Description
BSE lists new debt securities of Keertana Finserv Limited worth Rs. 50 crore with 11.10% interest rate for trading on debt segment.
Summary
BSE has listed new debt securities of Keertana Finserv Limited worth Rs. 50 crore on private placement basis, effective August 21, 2025. The securities carry an interest rate of 11.10% per annum with monthly interest payments and maturity date of August 19, 2027.
Key Points
- Quantity: 50,000 securities with face value of Rs. 10,000 each
- Scrip Code: 977044, Scrip ID: 111KFL27
- ISIN: INE0NES07261
- Credit Rating: IND BBB+/Stable
- Issue Price: Rs. 10,000 per security
- Date of Allotment: August 19, 2025
Security Details
- Interest Rate: 11.10% per annum
- Interest Payment: Monthly from September 19, 2025 to August 19, 2027
- Redemption Date: August 19, 2027
- Market Lot: 1
- Tick Size: 1 paise
- No Put/Call options available
Trading Requirements
- Securities will trade only in dematerialized form
- Trading permitted on BSE Debt segment
- Placement Memorandum available on BSE website
Important Dates
- Listing Date: August 21, 2025
- First Interest Payment: September 19, 2025
- Maturity Date: August 19, 2027
Impact Assessment
This is a routine debt securities listing with minimal market impact. The securities are issued on private placement basis and will provide additional investment options in the debt segment for institutional investors.
Impact Justification
Routine debt securities listing with limited market impact