IIFL Finance Limited — Important, 24-01-2025: General Updates
24-01-2025 | 10:21 pm
24-01-2025 | 10:21 pm
IIFL Finance Limited has uploaded the pricing supplement related to USD 325 million in Senior, Secured, Fixed Rate Notes, carrying an interest of 8.75% due in 2028. This issuance is part of a larger USD 1,000 million Global Medium Term Note Programme, reflecting the company's ongoing efforts to enhance its capital base. This strategic move could offer IIFL Finance increased liquidity and flexibility in financing operations, potentially supporting growth initiatives. Investors should monitor this development as it may positively impact the company's financial stability and market position.
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