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Starwood European Real Estate Finance is an Investment Trust

To provide shareholders with regular dividends and an attractive total return while limiting downside risk, through a diversified portfolio of real estate debt investments in the UK and the wider European Union's internal market.

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SWEF: May 2022 NAV

21 Jun 2022 07:00

Starwood European Real Estate Finance Ltd (SWEF) SWEF: May 2022 NAV 21-Jun-2022 / 07:00 GMT/BST Dissemination of a Regulatory Announcement that contains inside information according to REGULATION (EU) No 596/2014 (MAR), transmitted by EQS Group. The issuer is solely responsible for the content of this announcement.


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

Net Asset Value, 31 May 2022

This announcement contains price sensitive information.

As at the close of business on 31 May 2022 the unaudited net asset value (NAV) of the Company’s Ordinary Shares was 102.94p (30 April 2022: 102.33p). Please refer to the Reconciliation of NAV per share movements below for more information.

Net Asset Value in total

 

Loans advanced

£429.9m

Financial assets at fair value through profit or loss

£6.6m

Cash and cash equivalents

£2.5m

Borrowing facilities (including accrued interest)

(£18.4m)

Other net assets/(liabilities)

£0.3m

Net assets

£420.9m

 

 

Capital amounts drawn as at 31 May 2022 and amounts committed but undrawn as at 31 May 2022 is shown below.

 

 

Local Currency

Sterling (2)

Amounts drawn £m (1)

£239.6m

£239.6m

Amounts drawn €m (1)

€219.2m

£186.8m

 

 

£426.4m

Committed but undrawn Loans £m

£31.6m

£31.6m

Committed but undrawn Loans €m

€7.9m

£6.7m

 

 

£38.3m

 

(1) The balances shown corresponds to cash advanced.

(2) Euro amounts drawn and commitments 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.

 

 

Reconciliation of NAV per share movements for the month ended 31 May 2022:

 

 

 

May 2022

NAV at the beginning of period

102.33

Operating Income available to distribute (3)

0.54

Realised FX gains / losses not distributable (4)

0.29

Unrealised FX gains / losses (5)

(0.22)

NAV at the end of the period

102.94

 

 

(3) Operating Income available to distribute comprises loan income recognised in the period less the cost of debt facilities utilised by the Group and operating costs incurred. The Operating Income available to distribute also includes any realised foreign exchange gains or losses upon settlement of hedges, except those described in note 4. In the month to 31 May the balance includes circa £200,000 of FX gains realised as a result of early repayments.

(4) On occasion, the Group may realise a gain or loss on the roll forward of a hedge if it becomes necessary to extend a capital hedge beyond the initial anticipated loan term. If this situation arises the Group will separate the realised FX gain or loss from other realised FX gains or losses and not consider it available to distribute (or as a reduction in distributable profits). The FX gain or loss will only be considered part of distributable reserves when the rolled hedge matures or is settled and the final net gain or loss on the capital hedges can be determined.

 (5) Unrealised foreign exchange gain/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). Mis-matches between the hedge valuations and the loan investments may occur depending on the shape of the forward FX curve and this causes 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: +44 203 5303 630

E: starwood@apexfs.com


ISIN:GG00B79WC100
Category Code:NAV
TIDM:SWEF
LEI Code:5493004YMVUQ9Z7JGZ50
Sequence No.:169547
EQS News ID:1379737
 
End of AnnouncementEQS News Service

UK Regulatory announcement transmitted by DGAP - a service of EQS Group AG. The issuer is solely responsible for the content of this announcement.

Date   Source Headline
16th Feb 20154:35 pmRNSNotice of EGM
27th Jan 20159:25 amRNSNet Asset Value(s) - Replacement
27th Jan 20157:01 amRNSDividend Declaration
27th Jan 20157:00 amRNSQuarterly Factsheet Publication
26th Jan 20155:53 pmRNSNet Asset Value(s)
23rd Dec 20141:52 pmRNSNet Asset Value(s)
23rd Dec 20147:00 amRNSInvestment Update
17th Dec 20147:00 amRNSInvestment Update
5th Dec 20147:00 amRNSLiquidity Facility and Investment Update
24th Nov 20143:03 pmRNSNet Asset Value(s) - Replacement
21st Nov 20143:47 pmRNSNet Asset Value(s)
6th Nov 20147:00 amRNSInterim Management Statement
31st Oct 20147:00 amRNSQuarterly Factsheet Publication
27th Oct 20147:00 amRNSDividend Declaration
21st Oct 20142:24 pmRNSNet Asset Value(s)
20th Oct 20144:18 pmRNSHolding(s) in Company
19th Sep 201411:49 amRNSNet Asset Value(s), August 2014
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12th Jun 201410:00 amRNSDirector Declaration
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6th Jun 20148:53 amRNSInvestment Update
22nd May 20142:23 pmRNSNet Asset Value(s)
19th May 201412:18 pmRNSInterim Management Statement
6th May 201412:19 pmRNSQuarterly Factsheet Publication
6th May 20147:01 amRNSResults of AGM
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1st Apr 20146:18 pmRNSProposal to amend investment policy
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28th Mar 20147:02 amRNSNet Asset Value, February 2014
25th Mar 20147:01 amRNSTR-1: Notification of Major Interest in Shares
21st Mar 20147:00 amRNSPreliminary results
17th Mar 20145:09 pmRNSTR-1: Notification of Major Interest in Shares
5th Mar 20147:00 amRNSInvestment Update
27th Feb 20142:56 pmRNSDirector Declaration
21st Feb 20143:43 pmRNSNet Asset Value, January 2014
31st Jan 20143:00 pmRNSStatement re Non-Mainstream Pooled Investments
29th Jan 20147:00 amRNSDividend Declaration

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