Brookfield India Real Estate Trust

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NSEBSE

238.80-1.92 (-0.80%)

03:51 PM,4th Dec 2023

239.00-1.69 (-0.70%)

04:01 PM,4th Dec 2023

BSE : 543261

NSE : BIRET

Sector : Infrastructure

ISIN Code : INE0FDU25010

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Last Updated: Dec 04 2023 | 04:01 PM IST

Market Cap (₹ Cr)

10485

Turnover (₹ Cr)

0.67

Volume (Shares)

278820

52-WK High

303.30

52-WK High Date

06 Jan 2023

52-WK Low

235.05

52-WK Low Date

11 Oct 2023

All Time High

345.00

All Time High Date

18 Aug 2022

All Time Low

215.00

All Time Low Date

25 Mar 2021

Brookfield India Real Estate Trust

The Brookfield REIT has been settled by its Manager (solely as the settlor on behalf of its Sponsor) for the Initial Contribution. It was settled on July 17 2020 at Mumbai Maharashtra India as a contributory determinate and irrevocable trust under the provisions of the Indian Trusts Act 1882 pursuant to a trust deed dated July 17 2020. The Brookfield REIT was registered with SEBI on September 14 2020 at Mumbai as a real estate investment trust pursuant to the REIT Regulations having registration number IN/REIT/20-21/0004.BSREP V is the sponsor of the Brookfield REIT Brookprop Management Services Private Limited has been appointed as the manager to the Brookfield REIT and Axis Trustee Services Limited shall act as the trustee to the Brookfield REIT.The principal place of business of the Brookfield REIT is situated at Candor TechSpace IT/ ITES SEZ Building Gurugram Haryana India.Pursuant to the Formation Transactions its Initial Portfolio shall be acquired and will be held by the Brookfield REIT through its Asset SPVs. Additionally CIOP which provides services including property management facilities management and support services to its Candor Asset SPVs has been considered as an investment by the Brookfield REIT under Regulation 18(5)(da) of the SEBI REIT Regulations and will be directly held by the Brookfield REIT.

Brookfield India Real Estate Trust - Key Fundamentals

PARAMETER VALUES
[*C] Consolidated [*S] Standalone

Funds Owing this Stock

Scheme Name Amount Invested ( ₹ Cr ) No Of Shares Net Asset (%)
Parag Parikh Conservative Hybrid Fund-Dir (IDCW-M) 62.81 2584141 3.84
Parag Parikh Conservative Hybrid Fund-Dir (G) 62.81 2584141 3.84
Parag Parikh Conservative Hybrid Fund (G) 62.81 2584141 3.84
Kotak Medium Term Fund - Direct (G) 31.83 1309606 1.69
Kotak Medium Term Fund (G) 31.83 1309606 1.69
Kotak Dynamic Bond Fund - Regular (G) 24.95 1026277 1.01
Kotak Dynamic Bond Fund - Direct (G) 24.95 1026277 1.01
Kotak Credit Risk Fund (G) 15.00 617018 1.58
Kotak Credit Risk Fund - Direct (G) 15.00 617018 1.58
Baroda BNP Paribas Conservative Hybrid Fund-Reg (G) 9.63 396040 1.66

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Research Reports

Date BrokerActionPrices(Rs)Report
22-12-2021ICICI Securities Accumulate 290

Stock Strength

Today's Low/High

238.17

242.70

Week Low/High

238.00

242.70

Month Low/High

237.89

250.00

Year Low/High

235.05

303.00

All time Low/High

215.25

345.00

Share Price Returns

Period BSENSE SENSEXNIFTY
1 Week-0.09%%4.394.51%
1 Month-1.34%%6.997.57%
3 Month-3.49%%4.935.93%
6 Month-12.22%%10.1011.61%
1 Year-17.34%%9.5410.65%
3 Year%%52.7656.03%

Company Info

Company Information

Registered Office: Brookprop Mgt.Services Pvt Ltd, Unit 804 8th Floor Bandra East,Mumbai,Maharashtra-400051 Ph: 91-22-66000700

Email:reit.manager@brookfield.com

URL:brookfieldindiareit.in