
Quarterly Updates29 Apr 2026, 05:51 pm
Mindspace REIT Declares Q4 FY26 Results, NAV ₹527.01, Distribution ₹6.64/Unit
AI Summary
Mindspace Business Parks REIT's Board approved audited Standalone and Consolidated financial results for FY2026 and unaudited results for Q4 FY2026, both with an unmodified audit opinion. The REIT declared a Net Asset Value (NAV) of ₹527.01 per unit as of March 31, 2026. Additionally, the Board approved a distribution of ₹6.64 per unit for the quarter ended March 31, 2026, totaling ₹4,305.00 million. This distribution comprises a dividend of ₹3.35 per unit, repayment of HoldCo/SPV debt, interest, and other income. The record date for this distribution is May 5, 2026, with payment by May 12, 2026. The Manager's financial statements were not disclosed due to no material erosion in net worth.
Key Highlights
- Board approved Q4 FY26 and FY26 financial results with unmodified audit opinion.
- Declared Net Asset Value (NAV) of ₹527.01 per unit as of March 31, 2026.
- Approved Q4 FY26 distribution of ₹6.64 per unit, totaling ₹4,305.00 million.
- Distribution includes a dividend of ₹3.35 per unit.
- Record date for distribution is May 5, 2026; payment by May 12, 2026.