Vertis Infrastructure Trust Other Announcement
Vertis Infrastructure Trust submitted its quarterly valuation report for assets as of June 30, 2026, reporting a Net Asset Value of INR 107.39 per unit.
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Vertis Infrastructure Trust submitted its quarterly valuation report for assets as of June 30, 2026, reporting a Net Asset Value of INR 107.39 per unit.
Vertis Infrastructure Trust reported revenue from operations of ₹1,031 Cr (+27.8% YoY) and net profit of ₹342.5 Cr (+164.1% YoY) for Q1 FY27.
Vertis Infrastructure Trust successfully concluded its 4th Annual Meeting on July 27, 2026. All proposed resolutions regarding financial statements and valuation reports were passed by unitholders.
Vertis Infrastructure Trust has scheduled a board meeting for July 31, 2026, to consider financial results for the quarter ended June 30, 2026, and potential unitholder distributions.
Vertis Infrastructure Trust has filed its quarterly compliance report on corporate governance for the quarter ended June 30, 2026, as per SEBI regulations.
Vertis Infrastructure Trust announced NHAI reinstated the 1.641 WPI linking factor for toll revisions. This applies to all existing concession agreements within the Trust's SPVs.