Net asset value for REITs: assets minus external debt divided by outstanding units determines per unit valuation. Net asset value or "NAV" for a REIT is the per unit valuation obtained by deducting external debt from the value of REIT assets and dividing the result by ... Summary
Securities and Exchange Board of India (Real Estate Investment Trusts) Regulations, 2014
Net asset value for REITs: assets minus external debt divided by outstanding units determines per unit valuation.
Net asset value or "NAV" for a REIT is the per unit valuation obtained by deducting external debt from the value of REIT assets and dividing the result by the number of outstanding units as on a particular date, as specified under the SEBI REIT regulatory framework.
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