Scott Recknor
on April 1, 2025, Scott Recknor, the Company’s Head of Asset Management, notified the Company of his decision to retire.
Highest-materiality recent filing
Ares Real Estate Income Trust receives $100M equity investment from affiliate Perigee SPV
Perigee SPV purchased $100M of Class B common stock at April 30, 2026 NAV per share.
Ares Real Estate Income Trust upsizes affiliate equity commitment by $100M to $300M total
Amendment increases Ares Apogee Finance HoldCo's Class B share purchase from $200M to $300M.
Ares REIT reports April NAV of $8.1640/share, up from $8.1467; portfolio 94.5% leased
NAV per share $8.1640 as of Apr 30, up 0.21% from $8.1467 on Mar 31; aggregate NAV $3.41B.
Ares Real Estate Income Trust renews advisory agreement, raises $44.1M via share issuance
Renewed advisory agreement with Ares Commercial Real Estate Management through April 30, 2027 on substantially same terms.
March NAV per share $8.1467, up 0.33% from Feb; aggregate NAV $3.39B
Aggregate Fund NAV increased to $3.391B from $3.187B as of Feb 28, 2026; total Fund Interests outstanding 416,255.
Issued 1,020,998 Class S-PR shares ($8.39M) and 1,569,934 Class I-PR shares ($12.75M) in Reg D offering on April 1, 2026.
NAV per share $8.1200 as of Feb 28, 2026, up from $8.1020 Jan 31, across all share classes.
Ares Real Estate Income Trust raises $26.8M via private equity placement
Issued 838,347 Class S-PR shares for gross proceeds of $6.85M (incl. $53,571 in fees).
Ares Real Estate Income Trust NAV per share rises to $8.1020 as of Jan 31, 2026
NAV per share $8.1020 for all share classes, up 0.8% from $8.0353 at Dec 31, 2025.
Ares Real Estate Income Trust issues 2.19M shares in private placement for $17.7M
Issued 1,350,003 Class S-PR shares for $10,933,625 gross proceeds.
ARET December 2025 NAV per share rises to $8.0353; acquires $768.1M in properties
NAV per share increased 0.51% from $7.9946 in November to $8.0353 in December 2025.
Ares Real Estate Income Trust issues 2.25M shares for $18M in unregistered offerings
Issued 681,448 Class S-PR shares for $5,495,957 gross proceeds.
Ares Real Estate Income Trust Nov 30 NAV per share $7.9946, up 0.68% from Oct
NAV per share for all classes and OP units: $7.9946 as of Nov 30, 2025 vs $7.9404 as of Oct 31, 2025.
Ares Real Estate Income Trust raises $15.99M via private placement of Class S-PR, D-PR, I-PR shares
Issued 593,238 Class S-PR shares for $4.78M gross proceeds; includes $67,419 selling commissions/fees.
Ares Real Estate Income Trust Oct 31 NAV per share rises to $7.9404 from $7.8710
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.
Ares Real Estate Income Trust raises ~$13.3M via unregistered private placement of shares
Total gross proceeds $13,329,485 from 1,686,796 shares issued under Regulation D.
Ares Real Estate Income Trust secures $200M from affiliate; Sep NAV per share $7.8710
Entered subscription agreement with Ares Apogee Finance HoldCo for $200M of Class B shares at Sep 30 NAV.
Ares Real Estate Income Trust raised $11.3M via private placement of 1.45M shares
Issued 815,816 Class I-PR shares ($6.37M) and 631,367 Class S-PR shares ($4.97M) on Oct 1, 2025.
Ares Real Estate Income Trust NAV per share rises to $7.8051 as of August 31, 2025
NAV per share increased to $7.8051 from $7.7835 in July (0.28% rise).
Ares Real Estate Income Trust issues 1.47M shares for $11.4M in private placement
Issued 910,418 Class I-PR shares for $7.06M from Aug 1 to Sep 2, 2025.
Ares REIT July NAV per share rises to $7.7835; monthly distribution increased to $0.03450
NAV per Fund Interest up 0.74% from $7.7262 (June 30) to $7.7835 (July 31).
Ares Real Estate Income Trust issues 1.27M Class S-PR shares raising $9.9M
Issued 1,271,509 Class S-PR shares from July 1 to August 1, 2025.
Ares Real Estate Income Trust raises monthly distribution to $0.03450 per share
Monthly gross distribution increased from $0.03333 to $0.03450 per share (3.5% increase) for July, August, September 2025 record dates.
ARET NAV per share rises to $7.7262; $251M in acquisitions, portfolio 94.6% leased
NAV per Fund Interest $7.7262 as of June 30, up from $7.7039 in May; aggregate NAV $2.592B.
Ares Real Estate Income Trust issues 1.07M Class I-PR shares for $8.2M in June-July 2025
Issued 1,065,202 Class I-PR shares from June 2 to July 1, 2025, with gross proceeds of $8,190,837.
Amended and restated credit facility includes $1.0B revolving line, $700M A-1 term loan, and $300M A-2 term loan, total $2.0B.
Ares Real Estate Income Trust May NAV per share $7.7039, up from $7.6735 in April
Aggregate Fund NAV rose to $2.58B from $2.58B; total Fund Interests 335,231.
Issued 654,917 Class S-PR shares from April 1 to June 2, 2025 under Regulation D exemption.
Ares Real Estate Income Trust reports April NAV of $7.6735 per share, portfolio 94.4% leased
NAV per share $7.6735 across all classes, up from $7.6647 in March.
