PRESS RELEASE published on 01/24/2025 at 08:00, 1 year 3 months ago SWEF: Dividend Declaration Starwood European Real Estate Finance Ltd declares quarterly dividend of 1.375 pence for Q4 2024, with an annualised yield of 6.1% based on closing share price on 23 January 2025 London Stock Exchange Dividend Declaration Starwood European Real Estate Finance Ltd Quarterly Dividend 6.1% Yield
BRIEF published on 01/23/2025 at 08:05, 1 year 3 months ago Starwood European Real Estate Finance: December 2024 NAV Update Real Estate Investment NAV Financial Update Starwood
BRIEF published on 01/23/2025 at 08:05, 1 year 3 months ago Starwood European Real Estate Finance : mise à jour de la valeur nette d'inventaire de décembre 2024 Investissement Immobilier Mise À Jour Financière Starwood Valeur Nette
PRESS RELEASE published on 01/23/2025 at 08:00, 1 year 3 months ago SWEF: December 2024 NAV Starwood European Real Estate Finance Ltd (SWEF) reports 100.49p NAV for December 2024. Detailed breakdown of net asset value provided Net Asset Value Financial Report Starwood European Real Estate Finance Ltd SWEF December 2024
BRIEF published on 12/19/2024 at 08:05, 1 year 4 months ago Starwood European Real Estate Finance Announces November 2024 NAV Investment Loans NAV Cash Reserve FX Losses
BRIEF published on 12/19/2024 at 08:05, 1 year 4 months ago Starwood European Real Estate Finance annonce sa valeur liquidative de novembre 2024 Investissement Prêts Valeur Nette Réserve De Trésorerie Pertes De Change
PRESS RELEASE published on 12/19/2024 at 08:00, 1 year 4 months ago SWEF: November 2024 NAV Starwood European Real Estate Finance Ltd (SWEF) announces unaudited net asset value (NAV) of 99.90p per Ordinary Share as of 30 November 2024 London Stock Exchange Net Asset Value Investment SWEF 30 November 2024
BRIEF published on 11/20/2024 at 08:05, 1 year 5 months ago Starwood European Real Estate Finance Ltd Reports October 2024 NAV Financial Performance Loan Commitments Asset Valuation Foreign Exchange Impact SWEF NAV
BRIEF published on 11/20/2024 at 08:05, 1 year 5 months ago Starwood European Real Estate Finance Ltd publie sa valeur nette d'inventaire d'octobre 2024 Performance Financière Engagements De Prêt Évaluation Des Actifs Impact Des Taux De Change SWEF NAV
PRESS RELEASE published on 11/20/2024 at 08:00, 1 year 5 months ago SWEF: October 2024 NAV Starwood European Real Estate Finance Ltd (SWEF) announces the unaudited Net Asset Value (NAV) as at 31 October 2024 at 99.38p per Ordinary Share. Details of loans advanced, cash reserves, and committed but undrawn cash amounts provided Net Asset Value SWEF Financial Assets Loans Cash Reserves
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