other material
confidence high
sentiment positive
materiality 0.45
Ares Real Estate Income Trust NAV per share rises to $7.8051 as of August 31, 2025
Ares Real Estate Income Trust Inc.
- NAV per share increased to $7.8051 from $7.7835 in July (0.28% rise).
- Aggregate Fund NAV $2.62B; portfolio 94.5% leased across 135 properties in 34 markets.
- Gross proceeds raised Q3-to-date $245.7M; redemptions of $25.8M in July/August.
- Monthly distribution $0.03450/share for August 2025, unchanged.
- Leverage ratio 35.9%; real estate investments $6.46B, up from $6.21B in July.