Ares Real Estate Income Trust Renews Advisory Agreement and Issues $6.0M in Shares
Renewed advisory agreement with Ares Commercial Real Estate Management LLC through April 30, 2026 on substantially same terms as 2024 agreement.
NAV per share rose to $7.6647 at March 31, 2025, up 0.45% from $7.6303 in February.
Ares Real Estate Income Trust sells $10.6M shares, replaces two directors, approves equity plan
Issued 1,394,850 Class I-PR shares for $10.6M in exempt offering on April 1, 2025.
Ares REIT Feb 2025 NAV per share $7.6303, up 0.16% from Jan; portfolio 94.3% leased
NAV per share $7.6303 as of Feb 28, 2025, compared to $7.6178 as of Jan 31, 2025.
Ares Real Estate Income Trust Jan 31 NAV per share $7.6178, up 0.4% from Dec 31
NAV per share $7.6178 for all classes, up from $7.5867 at Dec 31, 2024; Aggregate Fund NAV $2.58B.
AREIT Dec NAV rises to $7.5867; acquires $542M in Q4 properties
NAV per share up 0.6% to $7.5867 at Dec 31, 2024 from $7.5396 at Nov 30, 2024.
Ares Real Estate Income Trust issues 1.34M shares in private placements, raises $10.1M gross
Issued 603,665 Class S-PR shares for $4,587,422 gross proceeds from Oct 1, 2024 to Jan 2, 2025.
Ares Real Estate Income Trust Nov 30 NAV $7.5396 per share, up from $7.5083; portfolio 94.3% leased
Aggregate Fund NAV $2.57B as of Nov 30, up from $2.36B on Oct 31; total Fund Interests 340.99M.
NAV per Fund Interest $7.5083 as of Oct 31, up from $7.4957 on Sep 30.
Ares Real Estate Income Trust reports Sep NAV per share $7.4957, up 0.4% MoM; portfolio 93.8% leased
NAV per Fund Interest $7.4957 (all share classes) vs $7.4662 in Aug; aggregate Fund NAV $2.362B.
Loan of $475M from JPMorgan Chase, Morgan Stanley Bank, and Natixis Real Estate Capital, non-recourse with standard carve-outs.
Ares Real Estate Income Trust NAV per share declines to $7.4662 in August
NAV per share fell to $7.4662 (Aug 31) from $7.4965 (Jul 31); Aggregate Fund NAV $2.37B.
AREIT Jul 31 NAV per share $7.4965, up 0.07% MoM; aggregate NAV $2.396B
NAV per share $7.4965 for all classes vs $7.4911 on June 30, 2024; aggregate NAV rose to $2.396B from $2.146B.
Initiated private offering on August 2, 2024, with Class S-PR, D-PR, and I-PR shares via Dealer Manager Agreement with Ares Wealth Management Solutions.
Ares Real Estate Income Trust June NAV per share falls to $7.49 from $7.61
Aggregate Fund NAV decreased to $2.146B from $2.206B; NAV per share $7.4911 vs $7.6091.
Annual meeting adjourned without vote; proxies solicited until July 31
Annual meeting convened July 3, 2024, but adjourned with polls closed to solicit additional proxies.
Ares Real Estate Income Trust NAV drops to $7.6091; Head of Debt Capital Markets resigns Oct 4
NAV per share fell to $7.6091 from $7.6794 in April, a ~0.9% decline.
Ms. Lainie Minnick, Head of Debt Capital Markets, resigned for personal reasons; effective date not yet determined.
Ares Real Estate Income Trust NAV per share falls to $7.6794 as of April 30, 2024
NAV per share across all classes: $7.6794, down from $7.6998 at March 31, 2024.
Ares Real Estate Income Trust intends to start a perpetual private stock offering
Company plans perpetual private offering of common stock, primary and DRIP components.
Company, Operating Partnership and Advisor renewed the 2023 Advisory Agreement on substantially same terms through April 30, 2025 via the 2024 Advisory Agreement effective April 30, 2024.
on April 1, 2025, Scott Recknor, the Company’s Head of Asset Management, notified the Company of his decision to retire.
the Board appointed Andrew E. Holm and Paula Schaefer to serve as directors, with Ms. Schaefer serving as an independent director, effective as of April 3, 2025.
the Board appointed Andrew E. Holm and Paula Schaefer to serve as directors, with Ms. Schaefer serving as an independent director, effective as of April 3, 2025.
On April 3, 2025, Rajat Dhanda and Daniel J. Sullivan, each a member of the board of directors (the “Board”) of the Company, notified the Company of their decisions to step down from their positions on the Board, which resignations became effective on that day.
On April 3, 2025, Rajat Dhanda and Daniel J. Sullivan, each a member of the board of directors (the “Board”) of the Company, notified the Company of their decisions to step down from their positions on the Board, which resignations became effective on that day.
As previously reported in our Current Report on Form 8-K filed with the Securities and Exchange Commission on June 5, 2024, on May 30, 2024, Ms. Lainie Minnick informed Ares Real Estate Income Trust Inc. (referred to herein as the “Company,” “we,” “our,” or “us”) that she will step down as the Company’s Head of Debt Capital Markets for personal reasons.
On May 30, 2024, Ms. Lainie Minnick informed Ares Real Estate Income Trust Inc. (referred to herein as the "Company," "we," "our," or "us") that she will step down as the Company’s Head of Debt Capital Markets for personal reasons.
Max materiality 0.75 · Median 0.50 · Most common event other_material