Balance Sheet
St_Notes19

19   Short-term borrowings

( In Crore)

Particulars

Interest Rate

Maturity Date

For the year ended 31 March

2025

2024

     

Unsecured

Foreign currency loan, from a bank as packing credit facility against exports

3M SOFR + 25 bps

25 June 2024

834.05

INR loan, from a bank as packing credit facility against exports

1M T-bill + 43 bps

20 June 2025

800.00

800.00

834.05