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Sri Kpr Infra & Projects Limited loan details

Charges taken from banks & financial institutes

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Amount in (₹)

Sri Kpr Infra & Projects Limited has 5 charges registered with the Registrar of Companies: 2 open charges worth Rs 1.05 Cr and 3 satisfied charges worth Rs 36.42 Cr. The lender named on its open charges is Hdfc Bank Limited. The most recent charge was created on 29 Sep 2025 in favour of Hdfc Bank Limited for Rs 8.00 M and is open.

Charges Breakdown by Lending Institutions

  • Hdfc Bank Limited : 0.80 Cr
  • Others : 0.25 Cr

₹1.05 crore

₹36.42 crore

3

State Bank Of India

Creation

29 Sep 2025

₹0.80 cr

Charge IdLenderAmountCreation DateLast Modification DateSatisfaction DateStatus
10187537 View DetailsState Bank Of India₹ 21.00 27 Oct 200915 May 201404 Aug 2021 Satisfied 210000000.0
10120522 View DetailsOthers₹ 15.35 23 Jul 200806 Jul 202027 Jul 2021 Satisfied 153500000.0
100054443 View DetailsState Bank Of India₹ 0.07 02 Aug 2016-05 Jun 2020 Satisfied 700000.0
101198815 View DetailsHdfc Bank Limited₹ 0.80 29 Sep 2025-- Open 8000000.0
100331030 View DetailsOthers₹ 0.25 20 Feb 2020-- Open 2500000.0
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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.