Indian Railway Finance Corporation Limited

Founded in 1986 and headquartered in Delhi, India.

1986 | Delhi (India) | Active
Last Updated: November 16, 2024

Indian Railway Finance Corporation Limited loan details

Charges taken from banks & financial institutes

Amount in (₹)

Charges Breakdown by Lending Institutions

  • Sbicap Trustee Company Limited : 104924.83 Cr
  • Others : 76532.00 Cr
  • State Bank Of India : 37700.00 Cr
  • Hdfc Bank Limited : 31000.00 Cr
  • Canara Bank : 11700.00 Cr
  • Others : 18191.80 Cr

₹ 280,048.63 crore

₹ 164,509.61 crore

47

Others

Satisfaction

11 Oct 2024

₹ 3,500.00 cr

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
100429612 View Details Others 3,500.00 12 Mar 2021 - 11 Oct 2024 Satisfied 35000000000.0
Chrages
Charge

Charges

This information is available in our report.

View Information
100396433 View Details Others 5,000.00 26 Nov 2020 - 10 Oct 2024 Satisfied 50000000000.0
100396754 View Details Others 5,000.00 26 Nov 2020 - 04 Sep 2024 Satisfied 50000000000.0
100664253 View Details Others 1,200.00 28 Dec 2022 - 20 Aug 2024 Satisfied 12000000000.0
100559449 View Details Others 3,500.00 23 Mar 2022 - 20 Aug 2024 Satisfied 35000000000.0
100489146 View Details Others 5,000.00 22 Sep 2021 - 20 Aug 2024 Satisfied 50000000000.0
10161148 View Details Sbicap Trustee Company Limited 60.00 04 Jun 2009 08 Aug 2023 25 Jun 2024 Satisfied 600000000.0
100250417 View Details Sbicap Trustee Company Limited 2,500.00 28 Feb 2019 - 10 May 2024 Satisfied 25000000000.0
10143498 View Details Sbicap Trustee Company Limited 315.00 19 Feb 2009 05 Dec 2022 10 May 2024 Satisfied 3150000000.0
10140530 View Details Sbicap Trustee Company Limited 285.00 02 Feb 2009 05 Dec 2022 10 May 2024 Satisfied 2850000000.0