Shalimar Lakecity Private Limited

Founded in 2006 and headquartered in Delhi, India.

2006 | New Delhi (India) | Active
Last Updated: December 15, 2024

Shalimar Lakecity Private Limited loan details

Charges taken from banks & financial institutes

Amount in (₹)

Charges Breakdown by Lending Institutions

  • State Bank Of India : 160.08 Cr
  • Others : 103.72 Cr
  • Hdfc Bank Limited : 4.50 Cr

₹ 268.30 crore

₹ 574.58 crore

6

Syndicate Bank

Creation

12 Sep 2024

₹ 75.08 cr

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
100832473 View Details Others 2.90 07 Dec 2023 - 14 Aug 2024 Satisfied 29000000.0
Chrages
Charge

Charges

This information is available in our report.

View Information
100455507 View Details Hdfc Bank Limited 1.60 25 Jun 2021 - 06 Jul 2024 Satisfied 16000000.0
100705973 View Details State Bank Of India 40.00 27 Mar 2023 - 21 Mar 2024 Satisfied 400000000.0
100311165 View Details Others 3.00 13 Dec 2019 - 02 Nov 2023 Satisfied 30000000.0
100311150 View Details Others 1.16 13 Dec 2019 - 11 Jul 2023 Satisfied 11600000.0
100315548 View Details Tata Capital Financial Services Limited 0.45 24 Dec 2019 - 10 Apr 2023 Satisfied 4480000.0
100422117 View Details Others 14.52 10 Feb 2021 25 Mar 2022 15 Jul 2022 Satisfied 145241249.0
100091688 View Details Others 150.00 28 Mar 2017 25 Mar 2022 15 Jul 2022 Satisfied 1500000000.0
100224039 View Details Others 0.23 25 Sep 2018 - 14 Jun 2022 Satisfied 2332000.0
100067455 View Details Others 0.08 25 Nov 2016 - 13 May 2022 Satisfied 800000.0