other
confidence high
sentiment positive
materiality 0.60
Ares Real Estate Income Trust Oct 31 NAV per share rises to $7.9404 from $7.8710
Ares Real Estate Income Trust Inc.
- NAV per Fund Interest rose to $7.9404 as of Oct 31, 2025, from $7.8710 as of Sep 30, an increase of $0.0694 per share.
- Aggregate Fund NAV increased to $2.66B from $2.64B; total real estate investments $6.82B.
- Portfolio 93.9% leased, 139 properties, 29.1M sq ft; leverage ratio 36.3%.
- October distribution of $0.03450 per share; QTD gross proceeds $34.6M, redemptions $22.2M.