Hines Private Wealth Solutions
Hines Securities, Inc., member FINRA/SIPC, is the broker-dealer affiliate of Hines, a privately owned global real estate investment, development and management firm. Founded in 1957, Hines has built a reputation as one of the world’s leading commercial real estate firms. Designed to address the needs of today’s investors, Hines Securities offers investment opportunities sponsored by Hines through its three major platforms: Hines Global Income Trust, Hines Real Estate Exchange and Hines U.S. Direct Investments. Learn more under the Fund Information tab below.
845 Texas Avenue, Suite 3300
Houston, TX 77002
www.hinessecurities.com
Financial Professional Inquiries: (888) 446-3773
Investor Relations: (888) 220-6121
hinesinvestorrelations@hines.com
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Offerings
Hines Ann Arbor Multifamily LLC
Hines Asia Property Partners FCP-RAIF
Hines Employee Access Partners I LP
Hines European Property Partners SCSp
HINES FUND, LP
HINES GLOBAL ACCESS PARTNERS I, LP
Hines Global Income Trust, Inc.
Hines Master Fund Management CO S.a.r.l. acting in its capacity as Management CO of Hines Real Estate Master FCP-FIS-Hines European Core Fund
Hines Real Estate Investment Trust, Inc.
Hines Realty Income Fund, LLC
Hines Realty Income REIT, LLC
Hines Rialto Credit Partners, LP
HINES U.S. PROPERTY PARTNERS FEEDER I LP
HINES U.S. PROPERTY PARTNERS II LUX SCSP
HINES U.S. PROPERTY PARTNERS LP
HINES U.S. PROPERTY PARTNERS LUX SCSP
Related Articles

Hines Global Income Trust Reports Consistent NAV, Expands Portfolio
Hines Global Income Trust’s NAV slightly decreased to $10.00 per share as of June 30, 2024, while the REIT maintained strong performance with 42 properties and declared monthly distributions for July.

Hines Global Income Trust Maintains $10.00 NAV Per Share
Hines Global Income Trust maintained a steady net asset value of $10.00 per share in July 2024, with a portfolio that remains 96% leased, while continuing to declare monthly distributions and raise new capital.

Hines Global Income Trust Updates NAV
The company sets share redemption prices and declares December distributions amid stable valuations.
This data is presented as is. While it is accurate to the best of our knowledge, it is not comprehensive, and there may be errors. We recommend conducting your own due diligence and verifying any information before making investment decisions.