Tag: valuation
Black Creek Industrial REIT IV Declares Monthly NAV Per Share
Black Creek Industrial REIT IV Inc., a publicly registered non-traded real estate investment trust, has updated the monthly per share net asset value for...
Black Creek Diversified Declares Monthly NAV Per Share
Black Creek Diversified Property Fund Inc., a publicly registered NAV-based perpetual life REIT formerly known as Dividend Capital Diversified Property Fund, has updated the...
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...
Hartman XX Declares New NAV Per Share and Monthly Distribution Amount
Hartman Short Term Income Properties XX Inc., a publicly registered non-traded real estate investment trust, declared a new net asset value per share and...
Greenbacker Declares New Quarterly Net Asset Value Per Share
Greenbacker Renewable Energy Company LLC, a publicly registered, non-traded limited liability company and manager of sustainable infrastructure investments, has declared a fourth quarter net...
Oaktree REIT Declares New Monthly NAV Per Share
Oaktree Real Estate Income Trust Inc., a publicly registered non-traded real estate investment trust sponsored by alternative investment manager Oaktree Capital Management L.P., has...
Black Creek Industrial REIT IV Declares Monthly NAV Per Share
Black Creek Industrial REIT IV Inc., a publicly registered non-traded real estate investment trust, has updated the monthly per share net asset values for...
Griffin Capital Essential Asset REIT Updates Quarterly NAV Per Share
Griffin Capital Essential Asset REIT Inc., a publicly registered non-traded real estate investment trust, has declared a new quarterly net asset value per share...
Black Creek Diversified Declares Monthly NAV Per Share
Black Creek Diversified Property Fund Inc., a publicly registered NAV-based perpetual life REIT formerly known as Dividend Capital Diversified Property Fund, has updated the...
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...