Last Updated:

Star Marines Pvt. Ltd. loan details

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

Charges Breakdown by Lending Institutions

  • Indian Overseas Bank : 87.17 Cr
  • Bank Of India : 42.00 Cr
  • State Bank Of India : 28.85 Cr

₹ 15,802.00 lakh

-

3

Indian Overseas Bank

Creation

18 Jun 2025

₹ 700.00 lakh

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
101120938 View Details Bank Of India 700.00 18 Jun 2025 - - Open 70000000.0
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
101113222 View Details Bank Of India 3,500.00 29 May 2025 - - Open 350000000.0
10560473 View Details State Bank Of India 2,885.00 14 Mar 2015 17 Jul 2020 - Open 288500000.0
90081304 View Details Indian Overseas Bank 8,717.00 16 Oct 2004 04 Apr 2015 - Open 871700000.0