{"filing":{"accession_number":"0001437749-26-022199","cik":"0001654948","ticker":null,"company_name":"Hartman vREIT XXI, Inc.","form":"8-K","filing_date":"2026-06-30","report_date":null,"primary_document":"harv20260624_8k.htm","primary_document_url":"https://www.sec.gov/Archives/edgar/data/1654948/000143774926022199/harv20260624_8k.htm"},"events":[{"id":15200,"run_id":13567,"accession_number":"0001437749-26-022199","anchor_item_number":"8.01","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"summary":"The Board's determination of estimated Net Asset Value (NAV) per share of $8.12 as of December 31, 2025, is a financial valuation disclosure required for a non-listed REIT to assist broker-dealers and stockholders in evaluating the company and meeting FINRA reporting obligations. While this is a routine periodic valuation for a non-listed REIT (the company intends to determine NAV quarterly), it is material to investors as it provides the primary valuation metric for shares in a non-traded entity and affects investor assessment of their holdings.","company_name":"Hartman vREIT XXI, Inc.","ticker":null,"filing_date":"2026-06-30","form":"8-K","submitted_at":null,"items":[{"id":12885,"accession_number":"0001437749-26-022199","item_number":"8.01","item_title":"Other Events.","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"reasoning":"The Board's determination of estimated Net Asset Value (NAV) per share of $8.12 as of December 31, 2025, is a financial valuation disclosure required for a non-listed REIT to assist broker-dealers and stockholders in evaluating the company and meeting FINRA reporting obligations. While this is a routine periodic valuation for a non-listed REIT (the company intends to determine NAV quarterly), it is material to investors as it provides the primary valuation metric for shares in a non-traded entity and affects investor assessment of their holdings.","classifier_version":"claude-haiku-4-5-20251001+prompt-a85dd512","taxonomy_version":"v1.3","classified_at":"2026-07-01T11:24:17.781735+00:00","company_name":"","ticker":null,"filing_date":""}]}],"classifications":[{"id":12885,"accession_number":"0001437749-26-022199","item_number":"8.01","item_title":"Other Events.","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"reasoning":"The Board's determination of estimated Net Asset Value (NAV) per share of $8.12 as of December 31, 2025, is a financial valuation disclosure required for a non-listed REIT to assist broker-dealers and stockholders in evaluating the company and meeting FINRA reporting obligations. While this is a routine periodic valuation for a non-listed REIT (the company intends to determine NAV quarterly), it is material to investors as it provides the primary valuation metric for shares in a non-traded entity and affects investor assessment of their holdings.","classifier_version":"claude-haiku-4-5-20251001+prompt-a85dd512","taxonomy_version":"v1.3","classified_at":"2026-07-01T11:24:17.781735+00:00","company_name":"Hartman vREIT XXI, Inc.","ticker":null,"filing_date":"2026-06-30"}]}
