Treasure Tree Investments Limited 13.75% 2026 Bond

ISININE0D7Q07IR0

TREASURE TREE INVESTMENTS LIMITED SR 331 13.75 NCD 29SP26 FVRS1000

Treasure Tree Investments Limited is a corporate (non-PSU) issuer in the Other Financial Services sector. This directory lists 181 of its bonds.

Key terms

Issue date
30 Sept 2023
Interest basis
Simple
Instrument
Debentures
Mode of issue
Private Placement (non-EBP)
Sector
Other Financial Services
Issuer type
Corporate

Only disclosed values are shown. Anything not listed here is not available in our data.

What the rating means

Unrated

Our data carries no current credit rating for this bond. That does not by itself mean the bond is unsafe, but without an agency assessment, judging the issuer's repayment capacity requires your own analysis or professional advice. Treat it with extra caution. Ratings are agency opinions that can change over time, and a rating is not a guarantee of repayment.

This describes the bond's credit rating only. Interest-rate, liquidity and reinvestment risks are covered in “Before you act”.

Price, yield & cashflows

This bond pays all interest at maturity, so its value accretes over time and a yield can only be quoted against an actual purchase price. Use the calculator with a price.

1 scheduled payment through 29 Sept 2026; final payment ₹1,412 per bond.

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