617
(Per cent per annum)
Sr.
Nomenclature
2000-01
2001-02
2002-03
2002
2003
No.
of the loan
Oct.
Nov.
Aug.
Sep.
1
2
3
4
5
6
7
8
9
10
11
Terminable
A)
Under 5 years
6.50% 2004
10.30
7.72
6.87
6.62
5.85
..
4.87
9.50% 2004
10.07
7.18
6.29
5.08
5.38
11.00% 2004
6.16
11.30% 2004
10.08
7.39
6.15
11.50% 2004
7.99
5.80
6.11
5.67
4.42
5.37
4.65
11.57% 2004
9.47
7.04
11.75% 2004
10.14
8.06
6.28
5.98
5.87
4.66
11.95% 2004
10.23
8.15
6.05
5.97
5.81
4.59
11.98% 2004
10.22
7.88
6.32
5.99
4.73
4.74
4.53
4.48
12.35% 2004
9.77
6.67
6.42
5.82
4.80
12.50% 2004
10.15
7.53
6.07
5.92
5.69
4.90
4.79
4.61
12
12.59% 2004
10.11
7.71
4.64
4.67
13
6.50% 2005
11.27
6.55
7.44
6.99
14
8.25% 2005
10.53
7.37
5.96
6.08
4.85
4.81
15
9.90% 2005
10.21
7.87
6.19
6.03
4.78
4.63
4.70
16
10.20% 2005
8.03
4.75
4.68
4.56
17
10.50% 2005
10.45
8.50
6.35
6.59
5.07
18
11.19% 2005
10.25
7.82
6.56
6.50
7.17
4.93
19
11.25% 2005
10.34
7.83
6.09
4.83
20
13.75% 2005
10.95
6.79
6.81
4.88
21
14.00% 2005
10.72
8.38
6.38
5.21
5.46
22
14.00% 2005 (Inst)
10.47
8.59
23
4.83% 2006
—
24
6.75% 2006
11.58
8.86
6.34
6.75
6.14
5.10
25
7.01% 2006
6.93
26
11.00% 2006
10.55
7.92
6.90
6.13
4.92
4.55
27
11.25% 2006
28
11.50% 2006
10.27
8.13
6.61
6.17
5.94
5.15
29
11.68% 2006
10.42
7.86
6.01
5.89
4.99
4.71
30
11.75% 2006
10.41
6.37
4.97
4.77
4.60
31
13.85% 2006
10.90
5.01
4.96
32
13.85% 2006 (Inst)
10.56
8.73
6.92
6.18
33
14.00% 2006
8.71
6.68
5.93
5.58
4.89
34
6.75% 2007
11.41
7.81
6.74
6.54
6.25
5.56
35
11.50% 2007
8.30
6.65
5.05
36
11.90% 2007
8.24
6.22
6.51
37
12.50% 2007
10.84
8.91
6.96
38
13.05% 2007
10.62
8.37
6.48
4.98
4.91
39
13.65% 2007
8.26
6.26
B)
Between 5 and
10 years
40
6.00% 2008
5.78
5.25
41
9.50% 2008
10.26
8.62
6.82
4.95
5.02
42
10.80% 2008
10.71
8.47
6.80
6.23
5.33
43
11.40% 2008
10.74
6.57
6.47
5.23
4.72
44
11.50% 2008
10.57
8.96
7.03
6.40
5.30
45
12.00% 2008
10.60
8.70
6.31
5.18
46
12.10% 2008
6.49
5.26
47
12.15% 2008
9.06
48
12.22% 2008
10.67
9.43
6.52
49
12.25% 2008
10.59
9.07
50
5.48% 2009
51
6.65% 2009
6.69
5.04
52
6.99% 2009
6.97
53
7.00% 2009
6.85
5.50
5.31
54
11.50% 2009
10.93
8.95
6.95
6.91
5.19
5.27
5.03
5.06
55
11.99% 2009
10.76
8.77
6.78
56
5.87% 2010
5.90
57
6.00% 2010
5.45
58
6.20% 2010
59
7.50% 2010
6.94
5.55
5.35
5.24
60
7.55% 2010
6.70
6.76
6.36
61
8.75% 2010
10.68
6.83
6.98
5.63
5.29
4.41
62
11.30% 2010
10.85
6.86
5.12
63
11.50% 2010
9.25
6.84
8.14
6.60
5.16
64
12.25% 2010
9.27
7.05
6.66
5.52
5.36
65
12.29% 2010
10.80
9.30
5.47
66
5.03% 2011
67
8.00% 2011
7.23
6.89
5.73
5.40
68
9.39% 2011
8.44
6.64
5.42
69
10.95% 2011
8.90
7.10
5.44
70
11.50% 2011
11.00
8.79
6.58
71
12.00% 2011
10.98
9.81
7.42
5.39
72
12.32% 2011
10.96
9.22
7.14
7.13
5.13
73
6.72% 2007/2012@
6.45
5.43
74
6.85% 2012
6.73
75
7.40% 2012
7.07
5.09
76
9.40% 2012
7.12
77
10.25% 2012
10.50
7.09
5.53
78
11.03% 2012
8.92
7.11
6.72
C)
Between 10 and
15 years
79
7.27% 2013
5.49
80
9.00% 2013
10.73
8.66
7.25
7.36
81
9.81% 2013
7.01
7.15
82
12.40% 2013
11.08
9.78
7.38
7.46
7.27
5.77
5.60
83
6.72% 2014
84
7.37% 2014
5.54
85
10.00% 2014
10.52
5.70
5.66
86
10.50% 2014
10.77
7.52
7.43
87
11.83% 2014
11.04
9.39
7.40
5.48
88
7.38% 2015
5.62
89
9.85% 2015
8.19
7.29
6.88
5.28
90
10.47% 2015
10.38
9.23
5.61
91
10.79% 2015
9.62
7.20
7.45
92
11.43% 2015
11.06
9.34
7.41
7.06
5.84
93
11.50% 2015
11.07
9.60
7.73
7.48
5.65
94
10.71% 2016
9.13
7.31
5.57
95
12.30% 2016
9.86
7.78
9.89
96
7.46% 2017
5.64
97
7.49% 2017
5.79
5.41
98
8.07% 2017
7.55
5.75
D)
Over 15 years
99
5.69% 2018
5.51
100
6.25% 2018
101
10.45% 2018
9.35
7.28
7.60
5.88
102
12.60% 2018
11.22
9.95
7.34
7.22
6.04
103
6.05% 2019
v
5.83
5.76
104
10.03% 2019
9.02
105
6.35% 2020
106
10.70% 2020
11.02
9.48
7.57
7.50
5.86
107
11.60% 2020
7.54
6.10
108
10.25% 2021
7.21
109
8.35% 2022
7.63
110
6.17% 2023
111
6.30% 2023
5.95
5.72
112
10.18% 2026
7.58
7.79
6.00
113
6.01% 2028
114
6.13% 2028
6.02
115
7.95% 2032
7.84
@ : GOI Securities issued with call and put options exercisable on or after 5 years from the date of issue.