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Audit: NAV per share — Apollo Diversified Real Estate Fund

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Latest observation · Repurchase offer notice (Form N-23c-3) · filed 2026-06-29 · period 2026-06-18

N-23c-3 informational NAV block

“NAV on June 18, 2026 of the Class A shares (GIREX) was $23.70 per share, of the Class C shares (GCREX) was $21.77 per share, of the Class I shares (GRIFX) was $24.39 per share, of the Class L shares (GLREX) was $23.20 per share and of the Class M shares (GMREX) was $22.55 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

Method Matched text template against the filing

Technical locator

https://www.sec.gov/Archives/edgar/data/1597634/000139834426011363/fp0099548-1_n23c3a.htm | N-23c-3 informational NAV block

Extraction tiers, explained

Every stored observation below, newest first, with its extraction tier, the exact filing it came from, and the verbatim snippet it was read from. Derived values state their formula and constituent figures in the source line. Tiers: T1 = structured XBRL tag; T2 = matched text template; T3/R3 = narrative/term extraction.

PeriodValueTierSource filingProvenance
2026-06-18 24.39 T2 N-23C3A 2026-06-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834426011363/fp0099548-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834426011363/fp0099548-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 18, 2026 of the Class A shares (GIREX) was $23.70 per share, of the Class C shares (GCREX) was $21.77 per share, of the Class I shares (GRIFX) was $24.39 per share, of the Class L shares (GLREX) was $23.20 per share and of the Class M shares (GMREX) was $22.55 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2026-03-31 23.99 T2 N-CSRS 2026-06-04
https://www.sec.gov/Archives/edgar/data/1597634/000139834426010317/fp0098622-1_ncsrs.htm | financial-highlight…

https://www.sec.gov/Archives/edgar/data/1597634/000139834426010317/fp0098622-1_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 23.99”

extracted 2026-07-11T17:30:22 · confidence 0.85

2026-03-19 24.92 T2 N-23C3A 2026-03-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834426005859/fp0098106-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834426005859/fp0098106-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 19, 2026 of the Class A shares (GIREX) was $24.26 per share, of the Class C shares (GCREX) was $22.38 per share, of the Class I shares (GRIFX) was $24.92 per share, of the Class L shares (GLREX) was $23.77 per share and of the Class M shares (GMREX) was $23.15 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher o”

extracted 2026-07-23T21:08:36 · confidence 0.9

2025-12-17 24.74 T2 N-23C3A 2025-12-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834425023021/fp0096738-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834425023021/fp0096738-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 17, 2025 of the Class A shares (GIREX) was $24.10 per share, of the Class C shares (GCREX) was $22.31 per share, of the Class I shares (GRIFX) was $24.74 per share, of the Class L shares (GLREX) was $23.64 per share and of the Class M shares (GMREX) was $23.05 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2025-09-30 24.44 T2 N-CSR 2025-12-05
https://www.sec.gov/Archives/edgar/data/1597634/000139834425022019/fp0096462-1_ncsr.htm | financial-highlights…

https://www.sec.gov/Archives/edgar/data/1597634/000139834425022019/fp0096462-1_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 24.44”

extracted 2026-07-11T17:30:23 · confidence 0.85

2025-09-18 25.07 T2 N-23C3A 2025-09-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834425018691/fp0095529-1_n23c2a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834425018691/fp0095529-1_n23c2a.htm | N-23c-3 informational NAV block

“NAV on September 18, 2025 of the Class A shares (GIREX) was $24.44 per share, of the Class C shares (GCREX) was $22.66 per share, of the Class I shares (GRIFX) was $25.07 per share, of the Class L shares (GLREX) was $23.98 per share and of the Class M shares (GMREX) was $23.40 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2025-06-20 25.19 T2 N-23C3A 2025-06-27
https://www.sec.gov/Archives/edgar/data/1597634/000119312525151285/d949551dn23c3a.htm | N-23c-3 informational …

https://www.sec.gov/Archives/edgar/data/1597634/000119312525151285/d949551dn23c3a.htm | N-23c-3 informational NAV block

