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SWEF: June 2025 NAV

5 Aug 2025 07:00

Starwood European Real Estate Finance Ltd (SWEF) SWEF: June 2025 NAV 05-Aug-2025 / 07:00 GMT/BST


Starwood European Real Estate Finance Limited (the “Company”) (Ticker: “SWEF”)

Net Asset Value, 30 June 2025

This announcement contains price sensitive information.

As at the close of business on 30 June 2025 the unaudited net asset value (NAV) of the Company’s Ordinary Shares was 97.41p (31 May 2025: 101.09p). The 30 June 2025 NAV shown here has been calculated after taking into account the €7.3 million new provision announced on 1 August 2025 related to Office Portfolio, Ireland and before taking into account the dividend of 1.375 pence per Share announced by the Company today. Please refer to the Reconciliation of NAV per share movements below for more information.

Net Asset Value in total:

 

Loans advanced

ÂŁ96.1m

Cash and cash equivalents

ÂŁ48.6m

Financial assets at fair value through profit or loss

ÂŁ0.5m

Other net assets/(liabilities)

(ÂŁ1.0m)

Net assets

ÂŁ144.2m

 

Capital amounts drawn as at 30 June 2025 are shown below.

 

 

Local Currency

Sterling (2)

Amounts drawn ÂŁm (1)

ÂŁ81.3m

ÂŁ81.3m

Amounts drawn €m (1)

€35.8m

ÂŁ30.7m

Total drawn

 

ÂŁ112.0m

 

(1) The balances shown corresponds to cash advanced.

(2) Euro amounts drawn converted at the month end spot rate.

 

The difference between amounts drawn in the table above and “Loans advanced” in the first table is accrued income and impairment provisions.

 

Reconciliation of NAV per share movements for the month ended 30 June 2025:

 

 

June 2025 (pence)

NAV at the beginning of period

101.09

Operating Income available to distribute (3)

0.55

Impairment provision on asset classified as Stage 3 (4)

(4.22)

Unrealised FX gains / (losses) (5)

(0.01)

NAV at the end of the period

 97.41

 

(3) Operating Income available to distribute comprises loan income recognised in the period less operating costs incurred and before any impairment is taken into account. The Operating Income available to distribute also includes realised foreign exchange gains and losses that are available to distribute except where the realised gains and losses relate to the settlement of hedges that were previously rolled forward and the gain or loss on that roll forward was classified as unavailable to distribute.

(4) In June 2025 a loan classified as Stage 3 had an additional impairment provision recognised against it.

(5) Unrealised foreign exchange gains/losses relate to the net impact of changes in the valuation of foreign exchange hedges and the sterling equivalent value of Euro loan investments (using the applicable month end rate). Mismatches between the hedge valuations and the loan investments may occur depending on the shape of the forward FX curve and this may cause some movement in the NAV. These unrealised FX gains / losses are not considered part of distributable reserves.

 

All figures herein are published based on current information, estimates and judgements.

Enquiries:

 

Apex Fund and Corporate Services (Guernsey) Limited as Company Secretary

 

Duke Le Prevost

T: +44 20 3530 3630

E: starwood@apexgroup.com

 

Jefferies International Limited

Gaudi Le Roux

Harry Randall

Ollie Nott

T: +44 020 7029 8000

 

Notes:

Starwood European Real Estate Finance Limited is an investment company listed on the main market of the London Stock Exchange with an investment objective to conduct an orderly realisation of the assets of the Company. www.starwoodeuropeanfinance.com.

 

The Group's assets are managed by Starwood European Finance Partners Limited, an indirect wholly-owned subsidiary of Starwood Capital Group.


Dissemination of a Regulatory Announcement that contains inside information in accordance with the Market Abuse Regulation (MAR), transmitted by EQS Group. The issuer is solely responsible for the content of this announcement.
ISIN:GG00BTZJM644
Category Code:NAV
TIDM:SWEF
LEI Code:5493004YMVUQ9Z7JGZ50
OAM Categories: 3.1. Additional regulated information required to be disclosed under the laws of a Member State
Sequence No.:397902
EQS News ID:2179224
 
End of AnnouncementEQS News Service

UK Regulatory announcement transmitted by EQS Group. The issuer is solely responsible for the content of this announcement.

