11/15/2024 | Press release | Distributed by Public on 11/15/2024 15:18
Item 8.01 Other Events.
Determination of October 31, 2024 NAV per Share
InPoint Commercial Real Estate Income, Inc. (the "Company," "we," "our") calculates net asset value ("NAV") per share in accordance with the valuation guidelines that have been approved by its board of directors (the "Board"). Our NAV per share, which is updated as of the last calendar day of each month, is posted on our website at www.inland-investments.com/inpoint. The "Net Asset Value Calculation and Valuation Guidelines" section of our prospectus for our public offering (SEC Registration No. 333-264540), as supplemented, contains details regarding how our NAV is determined. Inland InPoint Advisor, LLC, our Advisor, is ultimately responsible for determining our NAV. We have included a breakdown of the components of total net asset value attributable to common stock and NAV per share for October 31, 2024.
Our total net asset value attributable to all classes of our common stock in the aggregate is presented in the following table. As of October 31, 2024, we had not sold any Class S shares of common stock in our public offering. As previously announced, on January 30, 2023, our Board unanimously approved the suspension of the sale of shares in the primary portion of our public offering and through our amended and restated distribution reinvestment plan. The following table provides a breakdown of the major components of our total net asset value attributable to common stock as of October 31, 2024 ($ and shares in thousands, except per share data):
Components of NAV |
October 31, 2024 |
|||
Commercial mortgage loans |
$ |
605,297 |
||
Real estate owned |
43,627 |
|||
Cash and cash equivalents and restricted cash |
63,253 |
|||
Other assets |
5,804 |
|||
Repurchase agreements - commercial mortgage loans |
(400,413 |
) |
||
Loan participations sold |
(56,341 |
) |
||
Due to related parties |
(1,544 |
) |
||
Distributions payable |
(1,051 |
) |
||
Interest payable |
(2,416 |
) |
||
Accrued stockholder servicing fees (1) |
(232 |
) |
||
Other liabilities |
(1,554 |
) |
||
Preferred stock |
(87,789 |
) |
||
Net asset value attributable to common stock |
$ |
166,641 |
||
Number of outstanding shares |
10,118 |
|||
Aggregate NAV per share |
$ |
16.4698 |
The following table provides our total NAV attributable to common stock and NAV for each class of common stock in each case as of October 31, 2024 ($ and shares in thousands, except per share data):
NAV Per Share |
Class P |
Class A |
Class T |
Class S |
Class D |
Class I |
Total |
|||||||||||||||||||||
Net asset value attributable to common stock |
$ |
140,930 |
$ |
12,314 |
$ |
4,819 |
$ |
- |
$ |
793 |
$ |
7,775 |
$ |
166,641 |
||||||||||||||
Number of outstanding shares |
8,563 |
746 |
290 |
- |
48 |
471 |
10,118 |
|||||||||||||||||||||
NAV per share as of October 31, 2024 |
$ |
16.4584 |
$ |
16.5092 |
$ |
16.5988 |
$ |
- |
$ |
16.5142 |
$ |
16.5087 |
$ |
16.4698 |