{"filing":{"accession_number":"0001628280-26-057363","cik":"0001585101","ticker":"HGIT","company_name":"HINES GLOBAL INCOME TRUST, INC.","form":"8-K","filing_date":"2026-08-17","report_date":"2026-08-17","primary_document":"hgit-20260817.htm","primary_document_url":"https://www.sec.gov/Archives/edgar/data/1585101/000162828026057363/hgit-20260817.htm"},"events":[{"id":28233,"run_id":25814,"accession_number":"0001628280-26-057363","anchor_item_number":"8.01","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"summary":"This 8-K discloses the Company's monthly NAV calculation as of July 31, 2026 ($9.83 per share/OP Unit), which serves as the transaction price for share issuances, redemptions, and distribution reinvestments. The filing includes detailed valuation methodology, property portfolio composition (55 properties, 94% leased, 30% levered), and August 2026 distributions. While routine for a non-traded REIT's monthly NAV disclosure, the NAV is material to investors as it directly determines pricing for ongoing share offerings and redemptions, and the filing includes sensitivity analyses showing how valuation assumptions impact property values.","company_name":"HINES GLOBAL INCOME TRUST, INC.","ticker":"HGIT","filing_date":"2026-08-17","form":"8-K","submitted_at":null,"items":[{"id":30111,"accession_number":"0001628280-26-057363","item_number":"8.01","item_title":"Other Events.","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"reasoning":"This 8-K discloses the Company's monthly NAV calculation as of July 31, 2026 ($9.83 per share/OP Unit), which serves as the transaction price for share issuances, redemptions, and distribution reinvestments. The filing includes detailed valuation methodology, property portfolio composition (55 properties, 94% leased, 30% levered), and August 2026 distributions. While routine for a non-traded REIT's monthly NAV disclosure, the NAV is material to investors as it directly determines pricing for ongoing share offerings and redemptions, and the filing includes sensitivity analyses showing how valuation assumptions impact property values.","classifier_version":"claude-haiku-4-5-20251001+prompt-a85dd512","taxonomy_version":"v1.3","classified_at":"2026-08-17T20:06:56.399196+00:00","company_name":"","ticker":null,"filing_date":""}]}],"classifications":[{"id":30111,"accession_number":"0001628280-26-057363","item_number":"8.01","item_title":"Other Events.","event_type":"financial_other","event_domain":"financial","is_material":true,"confidence":0.85,"reasoning":"This 8-K discloses the Company's monthly NAV calculation as of July 31, 2026 ($9.83 per share/OP Unit), which serves as the transaction price for share issuances, redemptions, and distribution reinvestments. The filing includes detailed valuation methodology, property portfolio composition (55 properties, 94% leased, 30% levered), and August 2026 distributions. While routine for a non-traded REIT's monthly NAV disclosure, the NAV is material to investors as it directly determines pricing for ongoing share offerings and redemptions, and the filing includes sensitivity analyses showing how valuation assumptions impact property values.","classifier_version":"claude-haiku-4-5-20251001+prompt-a85dd512","taxonomy_version":"v1.3","classified_at":"2026-08-17T20:06:56.399196+00:00","company_name":"HINES GLOBAL INCOME TRUST, INC.","ticker":"HGIT","filing_date":"2026-08-17"}]}
