0001542447-19-000085.txt : 20191101 0001542447-19-000085.hdr.sgml : 20191101 20191101142302 ACCESSION NUMBER: 0001542447-19-000085 CONFORMED SUBMISSION TYPE: 424B3 PUBLIC DOCUMENT COUNT: 1 FILED AS OF DATE: 20191101 DATE AS OF CHANGE: 20191101 FILER: COMPANY DATA: COMPANY CONFORMED NAME: RREEF Property Trust, Inc. CENTRAL INDEX KEY: 0001542447 STANDARD INDUSTRIAL CLASSIFICATION: REAL ESTATE INVESTMENT TRUSTS [6798] IRS NUMBER: 454478978 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 424B3 SEC ACT: 1933 Act SEC FILE NUMBER: 333-208751 FILM NUMBER: 191186465 BUSINESS ADDRESS: STREET 1: 345 PARK AVENUE, 24TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10154 BUSINESS PHONE: 212-454-6260 MAIL ADDRESS: STREET 1: 345 PARK AVENUE, 24TH FLOOR CITY: NEW YORK STATE: NY ZIP: 10154 FORMER COMPANY: FORMER CONFORMED NAME: RREEF America Property Income Trust, Inc. DATE OF NAME CHANGE: 20120214 424B3 1 supp13-2019octobermonthlyp.htm 424B3 Document


Filed Pursuant to Rule 424(b)(3)
Registration No. 333-208751
RREEF PROPERTY TRUST, INC.
SUPPLEMENT NO. 13 DATED NOVEMBER 1, 2019
TO THE PROSPECTUS DATED APRIL 11, 2019

This document supplements, and should be read in conjunction with, our prospectus dated April 11, 2019, as supplemented by Supplement No. 1 dated April 11, 2019, Supplement No. 2 dated May 2, 2019, Supplement No. 3 dated May 17, 2019, Supplement No. 4 dated June 3, 2019, Supplement No. 5 dated June 14, 2019, Supplement No. 6 dated July 2, 2019, Supplement No. 7 dated August 1, 2019, Supplement No. 8 dated August 15, 2019, Supplement No. 9 dated September 3, 2019, Supplement No. 10 dated September 4, 2019, Supplement No. 11 dated September 17, 2019 and Supplement No.12 dated October 2, 2019. Unless otherwise defined herein, capitalized terms shall have the same meanings as set forth in the prospectus. The purpose of this supplement is to disclose:

our daily net asset value per share for our Class A, Class I, Class T and Class D shares for the month of October 2019.

Historical NAV per Share

The following table sets forth the net asset value, or NAV, per share for the Class A, Class I, Class T and Class D shares of our common stock on each business day for the month of October 2019:
Date
 
NAV per
Class A Share
 
NAV per
Class I Share
 
NAV per
Class T Share
 
NAV per
Class D Share*
October 1, 2019
 
$14.42
 
$14.51
 
$14.46
 
$14.51
October 2, 2019
 
$14.42
 
$14.51
 
$14.45
 
$14.51
October 3, 2019
 
$14.43
 
$14.52
 
$14.46
 
$14.52
October 4, 2019
 
$14.44
 
$14.52
 
$14.47
 
$14.53
October 7, 2019
 
$14.43
 
$14.52
 
$14.47
 
$14.52
October 8, 2019
 
$14.43
 
$14.52
 
$14.46
 
$14.52
October 9, 2019
 
$14.43
 
$14.52
 
$14.46
 
$14.52
October 10, 2019
 
$14.43
 
$14.52
 
$14.47
 
$14.52
October 11, 2019
 
$14.43
 
$14.52
 
$14.46
 
$14.52
October 14, 2019
 
$14.43
 
$14.52
 
$14.47
 
$14.52
October 15, 2019
 
$14.44
 
$14.52
 
$14.47
 
$14.52
October 16, 2019
 
$14.44
 
$14.52
 
$14.47
 
$14.52
October 17, 2019
 
$14.44
 
$14.53
 
$14.47
 
$14.52
October 18, 2019
 
$14.45
 
$14.53
 
$14.48
 
$14.53
October 21, 2019
 
$14.45
 
$14.54
 
$14.49
 
$14.54
October 22, 2019
 
$14.45
 
$14.54
 
$14.49
 
$14.54
October 23, 2019
 
$14.45
 
$14.54
 
$14.49
 
$14.54
October 24, 2019
 
$14.46
 
$14.54
 
$14.49
 
$14.54
October 25, 2019
 
$14.44
 
$14.53
 
$14.48
 
$14.53
October 28, 2019
 
$14.44
 
$14.52
 
$14.47
 
$14.52
October 29, 2019
 
$14.44
 
$14.53
 
$14.47
 
$14.52
October 30, 2019
 
$14.45
 
$14.54
 
$14.48
 
$14.53
October 31, 2019
 
$14.45
 
$14.53
 
$14.48
 
$14.53
*Class D shares are currently being offered pursuant to a private placement offering.






Purchases and redemptions of shares of our common stock are made in accordance with our policies as set forth in our prospectus. Our NAV per share is posted daily on our website at www.rreefpropertytrust.com for our publicly offered shares and is made available on our toll-free, automated telephone line at (855) 285-0508.

Please refer to “Net Asset Value Calculation and Valuation Guidelines” in our prospectus for important information about how our NAV is determined. Our NAV per share, which is updated at the end of each business day, along with our prospectus, as supplemented, are available on our website for our publicly offered shares.