other material
confidence high
sentiment neutral
materiality 0.30
Hines Global Income Trust NAV rises to $9.81; monthly distribution declared at $0.052/share
HINES GLOBAL INCOME TRUST, INC.
- NAV per share as of April 30, 2025 is $9.81, up from $9.79 on March 31; portfolio 95% leased, 30% levered.
- June 2025 transaction price for DRIP and redemptions set at $9.81 per share for all six share classes.
- May 2025 gross distribution of $0.052/share declared; net distributions range from $0.044 (Class T) to $0.052 (Class I/AX/JX).
- Distributions payable on the first business day of June 2025 to holders of record as of May 31, 2025.
- Portfolio consists of 45 properties totaling 20.1M sq ft; key valuation assumptions include weighted-average exit cap rates of 5.90%.