Property Share Investment Trust - Propshare Platina has informed the Exchange regarding Disclosure of material issue
Awaiting price reaction for this filing.
PropShare Platina, a scheme of Property Share Investment Trust, has declared its Net Asset Value at ₹11,03,540.35 per unit as on March 31, 2025. The NAV was approved by the Board of Directors of PropShare Investment Manager Private Limited via a circular resolution passed on May 13, 2025. The valuation is based on the Gross Asset Value derived from an independent valuation report dated April 29, 2025, issued by KZEN Valtech Private Limited, a registered valuer. This disclosure is made pursuant to Regulation 10(22) of the SEBI (Real Estate Investment Trusts) Regulations, 2014. The filing is a routine regulatory compliance and is not indicative of any operational or financial stress.
This is a standard periodic NAV disclosure required under SEBI REIT regulations and is unlikely to have any material impact on the unit price. Investors can use this NAV to track the underlying value of their investment in the scheme.