“NAV on June 20, 2025 of the Class A shares (GIREX) was $24.57 per share, of the Class C shares (GCREX) was $22.83 per share, of the Class I shares (GRIFX) was $25.19 per share, of the Class L shares (GLREX) was $24.13 per share and of the Class M shares (GMREX) was $23.56 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2025-03-31 24.83 T2 N-CSRS 2025-06-05
https://www.sec.gov/Archives/edgar/data/1597634/000119312525135843/d25661dncsrs.htm | financial-highlights end…

https://www.sec.gov/Archives/edgar/data/1597634/000119312525135843/d25661dncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 24.83”

extracted 2026-07-11T17:30:24 · confidence 0.85

2025-03-20 25.45 T2 N-23C3A 2025-03-28
https://www.sec.gov/Archives/edgar/data/1597634/000119312525067197/d923430dn23c3a.htm | N-23c-3 informational …

https://www.sec.gov/Archives/edgar/data/1597634/000119312525067197/d923430dn23c3a.htm | N-23c-3 informational NAV block

“NAV on March 20, 2025 of the Class A shares (GIREX) was $24.84 per share, of the Class C shares (GCREX) was $23.11 per share, of the Class I shares (GRIFX) was $25.45 per share, of the Class L shares (GLREX) was $24.40 per share and of the Class M shares (GMREX) was $23.84 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher o”

extracted 2026-07-23T21:08:36 · confidence 0.9

2024-12-19 25.57 T2 N-23C3A 2024-12-26
https://www.sec.gov/Archives/edgar/data/1597634/000139834424023554/fp0091507-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424023554/fp0091507-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 19, 2024 of the Class A shares (GIREX) was $24.97 per share, of the Class C shares (GCREX) was $23.28 per share, of the Class I shares (GRIFX) was $25.57 per share, of the Class L shares (GLREX) was $24.54 per share and of the Class M shares (GMREX) was $23.99 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2024-09-30 25.88 T2 N-CSR 2024-12-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834424022919/fp0090510-1_ncsr.htm | financial-highlights…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424022919/fp0090510-1_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 25.88”

extracted 2026-07-11T17:30:26 · confidence 0.85

2024-09-19 26.45 T2 N-23C3A 2024-09-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834424018312/fp0090349-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424018312/fp0090349-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 19, 2024 of the Class A shares (GIREX) was $25.85 per share, of the Class C shares (GCREX) was $24.14 per share, of the Class I shares (GRIFX) was $26.45 per share, of the Class L shares (GLREX) was $25.42 per share and of the Class M shares (GMREX) was $24.87 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2024-06-20 25.04 T2 N-23C3A 2024-06-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834424012042/fp0088846-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424012042/fp0088846-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 20, 2024 of the Class A shares (GIREX) was $24.48 per share, of the Class C shares (GCREX) was $22.92 per share, of the Class I shares (GRIFX) was $25.04 per share, of the Class L shares (GLREX) was $24.10 per share and of the Class M shares (GMREX) was $23.59 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2024-03-31 24.96 T2 N-CSRS 2024-06-05
https://www.sec.gov/Archives/edgar/data/1597634/000139834424011294/fp0088539-1_ncsrs.htm | financial-highlight…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424011294/fp0088539-1_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 24.96”

extracted 2026-07-11T17:30:27 · confidence 0.85

2024-03-21 25.29 T2 N-23C3A 2024-03-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834424006579/fp0087706-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834424006579/fp0087706-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 21, 2024 of the Class A shares (GIREX) was $24.74 per share, of the Class C shares (GCREX) was $23.21 per share, of the Class I shares (GRIFX) was $25.29 per share, of the Class L shares (GLREX) was $24.36 per share and of the Class M shares (GMREX) was $23.87 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher o”

extracted 2026-07-23T21:08:36 · confidence 0.9

2023-12-21 26.25 T2 N-23C3A 2023-12-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834423023570/fp0086409-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423023570/fp0086409-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 21, 2023 of the Class A shares (GIREX) was $25.70 per share, of the Class C shares (GCREX) was $24.15 per share, of the Class I shares (GRIFX) was $26.25 per share, of the Class L shares (GLREX) was $25.32 per share and of the Class M shares (GMREX) was $24.82 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2023-09-30 25.45 T2 N-CSR 2023-12-08
https://www.sec.gov/Archives/edgar/data/1597634/000139834423022550/fp0085578-1_ncsr.htm | financial-highlights…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423022550/fp0085578-1_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 25.45”

