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$10.82
- The REIT’s NAV per share was $10.82 as of January 31, 2022, compared to $10.78 the previous month.
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What is Hines Global's Net Investment Value?
How are property values determined at Hines Global?
Why is Hines Global's Offering price per share subject to less volatility?
How does Hines Global calculate NAV per share?
Rather, it represents the “net investment value,” which was equal to the $10.00 per share offering price in effect at that time, as arbitrarily determined by Hines Global’s board of directors, net of the applicable selling commissions, dealer manager fees and issuer costs.
See Hines Global’s prospectus for more information. The number of buildings is based on data as of April 30, 2024. The number of assets is 42. The percentage leased and square footage are based on data as of March 31, 2024. Percentage breakdown is based on value.
Feb 15, 2022 · Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share for its Class T, Class S, Class D, and Class I shares of common stock, as of January 31, 2022. The REIT’s NAV per share was $10.82 as of January 31, 2022, compared to $10.78 the previous month.
Jun 16, 2022 · Hines Global Income Trust Inc., a publicly registered non-traded real estate investment trust, has declared a net asset value per share for its Class T, Class S, Class D, and Class I shares of common stock, as of May 31, 2022. The REIT’s NAV per share was $11.28 as of May 31, 2022, compared to $11.19 the previous month.
Hines Global may not achieve any of the potential benefits listed. While Hines Global’s Advisor is more closely aligned with investors, it is not completely aligned. Hines Global will also face conflicts of interest as a result of, among other things, the allocation of investment opportunities among us and ...
Mar 3, 2016 · (HOUSTON) – Hines, the international real estate firm, announced today that the Board of Directors of Hines Global REIT, Inc. (“Hines Global REIT” or “the Company”) has established a new estimated net asset value (“NAV”) per share of $10.241 as of December 31, 2015, a net increase of approximately…