Keertana-Finserv (40)
| Date | Circular | Tags | |||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
BSE lists new non-convertible debentures of Keertana Finserv Limited worth Rs. 50 crore on private placement basis with 11.40% interest rate … | |||||||||||||||
BSE lists new non-convertible debentures of Keertana Finserv Limited worth Rs. 50 crore on private placement basis with 11.40% interest rate maturing in October 2027.
| |||||||||||||||
BSE announces listing and admission to dealings of new debt securities (Scrip Code: 977241) issued by Keertana Finserv Limited on private … | |||||||||||||||
BSE announces listing and admission to dealings of new debt securities (Scrip Code: 977241) issued by Keertana Finserv Limited on private placement basis, effective November 27, 2025.
| |||||||||||||||
BSE announces listing of 50,000 non-convertible debentures of Keertana Finserv Limited (11.40% interest rate, maturity October 2027) on the … | |||||||||||||||
BSE announces listing of 50,000 non-convertible debentures of Keertana Finserv Limited (11.40% interest rate, maturity October 2027) on the Debt segment effective November 27, 2025.
| |||||||||||||||
KEERTANA FINSERV LIMITED has fixed record date for part redemption of debentures and interest payment, with reduced face value effective … | |||||||||||||||
KEERTANA FINSERV LIMITED has fixed record date for part redemption of debentures and interest payment, with reduced face value effective December 8, 2025.
| |||||||||||||||
BSE announces listing of 7,000 units of 11.20% non-convertible debentures issued by Keertana Finserv Limited on private placement basis, … | |||||||||||||||
BSE announces listing of 7,000 units of 11.20% non-convertible debentures issued by Keertana Finserv Limited on private placement basis, effective November 20, 2025.
| |||||||||||||||
BSE announces listing of new debt securities (11.20% NCDs) of Keertana Finserv Limited issued on private placement basis, effective November … | |||||||||||||||
BSE announces listing of new debt securities (11.20% NCDs) of Keertana Finserv Limited issued on private placement basis, effective November 20, 2025.
| |||||||||||||||
BSE announces the listing of new debt securities issued by Keertana Finserv Limited on private placement basis, effective November 13, 2025. | |||||||||||||||
BSE announces the listing of new debt securities issued by Keertana Finserv Limited on private placement basis, effective November 13, 2025.
| |||||||||||||||
BSE announces listing of 90,000 debt securities (INE0NES07246) of Keertana Finserv Limited with 11.20% interest rate, maturing on April 3, … | |||||||||||||||
BSE announces listing of 90,000 debt securities (INE0NES07246) of Keertana Finserv Limited with 11.20% interest rate, maturing on April 3, 2027.
| |||||||||||||||
BSE lists new debt securities worth Rs. 90 crore issued by Keertana Finserv Limited on private placement basis with 11.20% interest rate … | |||||||||||||||
BSE lists new debt securities worth Rs. 90 crore issued by Keertana Finserv Limited on private placement basis with 11.20% interest rate maturing in April 2027.
| |||||||||||||||
Keertana Finserv Limited has fixed record date for part redemption and interest payment on NCDs. Face value will be reduced to Rs. 6,800 per … | |||||||||||||||
Keertana Finserv Limited has fixed record date for part redemption and interest payment on NCDs. Face value will be reduced to Rs. 6,800 per debenture effective November 18, 2025.
| |||||||||||||||