Navi Finserv
Yield to Maturity (YTM)
10.75%
Annualised return if held to maturity · 21 May 2027
+4.6%
vs bank FD
Coupon Rate
10.6%
Paid periodically
Maturity
21 May 2027
Principal returned
Tenure
11 mo
Remaining
Min. Invest
₹10K
Min. ticket
Return
₹952
Est. pre-tax
How this yield compares
About this bond
Navi Finserv is a corporate bond issued by a company to raise debt from investors, currently offering a yield to maturity (YTM) of 10.75%. It pays a coupon of 10.6% and matures on 21 May 2027, a remaining tenure of about 11 mo. It is rated A, an adequate credit-safety grade. WintWealth lists this bond with a minimum investment of ₹10K. Compare its yield against similar bonds on RightBonds before investing.
Bond details
IssuerNavi Finserv
Credit Rating
CategoryCorporate
Coupon Rate10.6%
Yield to Maturity10.75%
Maturity Date21 May 2027
Listed onWintWealth
Minimum Investment₹10K
Return₹952
ISININE342T07569