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Kbm Infrabuild Private Limited loan details

Charges taken from banks & financial institutes

Data last updated:

Amount in (₹)

Kbm Infrabuild Private Limited has 5 charges registered with the Registrar of Companies: 4 open charges worth Rs 22.39 Cr and 1 satisfied charge worth Rs 15.00 Cr. The lender named on its open charges is Yes Bank Limited. The most recent charge was created on 01 May 2025 for Rs 0.52 M and is open.

Charges Breakdown by Lending Institutions

  • Yes Bank Limited : 22.00 Cr
  • Others : 0.39 Cr

₹22.39 crore

₹15.00 crore

3

Yes Bank Limited

Satisfaction

26 May 2025

₹15.00 cr

Charge IdLenderAmountCreation DateLast Modification DateSatisfaction DateStatus
100671473 View DetailsHdfc Bank Limited₹ 15.00 09 Oct 2022-26 May 2025 Satisfied 150000000.0
101091756 View DetailsOthers₹ 0.05 01 May 2025-- Open 516270.0
100744354 View DetailsOthers₹ 0.10 17 Jun 2023-- Open 952881.0
100625439 View DetailsOthers₹ 0.24 04 Aug 2022-- Open 2425000.0
100488234 View DetailsYes Bank Limited₹ 22.00 22 Sep 202129 Nov 2022- Open 220000000.0
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Charge documents and asset details

The filed charge documents and the assets pledged under each charge are in the company report.

  • Assets and property pledged under each charge
  • Terms and conditions as filed
  • Filed charge documents where available

Verified entity values are shown only after access is granted.

A charge is a security interest a company creates over its assets in favour of a lender. An open charge is still outstanding; a satisfied charge has been repaid and closed with the Registrar. Under the Companies Act, 2013 every charge must be registered within thirty days of creation (Form CHG-1, or CHG-9 for debentures) and its satisfaction reported within thirty days of repayment (Form CHG-4). Amounts are as filed with the MCA.