Company: NXDT
Filing Date: 2025-01-21
Form Type: 424B3
Source: 0001437749-25-001494
Chunk: 441

Company: NEXPOINT DIVERSIFIED REAL ESTATE TRUST
Filing Date: 2025-01-21
Form: 424B3
Chunk 441
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 |
| Contributions to equity method investments                                                                                       |     |                                 |        — |   |     |                                       |  (1,382 | ) |
| Additions to consolidated real estate investments                                                                                |     |                                 |  (10,474 | ) |     |                                       |  (5,966 | ) |

<div align='center'>91

I-96</div>

| Acquisitions of consolidated real estate investments                                      
 Purchases of life settlement policies                                                     
 Proceeds from life settlement policy maturities                                           
 Net cash outflow from deconsolidation of subsidiary                                       
 Net cash provided by (used in) investing activities                                       
 Cash flows from financing activities                                                      
 Proceeds received from notes payable                                                      
 Mortgage payments                                                                         
 Prime brokerage borrowing                                                                 
 Credit facilities payments                                                                
 Prime brokerage payments                                                                  
 Deferred financing costs paid                                                             
 Dividends paid to preferred shareholders                                                  
 Dividends paid to common shareholders                                                     
 Net cash provided by (used in) financing activities:                                      
 Net increase (decrease) in cash, cash equivalents and restricted cash                     
 Cash, cash equivalents and restricted cash, beginning of period                           
 Cash, cash equivalents and restricted cash, end of period                                 
 Supplemental Disclosure of Cash Flow Information                                          |     |   |       — 
       — 
   3,000 
  (3,993 
  21,990 
  39,000 
  (2,364 
  11,919 
 (10,000 
 (12,761 
    (971 
  (4,619 
 (13,408 
   6,796 
   4,520 
  48,649 
  53,169 | ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) |     |   | (26,500 
  (8,700 
   7,055 
       — 
 (14,418 
  13,250 
  (1,181 
   9,543 
 (12,500 
 (14,410 
    (379 
  (2,310 
 (11,153 
 (19,140 
  (2,127 
  50,776 
  48,649 | ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) 
 ) |
|:------------------------------------------------------------------------------------------|:----|:--|--------:|:--|:----|:--|--------:|:--|
| Interest paid                                                                             |