Nexus Select Trust REIT
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Nexus Select Trust REIT

163.59
-1.40
(-0.85%)
Market Cap
₹- Cr
PE Ratio
-
Volume
2,60,930.00
Day High - Low
₹165.95 - ₹162.40
52W High-Low
₹168.35 - ₹120.00
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No Peers Availabel for Comparision
Key Fundamentals
Add Ratio
split_icon_default
Market Cap
- Cr
EPS
-
PB Ratio
-
Book Value
91.12
EBITDA
-
Dividend Yield
- %
Industry
Realty
Sector
REITs
ROE Growth %
-
Debt to Equity
-
Forecast For
Actual

Company News

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Caret
positive
Nexus Select Trust Receives IND A1+ Credit Rating for Commercial Paper Programme6 hours ago
India Ratings and Research Private Limited has assigned an IND A1+ credit rating to Nexus Select Trust's commercial paper programme worth INR 6,000 million with maturity up to 364 days. The rating assignment follows a previous rating action commentary released on July 17, 2025, and is valid for 60 calendar days from December 1, 2025 for instrument issuance purposes.
positive
Nexus Select Trust Receives AAA Rating for INR 700 Crore Non-Convertible Debentures6 days ago
Nexus Select Trust obtained a AAA (Stable) credit rating from Crisil Ratings Limited for its proposed INR 700 crore Non-Convertible Debentures, indicating the highest degree of safety regarding timely servicing of financial obligations. The rating reflects the lowest credit risk for the securities and positions the trust favorably for its debt issuance plans.
neutral
Nexus Select Trust has allotted 3,000 commercial papers worth INR 1,500 million through its manager Nexus Select Mall Management Private Limited. The papers have a face value of INR 5,00,000 each with an 87-day tenure from the allotment date of November 10, 2025, maturing on February 5, 2026. The commercial papers carry a discount rate of 6.18% per annum and are issued in dematerialized form on a private placement basis. The papers are proposed to be listed on the wholesale debt market segment of BSE Limited. This allotment falls under the company's previously approved aggregate principal amount of up to INR 1,000 million and INR 5,000 million for listed, rated, redeemable commercial papers.
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Competitors
LTP
Market Cap (₹ Cr.)
P/E Ratio
Revenue (₹ Cr.)
YoY Revenue Growth %
Net Profit (₹ Cr.)
YoY Profit Growth %
RSI
No data
Growth Rate
Revenue Growth
-
Net Income Growth
-
Cash Flow Change
-
ROE
-
ROCE
-
EBITDA Margin (Avg.)
-

Quarterly Financial Results

Quarterly Financials
Dec 2022
Mar 2023
Jun 2023
Sept 2023
Dec 2023
Mar 2024
Jun 2024
Sept 2024
Dec 2024
Mar 2025
Jun 2025
Sept 2025
Revenue
0
0
293
551
585
562
581
575
633
616
640
652
Expenses
0
3
98
184
185
166
180
179
189
182
192
203
EBITDA
0
-3
195
367
401
396
401
396
444
434
448
450
Operating Profit %
0 %
0 %
66 %
66 %
67 %
69 %
67 %
68 %
69 %
69 %
69 %
68 %
Depreciation
0
0
78
147
148
148
145
147
148
146
155
162
Interest
0
0
53
95
97
93
91
93
104
106
113
116
Profit Before Tax
0
-3
65
134
161
156
165
159
193
181
180
172
Tax
0
0
-29
-118
54
9
25
49
74
67
61
40
Net Profit
0
-3
94
252
107
146
140
110
119
114
120
132
EPS in ₹
0.00
-29.51
1.13
1.66
0.71
0.97
0.92
0.73
0.78
0.75
0.79
0.87

Balance Sheet

Balance Sheet
2023
2024
2025
Total Assets
45
20,111
20,548
Fixed Assets
0
17,915
18,323
Current Assets
45
1,278
1,375
Capital Work in Progress
0
35
69
Investments
0
1,185
1,328
Other Assets
45
976
828
Total Liabilities
45
20,111
20,548
Current Liabilities
48
848
1,279
Non Current Liabilities
0
4,327
5,131
Total Equity
-3
14,935
14,139
Reserve & Surplus
-3
-160
-956
Share Capital
0
15,095
15,095

Cash Flow

Cash Flow
2023
2024
2025
Net Cash Flow
0
39
-20
Investing Activities
0
-398
-965
Operating Activities
0
1,217
1,532
Financing Activities
0
-780
-588

