Embassy Office Parks Reit

Embassy Office Parks Reit

392.80
+0.49
(0.12%)
ann
There are new updates from the company19 hours ago
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Market Cap
37,233.27 Cr
EPS
17.14
PE Ratio
22.92
Dividend Yield
5.94 %
Industry
Realty
52 Week High
405.00
52 Week Low
342.10
PB Ratio
-7.27
Debt to Equity
0.80
Sector
REITs
Add Ratio
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Investment Returns

In Long Term
In Short Term
1 Year
0.00%
2 Years
0.00%
3 Years
0.00%
4 Years
0.00%
5 Years
0.00%

Company News

View All News
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positive
Embassy Office Parks REIT: Plans Rs 2,000 Crore Bond Sale13 hours ago
Embassy Office Parks REIT is in discussions with bankers to raise 20 billion rupees ($232.79 million) through a five-year corporate bond issuance. The funding round is expected to close by month-end. The AAA-rated bonds may attract strong demand from mutual funds and insurance companies.
neutral
Embassy Office Parks REIT is reportedly planning to raise 20 billion rupees through a bond issuance this month, according to unnamed sources. The real estate investment trust is looking to tap into the debt market for funding, though specific details about the purpose of the fundraising or the terms of the bonds were not provided in the news snippet.
Competitors
LTP
Market Cap (₹ Cr.)
P/E Ratio
Revenue (₹ Cr.)
YoY Revenue Growth %
Net Profit (₹ Cr.)
YoY Profit Growth %
RSI
No data
Forecast
Actual
Growth Rate
Revenue Growth
7.54 %
Net Income Growth
68.51 %
Cash Flow Change
18.85 %
ROE
72.46 %
ROCE
-29.01 %
EBITDA Margin (Avg.)
-0.25 %

Quarterly Financial Results

Quarterly Financials
Dec 2018
Mar 2019
Jun 2019
Sept 2019
Dec 2019
Mar 2020
Jun 2020
Sept 2020
Dec 2020
Mar 2021
Jun 2021
Sept 2021
Dec 2021
Mar 2022
Jun 2022
Sept 2022
Dec 2022
Mar 2023
Jun 2023
Sept 2023
Dec 2023
Mar 2024
Jun 2024
Sept 2024
Dec 2024
Mar 2025
Revenue
0
0
594
563
593
612
574
588
623
794
792
791
794
809
880
909
928
924
986
958
1,010
1,023
1,006
1,082
1,080
1,130
Expenses
0
9
117
118
122
299
99
90
113
307
166
165
159
175
206
212
210
247
234
220
228
234
230
248
258
776
EBITDA
0
-9
476
445
471
313
475
498
510
488
626
626
635
634
674
697
717
678
752
738
782
789
776
834
821
354
Operating Profit %
0 %
0 %
79 %
78 %
78 %
47 %
82 %
84 %
81 %
60 %
78 %
78 %
79 %
77 %
76 %
76 %
76 %
72 %
75 %
76 %
76 %
76 %
76 %
76 %
75 %
29 %
Depreciation
0
0
139
144
118
126
118
119
136
198
196
199
199
202
220
279
283
347
229
236
252
169
266
400
295
302
Interest
0
0
83
83
94
121
137
144
136
228
207
221
208
193
231
246
245
254
256
262
278
292
309
328
344
348
Profit Before Tax
0
-9
254
218
258
66
220
235
238
62
223
206
229
239
223
172
190
77
268
240
253
328
201
106
182
-295
Tax
0
0
32
-15
5
8
16
2
23
15
18
10
20
-40
44
44
26
42
34
24
23
45
22
-1,425
24
-53
Net Profit
0
-9
222
232
253
58
204
233
215
47
205
196
208
279
179
129
163
36
234
217
230
283
179
1,530
158
-243
EPS in ₹
0.00
-5.22
2.88
3.01
0.11
0.75
2.65
3.01
2.72
0.49
2.16
2.07
2.20
2.95
1.89
1.36
1.72
0.37
2.47
2.29
2.43
2.99
1.89
16.14
1.67
-2.56

