/01/2031 13.75% 2031-01-31
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)
2
Avg. Yield (Last 30 Days)
12.75%
06 Regulatory Filings
Credit Rating Rationale
07 Methodology & Data Coverage
DatasetCountFreshness
Credit Ratings (current) 6 2026-01-16
Rating Actions History 2 2026-08-04
Secondary-Market Trades 3 2026-08-07
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 Zetwerk Manufacturing Businesses Limited have?

Zetwerk Manufacturing Businesses Limited currently has 26 active bonds with coupons 10.40% - 14.75%, maturities spanning 2026 - 2031.

What is Zetwerk Manufacturing Businesses Limited's credit rating?

The most recent rating on Zetwerk Manufacturing Businesses Limited's bonds is A- (CRISIL), published by CRISIL.

Are Zetwerk Manufacturing Businesses Limited's bonds secured?

Of the 26 bonds with a disclosed security status, 26 are secured (100%) and 0 are unsecured.

When do Zetwerk Manufacturing Businesses Limited's bonds mature?

Zetwerk Manufacturing Businesses Limited's active bonds mature between 2026 - 2031; the nearest matures in 2026-12; the average tenure is 1.6 Yrs.

What is the average coupon on Zetwerk Manufacturing Businesses Limited's bonds?

The average coupon across Zetwerk Manufacturing Businesses Limited's 26 active bonds is 11.61%.

Disclaimer: This page aggregates publicly available data about Zetwerk Manufacturing Businesses 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.