BRIEF published on 03/20/2025 at 08:05, 1 year 6 months ago Starwood European Real Estate Finance Ltd Reports February 2025 NAV Investment Strategy Net Asset Value Starwood Capital Loans Advanced Foreign Exchange
PRESS RELEASE published on 03/20/2025 at 08:00, 1 year 6 months ago SWEF: February 2025 NAV Starwood European Real Estate Finance Ltd (SWEF) announces unaudited net asset value (NAV) of 100.71p per Ordinary Share as of 28 Feb 2025 London Stock Exchange Starwood European Real Estate Finance Ltd SWEF NAV 28 February 2025
BRIEF published on 02/25/2025 at 13:00, 1 year 7 months ago Starwood European Real Estate Finance Ltd: Director Update London Stock Exchange Director Appointment UK Listing Rule Starwood European Finance Charlotte Denton
PRESS RELEASE published on 02/25/2025 at 12:55, 1 year 7 months ago SWEF: Director Notification Starwood European Real Estate Finance Ltd (SWEF) announces the appointment of Mrs Charlotte Denton as Non-Executive Chairman of Achilles Investment Company Limited London Stock Exchange SWEF Director Notification Charlotte Denton Achilles Investment Company Limited
BRIEF published on 02/24/2025 at 08:05, 1 year 7 months ago Starwood European Real Estate Finance Announces Capital Distribution Update Voting Rights Investment Company Capital Distribution Share Redemption Starwood European
PRESS RELEASE published on 02/24/2025 at 08:00, 1 year 7 months ago SWEF: Seventh Capital Distribution Update SWEF announces the compulsory redemption of shares as part of the capital distribution. Payment details and new ISIN provided SWEF Capital Distribution Compulsory Redemption Payment Details New ISIN
BRIEF published on 02/20/2025 at 08:06, 1 year 7 months ago Starwood European Real Estate Finance Ltd Announces Seventh Capital Distribution Capital Distribution Share Redemption Loan Repayment Starwood European Real Estate Shareholder Update
BRIEF published on 02/20/2025 at 08:05, 1 year 7 months ago Starwood European Real Estate Finance Releases January 2025 NAV Update Asset Management Dividends Loans NAV Exchange Gains
PRESS RELEASE published on 02/20/2025 at 08:01, 1 year 7 months ago SWEF: Seventh Capital Distribution Starwood European Real Estate Finance Ltd announces seventh capital distribution of £46.0 million funded by loan repayment. Compulsory partial redemption of shares at £1.0024 per share. Shareholder information provided Shareholder Information Starwood European Real Estate Finance Ltd Compulsory Redemption Loan Repayment Seventh Capital Distribution
PRESS RELEASE published on 02/20/2025 at 08:00, 1 year 7 months ago SWEF: January 2025 NAV Starwood European Real Estate Finance Ltd announces January 2025 NAV of 100.24p per share. Details on asset values and loan commitments included Net Asset Value Starwood European Real Estate Finance Ltd SWEF January 2025 NAV Loans And Cash Assets
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