Shri Ram Ready Mix Concrete Private Limited - Loans (Charges)

Founded in 2011 and headquartered in Delhi, India.

2011 | New Delhi, Delhi (India) | Active
Last Updated:

Shri Ram Ready Mix Concrete Private Limited loan details

Charges taken from banks & financial institutes

Amount in (₹)

Charges Breakdown by Lending Institutions

  • Yes Bank Limited : 7.03 Cr
  • Hdfc Bank Limited : 4.82 Cr
  • The South Indian Bank Limited : 3.00 Cr
  • Axis Bank Limited : 0.90 Cr

₹ 1,574.84 lakh

₹ 1,015.94 lakh

6

The South Indian Bank Limited

Satisfaction

25 Sep 2025

₹ 137.30 lakh

Charge IdLenderAmountCreation DateLast Modification DateSatisfaction DateStatus
100599791 View DetailsHdfc Bank Limited 137.30 06 Jul 2022-25 Sep 2025 Satisfied 13730000.0

Charges

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

View detailed charge history
100626689 View DetailsHdfc Bank Limited 59.44 19 Jul 2022-09 Sep 2025 Satisfied 5944000.0
10407962 View DetailsHdfc Bank Limited 45.00 15 Jan 2013-01 Sep 2025 Satisfied 4500000.0
100575289 View DetailsHdfc Bank Limited 131.40 08 Mar 2022-09 Jun 2025 Satisfied 13140000.0
100522324 View DetailsHdfc Bank Limited 10.00 27 Nov 2021-26 Dec 2024 Satisfied 999999.0
100102570 View DetailsOthers 121.40 16 May 2017-09 Apr 2024 Satisfied 12140000.0
100432922 View DetailsAxis Bank Limited 82.91 30 Jan 2021-12 Apr 2023 Satisfied 8291250.0
100321550 View DetailsAxis Bank Limited 64.29 27 Dec 2019-20 Mar 2023 Satisfied 6429000.0
100291314 View DetailsAxis Bank Limited 74.70 09 Sep 2019-20 Mar 2023 Satisfied 7470000.0
10550000 View DetailsOriental Bank Of Commerce 150.00 28 Dec 2014-09 Mar 2023 Satisfied 15000000.0