Belpointe PREP Sets Q2 NAV at $116.37 per Class A Unit
Belpointe PREP approved its quarterly net asset value determination as of June 30, 2026, under its valuation policies. Total assets were reported at $761,525,631 and total liabilities at $306,512,164, resulting in NAV of $455,013,467. With 3,909,902 Class A units outstanding, NAV per Class A unit was set at $116.37.