extracted 2026-07-11T17:30:28 · confidence 0.85

2023-09-21 26.1 T2 N-23C3A 2023-10-02
https://www.sec.gov/Archives/edgar/data/1597634/000139834423018747/fp0085290-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423018747/fp0085290-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 21, 2023 of the Class A shares (GIREX) was $25.57 per share, of the Class C shares (GCREX) was $24.08 per share, of the Class I shares (GRIFX) was $26.10 per share, of the Class L shares (GLREX) was $25.21 per share and of the Class M shares (GMREX) was $24.73 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2023-06-22 26.89 T2 N-23C3A 2023-06-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834423012379/fp0083977-2_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423012379/fp0083977-2_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 22, 2023 of the Class A shares (GIREX) was $26.36 per share, of the Class C shares (GCREX) was $24.86 per share, of the Class I shares (GRIFX) was $26.89 per share, of the Class L shares (GLREX) was $26.00 per share and of the Class M shares (GMREX) was $25.52 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2023-03-31 27.17 T2 N-CSRS 2023-06-07
https://www.sec.gov/Archives/edgar/data/1597634/000139834423011709/fp0083742-1_ncsrs.htm | financial-highlight…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423011709/fp0083742-1_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 27.17”

extracted 2026-07-11T17:30:29 · confidence 0.85

2023-03-23 27.29 T2 N-23C3A 2023-03-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834423006804/fp0082912-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834423006804/fp0082912-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 23, 2023 of the Class A shares (GIREX) was $26.77 per share, of the Class C shares (GCREX) was $25.29 per share, of the Class I shares (GRIFX) was $27.29 per share, of the Class L shares (GLREX) was $26.42 per share and of the Class M shares (GMREX) was $25.95 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher o”

extracted 2026-07-23T21:08:36 · confidence 0.9

2022-12-21 28.63 T2 N-23C3A 2022-12-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834422025030/fp0081353-1_n23c3a.htm | N-23c-3 informatio…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422025030/fp0081353-1_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 21, 2022 of the Class A shares (GIREX) was $28.10 per share, of the Class C shares (GCREX) was $26.61 per share, of the Class I shares (GRIFX) was $28.63 per share, of the Class L shares (GLREX) was $27.75 per share and of the Class M shares (GMREX) was $27.28 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2022-09-30 28.93 T2 N-CSR 2022-12-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834422024068/fp0081004-1_ncsr.htm | financial-highlights…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422024068/fp0081004-1_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 28.93”

extracted 2026-07-11T17:30:30 · confidence 0.85

2022-09-22 29.67 T2 N-23C3A 2022-09-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834422019416/fp0079915_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422019416/fp0079915_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 22, 2022 of the Class A shares (GIREX) was $29.14 per share, of the Class C shares (GCREX) was $27.65 per share, of the Class I shares (GRIFX) was $29.67 per share, of the Class L shares (GLREX) was $28.80 per share and of the Class M shares (GMREX) was $28.32 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2022-06-23 30.4 T2 N-23C3A 2022-06-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834422012705/fp0077213_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422012705/fp0077213_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 23, 2022 of the Class A shares (GIREX) was $29.87 per share, of the Class C shares (GCREX) was $28.39 per share, of the Class I shares (GRIFX) was $30.40 per share, of the Class L shares (GLREX) was $29.53 per share and of the Class M shares (GMREX) was $29.07 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2022-03-31 30.76 T2 N-CSRS 2022-06-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834422011526/fp0076561_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834422011526/fp0076561_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 30.76”

extracted 2026-07-11T17:30:31 · confidence 0.85

2022-03-24 30.33 T2 N-23C3A 2022-04-01
https://www.sec.gov/Archives/edgar/data/1597634/000139834422006758/fp0074594_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422006758/fp0074594_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 24, 2022 of the Class A shares (GIREX) was $29.83 per share, of the Class C shares (GCREX) was $28.40 per share, of the Class I shares (GRIFX) was $30.33 per share, of the Class L shares (GLREX) was $29.51 per share and of the Class M shares (GMREX) was $29.06 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund ’ s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher”

