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Tirupati Minerals Private Limited loan details

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

Charges Breakdown by Lending Institutions

  • Others : 123.91 Cr
  • Hdfc Bank Limited : 61.81 Cr
  • Yes Bank Limited : 50.00 Cr
  • Axis Bank Limited : 9.68 Cr
  • Hdb Financial Services Limited : 4.73 Cr

₹ 25,012.46 lakh

₹ 8,808.97 lakh

7

State Bank Of India

Satisfaction

09 Dec 2025

₹ 50.00 lakh

Charge Id Lender Amount Creation Date Last Modification Date Satisfaction Date Status
101104742 View Details Others 50.00 24 Apr 2025 - 09 Dec 2025 Satisfied 5000000.0
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
101164158 View Details Others 9.00 22 Aug 2025 - 02 Dec 2025 Satisfied 900000.0
100827587 View Details Hdb Financial Services Limited 505.00 02 Nov 2023 - 28 Nov 2025 Satisfied 50500000.0
101018369 View Details Others 25.00 16 Dec 2024 - 16 Jul 2025 Satisfied 2500000.0
101065343 View Details Others 9.86 10 Feb 2025 - 29 Apr 2025 Satisfied 986000.0
100578594 View Details State Bank Of India 5,061.00 11 Apr 2022 07 Mar 2024 29 Apr 2025 Satisfied 506100000.0
101013848 View Details Others 14.00 09 Dec 2024 - 25 Apr 2025 Satisfied 1400000.0
101015601 View Details Others 15.00 10 Oct 2024 - 25 Apr 2025 Satisfied 1500000.0
101013864 View Details Others 7.50 05 Sep 2024 - 28 Feb 2025 Satisfied 750000.0
100557711 View Details Indian Overseas Bank 100.00 15 Mar 2022 - 31 May 2023 Satisfied 10000000.0