Indian Railway Finance Corporation Limited - Loans (Charges)

Founded in 1986 and headquartered in Delhi, India.

1986 | Delhi, Delhi (India) | Active
Last Updated:

Indian Railway Finance Corporation Limited loan details

Charges taken from banks & financial institutes

Amount in (₹)

Charges Breakdown by Lending Institutions

  • Sbicap Trustee Company Limited : 105155.83 Cr
  • Others : 64032.00 Cr
  • Hdfc Bank Limited : 31000.00 Cr
  • State Bank Of India : 25700.00 Cr
  • Canara Bank : 11700.00 Cr
  • Others : 18191.80 Cr

₹ 255,779.63 crore

₹ 194,156.61 crore

47

Others

Creation

24 Jun 2025

₹ 1,878.00 cr

Charge IdLenderAmountCreation DateLast Modification DateSatisfaction DateStatus
100230509 View DetailsState Bank Of India 12,000.00 21 Dec 2018-12 Jun 2025 Satisfied 120000000000.0

Charges

Explore detailed charge history and access legal charge documents with a Premium subscription.

View detailed charge history
10217331 View DetailsSbicap Trustee Company Limited 600.00 15 Apr 201005 Dec 202208 May 2025 Satisfied 6000000000.0
100383071 View DetailsSbicap Trustee Company Limited 847.00 19 Mar 2020-25 Apr 2025 Satisfied 8470000000.0
100383038 View DetailsOthers 2,500.00 29 Sep 2020-24 Apr 2025 Satisfied 25000000000.0
100333500 View DetailsOthers 1,000.00 30 Mar 2020-24 Apr 2025 Satisfied 10000000000.0
100328390 View DetailsOthers 1,500.00 14 Feb 2020-24 Apr 2025 Satisfied 15000000000.0
10217334 View DetailsSbicap Trustee Company Limited 200.00 15 Apr 201005 Dec 202226 Mar 2025 Satisfied 2000000000.0
100327420 View DetailsOthers 3,000.00 14 Feb 2020-03 Mar 2025 Satisfied 30000000000.0
100672180 View DetailsOthers 4,000.00 31 Jan 2023-06 Feb 2025 Satisfied 40000000000.0
100585207 View DetailsOthers 2,000.00 27 Jun 2022-22 Jan 2025 Satisfied 20000000000.0