Last Updated:

Shriramrathi Steels Private Limited loan details

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

Charges Breakdown by Lending Institutions

  • Indian Overseas Bank : 150.67 Cr

₹ 150.67 crore

-

1

Indian Overseas Bank

Modification

30 Dec 2013

₹ 110.42 cr

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
10346589 View Details Indian Overseas Bank 110.42 30 Mar 2012 30 Dec 2013 - Open 1104200000.0
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
10055849 View Details Indian Overseas Bank 40.25 15 May 2007 20 Jun 2011 - Open 402500000.0