Issues, Redemptions and Total Outstanding Corporate Debt *  
Quarter Ended Type of Instruments Opening No. of instruments Outstanding Opening Outstanding Amount (Rs. in crores)  Issues during the quarter  Redemptions during the quarter  No. of Instruments Outstanding Net Outstanding Amount (Rs. in Crores)
No. of Issues (Amount in Rs. Crores) Number of Redemptions (Amount in Rs. Crores)
June-10 Fixed Rate 8844 652725.84 729 68420.80 655 24685.82 9028 696225.80
Floating Rate 929 43315.83 248 9965.85 245 14962.22 944 38325.76
Structured Notes 634 6456.27 83 579.92 137 721.53 653 6298.20
Others 909 49541.20 130 4529.64 165 875.67 903 53172.45
Total 11316 752039.14 1190 83496.21 1202 41245.24 11528 794022.20
September-10 Fixed Rate 9028 696225.80 754 63282.01 673 23485.24 9243 735433.10
Floating Rate 944 38325.76 171 5281.69 168 11574.19 950 31958.60
Structured Notes 653 6298.20 82 437.19 198 1189.40 680 5565.90
Others 903 53172.45 195 8475.32 139 1002.66 974 60866.96
Total 11528 794022.20 1202 77476.21 1178 37251.49 11847 833824.56
December-10 Fixed Rate 9243 735433.10 489 49222.03 555 25632.31 9264 759063.15
Floating Rate 950 31958.60 134 245.92 135 4510.02 955 27575.54
Structured Notes 680 5565.90 109 752.66 251 1159.54 711 5344.12
Others 974 60866.96 200 3250.99 192 3117.87 996 61530.66
Total 11847 833824.56 932 53471.60 1133 34419.74 11926 853513.47
March-11 Fixed Rate 9264 759063.15 491 49829.12 454 13029.54 9407 795418.83
Floating Rate 955 27575.54 296 2301.66 159 2460.03 1092 27292.48
Structured Notes 711 5344.12 93 1312.78 162 969.49 729 5005.31
Others 996 61530.66 76 3058.87 180 3496.75 927 61793.22
Total 11926 853513.47 956 56502.44 955 19955.80 12155 889509.85
*Based upon figures provided by NSDL and CDSL