I Ven Realty Limited
ACTIVE
ISIN: INE358I08012
Issuer Details
Issuer Name
I- VEN REALTY LIMITED
Type of Issuer
Non PSU
Sector
-
Coupon Rate
BASE RATE - REFER REMARKS%
Industry
-
Issuer nature
-
Corporate Identity Number (CIN)
U70100MH2003PLC143211
Name of the Lead Manager
-
Registrar
Link Intime India Private Li...
Name of Debenture Trustee
-
Instrument Details
Instrument name as on NSDL
EQUITY LINKED UNSECURED UNRA...
Face Value (in ₹)
100
Total Issue size( in ₹ Cr.)
168.96
Category of Instrument
-
Allotment Date
30-06-2017
Redemption Date
31-12-9999
Whether Secured or Unsecured
Unsecured
Put Option Date
-
Call Option Date
-
Seniority in Repayment
Perpetual
Security Measures
Asset Coverage
-
Asset Percentage
-
Details of Asset Cover
N.A.
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About I Ven Realty Limited bond with ISIN: INE358I08012
In the competitive landscape of fixed income securities, detailed and comprehensive information is vital for both investors and market analysts. This bond, identified by the unique ISIN INE358I08012, represents a significant financial instrument. Issued by I- VEN REALTY LIMITED, it comes with the following description: "EQUITY LINKED UNSECURED UNRATED UNLISTED REDEEMABLE NON-CONVERTIBLE DEBENTURE IN THE NATURE OF PERPETUAL BONDS. ". Although the bond is currently marked as active, its structure and historical context provide valuable insights into the world of debentures and non-convertible securities. The issuer, I- VEN REALTY LIMITED, classified as N/A, plays an essential role in the market despite some details such as sector, industry, and issuer nature not being explicitly provided. Key identifiers like the Corporate Identification Number (CIN) U70100MH2003PLC143211 further bolster its credibility. With a coupon rate of BASE RATE - REFER REMARKS, this instrument has been meticulously managed with the assistance of Link Intime India Private Limited,Mumbai and under the oversight of N/A, ensuring a strong operational framework. Examining the technical specifications, the bond’s face value is 100 with an issue size of 168.96. It was allotted on 6/30/2017 and is scheduled for redemption on 12/31/9999. Categorized under "-" and defined as Unsecured, the instrument is structured to meet specific investment objectives. Although options such as call or put are not applicable in this instance, the core attributes remain detailed and robust. A critical element in evaluating any fixed income instrument is its credit rating. No credit rating information is available for this bond. This insight helps potential investors understand that while the ratings spectrum is broad, a lower rating can indicate higher risk, prompting careful consideration before investing. The security measures add another layer of assurance. The asset cover is described as follows: N.A. – a feature that, while requiring further inquiry for complete details, underscores the issuer’s commitment to providing some level of investor protection. Furthermore, the bond is supported by several documents. There are no additional documents available for this bond. These documents serve as a reference for additional details and provide transparency to interested parties. No similar bonds are listed at this time. Such comparable instruments offer a broader perspective on market positioning and allow investors to perform benchmark analysis. This detailed description is crafted to meet rigorous content standards and to offer exhaustive insights into every facet of the bond’s structure. Investors, analysts, and researchers alike can derive substantial value from this narrative, which underscores both the instrument’s inherent characteristics and its broader market positioning. Such elaborate coverage enhances investor confidence by providing a rich, comprehensive content base. Every element from issuance details to security measures and comparative insights is meticulously presented to facilitate an informed and robust market understanding.