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Consolidated Statements of Equity and Temporary Equity (Unaudited) - USD ($)
Total
Common Stock
Class P Common Stock [Member]
Common Stock
Class A Common Stock [Member]
Common Stock
Class T Common Stock [Member]
Common Stock
Class W Common Stock [Member]
Common Stock
Class Y Common Stock [Member]
Common Stock
Class Z Common Stock [Member]
Additional Paid-in Capital
Distributions
Accumulated Deficit
Accumulated Other Comprehensive Income (Loss)
Total Strategic Storage Trust VI, Inc. Equity (Deficit)
Noncontrolling Interests
Noncontrolling Interest in our Operating Partnership
Series C Subordinated Units
Noncontrolling Interest in our Operating Partnership
Redeemable Common Stock [Member]
Series B Convertible Preferred Stock [Member]
Series D Preferred Units in our Operating Partnership
Series E Redeemable Preferred Stock
Preferred Equity In Our Operating Partnership
Preferred Stock [Member]
Beginning Balance at Dec. 31, 2022 $ 113,061,270 $ 10,842 $ 1,767 $ 3,016 $ 248     $ 134,820,961 $ (7,793,929) $ (16,727,700) $ (61,416) $ 110,253,789 $ 2,807,481   $ 2,873,848          
Beginning Balance (in shares) at Dec. 31, 2022   10,841,745 1,766,539 3,015,798 248,369                              
Gross proceeds from issuance of common stock 38,121,725   $ 1,180 $ 1,812 $ 419 $ 383 $ 37 38,117,894       38,121,725                
Gross proceeds from issuance of common stock (in shares)     1,180,172 1,812,471 418,085 382,653 36,559                          
Offering costs (5,002,709)             (5,002,709)       (5,002,709)                
Reimbursement Of Offering Cost By Advisor 39,346             39,346       39,346                
Changes to redeemable common stock (4,391,918)             (4,391,918)       (4,391,918)     4,391,918          
Redemption of common stock (46) $ (38) $ (5) $ (3)               (46)     (537,784)          
Redemption of common stock (in shares)   (38,344) (4,990) (3,400)                                
Distributions (10,796,554)   $ 331 $ 370 $ 7       (10,796,554)     (10,796,554)                
Distributions to noncontrolling interests (341,025)                       (341,025)              
Distributions to preferred unitholders in our Operating Partnership 8,350,000                                   $ (271,250)  
Distributions to preferred stockholders                                       $ (8,350,000)
Issuance of shares for distribution reinvestment plan (DRP) 4,391,918 $ 296 $ 56 $ 95 $ 14 $ 0 $ 0 4,391,457       4,391,918                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   297,043 55,423 95,325 13,899 3 0                          
Issuance of restricted stock 11   $ 11                 11                
Issuance of restricted stock (in shares)     11,250                                  
Stock based compensation expense 25,814             25,814       25,814                
Distribution of common stock               6,585,871   (6,586,579)                    
Distribution of common stock (in shares)     331,386 369,549 7,300                              
Gross proceeds from issuance of preferred equity in our Operating Partnership                                     15,000,000  
Preferred equity issuance costs                                     (189,920) (1,400,277)
Accretion of preferred equity issuance costs                                     189,920  
Redemption of preferred equity in our Operating Partnership                                     (15,000,000)  
Gross proceeds from issuance of Series B Convertible Preferred Equity                                       150,000,000
Issuance of Series C Subordinated Units 3,197,083                         $ 3,197,083            
Net loss attributable to Strategic Storage Trust VI, Inc. (40,780,514)                 (40,780,514)   (40,780,514)             $ 271,250 8,350,000
Net loss attributable to the noncontrolling interests in our Operating Partnership (968,721)                       (968,721)              
Interest rate hedge contracts 644,792                   618,009 618,009 26,783              
Foreign currency translation adjustment 57,174                   62,765 62,765 (5,591)              
Foreign currency hedge contract (174,712)                   (170,173) (170,173) (4,539)              
Series D Preferred equity issuance costs 4,387,423                                      
Ending Balance at Dec. 31, 2023 97,082,934 $ 11,100 $ 3,340 $ 5,290 $ 688 $ 383 $ 37 174,586,716 (18,590,483) (64,094,793) 449,185 92,371,463 1,514,388 3,197,083 6,727,982         148,599,723
Ending Balance (in shares) at Dec. 31, 2023   11,100,444 3,339,780 5,289,743 687,653 382,656 36,559                          
