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Daily NAV REIT Adds $.13 Per Share in March

Dividend Capital Diversified Property Fund, Inc.’s net asset value (NAV) rose during the month of March.

The daily NAV commercial real estate focused investment vehicle began the month at $7.18 per share on March 2, 2015. By March 31, 2015, the REIT’s NAV per share was $7.31.

DPF offers four share classes, E, A, W, and I, and posts its daily NAV per share class on its website which may be found here: 

As of December 31, 2014, DPF owned 68 properties consisting of 11.9 million square feet in total.

Read more DPF related news by visiting Dividend Capital’s directory listing here.