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Investor Presentaiton

Strong Capital Structure Brookfield India Real Estate Trust Backed by high quality assets and robust cash flows, our long-duration borrowings maintain a AAA credit rating, attract competitive costs and carry a low refinancing risk 8.20% AAA/Negative AVERAGE INTEREST RATE (1) CREDIT RATING (CRISIL) INCREASE IN INTEREST RATES(2) 250 bps Repo Rate 144 bps 32% NET DEBT TO VALUE RATIO(3) 9 Yrs. AVERAGE MATURITY(4) DEBT MATURITY PROFILE (% OF OUTSTANDING DEBT) 74% 10% 11% 1% 2% 2% Brookfield India REIT FY24 FY25 FY26 FY27 FY28 FY29+ (1) As on March 31, 2023; 100% floating rate loans. (2) During FY2023. (3) Gross Asset Value is as on March 31, 2023. (4) Weighted average maturity period as on March 31, 2023. 40 40
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