Gross proceeds from issuance of common stock 37,372,122         $ 3,604 $ 306 37,368,212       37,372,122                
Gross proceeds from issuance of common stock (in shares)           3,604,009 306,593                          
Offering costs (4,222,444)             (4,222,444)       (4,222,444)                
Changes to redeemable common stock (5,736,254)             (5,736,254)       (5,736,254)     5,736,254          
Redemption of common stock (212) $ (114) $ (51) $ (44) $ (3)             (212)     (2,184,464)          
Redemption of common stock (in shares)   (114,606) (50,700) (43,783) (2,688)                              
Distributions (13,552,383)   $ 1           (13,552,383)     (13,552,383)                
Distributions to noncontrolling interests (341,024)                       (341,024)              
Distributions to preferred unitholders in our Operating Partnership 12,547,877                                      
Distributions to preferred stockholders                                       (12,547,877)
Issuance of shares for distribution reinvestment plan (DRP) 5,736,254 $ 294 $ 89 $ 128 $ 20 $ 63 $ 3 5,735,657       5,736,254                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   294,260 89,157 127,929 19,796 63,244 3,241                          
Issuance of restricted stock 5   $ 5                 5                
Issuance of restricted stock (in shares)     5,000                                  
Stock based compensation expense 38,094             38,094       38,094                
Distribution of common stock               3,218   (3,219)                    
Distribution of common stock (in shares)     346                                  
Issuance of Series C Subordinated Units 1,220,331                         1,220,331            
Net loss attributable to Strategic Storage Trust VI, Inc. (47,294,251)                 (47,294,251)   (47,294,251)               12,547,877
Net loss attributable to the noncontrolling interests in our Operating Partnership (831,693)                       (831,693)              
Interest rate hedge contracts (1,296,678)                   (1,268,800) (1,268,800) (27,878)              
Foreign currency translation adjustment (4,808,321)                   (4,696,574) (4,696,574) (111,747)              
Foreign currency hedge contract 1,106,438                   1,083,403 1,083,403 23,035              
Series D Preferred equity issuance costs 3,634,282                                      
Ending Balance at Dec. 31, 2024 64,472,918 $ 11,280 $ 3,384 $ 5,374 $ 705 $ 4,050 $ 346 207,773,199 (32,142,866) (111,392,263) (4,432,786) 59,830,423 225,081 4,417,414 10,279,772 $ 148,599,723       148,599,723
Ending Balance (in shares) at Dec. 31, 2024   11,280,098 3,383,583 5,373,889 704,761 4,049,909 346,393                          
Gross proceeds from issuance of common stock 7,245,070 $ 65       $ 628 $ 41 7,244,336       7,245,070                
Gross proceeds from issuance of common stock (in shares)   64,865       627,757 41,250                          
Offering costs (867,972)             (867,972)       (867,972)                
Changes to redeemable common stock (1,600,498)             (1,600,498)       (1,600,498)     1,600,498          
Redemption of common stock (48) $ (35) $ (8) $ (5)               (48)     (174,331)          
Redemption of common stock (in shares)   (34,616) (7,883) (5,355)                                
Distributions (3,686,874)               (3,686,874)     (3,686,874)                
Distributions to noncontrolling interests (84,008)                       (84,008)              
Distributions to preferred unitholders in our Operating Partnership                               (3,088,356)        
Issuance of shares for distribution reinvestment plan (DRP) 1,600,498 $ 71 $ 21 $ 29 $ 5 $ 32 $ 2 1,600,338       1,600,498                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   70,472 21,553 29,791 4,969 31,952 1,315                          
Stock based compensation expense 10,977             10,977       10,977                
Issuance of Series C Subordinated Units 294,276                         294,276            
Net loss attributable to Strategic Storage Trust VI, Inc. (10,176,307)                 (10,176,307)   (10,176,307)       3,088,356        
Net loss attributable to the noncontrolling interests in our Operating Partnership (152,735)                       (152,735)              
Interest rate hedge contracts (1,245,793)                   (1,215,280) (1,215,280) (30,513)              
Foreign currency translation adjustment 63,949                   62,709 62,709 1,240              
