IOB Bonds
Menu Display
NRI Accounts
Open NRE/NRO accounts with IOB and enjoy seamless global transactions.
Find Us
-
Accessibility ToolsText ResizeTheme AdjustmentNormal ThemeDark ThemeText ResizeA+ Increase TextA Reset TextA- Decrease TextLine HeightText Spacing
-
-
-
-
- Regular SB Account
- SB Small
- BSBDA
- Basic SB Small Deposit
- IOB MACT SB
- SBDBT
- Saving Bank Rules
- SB Application Form
- SB Interest Rates
- SB-MAX
- SB-Super-Star
- IOB-Sixty-Plus-Non-Pensioner
- IOB-SB-Pensioner
- Government-and-Institutional-Savings-Account
- SB-HNI
- IOB-Freedom-Savings-Account
- Ultra-HNI-SB-Scheme
- IOB-Insta-Digital-Savings-Account
- IOB-Eco-Savings-Account
- Salary-Account
- IOB-Parivaar
- IOB-Premium-Salary-Account
- Special-Salary-Account-Central-Government-Employees
-
-
-
- Reinvestment Deposit
- IOB-Green-Deposit-Scheme
- IOB Eighty Plus TD
- Vardhan
- Floating Rate Deposits
- Motor Accident Claims Annuity Term Deposit Account- IOB MACAD
- Special Fixed Deposit (M-Q)
- Multiple Deposit Plan I & II
- IOB Saral
- IOB Suvidha
- Unfixed Deposit
- Domestic NRO NRE Retail Term Deposit Rates
- Generate TDS Certificate
- Rates at A Glance
- IOB-Non-Callable-Retail-Term-Deposit
- IOB-E-FDR-Facility-in-NSE-Platform
-
-
- Subha Gruha
- Subhagruha-Top-up-Loan
- Subhagruha-Gen-Next
- Home Improvement Scheme
- Home-Advantage-Scheme
- Mortgages - Home Decor
- Mortgages - Liquirent (Loan Against Rent Receivables)
- NRI Home Loan
- NRI Home Top Up Loan
- Reverse-Mortgage-Loan
- NRI-Gen-Next-HL
- IOB-Gharonda-2-0-PMAY-U-2-0
- Housing-Loan-ELM-U
- IOB-Easy-Plot
- IOB-HARIT-SUBHAGRUHA
- Download Forms - Regional Languages
-
-
-
-
-
-
-
-
Breadcrumb
iob_bank_iob_bonds
Last Updated:24/03/2026
IOB Bonds
- Timely Payment of Interest on Bonds INE565A08050 - 24.03.2026
- Basel-III Tier-II Bonds - Series-VI - ISIN: INE565A08068 – Issue and Allotment of Securities
- Basel-III Tier-II Bonds - Series-VI - ISIN: INE565A08068
- Debenture Trustee Agreement dated 20.11.2025
- Timely Payment 24.09.2025
- Fixation of Record Date for Payment of Coupon on 9.0802% - Basel-III Tier-II Bonds - Series-III - ISIN: INE565A08035 - (2025)
- Timely Payment of Interest on Bonds INE565A08043 - 31.03.2025
- Timely Payment of Interest on Bonds INE565A08050 - 24.03.2025
- Timely Payment 24.09.2024
- Fixation of Record Date for Payment of Coupon on 9.0802% - Basel-III Tier-II Bonds - Series-III - ISIN: INE565A08035 - (2024)
- Timely Payment 02.04.2024
- Timely Payment 25.03.2024
- Fixation of Record Date for Payment of Coupon on Basel-III Tier-II 8.60 % Bond - Series-IV - ISIN: INE565A08043
- Fixation of Record Date for Payment of Coupon on Basel-III Tier-II 9 % Bond - Series V - ISIN: INE565A08050
- Timely Payment 08.12.2023- Redemption of ISIN INE565A09264
- Notice to Bond Holders for Exercising Call Option on Basel-III Tier-II Bonds INE565A09264
- Intimation of Record Date for Exercising Call Option on Basel-III Tier-II Bonds INE565A09264
- Timely Payment 25.09.2023
- Fixation of Record Date for Payment of Coupon on 9.0802% - Basel-III Tier-II Bonds - Series-III - ISIN: INE565A08035
- Timely Payment – 31.03.2023
- Fixation of Record Date for Payment of Coupon on 8.60% - Basel-III Tier-II Bonds - Series-IV - ISIN: INE 565A08043
- Timely Payment – 03.11.2022
- Fixation of Record Date for Exercising of Call Option and Payment of Coupon - Basel-III Tier-II Bonds - Series-I - ISIN: INE 565A09256
- Timely Payment – 26.09.2022
- Fixation of Record Date for Payment of Coupon on 9.0802% - Basel-III Tier-II Bonds - Series-III - ISIN: INE 565A08035
- Timely Payment – 10.12.2021
- Fixation of Record date for Payment of Coupon on 11.70% - Basel-III Tier II Bonds - Series II - ISIN: INE 565A09264
- Timely Payment – 03.11.2021
- Fixation of Record date for Payment of Coupon on 9.24% - Basel-III Tier II Bonds - Series I - ISIN: INE 565A09256
- Timely Payment – 24.09.2021
- Fixation of Record date for Payment of Coupon on 9.0808% - Basel-III Tier II Bonds - Series III - ISIN: INE 565A08035
- Timely Payment – 11.01.2021
- Timely Payment – 31.12.2020
- Timely Payment – 10.12.2020
- Intimation of Record Date for Exercise of Call Option and payment of Coupon – Upper Tier II Bonds – Series IV – INE565A09223
- Intimation of Record Date for Redemption & Payment of Coupon – Lower Tier II Bonds – Series XIV – INE565A09215
- Intimation of Record Date for payment of Coupon – Basel III Tier II Bonds Series II – INE565A09264
- Timely Payment – 03.11.2020
- Timely Payment - 24.09.2020
- Intimation of Record Date – Basel III Tier II Bonds – Series I
- Fixation of Record date for Payment of Coupon on 9.0808% - Basel-III Tier II Bonds - Series III - ISIN: INE 565A08035
- Timely Payment - 03.10.2017
- Timely Payment - 18.09.2017
- Timely Payment - 01.09.2017
- Timely Payment - 24.08.2017
- Timely Payment - 22.08.2017
- Confirmation of Bond Payment on Due Dates
- Timely payment of interest on Lower Tier II Bonds, Series XIV – 02.01.2018
- Intimation of Record Date
iob_bank_media_section
iob_bank_sticky
Apply Now
Social Media
Follow us / Share: