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Concepts

November 30, 2018

4 min read

Net Asset Value in Private Real Estate Investing

The world of private real estate investing is filled with..

Net Asset Value, or NAV, is a metric used across different types of investments, including mutual funds, exchange-traded funds, and private real estate funds. In the context of private real estate, NAV is the total value of a property or portfolio of properties after deducting any liabilities or obligations.

Mathematically, NAV can be calculated as follows:

NAV = Total Market Value of the Real Estate Assets – Total Liabilities

The total market value of the real estate assets includes the current market value of all properties owned by the fund. The total liabilities include any debt obligations, such as mortgages or loans, unpaid taxes, and other liabilities tied to the properties.

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August 2, 2018

5 min read

Understanding Syndication in Multifamily Real Estate

In essence, real estate syndication is a partnership between...

In the real estate world, syndication can be a golden bridge that allows individual investors to cross into the realm of high-yielding, large-scale multifamily property investments. However, as with any investment, syndication also carries its share of risks and rewards. In this post, we will demystify real estate syndication, exploring its benefits and potential risks in the context of multifamily property investing.

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