extracted 2026-07-23T21:08:36 · confidence 0.9

2021-12-22 29.51 T2 N-23C3A 2022-01-03
https://www.sec.gov/Archives/edgar/data/1597634/000139834422000025/fp0071331_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834422000025/fp0071331_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 22, 2021 of the Class A shares (GIREX) was $29.03 per share, of the Class C shares (GCREX) was $27.70 per share, of the Class I shares (GRIFX) was $29.51 per share, of the Class L shares (GLREX) was $28.74 per share and of the Class M shares (GMREX) was $28.32 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund ’ s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be hig”

extracted 2026-07-23T21:08:36 · confidence 0.9

2021-09-30 27.67 T2 N-CSR 2021-12-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834421023372/fp0070659_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834421023372/fp0070659_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 27.67”

extracted 2026-07-11T17:30:32 · confidence 0.85

2021-09-21 27.8 T2 N-23C3A 2021-09-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834421019308/fp0069009_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834421019308/fp0069009_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 21, 2021 of the Class A shares (GIREX) was $27.37 per share, of the Class C shares (GCREX) was $26.16 per share, of the Class I shares (GRIFX) was $27.80 per share, of the Class L shares (GLREX) was $27.11 per share and of the Class M shares (GMREX) was $26.73 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2021-06-22 27.04 T2 N-23C3A 2021-06-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834421013627/fp0066608_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834421013627/fp0066608_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 22, 2021 of the Class A shares (GIREX) was $26.64 per share, of the Class C shares (GCREX) was $25.51 per share, of the Class I shares (GRIFX) was $27.04 per share, of the Class L shares (GLREX) was $26.40 per share and of the Class M shares (GMREX) was $26.05 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher or”

extracted 2026-07-23T21:08:36 · confidence 0.9

2021-03-31 25.76 T2 N-CSRS 2021-06-04
https://www.sec.gov/Archives/edgar/data/1597634/000139834421012521/fp0065881_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834421012521/fp0065881_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 25.76”

extracted 2026-07-11T17:30:33 · confidence 0.85

2021-03-22 25.95 T2 N-23C3A 2021-03-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834421007279/fp0063842_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834421007279/fp0063842_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 22, 2021 of the Class A shares (GIREX) was $25.59 per share, of the Class C shares (GCREX) was $24.55 per share, of the Class I shares (GRIFX) was $25.95 per share, of the Class L shares (GLREX) was $25.37 per share and of the Class M shares (GMREX) was $25.05 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV fluctuates. Therefore, the NAV on the Repurchase Pricing Date may be higher o”

extracted 2026-07-23T21:08:36 · confidence 0.9

2020-12-22 25.4 T2 N-23C3A 2020-12-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834420025170/fp0060503_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420025170/fp0060503_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 22, 2020, of the Class A shares (GIREX) was $25.05 per share, of the Class C shares (GCREX) was $24.08 per share, of the Class I shares (GRIFX) was $25.40 per share, of the Class L shares (GLREX) was $24.86 per share and of the Class M shares (GMREX) was $24.56 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be h”

extracted 2026-07-23T21:08:36 · confidence 0.9

2020-09-30 24.93 T2 N-CSR 2020-12-07
https://www.sec.gov/Archives/edgar/data/1597634/000139834420024037/fp0059865_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420024037/fp0059865_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 24.93”

extracted 2026-07-11T17:30:34 · confidence 0.85

2020-09-22 25.1 T2 N-23C3A 2020-09-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834420019326/fp0058006_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420019326/fp0058006_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 22, 2020, of the Class A shares (GIREX) was $24.78 per share, of the Class C shares (GCREX) was $23.86 per share, of the Class I shares (GRIFX) was $25.10 per share, of the Class L shares (GLREX) was $24.60 per share and of the Class M shares (GMREX) was $24.32 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2020-06-22 25.28 T2 N-23C3A 2020-06-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834420012984/fp0054829_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420012984/fp0054829_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 22, 2020, of the Class A shares (GIREX) was $24.97 per share, of the Class C shares (GCREX) was $24.09 per share, of the Class I shares (GRIFX) was $25.28 per share, of the Class L shares (GLREX) was $24.81 per share and of the Class M shares (GMREX) was $24.54 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2020-03-31 25.36 T2 N-CSRS 2020-06-05
https://www.sec.gov/Archives/edgar/data/1597634/000139834420012027/fp0054337_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834420012027/fp0054337_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 25.36”

