Long-term debt programs of Indian firms rated by CRISIL:Part II
Loan BB 14.8 Assigned Mondal Cold Storage
Term Loans BB 25.2 Assigned Morgan Stanley Mutual Fund Liquid Fund AAAf Assigned MP Chini Industries Ltd.
Cash Credit BB 403.5 Assigned Municipal Corp. of Hyderabad Bonds AAA(so) 825 Upgraded Murudeshwar Power Corporation Ltd LT Loan BB+ 180 Assigned Nashik Municipal Corp. TFBs AA(so) 170 Revised Nashik Municipal Corp.
Taxable Bond AA(so) 340 Revised NABARD Bonds AAA 250 Reaffirmed NABARD
Bonds AAA 270 Reaffirmed NABARD Bonds AAA 10000 Reaffirmed NABARD
Bonds AAA 20000 Assigned NABARD Bonds AAA 40000 Assigned NABARD
Bonds AAA 50000 Assigned NABARD Bonds AAA 140000 Reaffirmed NABARD
Bonds AAA 160000 Reaffirmed NABARD Bonds AAA 180000 Reaffirmed NABARD
Bonds AAA 200000 Reaffirmed NCDEX Corporate Credit Rating CCR AA Withdrawn Nagarjuna Construction Co. Ltd
Cash Credit AA 6000 Assigned Nagarjuna Construction Co. Ltd Buyers Credit AA 1700 Assigned Nagarjuna Construction Co. Ltd
Working Capital
Demand Loan AA 1100 Assigned Nagarjuna Construction Co. Ltd
Long Term Loan AA 500 Assigned Nahar Spinning Mills Ltd Cash Credit Limit A+ 3000 Assigned Nahar Spinning Mills Ltd
Term Loan A+ 5700 Assigned Nahar Spinning Mills Ltd Proposed LT Bk Facility A+ 70 Assigned National Cap Region Planning Board Bonds AAA 2000 Assigned National Fertilizers Ltd Cash Credit Facilities A+ 4500 Assigned National Fertilizers Ltd
Bond A+ 1180 Reaffirmed National Housing Bank Bond AAA 20000 Reaffirmed National Housing Bank
Bond AAA 40000 Reaffirmed National Housing Bank LT Bank Facility AAA 46880 Assigned National Housing Bank
LTB AAA 100000 Reaffirmed National Housing Bank Proposed LT Bank Facility AAA 8120 Assigned National Hydroelectric Power Corp. Bonds AA+ 10000 Revised National Hydroelectric Power Corp. Bonds AA+ 5000 Revised National Insurance Co. Ltd
Financial Strength Rating AAA Assigned Naveen Hotels Ltd LT Loan BB+ 500 Assigned Nav Durga Fuels Pvt Ltd
Cash credit C 106.2 Assigned Nav Durga Fuels Pvt Ltd Term loan C
458.3 Assigned NCDEX Corporate Credit Rating AA Assigned NELCO
Cash Credit Limits A
292.4 Assigned NELCO Proposed LT Bk Borrowings A 47.1 Assigned NELCO
Long Term Loan A
220.5 Assigned Nestle India Ltd LTD
AAA 500 Assigned Netafim Irrigation India Private Ltd Cash Credit Limit A+
850 Assigned Netafim Irrigation India Private Ltd Bill Discounting A+ 50 Assigned Netafim Irrigation India Private Ltd Term Loan A+
30 Assigned Neyveli Lignite Corp. Ltd Bonds
AAA 27000 Reaffirmed Neyveli Lignite Corp. Ltd Bonds AAA
5000 Reaffirmed NIIT Technologies Cash Credit limits AA 400 Assigned NIIT Technologies NCD AA
500 Reaffirmed NTPC Ltd Bank Loan AAA 244490 Reaffirmed NTPC Ltd Bond AAA
10000 Assigned NTPC Ltd Bond AAA 15000 Reaffirmed NTPC Ltd Bond(Series XII) AAA
5000 Reaffirmed NTPC Ltd Bond(Series XIII) AAA 15000 Reaffirmed NTPC Ltd Bond(Series XIV) AAA
5000 Reaffirmed NTPC Ltd Bond(Series XVIII) AAA 5000 Reaffirmed NTPC Ltd Bond(Series XX) AAA
5000 Reaffirmed NTPC Ltd Bond(Series XXI) AAA 10000 Reaffirmed NTPC-Sail Power Company Term Loan AA- 6480.5 Assigned NTPC-Sail Power Company
Proposed Longterm Bk Loan AA- 17914.5 Assigned NTPC-Sail Power Company Working Cap Demand Loan AA- 250 Assigned Nuclear Power Corp of India Ltd
Bonds AAA 1000 Reaffirmed Nuclear Power Corp of India Ltd Bonds AAA 2000 Reaffirmed Nuclear Power Corp of India Ltd Bonds AAA 3000 Reaffirmed Nuclear Power Corp of India Ltd Bonds
AAA 4000 Reaffirmed Nuclear Power Corp of India Ltd Bonds AAA 5500 Reaffirmed Nuclear Power Corp of India Ltd Bonds
AAA 7000 Reaffirmed Nuclear Power Corp of India Ltd Bonds AAA 9080 Reaffirmed Nuclear Power Corp of India Ltd Bonds
AAA 10000 Reaffirmed Nuclear Power Corp of India Ltd Term Loans AAA 52860 Assigned Oriental Bank of Commerce Subordinated Bonds AA+ 2000 Reaffirmed ---------------------------------------------------------------- ----------------------------#: Rating Watch with Developing implications @: Rating Watch with Negative Implications %: Rating under Credit Watch wd -Rating Stands Withdrawn sp -Rating Suspended CCPS-Cumulative Convertible Preference Share; CPS-convertible preference shares; DDB-Deep Discount Bond; EPBI-Exchange premium bond; FRB/FRN-Floating Rate Bond/Note; FRD-floating rate debentures; MOCD-multiple option convertible debenture; MTN-medium term notes; NCB- non-convertible bond; NCD(SO)-Non Convertible Debenture-(Structured Obligation); NCD-Non- Convertible Debenture; NCRB-Non Convertible Redeemable Bonds; NM-Not Meaningful; OCD- optionally convertible debenture;OD-Over Draft; OFCD-Optionally Fully Convertible Debenture; PCD-Partially Convertible Debenture; PCN-partly convertible notes; POCD-partly optional convertible debentures; PP-privately placed; PS-Preference Shares; PTC-Pass Through Certificates; RPS-Redeemable Preference Shares; SCPN-secured convertible preference notes; SDO-Structured Debt Obligation; SLR-Statutory Liquidity Ratio; SPN-secured premium notes; TB-Taxable Bond; TFB-Tax Free Bond; TOCD-triple option convertible debentures CRISIL may apply + or - signs for ratings from AA to C to reflect a comparative standing within the category. ---------------------------------------------------------------- ----------------------
© Thomson Reuters 2008 All rights reserved














