You Must First Receive a Copy of the Prospectus - AREIT

This website is neither an offer to sell nor a solicitation of an offer to buy the securities described in the Ares Real Estate Income Trust (AREIT) prospectus. This offering is made only by means of a prospectus filed with the Department of Law of the State of New York, which should be read in its entirety in order to understand all of the implications and risks associated with this offering. Neither the Securities and Exchange Commission nor any other state securities regulator has approved or disapproved of the securities described in the AREIT prospectus or determined if the AREIT prospectus is truthful or complete. In addition, the Attorney General of the state of New York has not passed on or endorsed the merits of the offering. Any representation to the contrary is unlawful.

Please acknowledge that you have received a copy of the AREIT prospectus prior to entering our website. If you have yet received a copy, please use the following link to access a copy of the AREIT prospectus:

View Ares Real Estate Income Fund Prospectus
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Class I Share

(ZAREIX)

$8.701 NAV per share and Transaction Price For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023) More Information

Class D Share

(ZAREDX)

$8.701 NAV per share and Transaction Price For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023) More Information

Class S Share

(ZARESX)

$8.701 NAV per share and Transaction Price For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023) More Information

Class T Share

(ZARETX)

$8.701 NAV per share and Transaction Price For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023) More Information
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Introduction

AREIT is a diversified NAV REIT that seeks to deliver consistent monthly income and capture long-term value appreciation across a balanced portfolio of high-quality real estate assets.

Why AREIT?

Compelling Performance

  • One of the longest tenured NAV REITs2
  • Established history of compelling risk-adjusted returns through multiple market cycles
  • Click here to view AREIT’s performance

Differentiated Investment Strategy

  • Built on a foundation of high-quality assets across the four major U.S. property types (industrial, residential, office and retail)
  • Tactical exposure to complementary asset classes and geographies by leveraging Ares’ deep global expertise
  • Localized and granular asset focus, augmented by the global perspective of Ares Management

Investor-Aligned Structure

  • Share-based vehicle providing monthly liquidity and monthly income in the form of dividend distributions3
  • Performance-driven fee structure with no additional acquisition, disposition or development fees4
  • Transparent monthly valuation process performed by independent third-party appraiser5

Investment Objectives6

  • Current Income3 Providing current income to stockholders in the form of cash distributions
  • Portfolio Diversification – Diversifying in the form of multi-asset class investing in direct real estate
  • Capital Appreciation – Realizing capital appreciation from active investment management and asset management
  • Capital Preservation – Preserving and protecting stockholders’ capital investments

Portfolio At-A-Glance

As of December 31, 2022

$5.1B Total Asset Value7
90 Total Properties
33 Geographic Markets
18.5M Net Rentable Sq Ft
95.9% Leased
400 Commercial Tenants

Portfolio Diversification

As of December 31, 2022

Sector Diversification

Geographic Diversification

Access to Institutional-Quality Assets

Direct Property Ownership by Market

AREIT Property Map 4Q22

 

Share Class Overview

As of February 28, 2023

$8.701
NAV per share and Transaction Price
For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023)
4.31% Distribution Rate
2.11% Annual Standard Deviation
3.26 Sharpe Ratio

Offering Terms8

Availability: Through fee-based (wrap) programs, registered investment advisors and other institutional and fiduciary accounts

Minimum Initial Investment: $1 million (unless waived)

Fees:

  • Selling Commission: None
  • Dealer Manager Fee: None
  • Annual Distribution Fee: None
  • Management Fee: 1.10% per annum of NAV, payable monthly
  • Performance Participation Allocation: 12.5% of the total annual return, subject to a 5% hurdle amount, catch-up and loss carry-forward
$8.701
NAV per share and Transaction Price
For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023)
4.06% Annual Distribution Rate
2.11% Annual Standard Deviation
3.07 Sharpe Ratio

Offering Terms8

Availability: Through fee-based (wrap) programs, registered investment advisors and other institutional and fiduciary accounts

Minimum Initial Investment: $2,500

Share Class Specific Fees:

  • Selling Commission: None
  • Dealer Manager Fee: None
  • Annual Distribution Fee: 0.25%

Advisor Fees:

  • Management Fee: 1.10% per annum of NAV, payable monthly
  • Performance Participation Allocation: 12.5% of the total annual return, subject to a 5% hurdle amount, catch-up and loss carry-forward
$8.701
NAV per share and Transaction Price
For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023)
3.46% Annualized Distribution Rate at NAV
3.34% Annualized Distribution Rate with Sales Charge
2.14% Annual Standard Deviation
2.90 Sharpe Ratio at NAV
2.87 Sharpe Ratio with Sales Charge

Offering Terms8

Availability: Through transaction/brokerage accounts

Minimum Initial Investment: $2,500

Share Class Specific Fees:

  • Selling Commission: Up to 3.5%
  • Dealer Manager Fee: None
  • Annual Distribution Fee: 0.85%

Advisor Fees:

  • Management Fee: 1.10% per annum of NAV, payable monthly
  • Performance Participation Allocation: 12.5% of the total annual return, subject to a 5% hurdle amount, catch-up and loss carry-forward
$8.701
NAV per share and Transaction Price
For subscriptions accepted as of April 3, 2023 (and repurchased as of March 31, 2023)
3.46% Annualized Distribution Rate at NAV
3.34% Annualized Distribution Rate with Sales Charge
2.14% Annual Standard Deviation
2.90 Sharpe Ratio at NAV
2.87 Sharpe Ratio with Sales Charge

Offering Terms8

Availability: Through transaction/brokerage accounts

Minimum Initial Investment: $2,500

Share Class Specific Fees:

  • Selling Commission: Up to 3.0%
  • Dealer Manager Fee: Up to 0.50%
  • Annual Distribution Fee: 0.85%

Advisor Fees:

  • Management Fee: 1.10% per annum of NAV, payable monthly
  • Performance Participation Allocation: 12.5% of the total annual return, subject to a 5% hurdle amount, catch-up and loss carry-forward

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