Embassy Office Parks REIT
₹368.09
+0.1 (0.03%)
- Advice
- Hold
23 November, 2024 15:33 BSE: 542602
NSE: EMBASSYISIN: INE041025011
Start SIP in Embassy Office Parks REIT
Start SIPEmbassy Office Parks REIT Performance
Day Range
52 Week Range
Embassy Office Parks REIT Technicals
EMA & SMA
Current Price
₹368.09
+0.1 (0.03%)
- Bullish Moving Average
- ___
- 0
- Bearish Moving Average
- ___
- 16
- 20 Day
- ₹383.57
- 50 Day
- ₹385.55
- 100 Day
- ₹380.52
- 200 Day
- ₹369.33
- 20 Day
- ₹387.08
- 50 Day
- ₹389.17
- 100 Day
- ₹380.64
- 200 Day
- ₹371.21
Embassy Office Parks REIT Resistance and Support
PIVOT
₹368.53
Resistance | |
---|---|
First Resistance | 370.54 |
Second Resistance | 372.98 |
Third Resistance | 375.00 |
RSI | 28.84 |
MFI | 27.11 |
MACD Single Line | -2.24 |
MACD | -4.97 |
Support | |
---|---|
First Support | 366.08 |
Second Support | 364.06 |
Third Supoort | 361.62 |
Embassy Office Parks REIT Delivery and Volume
Period | NSE + BSE Volume Avg | NSE + BSE Delivery Volume Avg | NSE + BSE Delivery Volume % |
---|---|---|---|
Day | 2,290,392 | 219,167,610 | 95.69 |
Week | 1,133,563 | 105,636,736 | 93.19 |
1 Month | 917,845 | 84,744,661 | 92.33 |
6 Month | 1,085,910 | 98,187,979 | 90.42 |
Embassy Office Parks REIT Result Highlights
Embassy Office Parks REIT Forecast
Price Estimates
2,000(9.8%)
1,758(-3.5%)
1,590(-12.7%)
Embassy Office Parks REIT Corporate Action
Date | Purpose | Remarks |
---|---|---|
2024-07-25 | Quarterly Results & Income Distribution | |
2024-04-06 | Others | To consider Fund Raising and other business matters Distribution for REIT - Rs.6.10 per Unit (Rs.2.50 per Unit in the form of Interest + Rs. 3.60 per Unit in the form of proceeds of amortization of SPV level debt) |
2023-07-26 | Quarterly Results & Income Distribution | |
2023-04-27 | Audited Results & Dividend | |
2023-01-25 | Quarterly Results & Others |
Date | Purpose | Remarks |
---|---|---|
2024-10-29 | DEFAULT | Rs.0.00 of Rs. 5.83/- per unit for the Quarter ended 30/09/2024, which comprises Interest of Rs. 0.93/- per unit, Dividend of Rs. 1.25 per unit and in the form of repayment of SPV level debt of Rs. 3.65 per unit. |
2024-10-29 | DEFAULT | Rs.0.00 of Rs. 5.83/- per unit for the Quarter ended 30/09/2024, which comprises Interest of Rs. 0.93/- per unit, Dividend of Rs. 1.25 per unit and in the form of repayment of SPV level debt of Rs. 3.65 per unit. |
2024-10-29 | INTERIM | Rs.0.00 of Rs. 5.83/- per unit for the Quarter ended 30/09/2024, which comprises Interest of Rs. 0.93/- per unit, Dividend of Rs. 1.25 per unit and in the form of repayment of SPV level debt of Rs. 3.65 per unit. |
2024-08-02 | INTERIM | Income Distribution RITES of Rs. 5.83/- per unit for the Quarter ended 30/09/2024, which comprises Interest of Rs. 0.93/- per unit, Dividend of Rs. 1.25 per unit and in the form of repayment of SPV level debt of Rs. 3.65 per unit. |
2024-05-06 | INTERIM | Income Distribution RITES of Rs. 5.83/- per unit for the Quarter ended 30/09/2024, which comprises Interest of Rs. 0.93/- per unit, Dividend of Rs. 1.25 per unit and in the form of repayment of SPV level debt of Rs. 3.65 per unit. |