Exhibit 4.1
BROOKFIELD REAL ESTATE INCOME TRUST INC.
BROOKFIELD REIT OPERATING PARTNERSHIP L.P.
Brookfield Share/OP Unit Repurchase Arrangement
Effective as of January 1, 2022
Definitions
Advisory Agreement – shall mean that certain amended and restated advisory agreement, dated March 21, 2022, by and among the Company, the Operating Partnership and Brookfield REIT Adviser LLC, as may be further amended and/or restated from time to time.
Affiliate – shall mean, with respect to any Entity, any Entity that, directly or indirectly, through one or more intermediaries, controls, is controlled by, or is under common control with, such Entity.
Company – shall mean Brookfield Real Estate Income Trust Inc. (formerly Oaktree Real Estate Income Trust, Inc.), a Maryland corporation.
Effective Date – shall mean January 1, 2022.
Eligible Shares – shall mean shares of common stock of the Company held by Investor, excluding any shares of common stock of the Company that Investor receives as payment for management or performance fees (in each case, in lieu of cash) pursuant to the terms of the Advisory Agreement.
Eligible Units – shall mean OP Units held by Investor, excluding any OP Units that Investor receives as payment for management or performance fees (in each case, in lieu of cash) pursuant to the terms of the Advisory Agreement.
Entity – shall mean a corporation, partnership, limited liability company or other entity.
Investor – shall mean, collectively, Brookfield Asset Management Inc. and any of its Affiliates who hold shares of common stock of the Company or OP Units.
NAV – shall mean the net asset value of the Company or the Operating Partnership, determined in accordance with the Company’s valuation policies and procedures.
Operating Partnership – shall mean Brookfield REIT Operating Partnership L.P. (formerly Oaktree Real Estate Income Trust Holdings, L.P.), a Delaware limited partnership.
OP Unit – shall mean a common limited partnership interest in the Operating Partnership.
Share Repurchase Plan – shall mean the Share Repurchase Plan of the Company, effective as of November 2, 2021, as amended or supplemented.
Stockholders – shall mean the holders of shares of common stock of the Company.
Transaction Price – shall mean the then-current NAV per share / OP Unit of the Company or Operating Partnership, as applicable, as determined monthly.
Repurchase and/or Redemption Arrangement
Timing and Amount of Repurchases and/or Redemptions