Share Holding

% Holding
Jun 2023
Sept 2023
Dec 2023
Mar 2024
Jun 2024
Dec 2024
Mar 2025
Jun 2025
Sept 2025
Promoter
43.13 %
43.13 %
43.13 %
43.13 %
43.13 %
22.30 %
22.30 %
22.30 %
22.30 %
FIIs
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
DIIs
11.62 %
11.52 %
10.96 %
10.56 %
10.77 %
19.60 %
21.58 %
21.68 %
21.15 %
Government
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
Public / Retail
14.34 %
14.22 %
14.23 %
14.25 %
14.67 %
15.53 %
15.64 %
15.88 %
16.05 %
Others
30.91 %
31.13 %
31.69 %
32.07 %
31.43 %
42.57 %
40.48 %
40.14 %
40.50 %
No of Share Holders
0
0
0
0
0
0
0
0
0

Dividend History

Annual Cash Flows 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Dividend Per Share (₹) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 7.07 6.35
Dividend Yield (%) 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 5.43 3.85

Corporate Action

Record Date Corporate Action Information Announcement Day LTP at Annoucement LTP at Record Day
17 Nov 2023 DIVIDEND Dividend
₹ 2.98 /share
17 Nov 2023 126.33 128.06
14 Feb 2024 DIVIDEND Dividend
₹ 2.00 /share
14 Feb 2024 129.02 129.02
17 May 2024 DIVIDEND Dividend
₹ 2.09 /share
17 May 2024 132.48 132.00
23 Jul 2024 ANNUAL GENERAL MEETING Annual General Meeting
NA
23 Jul 2024 140.02 148.76
07 Aug 2024 DIVIDEND Dividend
₹ 2.15 /share
07 Aug 2024 152.41 145.62
12 Nov 2024 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
12 Nov 2024 143.98 143.69
21 Nov 2024 DIVIDEND Dividend
₹ 2.01 /share
21 Nov 2024 143.69 141.06
04 Feb 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
04 Feb 2025 137.97 137.72
07 Feb 2025 DIVIDEND Dividend
₹ 2.20 /share
07 Feb 2025 137.72 136.60
13 May 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
13 May 2025 129.53 131.15
16 May 2025 DIVIDEND Dividend
₹ 2.00 /share
16 May 2025 131.15 132.92
29 Jul 2025 ANNUAL GENERAL MEETING Annual General Meeting
NA
29 Jul 2025 139.78 148.65
30 Jul 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
30 Jul 2025 150.22 148.50
04 Aug 2025 DIVIDEND Dividend
₹ 2.23 /share
04 Aug 2025 148.50 147.47
04 Nov 2025 QUARTERLY RESULT ANNOUNCEMENT Quarterly Result Announcement
NA
04 Nov 2025 162.74 162.98
10 Nov 2025 DIVIDEND Dividend
₹ 2.20 /share
10 Nov 2025 162.98 163.03

Announcements

Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating7 hours ago
Reg 21: Disclosure of valuation report received by the manager1 day ago
Reg 23(5)(i): Disclosure of material issue1 day ago
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such rating6 days ago
Reg 23(5)(i): Disclosure of material issue6 days ago
Reg 23(5)(i): Disclosure of material issueNov 20, 2025
Reg 23(5)(i): Disclosure of material issueNov 18, 2025
Reg 23(5)(i): Disclosure of material issueNov 14, 2025
Reg 23(5)(i): Disclosure of material issueNov 13, 2025
Reg 23(5)(i): Disclosure of material issueNov 10, 2025
Reg 23(5)(i): Disclosure of material issueNov 10, 2025
Reg 23(5)(i): Disclosure of material issueNov 10, 2025
Reg 23(5)(i): Disclosure of material issueNov 07, 2025
Reg 23(5)(i): Disclosure of material issueNov 07, 2025
Reg 23(5)(i): Disclosure of material issueNov 06, 2025
Reg 23(5)(i): Disclosure of material issueNov 04, 2025
Reg 21: Disclosure of valuation report received by the managerNov 04, 2025
Reg 21: Disclosure of valuation report received by the managerNov 04, 2025
Reg 23(5)(i): Disclosure of material issueNov 04, 2025
Reg 18(16): Disclosure of record date for purpose of distributionNov 04, 2025
Reg 23(5)(i): Disclosure of material issueNov 04, 2025
Reg 23(5)(i): Disclosure of material issueOct 27, 2025
Reg 23(5)(i): Disclosure of material issueOct 27, 2025
Reg 26E: Quarterly Compliance Report on Corporate governanceOct 16, 2025
Investor ComplaintsOct 15, 2025
Unit Holding PatternOct 14, 2025
Reg 23(5)(d): Disclosure of details of any credit rating obtained by the REIT and any change in such ratingOct 07, 2025
Reg 23(5)(i): Disclosure of material issueSep 29, 2025
Reg 23(5)(i): Disclosure of material issueSep 29, 2025
Reg 23(5)(i): Disclosure of material issueSep 29, 2025
Reg 23(5)(i): Disclosure of material issueSep 26, 2025
Reg 23(5)(i): Disclosure of material issueSep 25, 2025
Reg 23(5)(i): Disclosure of material issueSep 22, 2025
Reg 23(5)(i): Disclosure of material issueSep 19, 2025
Reg 23(5)(i): Disclosure of material issueSep 18, 2025
Reg 23(5)(i): Disclosure of material issueSep 11, 2025
Reg 23(5)(i): Disclosure of material issueSep 04, 2025
Reg 23(5)(i): Disclosure of material issueSep 04, 2025
Reg 23(5)(i): Disclosure of material issueSep 03, 2025
Reg 23(5)(i): Disclosure of material issueSep 01, 2025
Reg 23(5)(i): Disclosure of material issueAug 22, 2025
Reg 23(5)(i): Disclosure of material issueAug 21, 2025
Reg 23(5)(i): Disclosure of material issueAug 14, 2025
Reg 23(5)(i): Disclosure of material issueAug 13, 2025
Reg 23(5)(i): Disclosure of material issueAug 11, 2025
Reg 23(5)(i): Disclosure of material issueAug 08, 2025
Reg 23(5)(i): Disclosure of material issueAug 08, 2025
Reg 23(5)(i): Disclosure of material issueAug 04, 2025
Reg 23(5)(i): Disclosure of material issueJul 31, 2025
Reg 23(5)(g): Outcome of Unitholder meetingsJul 31, 2025