Balance Sheet

Balance Sheet
2019
2020
2021
2022
2023
2024
2025
Total Assets
36,695
33,490
45,084
45,196
46,412
47,376
48,948
Fixed Assets
26,756
27,007
37,428
38,878
38,466
39,921
41,792
Current Assets
5,489
1,675
1,437
975
1,145
1,327
1,181
Capital Work in Progress
502
411
1,371
711
1,267
1,804
2,086
Investments
2,552
3,637
2,412
2,364
3,124
2,964
3,020
Other Assets
6,885
2,436
3,873
3,244
3,555
2,687
2,050
Total Liabilities
36,695
33,490
45,084
45,196
46,412
47,376
48,948
Current Liabilities
2,512
1,164
1,515
1,620
5,927
5,245
7,526
Non Current Liabilities
11,289
10,009
16,476
17,690
16,117
18,857
18,660
Total Equity
22,895
22,318
27,093
25,887
24,368
23,274
22,761
Reserve & Surplus
-9
-594
-1,733
-2,940
-4,458
-5,552
-6,065
Share Capital
22,904
22,912
28,826
28,826
28,826
28,826
28,826

Cash Flow

Cash Flow
2019
2020
2021
2022
2023
2024
2025
Net Cash Flow
4,961
-4,650
606
-329
229
194
-348
Investing Activities
211
-2,148
-3,041
-1,182
-1,468
-1,180
-1,635
Operating Activities
3
1,696
1,871
2,367
2,566
2,591
3,079
Financing Activities
4,747
-4,197
1,777
-1,514
-869
-1,217
-1,792

Share Holding

% Holding
Dec 2022
Mar 2023
Jun 2023
Sept 2023
Dec 2023
Mar 2024
Jun 2024
Dec 2024
Mar 2025
Promoter
35.77 %
31.28 %
31.28 %
31.28 %
7.69 %
7.69 %
7.69 %
7.69 %
7.69 %
FIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
DIIs
10.45 %
11.56 %
15.83 %
16.31 %
26.38 %
26.27 %
26.81 %
23.87 %
24.60 %
Government
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
Public / Retail
15.23 %
15.07 %
15.57 %
15.72 %
15.67 %
15.09 %
15.23 %
14.58 %
14.54 %
Others
38.55 %
42.10 %
37.33 %
36.69 %
50.26 %
50.95 %
50.27 %
53.86 %
53.17 %
No of Share Holders
0
0
0
0
0
0
0
0
0

Dividend History

Dividends per share (FY)
Dividend yield (FY) %
Dividends per share (FY)
Dividend yield (FY) %
Annual Cash Flows 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Dividend Per Share (₹) 0.00 0.00 0.00 0.00 24.39 21.48 21.76 21.71 21.33 23.01
Dividend Yield (%) 0.00 0.00 0.00 0.00 7.49 5.78 7.05 5.87 5.84 5.87

