other_material
confidence high
sentiment neutral
materiality 0.40
Ares Industrial REIT reports August NAV of $13.0143 per share, up 0.2% from July; portfolio 91.9% occupied
ARES INDUSTRIAL REAL ESTATE INCOME TRUST Inc.
- NAV per share $13.0143 as of Aug 31, 2025, up from $12.9862 in July (approx 0.22% increase).
- Aggregate Fund NAV $4.68B; industrial property value $9.24B across 262 buildings, 55.6M sq ft.
- Portfolio 91.9% occupied (92.4% leased); leverage ratio 45.6%.
- Monthly gross distribution $0.05250 per share for August 2025, unchanged.
- QTD through Aug 31: gross proceeds $63.1M; redemptions $36.6M in July/August.
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