extracted 2026-07-11T17:30:34 · confidence 0.85

2020-03-20 25.4 T2 N-23C3A 2020-03-27
https://www.sec.gov/Archives/edgar/data/1597634/000139834420006961/fp0052075_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420006961/fp0052075_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 20, 2020, of the Class A shares (GIREX) was $25.10 per share, of the Class C shares (GCREX) was $24.26 per share, of the Class I shares (GRIFX) was $25.40 per share, of the Class L shares (GLREX) was $24.95 per share and of the Class M shares (GMREX) was $24.70 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2019-12-20 27.51 T2 N-23C3A 2020-01-02
https://www.sec.gov/Archives/edgar/data/1597634/000139834420000027/fp0048937_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834420000027/fp0048937_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 20, 2019, of the Class A shares (GIREX) was $27.21 per share, of the Class C shares (GCREX) was $26.35 per share, of the Class I shares (GRIFX) was $27.51 per share, of the Class L shares (GLREX) was $27.06 per share and of the Class M shares (GMREX) was $26.80 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be h”

extracted 2026-07-23T21:08:36 · confidence 0.9

2019-09-30 27.36 T2 N-CSR 2019-12-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834419022111/fp0047832_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834419022111/fp0047832_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of year $ 27.36”

extracted 2026-07-11T17:30:35 · confidence 0.85

2019-09-20 27.58 T2 N-23C3A 2019-09-27
https://www.sec.gov/Archives/edgar/data/1597634/000139834419017203/fp0046065_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834419017203/fp0046065_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 20, 2019, of the Class A shares (GIREX) was $27.30 per share, of the Class C shares (GCREX) was $26.49 per share, of the Class I shares (GRIFX) was $27.58 per share, of the Class L shares (GLREX) was $27.16 per share and of the Class M shares (GMREX) was $26.92 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2019-06-20 27.96 T2 N-23C3A 2019-06-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834419011325/fp0043530_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834419011325/fp0043530_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 20, 2019, of the Class A shares (GIREX) was $27.69 per share, of the Class C shares (GCREX) was $26.91 per share, of the Class I shares (GRIFX) was $27.96 per share, of the Class L shares (GLREX) was $27.57 per share and of the Class M shares (GMREX) was $27.34 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2019-03-31 27.18 T2 N-CSRS 2019-06-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834419010145/fp0042705_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834419010145/fp0042705_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 27.18”

extracted 2026-07-11T17:30:36 · confidence 0.85

2019-03-22 27.4 T2 N-23C3A 2019-03-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834419005820/fp0040618_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834419005820/fp0040618_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 22, 2019, of the Class A shares (GIREX) was $27.14 per share, of the Class C shares (GCREX) was $26.44 per share, of the Class I shares (GRIFX) was $27.40 per share, of the Class L shares (GLREX) was $27.04 per share and of the Class M shares (GMREX) was $26.83 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2018-12-21 26.78 T2 N-23C3A 2019-01-03
https://www.sec.gov/Archives/edgar/data/1597634/000139834419000076/fp0038024_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834419000076/fp0038024_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 21, 2018, of the Class A shares (GIREX) was $26.55 per share, of the Class C shares (GCREX) was $25.91 per share, of the Class I shares (GRIFX) was $26.78 per share, of the Class L shares (GLREX) was $26.47 per share and of the Class M shares (GMREX) was $26.28 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be h”

extracted 2026-07-23T21:08:36 · confidence 0.9

2018-09-30 26.94 T2 N-CSR 2018-12-07
https://www.sec.gov/Archives/edgar/data/1597634/000139834418017705/fp0037524_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834418017705/fp0037524_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.94”

extracted 2026-07-11T17:30:36 · confidence 0.85

2018-09-21 27.14 T2 N-23C3A 2018-09-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834418014103/fp0036028_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834418014103/fp0036028_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 21, 2018, of the Class A shares (GIREX) was $26.92 per share, of the Class C shares (GCREX) was $26.32 per share, of the Class I shares (GRIFX) was $27.14 per share, of the Class L shares (GLREX) was $26.85 per share and of the Class M shares (GMREX) was $26.68 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2018-06-22 27.01 T2 N-23C3A 2018-06-29
https://www.sec.gov/Archives/edgar/data/1597634/000139834418009610/fp0034228_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834418009610/fp0034228_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 22, 2018, of the Class A shares (GIREX) was $26.81 per share, of the Class C shares (GCREX) was $26.26 per share, of the Class I shares (GRIFX) was $27.01 per share, of the Class L shares (GLREX) was $26.76 per share and of the Class M shares (GMREX) was $26.60 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2018-03-31 26.48 T2 N-CSRS 2018-06-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834418008588/fp0033786_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834418008588/fp0033786_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.48”