Mutual Fund Holdings

Funding HouseCurrent Holding %1M Change1M Change %3M Change %Last 6M Trend
WhiteOak Capital Multi Asset Allocation Fund Direct - Growth
1.89%
204311
-0.23%
0.02%
WhiteOak Capital Special Opportunities Fund Direct - Growth
1.99%
-154320
-0.40%
-0.15%
Mahindra Manulife Equity Savings Fund Direct - Growth
2.40%
-140000
-0.39%
-1.10%
Mahindra Manulife Aggressive Hybrid Fund Direct - Growth
0.26%
-55000
-0.07%
-0.15%
Aditya Birla Sun Life Equity Hybrid '95 Fund Direct-Growth
0.63%
-34000
-0.03%
-0.01%
Aditya Birla Sun Life Equity Savings Fund Direct-Growth
1.54%
-32373
-0.10%
-0.35%
WhiteOak Capital Equity Savings Fund Direct - Growth
1.88%
20585
-0.28%
-0.10%
Mahindra Manulife Dynamic Bond Fund Direct - Growth
1.36%
-15000
-0.26%
-0.34%
Franklin India Aggressive Hybrid Fund Direct-Growth
0.78%
5671
-0.04%
0.78%
HDFC Infrastructure Fund Direct-Growth
1.26%
0
-0.05%
0.07%
Mirae Asset Multi Asset Allocation Fund Direct - Growth
0.55%
0
-0.04%
-0.01%
HDFC Focused Fund Direct-Growth
1.94%
0
-0.17%
-0.04%
Aditya Birla Sun Life Balanced Advantage Fund Direct-Growth
1.47%
0
-0.07%
0.07%
HDFC Multi Asset Fund Direct-Growth
0.41%
0
-0.03%
0.00%
ICICI Prudential Balanced Advantage Direct-Growth
0.07%
0
0.00%
0.00%
ICICI Prudential Credit Risk Fund Direct Plan-Growth
0.00%
0
0.00%
0.00%
ICICI Prudential Equity & Debt Fund Direct-Growth
0.06%
0
0.00%
0.00%
ICICI Prudential Equity Savings Fund Direct-Growth
0.00%
0
0.00%
-0.28%
ICICI Prudential Housing Opportunities Fund Direct - Growth
0.00%
0
0.00%
0.00%
ICICI Prudential Medium Term Bond Fund Direct Plan-Growth
0.01%
0
0.00%
0.00%
ICICI Prudential Multi Asset Fund Direct-Growth
0.11%
0
-0.01%
0.00%
Kotak Dynamic Bond Fund Direct-Growth
0.62%
0
0.00%
0.05%
Kotak Medium Term Fund Direct-Growth
0.56%
0
-0.08%
-0.02%
Franklin India Dividend Yield Fund Direct-Growth
1.50%
0
-0.07%
0.47%
Aditya Birla Sun Life Regular Savings Fund Direct-Growth
0.81%
0
0.00%
-0.02%

Technical Indicators