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Starwood European Real Estate Finance Limited (SWEF)

ORD NPV
Sell: 85.00p|Buy: 87.00p|Change: 0 (0%)

Open 

84.00p


Previous close 

84.50p


Trade high 

87.00p


Estimated NAV 

101.546 


Year high 

97.80p


Year low 

82.20p


Premium / Discount 

-16.79%


Market capitalisation 

£163.87 mn


Volume 

124,667


Dividend yield 

5.52%


Ongoing charge 

1.32%


ISIN 

GG00BTZJM644


Before investing please read:

Key Information Document (KID)

Share price

Dividends

PreviousLatest
Record date07/02/202502/05/2025
Ex-dividend date06/02/202501/05/2025
Payment date28/02/202523/05/2025
Amount1.38p1.38p

Net asset value (NAV)

Estimated NAV101.55
Latest actual NAV100.71
Latest actual NAV date28 February 2025
12m average premium/discount-11.09%

Top 10 holdings

Holdings 30/06/2024% of assets
Loans Advanced58.55

Performance 31/03/2025

1D | 1M | 3M | 1Y | 3Y ann | 5Y ann | 10Y ann


Total return (%)
Fund-
Category-
More...

Investment objective

The Company’s investment objective is to conduct an orderly realisation of the assets of the Group.

Sustainability Label

This product is based overseas and is not subject to UK sustainable investment labelling and disclosure requirements. Learn more about SDR.


Morningstar ratingTM


News

Recent trades

DateTimePriceQuantityValue (£)
25/04/202508:17:3286.499950,00043,249.95
25/04/202504:35:0184.53932.96
25/04/202504:29:55874034.80
25/04/202503:49:1987119.57
25/04/202503:45:2986.999821.74

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