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Vinebrook Homes Trust Declares Monthly NAV Per Share

Vinebrook Homes Trust Inc., a private real estate investment trust managed by an affiliate of NexPoint Real Estate Advisors, has declared its monthly net asset value per share for December 2021.

Vinebrook Homes Trust Inc., a private real estate investment trust managed by an affiliate of NexPoint Real Estate Advisors, has declared its monthly net asset value per share for December 2021.

As of December 31, 2021, the REIT’s NAV per share was $54.14, compared to $51.38 per share the previous month. Shares were originally priced at $25.00 each.

Vinebrook Homes Trust is primarily focused on acquiring, renovating, leasing, and managing single-family rental homes located in large- to medium-sized cities and suburbs in the Midwest, Heartland, and Southeast.

The REIT launched its Regulation D private placement offering in November 2018 and oversees a $1.6 billion portfolio of 15,787 single-family rental properties, as of the third quarter of 2021. Vinebrook files quarterly and annual financial reports with the SEC, along with others required by federal securities laws.

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