extracted 2026-07-11T17:30:37 · confidence 0.85

2018-03-23 26.5 T2 N-23C3A 2018-03-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834418004963/fp0032245_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834418004963/fp0032245_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 23, 2018, of the Class A shares (GIREX) was $26.32 per share, of the Class C shares (GCREX) was $25.82 per share, of the Class I shares (GRIFX) was $26.50 per share, of the Class L shares (GLREX) was $26.28 per share and of the Class M shares (GMREX) was $26.14 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be high”

extracted 2026-07-23T21:08:36 · confidence 0.9

2017-12-20 27.14 T2 N-23C3A 2017-12-27
https://www.sec.gov/Archives/edgar/data/1597634/000139834417016293/fp0029847_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834417016293/fp0029847_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 20, 2017, of the Class A shares (GIREX) was $26.98 per share, of the Class C shares (GCREX) was $26.52 per share, of the Class I shares (GRIFX) was $27.14 per share, of the Class L shares (GLREX) was $26.96 per share and of the Class M shares (GMREX) was $26.83 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be h”

extracted 2026-07-23T21:08:36 · confidence 0.9

2017-09-30 26.65 T2 N-CSR 2017-12-07
https://www.sec.gov/Archives/edgar/data/1597634/000139834417015612/fp0029467_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834417015612/fp0029467_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.65”

extracted 2026-07-11T17:30:38 · confidence 0.85

2017-09-21 27.01 T2 N-23C3A 2017-10-02
https://www.sec.gov/Archives/edgar/data/1597634/000139834417012610/fp0028214_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834417012610/fp0028214_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 21, 2017, of the Class A shares (GIREX) was $26.87 per share, of the Class C shares (GCREX) was $26.46 per share, of the Class I shares (GRIFX) was $27.01 per share, of the Class L shares (GLREX) was $26.86 per share and of the Class M shares (GMREX) was $26.75 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2017-06-22 27.06 T2 N-23C3A 2017-06-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834417008215/fp0026456_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834417008215/fp0026456_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 22, 2017, of the Class A shares (GIREX) was $26.93 per share, of the Class C shares (GCREX) was $26.57 per share, of the Class I shares (GRIFX) was $27.06 per share, of the Class L shares (GLREX) was $26.93 per share and of the Class M shares (GMREX) was $26.85 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be highe”

extracted 2026-07-23T21:08:36 · confidence 0.9

2017-03-31 26.52 T2 N-CSRS 2017-06-08
https://www.sec.gov/Archives/edgar/data/1597634/000139834417007408/fp0026129_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834417007408/fp0026129_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.52”

extracted 2026-07-11T17:30:38 · confidence 0.85

2017-03-23 26.9 T2 N-23C3A 2017-03-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834417004124/fp0024816_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834417004124/fp0024816_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 23, 2017, of the Class A shares (GIREX) was $26.79 per share, of the Class C shares (GCREX) was $26.48 per share, of the Class I shares (GRIFX) was $26.90 per share and of the Class M shares (GMREX) was $26.74 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on”

extracted 2026-07-23T21:08:36 · confidence 0.9

2016-12-21 26.87 T2 N-23C3A 2016-12-28
https://www.sec.gov/Archives/edgar/data/1597634/000139834416022160/fp0023051_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834416022160/fp0023051_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 21, 2016, of the Class A shares (GIREX) was $26.77 per share, of the Class C shares (GCREX) was $26.51 per share, of the Class I shares (GRIFX) was $26.87 per share and of the Class M shares (GMREX) was $26.76 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date”

extracted 2026-07-23T21:08:36 · confidence 0.9

2016-09-30 26.63 T2 N-CSR 2016-12-07
https://www.sec.gov/Archives/edgar/data/1597634/000139834416021474/fp0022744_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834416021474/fp0022744_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.63”

extracted 2026-07-11T17:30:39 · confidence 0.85

2016-09-23 26.69 T2 N-23C3A 2016-09-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834416019190/fp0021751_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834416019190/fp0021751_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 23, 2016, of the Class A shares (GIREX) was $26.61 per share, of the Class C shares (GCREX) was $26.40 per share and of the Class I shares (GRIFX) was $26.69 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on which you return your Repurchase Request Form. ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2016-06-23 26.55 T2 N-23C3A 2016-06-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834416014657/fp0020050_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834416014657/fp0020050_n23c3a.htm | N-23c-3 informational NAV block

