Interests Redemptions transferred to IPEF - Investor Relations
Unclaimed Bond Interests/ Redemptions transferred to IPEF
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Unclaimed Bond Interests/ Redemptions transferred to IPEF
Unclaimed Bond Interests/ Redemptions transferred to IPEF
- Summary
ISIN Amount lying
Unclaimed in
Escrow Account
as at end of
seven years (in INR)Category (Interest/ Dividend/ Redemption amount) No. of investors Date when amount
became due for transfer to IPEFDate when
Unclaimed amount
was transferred to
IPEFAmount transferred
to IPEF
(in INR)PHY_1994 47,09,266.30 Interest 10,096 29-02-2024 28-03-2024 47,09,266.30 PHY_1994 62,47,832.50 Interest 11,107 29-02-2024 28-03-2024 62,47,832.50 PHY_1994 60,69,747.00 Interest 8,105 29-02-2024 28-03-2024 60,69,747.00 PHY_1994 42,42,374.00 Interest 7,510 29-02-2024 28-03-2024 42,42,374.00 PHY_1994 41,57,487.82 Interest 6,340 29-02-2024 28-03-2024 41,57,487.82 PHY_1994 52,71,482.00 Interest 8,964 29-02-2024 28-03-2024 52,71,482.00 PHY_1994 62,04,122.00 Interest 10,592 29-02-2024 28-03-2024 62,04,122.00 PHY_1994 56,50,744.50 Interest 10,248 29-02-2024 28-03-2024 56,50,744.50 PHY_1994 1,32,24,264.50 Interest 21,175 29-02-2024 28-03-2024 1,32,24,264.50 PHY_1994 59,91,203.00 Interest 7,000 29-02-2024 28-03-2024 59,91,203.00 PHY_1994 53,53,330.00 Interest 8,010 29-02-2024 28-03-2024 53,53,330.00 PHY_1994 76,86,059.25 Interest 11,203 29-02-2024 28-03-2024 76,86,059.25 PHY_1994 62,26,482.00 Interest 13,262 29-02-2024 28-03-2024 62,26,482.00 PHY_1994 16,92,89,040.00 Redemption 29,156 29-02-2024 28-03-2024 16,92,89,040.00 INE062A08017 1,13,641.00 Interest 45 29-02-2024 28-03-2024 1,13,641.00 INE062A08017 1,64,983.00 Interest 26 29-02-2024 28-03-2024 1,64,983.00 INE062A08017 1,95,175.00 Interest 32 29-02-2024 28-03-2024 1,95,175.00 INE062A08017 1,87,775.00 Interest 27 29-02-2024 28-03-2024 1,87,775.00 INE062A08017 1,00,825.00 Interest 24 29-02-2024 28-03-2024 1,00,825.00 INE062A08017 17,72,391.00 Redemption 25 29-02-2024 28-03-2024 17,72,391.00 INE062A08025 2,21,876.00 Interest 18 29-02-2024 28-03-2024 2,21,876.00 INE062A08025 1,95,282.00 Interest 15 29-02-2024 28-03-2024 1,95,282.00 INE062A08025 70,300.00 Interest 9 29-02-2024 28-03-2024 70,300.00 INE062A08025 27,550.00 Interest 8 29-02-2024 28-03-2024 27,550.00 INE062A08025 1,31,100.00 Interest 8 29-02-2024 28-03-2024 1,31,100.00 INE062A08025 1,86,200.00 Interest 12 29-02-2024 28-03-2024 1,86,200.00 INE062A08025 3,10,650.00 Interest 34 29-02-2024 28-03-2024 3,10,650.00 INE062A08033 1,59,359.00 Interest 400 29-02-2024 28-03-2024 1,59,359.00 INE062A08033 7,47,532.00 Interest 66 29-02-2024 28-03-2024 7,47,532.00 INE062A08033 7,55,625.00 Interest 86 29-02-2024 28-03-2024 7,55,625.00 INE062A08033 7,09,800.00 Interest 88 29-02-2024 28-03-2024 7,09,800.00 INE062A08033 6,91,275.00 Interest 89 29-02-2024 28-03-2024 6,91,275.00 INE062A08033 52,96,511.00 Redemption 43 29-02-2024 28-03-2024 52,96,511.00 INE062A08041 10,721.00 Interest 3 29-02-2024 28-03-2024 10,721.00 INE062A08041 1,21,830.00 Interest 1 29-02-2024 28-03-2024 1,21,830.00 INE062A08041 