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Strategic Storage Trust VI, Inc. announced its board approved an estimated net asset value per share of $10.00 for Class P, Class A, Class T, Class W, Class Y, and Class Z shares as of September 30, 2025, based on independent valuation by Robert A. Stanger & Co., Inc. This assists broker-dealers with FINRA Rule 2231 customer account statement obligations and reflects total NAV of $273.2 million versus $226.6 million previously.
Event Type
Disclosure
Voluntary
Variant
8-K
disclosure, including Exhibits 99.1 and 99.2 and information set forth therein, is deemed to have been furnished and shall not be deemed to be “filed” for purpo
. Other Events. Determination of Estimated Per Share Net Asset Value On March 20, 2026, the board of directors (the “Board”) of the Company, at the recommendati
. Financial Statements and Exhibits. (d) Exhibits . 99.1 Press Release dated March 23, 2026 99.2 Consent of Robert A Stanger & Co., Inc. 104 Cover Page Interact