
Stressed Concrete Constructions Limited - Loans (Charges)
Founded in 1963 and headquartered in Maharashtra, India.

Founded in 1963 and headquartered in Maharashtra, India.
Data last updated:
Stressed Concrete Constructions Limited has 5 charges registered with the Registrar of Companies: 5 open charges worth Rs 4.20 M. The largest open charges are held by Syndicate Bank, Bank Of India and State Bank Of India. Lenders on record include Syndicate Bank, State Bank Of India, Bank Of India. The most recent charge was created on 11 Jun 1991 in favour of Bank Of India for Rs 0.80 M and is open. A charge is a security interest a company creates over its assets in favour of a lender; an open charge is still outstanding, while a satisfied charge has been repaid and closed with the Registrar. Amounts are as filed with the MCA.
Under the Companies Act, 2013 a company must register every charge on its property or assets with the Registrar of Companies within thirty days of creating it (Form CHG-1, or CHG-9 for debentures), and report its satisfaction within thirty days of repayment (Form CHG-4). The register of charges is public, so lenders, suppliers and investors can see which assets of Stressed Concrete Constructions Limited are already pledged, to whom, and for how much. This page lists each charge with its holder, amount, status and the dates of creation, modification and satisfaction, along with the share of borrowing held by each lending institution.
βΉ42.00 lakh
-
3
Syndicate Bank
Creation
11 Jun 1991
βΉ8.00 lakh
| Charge Id | Lender | Amount | Creation Date | Last Modification Date | Satisfaction Date | Status |
|---|---|---|---|---|---|---|
| 90367073 View Details | Bank Of India | βΉ 8.00 | 11 Jun 1991 | - | - | Open |
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