Mufin Green Finance Limited

Instrument Details

  • Type of Security: Secured, Rated, Listed, Redeemable, Non-Convertible Debentures
  • Face Value: INR 10,000 per debenture
  • Issuance Method: Private Placement
  • Total Quantity Allotted: 50,000 (Fifty Thousand) NCDs
  • Total Issue Size: ₹50,00,00,000 (Rupees Fifty Crore Only)
  • Listing Status: To be listed on BSE Limited
  • Tenure: 15 Months
  • Date of Allotment: 07 August 2026
  • Date of Maturity: 07 November 2027

Financial Terms

  • Coupon Rate: 11.00% per annum
  • Coupon Payment Frequency: Monthly
  • Principal Payment Schedule: In 14th Month and 15th Month from the date of allotment

Security Features

  • Charge Created: Hypothecation of Receivables/Book Debts
  • Special Rights/Privileges: Not Applicable
  • Default Provisions: Not Applicable for delay in payment beyond three months
  • Payment History Comments: Not Applicable

Redemption Details

Principal amount will be redeemed in the 14th and 15th months from the date of allotment.