other material
confidence high
sentiment neutral
materiality 0.50
Ares Real Estate Income Trust NAV per share rises to $8.2554 as of July 31, 2026
Ares Real Estate Income Trust Inc.
- NAV per share $8.2554, up from $8.2229 at June 30, 2026 (0.4% increase).
- Aggregate Fund NAV $3.9097B vs $3.8885B; total Fund Interests 473,596.
- Portfolio: 165 properties, ~34M sq ft, 95% leased; leverage ratio 32%.
- Raised ~$102M gross proceeds quarter-to-date; July redemptions $9M.
- Monthly distribution $0.0345 per share for July 2026.