Nexus Select Trust REIT
₹139.36
+0.62 (0.45%)
22 December, 2024 06:51 BSE: 543913
NSE: NXSTISIN: INE0NDH25011
Start SIP in Nexus Select Trust REIT
Start SIPNexus Select Trust REIT Performance
Day Range
52 Week Range
Nexus Select Trust REIT Technicals
EMA & SMA
Current Price
₹139.36
+0.62 (0.45%)
- Bullish Moving Average
- ___
- 4
- Bearish Moving Average
- ___
- 12
- 20 Day
- ₹140.62
- 50 Day
- ₹141.61
- 100 Day
- ₹141.15
- 200 Day
- ₹137.92
- 20 Day
- ₹141.43
- 50 Day
- ₹142.50
- 100 Day
- ₹141.91
- 200 Day
- ₹137.98
Nexus Select Trust REIT Resistance and Support
PIVOT
₹139.04
Resistance | |
---|---|
First Resistance | 144.17 |
Second Resistance | 148.98 |
Third Resistance | 154.11 |
RSI | 42.68 |
MFI | 66.26 |
MACD Single Line | -0.83 |
MACD | -1.08 |
Support | |
---|---|
First Support | 134.23 |
Second Support | 129.10 |
Third Supoort | 124.29 |
Nexus Select Trust REIT Delivery and Volume
Period | NSE + BSE Volume Avg | NSE + BSE Delivery Volume Avg | NSE + BSE Delivery Volume % |
---|---|---|---|
Day | 11,526,509 | 951,743,848 | 82.57 |
Week | 2,697,389 | 221,779,356 | 82.22 |
1 Month | 1,078,466 | 90,968,588 | 84.35 |
6 Month | 3,784,803 | 349,185,934 | 92.26 |
Nexus Select Trust REIT Result Highlights
Nexus Select Trust REIT Forecast
Price Estimates
2,000(9.8%)
1,758(-3.5%)
1,590(-12.7%)
Nexus Select Trust REIT Corporate Action
Date | Purpose | Remarks |
---|---|---|
2024-07-30 | Income Distribution & Fund Raising | Raising of funds by way of issuance of listed, rated, redeemable commercial papers and/or non-convertible debentures in one or more transactions, and/or in one or more series and/or tranches. distributions of Rs. 2.98 per Unit for the quarter ended September 30, 2023. Rs. 1.84 per Unit in the form of dividend, 0.85 per unit in the form of Interest and Rs. 0.29 per unit in the form of repayment of loan. |
2024-05-09 | Audited Results & Income Distribution | |
2023-08-11 | Quarterly Results | |
2023-05-26 | Audited Results & Others | To consider, raising debt by way of issuance of non-convertible debentures, term loan and/or any other modes as permitted under applicable law, including for refinancing of debt. distributions of Rs. 2.98 per Unit for the quarter ended September 30, 2023. Rs. 1.84 per Unit in the form of dividend, 0.85 per unit in the form of Interest and Rs. 0.29 per unit in the form of repayment of loan. |
Date | Purpose | Remarks |
---|---|---|
2024-11-21 | INTERIM | Income Distribution RITES |
2024-08-07 | INTERIM | Income Distribution RITES |
2024-05-17 | INTERIM | Income Distribution RITES |
2024-02-14 | DEFAULT | Rs.0.00 of Rs. 2.00 per Unit for the qtr December 31, 2023. Rs. 0.706 per unit in the form of Interest, 1.046 per unit in the form of Dividend, Rs. 0.223 per unit in the form of repayment of SPV level debt and Rs. 0.025 per unit in the form of othe |
2024-02-14 | INTERIM | Rs.0.00 of Rs. 2.00 per Unit for the qtr 31/12/24. Rs. 0.706 per unit in the form of Interest, 1.046 per unit in the form of Dividend, Rs. 0.223 per unit in the form of repayment of SPV level debt and Rs. 0.025 per unit in the form of other income. |