U.p. Power Corporation Limited 9.7% 2032 Bond
ISININE540P08051
U.P. POWER CORPORATION LIMITED 9.7 BD 30MR32 FVRS50000
U.p. Power Corporation Limited is a public-sector (PSU) issuer in the Electric Utilities sector. This directory lists 21 of its bonds.
Key terms
- Issue date
- 30 Mar 2017
- Interest basis
- Simple
- Instrument
- Bonds
- Mode of issue
- Private Placement
- Series
- N.A.
- Sector
- Electric Utilities
- Issuer type
- PSU
Only disclosed values are shown. Anything not listed here is not available in our data.
Price, yield & cashflows
At face value this bond yields 9.93% to maturity. Enter the price you would pay to see the yield it implies, with the full cashflow ladder.
30 scheduled payments through 30 Mar 2032; final payment ₹52,425 per bond.
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