Corporate Action

Record Date Corporate Action Information Announcement Day LTP at Annoucement LTP at Record Day
02 Jul 2025 ANNUAL GENERAL MEETING Annual General Meeting
NA
02 Jul 2025 395.12 391.48
02 Jul 2025 EXTRAORDINARY GENERAL MEETING Extraordinary General Meeting
NA
02 Jul 2025 391.48 391.48
03 May 2025 DIVIDEND Dividend
₹ 5.68 /share
02 May 2025 382.87 376.09
29 Apr 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
29 Apr 2025 370.65 382.87
01 Feb 2025 DIVIDEND Dividend
₹ 5.90 /share
31 Jan 2025 363.11 370.38
29 Jan 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
29 Jan 2025 371.36 363.11
29 Oct 2024 DIVIDEND Dividend
₹ 5.83 /share
29 Oct 2024 388.68 393.28
24 Oct 2024 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
24 Oct 2024 393.50 388.68
02 Aug 2024 DIVIDEND Dividend
₹ 5.60 /share
02 Aug 2024 365.57 374.72
27 Jun 2024 ANNUAL GENERAL MEETING Annual General Meeting
NA
27 Jun 2024 349.64 352.77
04 Jun 2024 EXTRAORDINARY GENERAL MEETING Extraordinary General Meeting
NA
04 Jun 2024 357.37 357.37
06 May 2024 DIVIDEND Dividend
₹ 5.22 /share
06 May 2024 367.43 353.22
29 Apr 2024 EXTRAORDINARY GENERAL MEETING Extraordinary General Meeting
NA
29 Apr 2024 374.54 362.20
12 Feb 2024 DIVIDEND Dividend
₹ 5.20 /share
12 Feb 2024 365.25 362.91
03 Nov 2023 DIVIDEND Dividend
₹ 5.53 /share
03 Nov 2023 300.02 313.98
03 Aug 2023 DIVIDEND Dividend
₹ 5.38 /share
03 Aug 2023 308.72 308.24
06 May 2023 DIVIDEND Dividend
₹ 5.61 /share
04 May 2023 322.40 315.16
03 Feb 2023 DIVIDEND Dividend
₹ 5.31 /share
03 Feb 2023 342.21 306.26
01 Nov 2022 DIVIDEND Dividend
₹ 5.46 /share
31 Oct 2022 345.18 344.84
29 Jul 2022 DIVIDEND Dividend
₹ 5.33 /share
28 Jul 2022 368.38 364.82
09 May 2022 DIVIDEND Dividend
₹ 5.26 /share
06 May 2022 388.65 382.32
07 Feb 2022 DIVIDEND Dividend
₹ 5.20 /share
04 Feb 2022 360.58 376.27
10 Nov 2021 DIVIDEND Dividend
₹ 5.66 /share
09 Nov 2021 351.17 368.64
05 Aug 2021 DIVIDEND Dividend
₹ 5.64 /share
04 Aug 2021 356.55 360.64
07 May 2021 DIVIDEND Dividend
₹ 5.60 /share
06 May 2021 312.92 316.73
22 Feb 2021 DIVIDEND Dividend
₹ 4.55 /share
18 Feb 2021 347.67 343.38

Announcements

Unit Holding Pattern19 hours ago
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating5 days ago
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating5 days ago
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating5 days ago
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating5 days ago
Reg 23(5)(i): Disclosure of material issue7 days ago
Reg 23(5)(g): Outcome of Unitholder meetingsJul 04, 2025
Reg 23(5)(i): Disclosure of material issueJul 02, 2025
Reg 23(5)(i): Disclosure of material issueJul 02, 2025
Reg 23(5)(i): Disclosure of material issueJul 02, 2025
Reg 23(5)(g): Outcome of Unitholder meetingsJul 02, 2025
Reg 23(5)(i): Disclosure of material issueJun 30, 2025
Reg 23(5)(i): Disclosure of material issueJun 27, 2025
Reg 23(5)(i): Disclosure of material issueJun 27, 2025
Reg 23(5)(i): Disclosure of material issueJun 27, 2025
Reg 23(5)(i): Disclosure of material issueJun 24, 2025
Reg 23(5)(i): Disclosure of material issueJun 23, 2025
Reg 23(5)(i): Disclosure of material issueJun 20, 2025
Reg 23(5)(i): Disclosure of material issueJun 18, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingJun 13, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingJun 11, 2025
Disclosure of Annual financial informationJun 09, 2025
Reg 21: Disclosure of valuation report received by the managerJun 09, 2025
Reg 23(5)(g): Notice of Unitholder meetingsJun 09, 2025
Reg 23(5)(i): Disclosure of material issueJun 09, 2025
Reg 23(5)(i): Disclosure of material issueJun 06, 2025
Reg 23(5)(i): Disclosure of material issueJun 06, 2025
Reg 23(5)(i): Disclosure of material issueMay 31, 2025
Reg 23(5)(i): Disclosure of material issueMay 30, 2025
Reg 23(5)(i): Disclosure of material issueMay 29, 2025
Reg 23(5)(i): Disclosure of material issueMay 20, 2025
Reg 23(5)(i): Disclosure of material issueMay 16, 2025
Reg 23(5)(i): Disclosure of material issueMay 13, 2025
Reg 23(5)(i): Disclosure of material issueMay 13, 2025
Reg 23(5)(i): Disclosure of material issueMay 13, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingMay 08, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingMay 08, 2025
Reg 23(5)(i): Disclosure of material issueMay 06, 2025
Reg 23(5)(i): Disclosure of material issueApr 30, 2025
Reg 23(5)(i): Disclosure of material issueApr 30, 2025
Reg 23(5)(i): Disclosure of material issueApr 30, 2025
Reg 23(5)(i): Disclosure of material issueApr 29, 2025
Reg 21: Disclosure of valuation report received by the managerApr 29, 2025
Reg 23(5)(i): Disclosure of material issueApr 29, 2025
Reg 23(5)(i): Disclosure of material issueApr 29, 2025
Reg 23(5)(i): Disclosure of material issueApr 28, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingApr 24, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingApr 24, 2025
Reg 23(5)(i): Disclosure of material issueApr 23, 2025
Reg 23(5)(i): Disclosure of material issueApr 21, 2025

