StockWatch
·
Road Assets–Toll, Annuity, Hybrid-Annuity
Quarterly Result22 May 2026, 06:51 pm

Maple Infra Trust: NAV at ₹152.8 Per Unit for FY26

AI Summary

Maple Infrastructure Trust reported its Net Asset Value (NAV) at ₹152.8 per unit as of March 31, 2026, based on a full valuation report by GT Valuation Advisors Private Limited. The total assets are valued at ₹108,588.5 million, total liabilities at ₹36,342.2 million, resulting in net assets of ₹72,246.3 million. The valuation is in compliance with SEBI InvIT Regulations.

Key Highlights

  • NAV per unit is reported as ₹152.8 as of March 31, 2026.
  • Total assets valued at ₹108,588.5 million; total liabilities at ₹36,342.2 million.
  • Valuation conducted by GT Valuation Advisors Private Limited.
  • The valuation complies with SEBI InvIT Regulations.