Occupancy
82.4%
17.6% Vacancy
Rentable SF
811,862
668,699 Occupied
Total Debt
$22.4M
43.2% Debt / Basis
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
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