Foreign currency hedge contract (155,256)                   (151,458) (151,458) (3,798)              
Ending Balance at Mar. 31, 2025 55,718,197 $ 11,381 $ 3,397 $ 5,398 $ 710 $ 4,710 $ 389 214,160,380 (35,829,740) (121,568,570) (5,736,815) 51,051,240 (44,733) 4,711,690 11,705,939 148,599,723        
Ending Balance (in shares) at Mar. 31, 2025   11,380,819 3,397,253 5,398,325 709,730 4,709,618 388,958                          
Beginning Balance at Dec. 31, 2024 64,472,918 $ 11,280 $ 3,384 $ 5,374 $ 705 $ 4,050 $ 346 207,773,199 (32,142,866) (111,392,263) (4,432,786) 59,830,423 225,081 4,417,414 10,279,772 148,599,723       148,599,723
Beginning Balance (in shares) at Dec. 31, 2024   11,280,098 3,383,583 5,373,889 704,761 4,049,909 346,393                          
Distributions to preferred unitholders in our Operating Partnership 6,211,027                                      
Issuance of shares for distribution reinvestment plan (DRP) 3,271,464                                      
Net loss attributable to the noncontrolling interests in our Operating Partnership (213,131)                                      
Foreign currency hedge contract (1,190,074)                                      
Series D Preferred equity issuance costs 1,809,770                                      
Ending Balance at Jun. 30, 2025 55,006,750 $ 11,439 $ 3,425 $ 5,416 $ 715 $ 5,358 $ 571 222,039,298 (39,658,319) (127,679,168) (4,552,685) 50,176,050 (159,716) 4,990,416 10,212,876 148,599,723        
Ending Balance (in shares) at Jun. 30, 2025   11,439,366 3,424,865 5,415,942 714,861 5,358,472 571,194                          
Beginning Balance at Dec. 31, 2024 64,472,918 $ 11,280 $ 3,384 $ 5,374 $ 705 $ 4,050 $ 346 207,773,199 (32,142,866) (111,392,263) (4,432,786) 59,830,423 225,081 4,417,414 10,279,772 148,599,723       148,599,723
Beginning Balance (in shares) at Dec. 31, 2024   11,280,098 3,383,583 5,373,889 704,761 4,049,909 346,393                          
Gross proceeds from issuance of common stock 15,367,193 $ 65       $ 1,259 $ 222 15,365,647       15,367,193                
Gross proceeds from issuance of common stock (in shares)   64,865       1,259,169 222,050                          
Offering costs (2,123,787)             (2,123,787)       (2,123,787)                
Adjustment to offering costs (See Note 2) 949,281             949,281       949,281                
Changes to redeemable common stock (6,666,207)             (6,666,207)       (6,666,207)     6,666,207          
Redemption of common stock (444) $ (168) $ (223) $ (47) $ (6)             (444)     (3,882,755)          
Redemption of common stock (in shares)   (168,078) (223,000) (46,983) (5,797)                              
Distributions (15,356,069)               (15,356,069)     (15,356,069)                
Distributions to noncontrolling interests (340,944)                       (340,944)              
Distributions to preferred unitholders in our Operating Partnership 12,525,000                                      
Distributions to preferred stockholders                                 $ (531,833)     (12,525,000)
Issuance of shares for distribution reinvestment plan (DRP) 6,666,207 $ 280 $ 87 $ 119 $ 21 $ 151 $ 9 6,665,540       6,666,207                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   280,409 86,679 119,292 21,103 150,868 8,269                          
Issuance of restricted stock 5   $ 5                 5                
Issuance of restricted stock (in shares)     5,000                                  
Stock based compensation expense 43,700             43,700       43,700                
Distribution of common stock               3,219   (3,219)                    
Distribution of common stock (in shares)     346                                  
Issuance of Series C Subordinated Units 659,151                         659,151     35,000,000      
Net loss attributable to Strategic Storage Trust VI, Inc. (36,567,755)                 (36,567,755)   (36,567,755)         531,833     12,525,000
Net loss attributable to the noncontrolling interests in our Operating Partnership (488,872)                       (488,872)              
Interest rate hedge contracts (1,214,733)                   (1,189,298) (1,189,298) (25,435)              
Foreign currency translation adjustment 2,240,708                   2,194,698 2,194,698 46,010              
Foreign currency hedge contract (1,362,363)                   (1,334,863) (1,334,863) (27,500)              
Series D Preferred equity issuance costs 2,508,610                               (373,312)      