Technical Indicators

Mutual Fund Holdings

Funding HouseCurrent Holding %1M Change1M Change %3M Change %Last 6M Trend
Parag Parikh Flexi Cap Fund Direct-Growth
0.36%
922526
0.02%
0.36%
WhiteOak Capital Multi Asset Allocation Fund Direct - Growth
0.44%
289978
0.44%
0.44%
Sundaram Dividend Yield Fund Direct-Growth
2.77%
-275000
0.10%
0.17%
WhiteOak Capital Flexi Cap Fund Direct - Growth
0.20%
-273221
-0.22%
-0.26%
ICICI Prudential Credit Risk Fund Direct Plan-Growth
4.16%
-271328
-0.05%
-0.06%
ICICI Prudential Medium Term Bond Fund Direct Plan-Growth
3.31%
-270578
-0.09%
3.04%
ICICI Prudential Housing Opportunities Fund Direct - Growth
1.48%
-251756
-0.33%
-1.01%
Tata Flexi Cap Fund Direct - Growth
1.71%
150000
0.13%
0.06%
WhiteOak Capital Multi Cap Fund Direct - Growth
0.21%
-107005
-0.23%
-0.28%
WhiteOak Capital Mid Cap Fund Direct - Growth
0.12%
-102379
-0.13%
-0.16%
WhiteOak Capital Large & Mid Cap Fund Direct - Growth
0.20%
-89580
-0.21%
-0.24%
Parag Parikh Conservative Hybrid Fund Direct - Growth
4.18%
59823
0.03%
-0.07%
WhiteOak Capital Equity Savings Fund Direct - Growth
1.77%
46454
1.77%
1.77%
WhiteOak Capital Quality Equity Fund Direct-Growth
0.20%
-28823
-0.26%
-0.33%
ICICI Prudential Bharat Consumption Fund Direct - Growth
1.68%
-20000
0.02%
-0.51%
WhiteOak Capital Digital Bharat Fund Direct-Growth
0.17%
-15358
-0.18%
-0.22%
Axis Credit Risk Fund Direct-Growth
0.13%
12500
0.13%
0.13%
ICICI Prudential Equity & Debt Fund Direct-Growth
1.12%
0
-0.01%
-0.04%
Mahindra Manulife Aggressive Hybrid Fund Direct - Growth
0.80%
0
-0.02%
-0.06%
HDFC Equity Savings Direct Plan-Growth
0.83%
0
0.00%
-0.01%
HDFC Flexi Cap Direct Plan-Growth
0.69%
0
-0.01%
-0.03%
HDFC Focused Fund Direct-Growth
0.71%
0
-0.03%
-0.07%
HDFC Hybrid Debt Fund Direct-Growth
0.57%
0
0.01%
0.00%
HDFC Income Fund Direct-Growth
0.44%
0
0.02%
0.01%
HDFC Infrastructure Fund Direct-Growth
1.05%
0
0.00%
-0.07%