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Name of Lender Facility/Instrument Amount (Rs. Crore)
Axis Bank Limited Letter of Credit 40
Axis Bank Limited Cash Credit 35
Axis Bank Limited Working Capital Facilities 351
Axis Bank Limited Working Capital Facilities 352
Axis Bank Limited Standby Line of Credit 403
Axis Bank Limited Standby Line of Credit 23
Axis Bank Limited Bank Guarantee 403
Citibank N.A. Working Capital Facilities 704
CSB Bank Limited Letter of Credit 50
CSB Bank Limited Working Capital Facilities 505
CSB Bank Limited Bank Guarantee 50
CSB Bank Limited Foreign Bank Guarantee 50
CSB Bank Limited Working Capital Term Loan 503
DBS Bank India Limited Letter of Credit 35
DBS Bank India Limited Cash Credit 33
DBS Bank India Limited Working Capital Term Loan 53
DBS Bank India Limited Working Capital Facilities 206
DBS Bank India Limited Bank Guarantee 253
DBS Bank India Limited Working Capital Facilities 307
HDFC Bank Limited Cash Credit 50
HDFC Bank Limited Letter of Credit 30
HDFC Bank Limited Working Capital Facilities 208
HDFC Bank Limited Buyer’s Credit 153
HDFC Bank Limited Working Capital Term Loan 503
HSBC Limited Working Capital Facilities 304
ICICI Bank Limited Letter of Credit 65
ICICI Bank Limited Cash Credit 10
ICICI Bank Limited Working Capital Term Loan 103
IDBI Bank Limited Letter of Credit 17
IDBI Bank Limited Working Capital Term Loan 3
IDBI Bank Limited Cash Credit 1.23
IDBI Bank Limited Bank Guarantee 173
IDBI Bank Limited Working Capital Facilities 179
IDFC FIRST Bank Limited Working Capital Facilities 704
IndusInd Bank Limited Letter of Credit 35
IndusInd Bank Limited Working Capital Term Loan 103
IndusInd Bank Limited Cash Credit 103
Kotak Mahindra Bank Limited Working Capital Term Loan 30
Kotak Mahindra Bank Limited Letter of Credit 303
RBL Bank Limited Cash Credit 30
RBL Bank Limited Letter of Credit 40
RBL Bank Limited Working Capital Facilities 53
RBL Bank Limited Standby Line of Credit 403
SBM Bank India Limited Working Capital Facilities 2510
SBM Bank India Limited Cash Credit 10
SBM Bank India Limited Working Capital Term Loan 103
SBM Bank India Limited Working Capital Facilities 1011
Standard Chartered Bank Working Capital Facilities 37.54
YES Bank Limited Letter of Credit 8012
YES Bank Limited Bank Guarantee 8013
YES Bank Limited Bank Guarantee 1014
YES Bank Limited Bank Guarantee 8015
YES Bank Limited Working Capital Facilities 5016
YES Bank Limited Working Capital Facilities 5017
YES Bank Limited Working Capital Term Loan 503
YES Bank Limited Cash Credit 503
YES Bank Limited Letter of Credit 8018
YES Bank Limited Working Capital Facilities 5019
YES Bank Limited Working Capital Facilities 5020
YES Bank Limited Working Capital Facilities 5021

*March 25, 2025
1 Sublimit (EPC/PCFC)
2 Sublimit (FBP/FBD/FBN/EBRD/PSCFC)
3 Sublimit
4 Combined Working Capital Limits
5 Sublimit (PCFC/FBN/FBD/EBD)
6 Sublimit (PCFC/PSFC)
7 Sublimit (Sales Invoice Discounting)
8 Sublimit (Export Credit)
9 Sublimit (TCBG)
10 LC/SBLC
11 Sublimit (LC/SBLC)
12 Usance
13 Sublimit (Performace)
14 Sublimit (Financial)
15 Sublimit (Shipping)
16 Sublimit (PCFC/PCINR)
17 Sublimit (PSFC/PSINR)
18 Sublimit (Sight)
19 Sublimit (Financial Bank Guarantee/SBLC)
20 Sublimit (Sales Invoice Financing)
21 Sublimit (Purchase Invoice Financing)


The details presented on this page provide an update on the names of lenders, in reference to the total credit facilities of Pon Pure Chemical India Private Limited rated by ICRA. To access the previous rating rationale: Click Here.


This update is being published as per the directions of the Reserve Bank of India (RBI) to the Credit Rating Agencies (CRAs) vide the communication [CO.DOR.ISG.No.S150/21-06-008/2021-2022] dated June 4, 2021.