ResourceNCD
InCred Financial Services NCD January 2022
Last updated August 22, 2026
This IPO News reference page covers “InCred Financial Services NCD January 2022”. The page is organized around incred financial services ncd details, incred financial services financials, incred financial services ncd promoters, incred financial services ncd objectives, incred financial services ncd rating details. IPO News presents the structured facts and tables in its own layout and wording.
Topics Covered
- InCred Financial Services NCD Details
- InCred Financial Services Financials
- InCred Financial Services NCD Promoters
- InCred Financial Services NCD Objectives
- InCred Financial Services NCD Rating Details
- InCred Financial Services NCD Not Eligible to Invest
- InCred Financial Services NCD Important Links
- About Company
- Company Address
- InCred Financial Services NCD Lead Manager
- InCred Financial Services NCD Registrar
Key Facts
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Data Tables
| Issue Size (Base) |
Rs. 125 Cr |
| Issue Size (Shelf) |
Rs. 25 Cr |
| Face Value |
₹1000 each NCD |
| Issue Price |
₹1000 per NCD |
| Market Lot |
1 NCD |
| Min Order Qty |
10 NCD |
| Min Order Amount |
₹10,000 |
| Listing at |
BSE, NSE |
| Tenor |
12 months and 1 day/24 months |
| Credit Rating |
CRISIL A |
| Series |
Series I to Series III |
| Payment Frequency |
Annual and Cumulative |
| Basis of Allotment |
First Come First Serve Basis |
| Muthoot Fincorp Financials (₹ in Cr) |
31-Mar-2021 |
31-Mar-2020 |
31-Mar-2019 |
| Total Assets |
₹2,804.53 |
₹2,232.10 |
₹1,918.45 |
| Total Income |
₹392.48 |
₹332.67 |
₹326.97 |
| Net Profit/Loss |
₹2.17 |
₹5.16 |
₹27.72 |
| # |
Issue Objects |
| 1 |
Lending and financing business in ordinary course of business including repayment and refinance of company's existing debts, and |
| Options |
Series 1 |
Series II |
Series III |
| Frequency of Interest Payment |
Cumulative |
Annually |
Annually |
| Tenor |
12 months and 1 day |
24 Months |
24 Months |
| Coupon Rate % Per Annum for NCD in Category I, II, III & IV |
NA |
9.25% per annum compounded monthly payable annually |
9.13% per annum compounded monthly payable annually |
| Effective Yield (per annum) for NCD in Category I, II, III & IV |
9.25% |
9.65% |
9.52% |
| Amount on Maturity for NCD Holders in Category I, II, III & IV |
₹1,092.75 |
₹1000 |
₹1000 |
| Maturity / Redemption Date (Months from the Deemed Date of Allotment) |
12 months and 1 day |
24 months |
50% of the face value of NCD will be redeemed on the date occurring on expiry of 12 months from the Deemed Date of Allotment and remaining 50% will be redeemed on the date occurring on expiry of 24 months from the Deemed Date of Allotment |
| Put and Call Option |
NA |
NA |
NA |
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