Shalimar Corp Limited

Founded in 1988 and headquartered in Delhi, India.

1988 | New Delhi (India) | Active
Last Updated: January 04, 2025

Shalimar Corp Limited loan details

Charges taken from banks & financial institutes

Amount in (₹)

Charges Breakdown by Lending Institutions

  • Others : 830.70 Cr
  • State Bank Of India : 177.00 Cr
  • Hdfc Bank Limited : 49.82 Cr
  • Punjab & Sind Bank : 1.00 Cr

₹ 1,058.51 crore

₹ 2,179.79 crore

20;

Others

Satisfaction

28 Oct 2024

₹ 25.00 cr

Charge IdLenderAmountCreation DateLast Modification DateSatisfaction DateStatus
100565602 View DetailsState Bank Of India 25.00 31 Mar 2022-28 Oct 2024 Satisfied 250000000.0
Chrages
Charge

Charges

This information is available in our report.

View Information
100175409 View DetailsHdfc Bank Limited 0.07 28 Apr 2018-13 Jun 2024 Satisfied 700000.0
100420506 View DetailsOthers 4.95 04 Feb 2021-24 May 2024 Satisfied 49500000.0
100192671 View DetailsOthers 25.00 29 Jun 201804 Feb 202124 May 2024 Satisfied 250000000.0
100330343 View DetailsOthers 40.00 20 Feb 2020-22 May 2024 Satisfied 400000000.0
100152314 View DetailsOthers 22.65 19 Jun 2017-05 Apr 2024 Satisfied 226500000.0
100422557 View DetailsOthers 7.98 24 Feb 2021-03 Apr 2024 Satisfied 79800000.0
10487146 View DetailsOthers 230.00 05 Mar 201408 Jun 202003 Apr 2024 Satisfied 2300000000.0
100629826 View DetailsCanara Bank 58.90 22 Sep 2022-28 Mar 2024 Satisfied 589000000.0
100417739 View DetailsCanara Bank 15.00 22 Jan 2021-28 Mar 2024 Satisfied 150000000.0