“NAV on June 23, 2016, of the Class A shares (GIREX) was $26.49 per share, of the Class C shares (GCREX) was $26.33 per share and of the Class I shares (GRIFX) was $26.55 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on which you return your Repurchase Request Form. The c”

extracted 2026-07-23T21:08:36 · confidence 0.9

2016-03-31 26.49 T2 N-CSRS 2016-06-06
https://www.sec.gov/Archives/edgar/data/1597634/000139834416013997/fp0019740_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834416013997/fp0019740_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.49”

extracted 2026-07-11T17:30:39 · confidence 0.85

2016-03-24 26.31 T2 N-23C3A 2016-03-31
https://www.sec.gov/Archives/edgar/data/1597634/000139834416011460/fp0018772_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834416011460/fp0018772_n23c3a.htm | N-23c-3 informational NAV block

“NAV on March 24, 2016, of the Class A shares (GIREX) was $26.27 per share, of the Class C shares (GCREX) was $26.17 per share and of the Class I shares (GRIFX) was $26.31 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on which you return your Repurchase Request Form. The ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2015-12-22 26.4 T2 N-23C3A 2015-12-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834415008588/fp0017295_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834415008588/fp0017295_n23c3a.htm | N-23c-3 informational NAV block

“NAV on December 22, 2015 , of the Class A shares (GIREX) was $26.37 per share, of the Class C shares (GCREX) was $26.32 per share and of the Class I shares (GRIFX) was $26.40 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on which you return your Repurchase Request Form. ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2015-09-30 25.97 T2 N-CSR 2015-12-04
https://www.sec.gov/Archives/edgar/data/1597634/000139834415008023/fp0016971_ncsr.htm | financial-highlights e…

https://www.sec.gov/Archives/edgar/data/1597634/000139834415008023/fp0016971_ncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 25.97”

extracted 2026-07-11T17:30:40 · confidence 0.85

2015-09-23 25.81 T2 N-23C3A 2015-09-30
https://www.sec.gov/Archives/edgar/data/1597634/000139834415006626/fp0016171_n23c3a.htm | N-23c-3 informationa…

https://www.sec.gov/Archives/edgar/data/1597634/000139834415006626/fp0016171_n23c3a.htm | N-23c-3 informational NAV block

“NAV on September 23, 2015, of the Class A shares (GIREX) was $25.80 per share, of the Class C shares (GCREX) was $25.79 per share and of the Class I shares (GRIFX) was $25.81 per share. The NAV at which the Fund will repurchase shares will not be calculated until the Repurchase Pricing Date (defined below). The Fund’s NAV can fluctuate. Therefore, the NAV on the Repurchase Pricing Date may be higher or lower than the NAV stated above or the date on which you return your Repurchase Request Form. ”

extracted 2026-07-23T21:08:36 · confidence 0.9

2015-03-31 26.02 T2 N-CSRS 2015-06-05
https://www.sec.gov/Archives/edgar/data/1597634/000139834415003736/fp0014580_ncsrs.htm | financial-highlights …

https://www.sec.gov/Archives/edgar/data/1597634/000139834415003736/fp0014580_ncsrs.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $ 26.02”

extracted 2026-07-11T17:30:40 · confidence 0.85

2014-09-30 25.31 T2 N-CSR 2014-12-08
https://www.sec.gov/Archives/edgar/data/1597634/000119312514436202/d831934dncsr.htm | financial-highlights end…

https://www.sec.gov/Archives/edgar/data/1597634/000119312514436202/d831934dncsr.htm | financial-highlights end-of-period NAV (fallback)

“Net asset value, end of period $25.31”

extracted 2026-07-11T17:30:41 · confidence 0.85