StockWatch
·
Road Assets–Toll, Annuity, Hybrid-Annuity
Business Update26 May 2026, 04:51 pm

Roadstar Infra NAV at ₹92.09 Per Unit for FY 2025-26

AI Summary

Roadstar Infra Investment Trust reports a Net Asset Value (NAV) of ₹92.09 per unit as of March 31, 2026. The NAV is based on a valuation report by Ernst & Young Merchant Banking Services LLP. The trust's assets stand at ₹75,297.46 Mn and liabilities at ₹33,354.29 Mn, resulting in net assets of ₹41,943.17 Mn. The total number of units is 45,54,77,143.

Key Highlights

  • Roadstar Infra's NAV is reported at ₹92.09 per unit as of March 31, 2026.
  • Assets are valued at ₹75,297.46 Mn and liabilities at ₹33,354.29 Mn.
  • Ernst & Young Merchant Banking Services LLP provided the valuation report.
  • Total number of units for NAV calculation is 45,54,77,143.