Business Update13 May 2026, 12:37 pm
Energy Infrastructure Trust: FY26 Asset Valuation Report
AI Summary
Energy Infrastructure Trust has released its Annual Full Valuation report for assets for the financial year ended March 31, 2026. The valuation report, conducted by independent valuer Mr. S. Sundararaman, indicates a Net Asset Value (NAV) of ₹80.14 per unit for the Trust as of March 31, 2026. This valuation is in compliance with SEBI Infrastructure Investment Trusts Regulations, 2014. The Trust operates and maintains Pipeline Infrastructure Limited (PIL), a natural gas pipeline spanning 1,483 km. The valuation report is available on the Trust's website.
Key Highlights
- Energy Infrastructure Trust releases FY26 asset valuation report.
- Net Asset Value (NAV) declared as ₹80.14 per unit as of March 31, 2026.
- Valuation conducted by independent valuer S. Sundararaman.
- Report complies with SEBI InvIT Regulations, 2014.
- Valuation report available on the Trust's website.
Price Impact
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