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Hines Global Income Trust Declares Monthly NAV Per Share

Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $10.18 for...

Cottonwood Communities Determines First Net Asset Value Per Share

Cottonwood Communities Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $11.06 per share, as...

Cantor Fitzgerald Income Trust Declares Nav Per Share for April 2021

Cantor Fitzgerald Income Trust Inc., a publicly registered non-traded real estate investment trust formerly known as Rodin Global Property Trust, has approved an estimated...

Hines Global Income Trust Declares Monthly NAV Per Share

Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $10.15 for...

Hines Global Income Trust Declares Monthly NAV Per Share

Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $10.10 for...

Hines Global Income Trust Declares NAV Per Share for January 2021

Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $10.10 for...

Hines Global Income Trust Updates NAV Per Share

Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share of $9.82 for...

Hines Global Income Trust Lowers NAV Per Share for September

The board of Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share...

Hines Global Income Trust Declares NAV Per Share for August, Provides...

The board of Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share...