Dev Structural India Private Limited - Charges

Every charge - open or closed - that lenders have registered against Dev Structural India Private Limited, with the most recent activity at …

2006-03-28 Belgaum, Karnataka Active Unlisted Active Compliant
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DS Dev Structural India Private Limited
Open charges
14
16.50 cr
Closed charges
8
7.02 cr
Total
22
23.52 cr
Open vs closed
Top charge holders (by amount)
Top lenders
#LenderChargesAmount
1 Others 11 9.96 cr
2 State Bank Of India 4 6.12 cr
3 Axis Bank Limited 3 4.87 cr
4 Hdb Financial Services Limited 3 2.36 cr
5 Yes Bank Limited 1 20.00 Lakh
All charges (22) - latest first
Charge ID Charge holder Created Modified Satisfied Amount Status
101202770 Axis Bank Limited 28 Nov 2025 - - 2.82 cr Open
101116112 Others 26 May 2025 - - 35.90 Lakh Open
101036696 Others 27 Jan 2025 19 Feb 2025 - 7.00 cr Open
100904917 Axis Bank Limited 26 Mar 2024 - - 1.07 cr Open
100845424 Axis Bank Limited 06 Nov 2023 - - 99.00 Lakh Open
100707008 Hdb Financial Services Limited 27 Mar 2023 - - 24.93 Lakh Open
100706546 Hdb Financial Services Limited 24 Mar 2023 - - 55.49 Lakh Open
100711848 State Bank Of India 23 Mar 2023 - 20 Jun 2025 6.00 Lakh Closed
100672568 Hdb Financial Services Limited 30 Dec 2022 - - 1.56 cr Open
100447075 Others 30 Mar 2021 - 15 Feb 2025 25.00 Lakh Closed
100428147 Others 27 Jan 2021 - 15 Feb 2025 20.70 Lakh Closed
100381133 Others 09 Oct 2020 - - 46.32 Lakh Open
100381132 Others 26 Sep 2020 - 12 Feb 2025 22.59 Lakh Closed
100330922 Others 13 Feb 2020 - 12 Feb 2025 21.36 Lakh Closed
100321612 Others 31 Dec 2019 - - 68.00 Lakh Open
100224575 Yes Bank Limited 29 Nov 2018 - - 20.00 Lakh Open
100142513 Others 28 Sep 2017 - - 22.50 Lakh Open
100141695 Others 14 Sep 2017 - - 17.00 Lakh Open
100141698 Others 14 Sep 2017 - - 17.00 Lakh Open
100110000 State Bank Of India 22 Jun 2017 - 20 Jun 2025 10.00 Lakh Closed
100160751 State Bank Of India 15 Mar 2014 28 Sep 2022 20 Jun 2025 3.81 cr Closed
10059325 State Bank Of India 20 Feb 2007 29 Oct 2010 20 Jun 2025 2.15 cr Closed
Frequently Asked Questions - Charges & borrowings
What do "charges" mean for Dev Structural India Private Limited?
Charges are registrable security interests-typically loans or credit facilities-filed with MCA against Dev Structural India Private Limited (CIN: U45201KA2006PTC038853). They indicate assets or undertakings pledged to lenders or charge holders.
What is the difference between open and closed charges?
Open charges are active or not yet fully discharged; closed (or satisfied) charges are recorded as settled or released. Counts and amounts on this page follow the statuses shown in the charge list.
How should I read the open vs closed amounts?
Open and closed amounts summarise registrable amounts by status for quick comparison; individual rows may show charge-specific amounts, holders, and dates for verification.
Who are the "top lenders" or charge holders?
Top lenders group charge holders by bank or institution name and approximate exposure so you can see which lenders appear most prominently for Dev Structural India Private Limited.
Where can I cross-check financial or ownership context?
Pair this Charges view with the Financial and Ownership sections on this company's V1 profile for loans in financial statements and cap table context alongside MCA charge filings.