Net Asset Value (NAV)
The estimated net market value of all a REIT's assets, including but not limited to its properties, after subtracting all its liabilities and obligations. Such net asset values, which is usually expressed on a per-share basis, must be estimated by analysts and investors since REITs don't obtain periodic property appraisals (although a few REITs prepare and disclose their own NAV estimates).Company News
New Urban Trust Adds Strategic Hotels and Resorts to Investment Portfolio 
New Urban Trust Adds Sovran Self Storage to Invesment Portfolio 
Resources
What is New Urbanism?
Walkable neighborhoods, diverse housing, less driving, less crime. 
What is Mixed-use?
The practice of containing more than one type of use in a building or set of buildings.
