Tata Projects Limited - Charges

Every charge - open or closed - that lenders have registered against Tata Projects Limited, with the most recent activity at the top.

1979-02-20 Mumbai, Maharashtra Active Unlisted Active Compliant
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TP Tata Projects Limited
Open charges
3
19,151.25 cr
Closed charges
42
12,108.71 cr
Total
45
31,259.96 cr
Open vs closed
Top charge holders (by amount)
Top lenders
#LenderChargesAmount
1 Sbicap Trustee Company Limited 1 18,723.25 cr
2 State Bank Of India 3 8,088.00 cr
3 State Bank Of Hyderabad 6 2,608.74 cr
4 Others 1 423.00 cr
5 Canara Bank 5 391.50 cr
6 Indusind Bank Ltd 1 200.00 cr
7 Bank Of Baroda 2 196.49 cr
8 Indian Overseas Bank 7 150.40 cr
9 Corporation Bank 3 142.25 cr
10 State Bank Of Travancore 3 137.83 cr
All charges (45) - latest first
Charge ID Charge holder Created Modified Satisfied Amount Status
100243881 State Bank Of India 20 Feb 2019 - 27 May 2020 6,488.00 cr Closed
100164017 Others 08 Dec 2017 - - 423.00 cr Open
10555693 State Bank Of Hyderabad 21 Feb 2015 - 06 Jun 2016 1,846.58 cr Closed
10548428 State Bank Of India 02 Jan 2015 - 25 Jan 2018 850.00 cr Closed
10520609 Indian Overseas Bank 21 Jul 2014 - 28 Feb 2018 51.30 cr Closed
10507309 Indusind Bank Ltd 25 Apr 2014 - 23 Mar 2018 200.00 cr Closed
10476714 Axis Bank Limited 28 Jan 2014 - 16 Feb 2018 109.00 cr Closed
10454727 Bank Of Baroda 23 Sep 2013 - 12 Jul 2021 89.19 cr Closed
10443877 State Bank Of India 26 Jul 2013 - 03 Nov 2014 750.00 cr Closed
10246720 Bank Of Baroda 14 Oct 2010 - 17 May 2016 107.30 cr Closed
10164117 Canara Bank 05 Jun 2009 - 08 Feb 2013 275.00 cr Closed
10159567 Export-Import Bank Of India 05 May 2009 - 08 Feb 2013 10.50 cr Closed
10156636 State Bank Of Hyderabad 14 Mar 2009 - 06 Feb 2013 225.35 cr Closed
10147749 State Bank Of Travancore 25 Feb 2009 - 05 Feb 2013 134.00 cr Closed
10147895 Corporation Bank 25 Feb 2009 - 04 Feb 2013 134.44 cr Closed
10123985 State Bank Of Hyderabad 15 Sep 2008 - 06 Feb 2013 484.75 cr Closed
10118849 Canara Bank 31 Jul 2008 - 08 Feb 2013 52.00 cr Closed
10107695 Bnp Paribas 30 Oct 2007 - 23 Feb 2013 18.00 cr Closed
10027985 State Bank Of Hyderabad 29 Nov 2006 26 Aug 2011 28 Aug 2012 11.25 cr Closed
90164282 Indian Overseas Bank 03 Sep 2002 - 05 Feb 2013 5.00 cr Closed
90166753 Export-Import Bank Of India 23 Aug 2002 12 Feb 2003 08 Oct 2007 5.00 cr Closed
90164276 Export-Import Bank Of India 23 Aug 2002 12 Jan 2004 21 Oct 2013 5.00 cr Closed
80037045 Infrastructure Leasing And Financial Services Limited 11 Jun 2002 27 Aug 2002 25 Sep 2007 5.00 cr Closed
90164260 State Bank Of Hyderabad 11 Jun 2002 29 Mar 2010 28 Aug 2012 33.75 cr Closed
90166675 Canara Bank 23 Aug 2000 - 08 Feb 2013 62.50 cr Closed
90166588 Indian Overseas Bank 28 Aug 1998 21 Mar 1997 05 Feb 2013 19.05 cr Closed
90163418 Indian Overseas Bank 27 Aug 1996 - 05 Feb 2013 7.50 cr Closed
90166428 Canara Bank 02 Feb 1996 28 Aug 1998 08 Feb 2013 1.75 cr Closed
90163277 Indian Overseas Bank 15 Dec 1995 30 Sep 2000 05 Feb 2013 35.00 cr Closed
90166406 Canara Bank 20 Oct 1995 18 Oct 1998 08 Feb 2013 25.00 Lakh Closed
90163225 Abu Dhabi Commercial Bank 25 Sep 1995 - 14 Feb 2013 22.40 cr Closed
90163207 Indian Overseas Bank 20 Aug 1995 - 05 Feb 2013 19.05 cr Closed
90163130 Corporation Bank 23 Mar 1995 - 04 Feb 2013 20.65 Lakh Closed
90163107 Abu Dhabi Commercial Bank Ltd. 02 Mar 1995 - 14 Feb 2013 7.60 cr Closed
90165114 Corporation Bank 02 Mar 1995 - 04 Feb 2013 7.60 cr Closed
90166351 Abu Dhabi Commercial Bank Limited 02 Mar 1995 28 Aug 1995 14 Feb 2013 7.60 cr Closed
90162849 State Bank Of Hyderabad 27 Jan 1994 - 06 Feb 2013 7.06 cr Closed
90166261 State Bank Of Travancore 21 Jan 1994 - 05 Feb 2013 1.33 cr Closed
90165004 State Bank Of Travancore 20 Jul 1993 11 Jul 1994 05 Feb 2013 2.50 cr Closed
90166224 State Bank Of Tarvancore 20 Jul 1993 28 Aug 1998 05 Feb 2013 2.50 cr Closed
90166223 Indian Overseas Bank 19 Jul 1993 05 May 2004 05 Feb 2013 13.50 cr Closed
80002233 Sbicap Trustee Company Limited 19 Jul 1993 11 Oct 2022 - 18,723.25 cr Open
90166133 Sbh 10 Nov 1991 - 06 Feb 2013 75.44 Lakh Closed
90162307 Export Import Bank Of India 12 Sep 1989 - - 5.00 cr Open
90161682 Grindlays Bank 05 Oct 1982 24 Apr 1987 14 Jul 2025 15.00 Lakh Closed
Frequently Asked Questions - Charges & borrowings
What do "charges" mean for Tata Projects Limited?
Charges are registrable security interests-typically loans or credit facilities-filed with MCA against Tata Projects Limited (CIN: U45203MH1979PLC454032). 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 Tata Projects 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.