1,29,270.00 Interest 2 29-02-2024 28-03-2024 1,29,270.00 INE062A08041 1,21,830.00 Interest 1 29-02-2024 28-03-2024 1,21,830.00 INE062A08041 5,88,690.00 Interest 3 29-02-2024 28-03-2024 5,88,690.00 INE062A08041 14,26,504.00 Redemption 1 29-02-2024 28-03-2024 14,26,504.00 INE062A08058 8,58,733.00 Interest 1,213 29-02-2024 28-03-2024 8,58,733.00 INE062A08058 17,66,767.00 Interest 110 29-02-2024 28-03-2024 17,66,767.00 INE062A08058 16,85,530.00 Interest 100 29-02-2024 28-03-2024 16,85,530.00 INE062A08058 14,67,625.00 Interest 104 29-02-2024 28-03-2024 14,67,625.00 INE062A08058 16,22,845.00 Interest 90 29-02-2024 28-03-2024 16,22,845.00 INE062A08058 8,18,885.00 Interest 68 29-02-2024 28-03-2024 8,18,885.00 INE062A08058 36,20,805.00 Interest 252 29-02-2024 28-03-2024 36,20,805.00 INE062A08066 62,883.00 Interest 5 29-02-2024 28-03-2024 62,883.00 INE062A08066 2,72,160.00 Interest 1 29-02-2024 28-03-2024 2,72,160.00 INE062A08066 2,72,160.00 Interest 1 29-02-2024 28-03-2024 2,72,160.00 INE062A08066 2,72,160.00 Interest 1 29-02-2024 28-03-2024 2,72,160.00 INE062A08066 2,72,160.00 Interest 1 29-02-2024 28-03-2024 2,72,160.00 INE062A08066 2,72,160.00 Interest 1 29-02-2024 28-03-2024 2,72,160.00 INE062A08066 3,18,465.00 Interest 2 29-02-2024 28-03-2024 3,18,465.00 INE062A09049 1,49,408.00 Interest 1 29-02-2024 28-03-2024 1,49,408.00 INE062A09049 1,49,000.00 Interest 1 29-02-2024 28-03-2024 1,49,000.00 INE062A09049 1,49,000.00 Interest 1 29-02-2024 28-03-2024 1,49,000.00 INE062A09049 20,13,879.00 Redemption 1 29-02-2024 28-03-2024 20,13,879.00 INE062A09056 3,52,964.00 Interest 1 29-02-2024 28-03-2024 3,52,964.00 INE062A09056 1,49,000.00 Interest 1 29-02-2024 28-03-2024 1,49,000.00 INE062A09056 10,15,671.00 Redemption 1 29-02-2024 28-03-2024 10,15,671.00 INE062A09106 1,22,642.00 Interest 1 29-02-2024 28-03-2024 1,22,642.00 INE062A09106 1,22,307.00 Interest 1 29-02-2024 28-03-2024 1,22,307.00 INE062A09106 1,22,307.00 Interest 1 29-02-2024 28-03-2024 1,22,307.00 INE062A09148 2,04,000.00 Interest 1 29-02-2024 28-03-2024 2,04,000.00 INE062A09148 2,04,000.00 Interest 1 29-02-2024 28-03-2024 2,04,000.00 INE062A09155 1,01,000.00 Interest 1 29-02-2024 28-03-2024 1,01,000.00 INE062A09155 2,02,000.00 Interest 1 29-02-2024 28-03-2024 2,02,000.00 INE062A09221 9,05,000.00 Interest 3 29-02-2024 28-03-2024 9,05,000.00 INE062A09221 3,62,000.00 Interest 1 29-02-2024 28-03-2024 3,62,000.00 INE062A08025 9,71,850.00 Interest 32 04-05-2025 29-05-2025 9,71,850.00 INE062A08058 33,98,920.00 Interest 200 04-05-2025 29-05-2025 33,98,920.00 INE062A08066 7,41,825.00 Interest 6 04-05-2025 29-05-2025 7,41,825.00 Total 28,97,80,240.87 1,66,039 28,97,80,240.87 - Search your Unclaimed Bond Interest/Redemption amount
- Claim procedure
- Details of Nodal Officer:
- DGM (Shares & Bonds)
- State Bank of India
- Shares & Bonds Department,
- Corporate Centre, State Bank Bhavan,
- 14th Floor, Madame Cama Road,
- Nariman Point, Mumbai – 400 021
- Tel: +9 1 (22) 2274 0847 / 0848 /1431
- Email: bond.snb@sbi.co.in
Last Updated On : Saturday, 31-05-2025

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