Hartman vREIT XXI, Inc. Declares New NAV Per Share and Monthly Distribution Amount

Hartman vREIT XXI, Inc. A publicly registered non-traded real estate investment trust headquartered in Houston, Texas declared a new net asset value (NAV) per share and monthly distribution to shareholders.

On March 25, 2022 the Board of Directors for Hartman vREIT XXI, Inc. declared an estimated NAV per share of its common stock of $10.17 per share, as of December 31, 2021. The sale price of the finds Class A, Class S, Class I and Class T common shares to the public is $11.31, $10.55, $10.17, and $10.83 per share, respectively, representing the net asset value per share as determined by the board of directors plus the applicable sales commissions and managing broker dealer fees. The NAV per share is based on the estimated value of the REIT’s assets, less the estimated value of its liabilities, divided by the number of outstanding shares, all as of March 25, 2022. The REIT intends to determine NAV on a quarterly basis.