Estimated value. Following the NAV Pricing Date, the Company, in coordination with the Advisor, periodically will calculate and disclose its estimated NAV per Share as set forth in the Prospectus in accordance with FINRA Rule 2310(b)(5).
Appears in 2 contracts
Sources: Dealer Manager Agreement (InPoint Commercial Real Estate Income, Inc.), Dealer Manager Agreement (InPoint Commercial Real Estate Income, Inc.)
Estimated value. Following the NAV Pricing Date, the The Company, in coordination with the Advisor, periodically will calculate and disclose its estimated NAV per Share as set forth in the Prospectus in accordance with FINRA Rule 2310(b)(5).
Appears in 1 contract
Sources: Dealer Manager Agreement (IPC Alternative Real Estate Income Trust, Inc.)