Company: BHM
Filing Date: 2025-08-13
Form Type: 424B3
Source: 0001104659-25-077615
Chunk: 127

Company: Bluerock Homes Trust, Inc.
Filing Date: 2025-08-13
Form: 424B3
Chunk 127
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 results related to our existing portfolio will improve in future periods as a result of anticipated future investments in and acquisitions of residential properties and build-to-rent communities. We believe we will be able to meet our primary liquidity requirements going forward through, among other sources:

| ● | $127.6                                      
 million in cash available at June 30, 2025; |

| ● | capacity                                                                                                               
 of $50 million, all of which was available on the KeyBank Credit Facility at June 30, 2025 for use in our DST Program; |

| ● | proceeds                                                                          
 from future mortgage debt financings for acquisition and/or development projects; |

| ● | cash                                     
 generated from operating activities; and |

| ● | proceeds                                                                                                                               
 from the offering of our Series A Preferred Stock and potential offerings of common and preferred stock, as well as issuances of units 
 of limited partnership interest in our Operating Partnership (“OP Units”).                                                             |

The following table summarizes our contractual obligations as of June 30, 2025 related to our mortgage notes secured by our properties. At June 30, 2025, the KeyBank Credit Facility had no outstanding balance. Our estimated future required payments on these obligations as of June 30, 2025 were as follows (amounts in thousands):

| ​                                                
 ​                                                | ​ | ​     
 Total |       ​ | ​ | ​    
 2025 |     ​ | ​ | ​         
 2026-2027 |       ​ | ​ | ​         
 2028-2029 |       ​ | ​ | ​          
 Thereafter |       ​ |
|:-------------------------------------------------|:--|:------|--------:|:--|:-----|------:|:--|:----------|--------:|:--|:----------|--------:|:--|:-----------|--------:|
| Mortgages Payable (Principal)                    | ​ | $     | 347,337 | ​ | $    |   965 | ​ | $         | 117,665 | ​ | $         |  86,152 | ​ | $          | 142,555 |
| Estimated Interest Payments on Mortgages Payable | ​ |       |  88,415 | ​ | ​    | 9,033 | ​ | ​         |  34,833 | ​ | ​         |  22,030 | ​ | ​          |  22,519 |
| Total                                            | ​ | $     | 435