CNSREIT-AR-2024 Final - Flipbook - Page 97
The purchase price per share for each class of our common stock will generally equal our prior month9s NAV per
share, as determined monthly, plus applicable selling commissions and dealer manager fees. Our NAV for each class of
shares is based on the net asset value of our investments (including real estate-related securities), the addition of any other
assets (such as cash on hand) and the deduction of any liabilities, including the allocation/accrual of any performance
participation, and any stockholder servicing fees applicable to such class of shares. Please refer to