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: www.dividendcapitaldiversified.com
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.