I am trying to figure out how to calculate the Net Asset Value (NAV) specifically for Real Estate Investment Trusts (REITs). Could someone explain the process or formula to determine the NAV in this context?
7 answers
ZenBalance
Thu Jan 02 2025
The process involves taking the
market value of the REIT's assets.
SolitudeEcho
Thu Jan 02 2025
Debts, such as mortgage liabilities, are then subtracted from this market value.
CryptoTitan
Thu Jan 02 2025
NAV stands for Net Asset Value.
Nicola
Thu Jan 02 2025
This subtraction helps in arriving at a more accurate representation of the REIT's financial health.
Nicola
Thu Jan 02 2025
By doing so, investors can gain a clearer understanding of the REIT's worth.