Corporate Bond Database

ISIN Code : INE238A08468

ISIN Description : AXIS BANK LTD#7.65% UNSEC NGR SNR TAX NCUM RTD RED NCD SR-5 PP-RD 30.01.2027

: AXIS BANK LIMITED
: TRISHUL, 3RD FLOOR OPP. SAMARTHESWAR TEMPLE NEW LAW GARDEN, ELLESBRIDGE AHMEDABAD GUJARAT INDIA 380006
:
: L65110GJ1993PLC020769
: 549300HVNWMJPOFVNI41
: Non PSU
: Banks
: Financial Services-Financial Services-Banks-Private Sector Bank
Company Secretary : MR. P J OZA
:
Name of Group CompanyCINLEINature of Relationship
Axis Asset Management Company LimitedU65991MH2009PLC189558 335800PFNSGEJ5P87E80 Subsidiary

Instrument Details

: Debentures
: AXIS BANK LTD#7.65% UNSEC NGR SNR TAX NCUM RTD RED NCD SR-5 PP-RD 30.01.2027
: AXIS BK 7.65 300127
: Unsecured
: Not Guaranteed
: Non Convertible
: Senior
: No
: 5
:
: No
: 1000000
: 7 Years ; 0 Months ; 0 Days
: NO
:
:

Issue Details

: Not Applicable
:
: Not Applicable
:
: Rated
: Private Placement
:
: 01-Jan-1901
: 01-Jan-1901
: 01-Jan-1901
: AXIS BANK LTD.(FORMERLY UTI BANK LTD.)
:
:
: SBICAP TRUSTEE COMPANY LIMITED
: 30-Jan-2020
: No
: 50,000.00
: 10,00,000.00
: 50,00,00,00,000.00
: No
: 41250000000
:

Interest Payment Details

: Fixed
: 7.65
: Simple
: Not Applicable
:
:
: Actual/Actual
: Once a Year
: 30-Jan-2021
:

Further Issuance under same ISIN

Date of AllotmentAllotment QuantityCumulative QuantityIssue Price (in Rs.)Issue Size (in Rs. Crs.)Cumulative Issue Size (in Rs. Crs.)Total amount raised(in Rs crs)Cum. Amount raised (in Rs crs)
No Data Is Available.

Credit Enhancement Details

Nature of Credit EnhancementAmount of Credit EnhancementOther details of Credit Enhancement
No Data Is Available.
: Full Redemption
: 30-Jan-2027
: 0.00
: 0.00
: 0.00
:
:
Cashflow Event Redemption Method Quantity Redeemed Redemption Premium Net Face Value Record Date Due Date Amount Payable Payment Date

Credit Rating Agency Details

CRA NameCredit RatingRating OutlookRating ActionRating WatchCredit Rating dateRecord StatusVerification Date
ICRA LimitedAAAStableReaffirm 08-Apr-2026Verified by Agency09-Apr-2026
ICRA Limited AAAStable  23-Jan-2020Verified by Agency 
CRISIL LimitedAAA   17-Jan-2020Pending for Verification by Agency 

Debenture Trustee Details

:
Debenture Trustee NameNature of IssueIssue SizeDue Date of Interest/RedemptionActual Payment DateActual Payment DetailsDefault Details
ALLBANK FINANCE LIMITED      

Exchange Details

Exchange NameListing StatusListing DateTerm SheetAnnual ReportAllotment Confirmation LetterShelf ProspectusInformation MemorandumOffer DocumentsSeries Tranches
 Listed06-02-2020 00:00:00       

Additional Information as per SEBI Circular dated June 4, 2021 Annexure 1


Additional Information from exchanges as per SEBI Circular dated June 4, 2021 Annexure II

Listing Details

Presently No Data Available

Details of Record Date

Presently No Data Available

Details of Credit Rating

Current Rating Details
Presently No Data Available

Earlier Rating Details
Presently No Data Available

Payment Status

Details of interest Payments
: INE238A08468
: 41750000000
: 3193900000
: Yearly
: 0
:
: 14/01/2023
: 30/01/2023
: 30/01/2023
: 3193900000
: 31-01-2022 00:00:00
:
Details of Redemption Payments
:
:
:
:
:
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Default History Information

Presently No Data Available

Statement showing holding of Debentures by the Public Debentureholders as on Quarter End 30-09-2026


Category of Debenture holders No. of Debenture holders No. of Bonds / Debentures held
1 Institutions (Domestic)
Mutual Funds 3 1500
Banks 1 1450
Insurance Companies 12 15700
Provident / Pension Funds 1 21500
Other - Trust 1 500
Sub-Total B(1) 18 40650
2 Institutions (Foreign)
Foreign Portfolio Investors Category I 1 250
Sub-Total B(2) 1 250
3 Central Government / State Government(s)
Sub-Total B(3) 0 0
4 Non- institutions
Bodies Corporate 2 300
Other - Trusts 2 550
Sub-Total B(4) 4 850
Total Public = 1+2+3+4 23 41750
CRA Name Rating Value Rating Date
Industry Desc

Page last updated on June 30, 2026    Dept:Operations