Back to Dashboard

Dade City Industrial

TES Portfolio Maturity 12/17/2028
Active Portfolio Asset

Occupancy

82.4%

17.6% Vacancy

Projected NOI

2.4M

$3 / SF

Rentable SF

811,862

668,699 Occupied

Total Debt

$22.4M

43.2% Debt / Basis

Basis Breakdown

Total Equity

$29.5M

Total Debt

$22.4M

Total Basis

$51.8M

Distribution Analysis

Projected 2026 Cash Flow$843,646
Annual Preferred Return$1,767,247
Quarterly Preferred Return$441,812
Last Distribution Amount$294,541
Next Scheduled Distribution Amount$441,812

Notes

Dade City Industrial notes are saved locally in this browser.

No notes yetAdd a note to keep local property context here.