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Maryland
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000-52596
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30-0309068
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(State or other jurisdiction
of incorporation)
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(Commission File No.)
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(I.R.S. Employer
Identification No.)
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518 Seventeenth Street, 17th Floor, Denver, CO
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80202
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(Address of Principal Executive Offices)
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(Zip Code)
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☐
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Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
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☐
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Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
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☐
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Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
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☐
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Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
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Share Class
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Transaction Price (per share)
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Class T
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$
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7.5096
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Class S
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$
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7.5096
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Class D
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$
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7.5096
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Class I
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$
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7.5096
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Class E
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$
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7.5096
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As of
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||||||
(in thousands)
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January 31, 2020
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December 31, 2019
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Investments in office properties
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$
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728,700
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$
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727,450
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Investments in retail properties
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906,050
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866,400
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Investments in multi-family properties
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305,000
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301,850
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Investments in industrial properties
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234,450
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234,450
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Investments in debt assets
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22,524
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22,007
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Cash and cash equivalents
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71,024
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97,280
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Restricted cash
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10,672
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10,010
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Other assets
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29,732
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28,049
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Line of credit, term loans and mortgage notes
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(852,634
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)
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(852,857
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)
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Financing obligations associated with our DST Program
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(274,432
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)
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(262,692
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)
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Other liabilities
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(33,152
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)
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(37,130
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)
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Accrued performance-based fee
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(489
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)
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(3,776
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)
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Accrued advisory fees
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(1,327
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)
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(1,256
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)
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Aggregate Fund NAV
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$
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1,146,118
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$
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1,129,785
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Total Fund Interests outstanding
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152,620
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150,766
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(in thousands, except per Fund Interest data)
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Total
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Class T
Shares |
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Class S
Shares |
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Class D
Shares |
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Class I
Shares |
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Class E
Shares |
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OP Units
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As of January 31, 2020
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Monthly NAV
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$
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1,146,118
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$
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46,037
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$
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162,022
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$
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27,211
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$
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333,480
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$
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496,613
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$
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80,755
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Fund Interests outstanding
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$
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152,620
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6,130
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21,575
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3,624
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44,407
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66,130
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10,754
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||||||
NAV Per Fund Interest
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$
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7.5096
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$
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7.5096
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$
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7.5096
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$
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7.5096
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$
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7.5096
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$
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7.5096
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$
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7.5096
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As of December 31, 2019
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Monthly NAV
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$
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1,129,785
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$
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43,852
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$
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154,313
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$
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26,222
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$
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327,715
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$
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500,604
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$
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77,079
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Fund Interests outstanding
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150,766
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5,852
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20,593
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3,499
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43,732
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66,804
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10,286
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|||||||
NAV Per Fund Interest
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$
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7.4937
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$
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7.4937
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$
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7.4937
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$
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7.4937
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$
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7.4937
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$
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7.4937
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$
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7.4937
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Office
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Retail
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Multi-family
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Industrial
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Weighted-Average Basis
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Exit capitalization rate
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6.31
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%
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6.38
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%
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5.36
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%
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5.97
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%
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6.19
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%
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Discount rate / internal rate of return (“IRR”)
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6.94
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%
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6.85
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%
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6.64
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%
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6.92
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%
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6.86
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%
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Annual market rent growth rate
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3.01
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%
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2.95
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%
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3.00
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%
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2.88
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%
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2.98
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%
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Average holding period (years)
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10.0
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10.0
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10.0
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10.0
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10.0
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Input
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Hypothetical
Change |
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Office
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Retail
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Multi-family
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Industrial
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Weighted-Average Values
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Exit capitalization rate (weighted-average)
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0.25% decrease
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2.99
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%
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2.44
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%
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3.05
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%
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2.88
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%
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2.76
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%
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0.25% increase
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(2.75
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)%
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(2.25
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)%
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(2.78
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)%
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(2.64
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)%
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(2.54
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)%
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Discount rate (weighted-average)
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0.25% decrease
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2.11
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%
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1.92
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%
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1.95
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%
|
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1.96
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%
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1.99
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%
|
|
|
0.25% increase
|
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(2.06
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)%
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(1.87
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)%
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(1.91
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)%
|
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(1.91
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)%
|
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(1.94
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)%
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Exhibit Number
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Description
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99.1*
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Black Creek Diversified Property Fund Inc.
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February 14, 2020
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By:
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/s/ LAINIE P. MINNICK
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Lainie P. Minnick
Managing Director, Chief Financial Officer and Treasurer |
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/s/ Altus Group U.S., Inc.
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Altus Group U.S., Inc.
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February 14, 2020
|
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