PRESS RELEASE published on 10/23/2025 at 08:01, 9 months ago SWEF: Ninth Capital Distribution Starwood European Real Estate Finance Ltd announces ninth capital distribution of £25 million funded by loan investment repayment, resulting in compulsory partial redemption of shares Starwood European Real Estate Finance Ltd £25 Million Compulsory Redemption Ninth Capital Distribution Loan Investment
PRESS RELEASE published on 10/23/2025 at 08:00, 9 months ago SWEF: September 2025 NAV Starwood European Real Estate Finance Ltd (SWEF) announces the unaudited net asset value (NAV) of 96.38p per Ordinary Share as of 30 September 2025 Net Asset Value Stock Exchange Starwood European Real Estate Finance Ltd SWEF NAV
BRIEF published on 09/23/2025 at 08:05, 10 months ago SWEF Announces Eighth Capital Distribution Update Capital Distribution Redemption ISIN Code Starwood SEREF Shares
PRESS RELEASE published on 09/23/2025 at 08:00, 10 months ago SWEF: Eighth Capital Distribution Update Starwood European Real Estate Finance Ltd (SWEF) announces the compulsory redemption of 67,885,117 shares at £0.9575 per share. Remaining shares have new ISIN GG00BT8PBR31 London Stock Exchange SWEF Capital Distribution Redemption ISIN GG00BT8PBR31
BRIEF published on 09/18/2025 at 08:06, 10 months 5 days ago Starwood European Real Estate Finance Announces £65 Million Capital Distribution Capital Distribution Share Redemption Loan Repayment Shareholder Update Asset Realization
BRIEF published on 09/18/2025 at 08:05, 10 months 5 days ago SWEF Reports August 2025 NAV Decrease Net Asset Value Financial Report SWEF Loan Investments Dividend Impact
PRESS RELEASE published on 09/18/2025 at 08:01, 10 months 5 days ago SWEF: Eighth Capital Distribution Starwood European Real Estate Finance Ltd announces its eighth capital distribution of £65.0 million, funded by loan repayments and cash commitment cancelation. Shareholders to be redeemed pro rata based on holding as of 22 September 2025 Starwood European Real Estate Finance Ltd Loan Repayments Eighth Capital Distribution £65.0 Million Shareholder Redemption
PRESS RELEASE published on 09/18/2025 at 08:00, 10 months 5 days ago SWEF: August 2025 NAV Starwood European Real Estate Finance Ltd (SWEF) announces August 2025 NAV of 95.75p per Ordinary Share. Details of net assets, loans, and provisions revealed SWEF NAV Net Assets Provisions August 2025
BRIEF published on 09/08/2025 at 08:07, 10 months 15 days ago Starwood European Real Estate Finance Ltd: Half Yearly Report Overview Dividend Yield SWEF Half-year Results Capital Return Loan Repayment
BRIEF published on 09/08/2025 at 08:06, 10 months 15 days ago Starwood European Real Estate Finance Ltd Announces July 2025 NAV Dividend Announcement Net Assets Impairment Provision NAV July 2025 SWEF Performance
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