Date   Source Headline
19th Dec 20247:01 amEQSSWEF: November 2024 NAV
20th Nov 20247:00 amEQSSWEF: October 2024 NAV
29th Oct 20247:02 amEQSSWEF: Portfolio Update
29th Oct 20247:01 amEQSSWEF: Dividend Declaration
29th Oct 20247:00 amEQSSWEF: September 2024 NAV
21st Oct 20247:00 amEQSSWEF: Update on Office Portfolio, Ireland
19th Sep 20247:00 amEQSSWEF: August 2024 NAV
9th Sep 20243:14 pmEQSSWEF: Half Yearly Report 30 June 2024
23rd Aug 20247:00 amEQSSWEF: July 2024 NAV
26th Jul 20247:01 amEQSSWEF: Sixth Capital Distribution Update
24th Jul 20247:03 amEQSSWEF: Portfolio Update
24th Jul 20247:02 amEQSSWEF: Dividend Declaration
24th Jul 20247:01 amEQSSWEF: Sixth Capital Distribution
24th Jul 20247:00 amEQSSWEF: June 2024 NAV
19th Jun 20247:00 amEQSSWEF: May 2024 NAV
13th Jun 20243:41 pmEQSSWEF: Results of AGM
24th May 20242:18 pmEQSSWEF: Holdings in Company
24th May 20247:00 amEQSSWEF: Notice of AGM
21st May 20247:00 amEQSSWEF: April 2024 NAV
9th May 20248:58 amEQSSWEF: Director Notification
25th Apr 20247:00 amEQSSWEF: Portfolio Update
25th Apr 20247:00 amEQSSWEF: Dividend Declaration
24th Apr 20247:00 amEQSSWEF: March 2024 NAV
22nd Mar 20247:00 amEQSSWEF: Fifth Capital Distribution Update
19th Mar 20247:02 amEQSSWEF: Full Year Results for the Year Ended 31 December 2023
19th Mar 20247:00 amEQSSWEF: Fifth Capital Distribution
18th Mar 20247:00 amEQSSWEF: February 2024 NAV
5th Mar 20244:04 pmEQSSWEF: Holdings in Company
23rd Feb 20247:00 amEQSSWEF: Fourth Capital Distribution Update
20th Feb 20247:00 amEQSSWEF: January 2024 NAV
20th Feb 20247:00 amEQSSWEF: Fourth Capital Distribution
25th Jan 20247:00 amEQSSWEF: December 2023 NAV
25th Jan 20247:00 amEQSSWEF: Portfolio Update
25th Jan 20247:00 amEQSSWEF: Dividend Declaration
20th Dec 202312:06 pmEQSSWEF: Holdings in Company
15th Dec 20237:00 amEQSSWEF: Third Capital Distribution Update
12th Dec 20237:01 amEQSSWEF: Loan Repayments and Third Capital Distribution
12th Dec 20237:00 amEQSSWEF: November 2023 NAV
21st Nov 20234:49 pmEQSSWEF: Holdings in Company
20th Nov 20237:00 amEQSSWEF: October 2023 NAV
20th Oct 20237:01 amEQSSWEF: Portfolio Update
20th Oct 20237:00 amEQSSWEF: Dividend Declaration
19th Oct 20237:00 amEQSSWEF: September 2023 NAV
19th Sep 20237:00 amEQSSWEF: August 2023 NAV
7th Sep 20237:01 amEQSSWEF: Half Yearly Report 30 June 2023
29th Aug 20237:00 amEQSSWEF: Second Capital Distribution Update
23rd Aug 202311:36 amEQSSWEF: Loan Repayments, and Facility Cancellation and Second Capital Distribution
23rd Aug 20237:00 amEQSSWEF: July 2023 NAV
21st Jul 20237:02 amEQSSWEF: Portfolio Update
21st Jul 20237:01 amEQSSWEF: Dividend Declaration

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