other_material
confidence high
sentiment neutral
materiality 0.50
Ares REIT reports April NAV of $8.1640/share, up from $8.1467; portfolio 94.5% leased
Ares Real Estate Income Trust Inc.
- NAV per share $8.1640 as of Apr 30, up 0.21% from $8.1467 on Mar 31; aggregate NAV $3.41B.
- Portfolio: 144 properties (30.7M sq ft) in 34 U.S. markets, 94.5% leased.
- Leverage ratio 33.1%; raised $126M in gross proceeds QTD; redemptions $11.6M in April.
- Monthly distribution authorized $0.0345 per share for April 2026, paid to Apr 30 record holders.
- Total investments $8.98B; industrial $3.08B, residential $2.68B, retail $729M, office $406M.
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