Precast India Infrastructures Private Limited - Charges

Every charge - open or closed - that lenders have registered against Precast India Infrastructures Private Limited, with the most recent act…

2009-12-11 Pune, Maharashtra Active Unlisted Active Compliant
PI Precast India Infrastructures Private Limited
Open charges
1
100.00 cr
Closed charges
21
81.09 cr
Total
22
181.09 cr
Open vs closed
Top charge holders (by amount)
Top lenders
#LenderChargesAmount
1 Others 1 100.00 cr
2 State Bank Of India 1 72.00 cr
3 Hdfc Bank Limited 18 8.60 cr
4 Toyota Financial Services India Limited 1 28.00 Lakh
5 Axis Bank Limited 1 21.65 Lakh
All charges (22) - latest first
Charge ID Charge holder Created Modified Satisfied Amount Status
100505688 Others 23 Nov 2021 31 Jul 2024 - 100.00 cr Open
100193690 Hdfc Bank Limited 19 Jun 2018 - 27 May 2020 29.67 Lakh Closed
100170834 Hdfc Bank Limited 08 Feb 2018 - 27 May 2020 34.50 Lakh Closed
100191647 Hdfc Bank Limited 30 Jan 2018 - 12 Feb 2019 8.20 Lakh Closed
100112615 Hdfc Bank Limited 06 Jun 2017 - 27 May 2020 27.00 Lakh Closed
100102727 Hdfc Bank Limited 26 May 2017 - 27 May 2020 25.85 Lakh Closed
100102728 Hdfc Bank Limited 26 May 2017 - 27 May 2020 20.00 Lakh Closed
100102729 Hdfc Bank Limited 26 May 2017 - 27 May 2020 29.07 Lakh Closed
10594762 Hdfc Bank Limited 13 Dec 2014 - 18 Mar 2017 6.00 Lakh Closed
10594770 Toyota Financial Services India Limited 13 Dec 2014 - 02 Feb 2019 28.00 Lakh Closed
10518790 Hdfc Bank Limited 06 Aug 2014 - 16 Mar 2017 11.33 Lakh Closed
10483089 Axis Bank Limited 14 Feb 2014 - 08 Feb 2019 21.65 Lakh Closed
10475600 Hdfc Bank Limited 04 Feb 2014 - 18 Mar 2017 3.58 cr Closed
10475325 Hdfc Bank Limited 01 Feb 2014 - 16 Mar 2017 30.00 Lakh Closed
10470850 Hdfc Bank Limited 09 Jan 2014 - 16 Mar 2017 1.76 cr Closed
10464377 Hdfc Bank Limited 02 Dec 2013 - 16 Mar 2017 13.00 Lakh Closed
10372200 Hdfc Bank Limited 31 Jul 2012 - 16 Mar 2017 23.00 Lakh Closed
10434884 Hdfc Bank Limited 31 Jul 2012 - 16 Mar 2017 24.34 Lakh Closed
10351365 Hdfc Bank Limited 10 Apr 2012 - 16 Mar 2017 10.85 Lakh Closed
10353007 Hdfc Bank Limited 22 Mar 2012 - 16 Mar 2017 10.12 Lakh Closed
10353008 Hdfc Bank Limited 22 Mar 2012 - 16 Mar 2017 22.66 Lakh Closed
10280374 State Bank Of India 28 Mar 2011 23 Oct 2020 13 Jan 2022 72.00 cr Closed
Frequently Asked Questions - Charges & borrowings
What do "charges" mean for Precast India Infrastructures Private Limited?
Charges are registrable security interests-typically loans or credit facilities-filed with MCA against Precast India Infrastructures Private Limited (CIN: U45209PN2009PTC135144). 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 Precast India Infrastructures 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.