other material
confidence high
sentiment neutral
materiality 0.50
Ares REIT Feb 2025 NAV per share $7.6303, up 0.16% from Jan; portfolio 94.3% leased
Ares Real Estate Income Trust Inc.
- NAV per share $7.6303 as of Feb 28, 2025, compared to $7.6178 as of Jan 31, 2025.
- Portfolio consists of 122 properties, 24.3M sq ft, 94.3% leased across 35 U.S. markets.
- Leverage ratio 38.1%; quarter-to-date gross proceeds raised $148.2M, redemptions $35.3M.
- Mortgage loan origination program amended: unsold principal cap $400M, per loan max $200M.
- Monthly distribution authorized $0.03333 per share for February 2025, unchanged.