Last Updated:

R.M.N Infrastructures Limited loan details

Charges taken from banks & financial institutes
Amount in (₹)

Charges Breakdown by Lending Institutions

  • Karnataka Bank Ltd. : 183.56 Cr
  • State Bank Of India : 34.52 Cr
  • Others : 31.79 Cr
  • Axis Bank Limited : 4.62 Cr

₹ 254.49 crore

₹ 298.80 crore

9

Sbicap Trustee Company Limited

Creation

23 Dec 2025

₹ 3.02 cr

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
100502964 View Details Others 3.45 29 Oct 2021 - 07 Jul 2025 Satisfied 34500000.0
Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
1006385483 Others ****** 01 Jun 2022 17 Aug 2022 20 Mar 2024 Satisfied
100473100 View Details Others 3.93 12 Aug 2021 - 07 Jul 2025 Satisfied 39300000.0
10308012 View Details Sbicap Trustee Company Limited 213.73 05 Aug 2011 - 16 Dec 2024 Satisfied 2137300000.0
100195457 View Details Others 5.00 15 May 2018 - 11 Jul 2024 Satisfied 50000000.0
100068398 View Details Others 5.00 22 Sep 2016 - 11 Jul 2024 Satisfied 50000000.0
10506811 View Details Srei Equipment Finance Limited 5.00 15 May 2014 - 11 Jul 2024 Satisfied 50000000.0
100294519 View Details Karnataka Bank Ltd. 3.47 18 Sep 2019 - 29 Sep 2021 Satisfied 34700000.0
100141731 View Details Karnataka Bank Ltd. 6.00 29 Sep 2017 - 29 Sep 2021 Satisfied 60000000.0
10552652 View Details Karnataka Bank Ltd. 7.50 12 Feb 2015 - 29 Sep 2021 Satisfied 75000000.0
10541706 View Details Karnataka Bank Ltd. 2.00 17 Dec 2014 - 29 Sep 2021 Satisfied 20000000.0