Ending Balance at Dec. 31, 2025 26,277,989 $ 11,457 $ 3,253 $ 5,446 $ 720 $ 5,460 $ 577 222,010,592 (47,498,935) (147,963,237) (4,762,249) 21,813,084 (611,660) 5,076,565 13,063,224 148,599,723 34,626,688     148,599,723
Ending Balance (in shares) at Dec. 31, 2025   11,457,294 3,252,608 5,446,198 720,067 5,459,946 576,712                          
Beginning Balance at Mar. 31, 2025 55,718,197 $ 11,381 $ 3,397 $ 5,398 $ 710 $ 4,710 $ 389 214,160,380 (35,829,740) (121,568,570) (5,736,815) 51,051,240 (44,733) 4,711,690 11,705,939 148,599,723        
Beginning Balance (in shares) at Mar. 31, 2025   11,380,819 3,397,253 5,398,325 709,730 4,709,618 388,958                          
Gross proceeds from issuance of common stock 7,925,122         $ 612 $ 181 7,924,329       7,925,122                
Gross proceeds from issuance of common stock (in shares)           611,712 180,800                          
Offering costs (1,008,722)             (1,008,722)       (1,008,722)                
Adjustment to offering costs (See Note 2) 949,281             949,281       949,281                
Changes to redeemable common stock (1,670,966)             (1,670,966)       (1,670,966)     1,670,966          
Redemption of common stock (25) $ (13)   $ (12)               (25)     (3,164,029)          
Redemption of common stock (in shares)   (12,636)   (12,321)                                
Distributions (3,828,579)               (3,828,579)     (3,828,579)                
Distributions to noncontrolling interests (85,022)                       (85,022)              
Distributions to preferred unitholders in our Operating Partnership 3,122,671                             (3,122,671)        
Issuance of shares for distribution reinvestment plan (DRP) 1,670,966 $ 71 $ 23 $ 30 $ 5 $ 36 $ 1 1,670,800       1,670,966                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   71,183 22,266 29,938 5,131 37,142 1,436                          
Issuance of restricted stock 5   $ 5                 5                
Issuance of restricted stock (in shares)     5,000                                  
Stock based compensation expense 10,977             10,977       10,977                
Distribution of common stock               3,219   (3,219)                    
Distribution of common stock (in shares)     346                                  
Issuance of Series C Subordinated Units 278,726                         278,726            
Net loss attributable to Strategic Storage Trust VI, Inc. (6,107,379)                 (6,107,379)   (6,107,379)       3,122,671        
Net loss attributable to the noncontrolling interests in our Operating Partnership (60,396)                       (60,396)              
Interest rate hedge contracts (162,469)                   (163,668) (163,668) 1,199              
Foreign currency translation adjustment 2,411,852                   2,362,372 2,362,372 49,480              
Foreign currency hedge contract (1,034,818)                   (1,014,574) (1,014,574) (20,244)              
Ending Balance at Jun. 30, 2025 55,006,750 $ 11,439 $ 3,425 $ 5,416 $ 715 $ 5,358 $ 571 222,039,298 (39,658,319) (127,679,168) (4,552,685) 50,176,050 (159,716) 4,990,416 10,212,876 148,599,723        
Ending Balance (in shares) at Jun. 30, 2025   11,439,366 3,424,865 5,415,942 714,861 5,358,472 571,194                          
Beginning Balance at Dec. 31, 2025 26,277,989 $ 11,457 $ 3,253 $ 5,446 $ 720 $ 5,460 $ 577 222,010,592 (47,498,935) (147,963,237) (4,762,249) 21,813,084 (611,660) 5,076,565 13,063,224 148,599,723 34,626,688     148,599,723
Beginning Balance (in shares) at Dec. 31, 2025   11,457,294 3,252,608 5,446,198 720,067 5,459,946 576,712                          
Changes to redeemable common stock (1,653,126)             (1,653,126)       (1,653,126)     1,653,126          
Redemption of common stock (20) $ (17)       $ (3)           (20)     (94,980)          
Redemption of common stock (in shares)   (17,127)       (3,200)                            
Distributions (3,857,152)               (3,857,152)     (3,857,152)                
Distributions to noncontrolling interests (84,088)                       (84,088)              
Distributions to preferred unitholders in our Operating Partnership                               (3,088,356)        
Distributions to Series D preferred unitholders                                 (525,000)      
Issuance of shares for distribution reinvestment plan (DRP) 1,653,126 $ 66 $ 21 $ 29 $ 6 $ 40 $ 3 1,652,961       1,653,126                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   66,156 21,118 29,238 5,558 40,507 2,735                          
Stock based compensation expense 10,873             10,873       10,873                
