Investment Strategy

Starwood European Real Estate Finance's original objective was to provide its Shareholders with regular dividends and an attractive total return while limiting downside risk, through the origination, execution, acquisition and servicing of a diversified portfolio of real estate debt investments in the UK and Europe. The current objective is the orderly realisation of assets and the return of capital to Shareholders.

Offering first mortgages, mezzanine and subordinate loans, bridge loans and preferred equity, Starwood European Real Estate Finance possesses the size and scale to serve as a one-stop lender and seamlessly deliver more complex transactions to its clients with certainty of execution.

Starwood European Real Estate Finance applies a relative risk-return strategy seeking to extract core - plus returns through debt investments with substantial downside protection.