Propshare Titania SM REIT - IPO (Second Scheme Of The Property Share Investment Trust) has informed the Exchange regarding Disclosure of material issue
Awaiting price reaction for this filing.
PropShare Titania, the second scheme of Property Share Investment Trust, has declared its Net Asset Value at ₹10,76,351.41 per unit as of March 31, 2026. This disclosure is required under SEBI regulations (Chapter 4, Para 4.15 of the SEBI Master Circular dated July 11, 2025). The valuation was conducted by KZEN Valtech Private Limited, represented by Mr. Sachin Gulaty, Director, with the valuation report dated April 17, 2026. The REIT operates through its Investment Manager, PropShare Investment Manager Private Limited, and is listed on BSE with Scrip Code 544462.
The NAV declaration provides unit holders with the underlying asset value of the REIT, which can serve as a reference point for assessing whether the units are trading at a premium or discount to their intrinsic value. This is a routine regulatory disclosure required for REIT listings.