Net loss attributable to Strategic Storage Trust VI, Inc. (12,076,380)                 (12,076,380)   (12,076,380)       3,088,356 525,000      
Net loss attributable to the noncontrolling interests in our Operating Partnership (172,568)                       (172,568)              
Interest rate hedge contracts 814,329                   798,061 798,061 16,268              
Foreign currency translation adjustment (674,141)                   (660,701) (660,701) (13,440)              
Ending Balance at Mar. 31, 2026 10,238,842 $ 11,506 $ 3,274 $ 5,475 $ 726 $ 5,497 $ 580 222,021,300 (51,356,087) (160,039,617) (4,624,889) 6,027,765 (865,488) 5,076,565 14,621,370 148,599,723 34,626,688      
Ending Balance (in shares) at Mar. 31, 2026   11,506,323 3,273,726 5,475,436 725,625 5,497,253 579,447                          
Beginning Balance at Dec. 31, 2025 26,277,989 $ 11,457 $ 3,253 $ 5,446 $ 720 $ 5,460 $ 577 222,010,592 (47,498,935) (147,963,237) (4,762,249) 21,813,084 (611,660) 5,076,565 13,063,224 148,599,723 34,626,688     $ 148,599,723
Beginning Balance (in shares) at Dec. 31, 2025   11,457,294 3,252,608 5,446,198 720,067 5,459,946 576,712                          
Distributions to preferred unitholders in our Operating Partnership 6,222,605                                      
Issuance of shares for distribution reinvestment plan (DRP) 3,337,776                                      
Net loss attributable to the noncontrolling interests in our Operating Partnership (360,591)                                      
Series D Preferred equity issuance costs 326,444                                      
Ending Balance at Jun. 30, 2026 (7,183,341) $ 11,568 $ 3,301 $ 5,502 $ 729 $ 5,539 $ 582 222,033,936 (55,285,593) (172,984,833) (4,906,458) (11,115,727) (1,144,179) 5,076,565 16,231,026 148,599,723 34,626,688 $ 361,586    
Ending Balance (in shares) at Jun. 30, 2026   11,568,240 3,300,779 5,502,213 729,194 5,538,526 582,287                          
Beginning Balance at Mar. 31, 2026 10,238,842 $ 11,506 $ 3,274 $ 5,475 $ 726 $ 5,497 $ 580 222,021,300 (51,356,087) (160,039,617) (4,624,889) 6,027,765 (865,488) 5,076,565 14,621,370 148,599,723 34,626,688      
Beginning Balance (in shares) at Mar. 31, 2026   11,506,323 3,273,726 5,475,436 725,625 5,497,253 579,447                          
Changes to redeemable common stock (1,684,650)             (1,684,650)       (1,684,650)     1,684,650          
Issuance of Series E Preferred Stock                                   977,000    
Series E Preferred equity issuance costs                                   (615,414)    
Redemption of common stock (10) $ (5)   $ (3) $ (2)             (10)     (74,994)          
Redemption of common stock (in shares)   (5,405)   (2,688) (2,151)                              
Distributions (3,929,506)               (3,929,506)     (3,929,506)                
Distributions to noncontrolling interests (85,023)                       (85,023)              
Distributions to preferred unitholders in our Operating Partnership 3,134,249                             (3,122,671)   (11,578)    
Distributions to Series D preferred unitholders                                 (530,833)      
Issuance of shares for distribution reinvestment plan (DRP) 1,684,650 $ 67 $ 22 $ 30 $ 5 $ 42 $ 2 1,684,482       1,684,650                
Issuance of shares for distribution reinvestment plan (DRP) (in shares)   67,322 21,845 29,465 5,720 41,273 2,840                          
Issuance of restricted stock 5   $ 5                 5                
Issuance of restricted stock (in shares)     5,000                                  
Stock based compensation expense 10,873             10,873       10,873                
Distribution of common stock               1,931   (1,931)                    
Distribution of common stock (in shares)     208                                  
Net loss attributable to Strategic Storage Trust VI, Inc. (12,943,285)                 (12,943,285)   (12,943,285)       3,122,671 530,833 11,578    
Net loss attributable to the noncontrolling interests in our Operating Partnership (188,023)                       (188,023)              
Interest rate hedge contracts 491,713                   481,948 481,948 9,765              
Foreign currency translation adjustment (778,927)                   (763,517) (763,517) (15,410)              
Ending Balance at Jun. 30, 2026 $ (7,183,341) $ 11,568 $ 3,301 $ 5,502 $ 729 $ 5,539 $ 582 $ 222,033,936 $ (55,285,593) $ (172,984,833) $ (4,906,458) $ (11,115,727) $ (1,144,179) $ 5,076,565 $ 16,231,026 $ 148,599,723 $ 34,626,688 $ 361,586    
Ending Balance (in shares) at Jun. 30, 2026   11,568,240 3,300,779 5,502,213 729,194 5,538,526 582,287