EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
First tracked pre-IPO filing for this issuer.
2026-04-13 · 9999999995-26-001164
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-03-20 · 0001193125-26-117084
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-03-17 · 0001193125-26-111037
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
Range $19.61 to $20.03
Common Stock · Use of proceeds Proceeds will be used for acquisitions, working capital, and other general corporate purposes. · Flags units
2026-02-12 · 0001193125-26-048822
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2026-02-04 · 9999999995-26-000440
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2026-02-04 · 0001193125-26-037764
S-11/A
amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior 424B3 filing.
2026-01-16 · 0001193125-26-015410
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11/A and confirms the priced prospectus.
Price $20.14
CLASS_S · Exchange NASDAQ · Ticker STWD · Units consisting of common stock and partnership interests · Use of proceeds Proceeds from the offering are intended for general corporate purposes, including acquisitions and working capital · Flags units
2026-01-16 · 0001193125-26-014899
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-12-16 · 0001193125-25-320762
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $20.44 · Range $20.02 to $20.45 · 75,541,894 shares · Gross proceeds $1,300,000,000
Class S, Class T, Class D, Class I · Use of proceeds acquisitions, working capital, and other general corporate purposes
2025-11-13 · 0001193125-25-280176
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-10-17 · 0001193125-25-242581
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $20.76 · 417,175 shares · Gross proceeds $1,300,000,000
Class S · Exchange NASDAQ · Ticker STRE · Use of proceeds working capital, acquisitions · Flags units · Underwriters self-underwritten
2025-09-16 · 0001193125-25-204655
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-08-15 · 0000950170-25-109258
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11 and confirms the priced prospectus.
Price $21.10 · Gross proceeds $18,000,000,000
Class S, Class T, Class D, Class I · Exchange NYSE · Ticker STWD · Use of proceeds Debt repayment, working capital, and acquisitions
2025-07-17 · 0000950170-25-096581
S-11
filed
Real estate registration statement
Registration statement filed for a real estate issuer or REIT offering.
Follows 424B3 in the pre-IPO sequence.
2025-07-16 · 0000950170-25-096220
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-07-11 · 0000950170-25-095260
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Class S, Class T, Class D, Class I · Exchange NYSE · Ticker STWD
2025-06-13 · 0000950170-25-086075
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-06-09 · 0000950170-25-083648
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-05-15 · 0000950170-25-072475
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2025-04-16 · 0000950170-25-054745
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2025-04-15 · 9999999995-25-001109
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-04-02 · 0000950170-25-049114
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-03-21 · 0000950170-25-043297
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-03-17 · 0000950170-25-040159
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2025-02-14 · 0000950170-25-020646
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $1,300,000,000
Class S, Class T, Class D, Class I · Operating Partnership units · Use of proceeds Acquisitions, working capital, and general corporate purposes · Flags units
2025-01-17 · 0000950170-25-006708
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-12-16 · 0000950170-24-136666
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Common Stock
2024-11-14 · 0000950170-24-127068
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $1,300,000,000
Class S, Class T, Class D, Class I · Exchange NYSE · Ticker SREIT · Operating Partnership units · Use of proceeds Acquisitions, working capital, and debt repayment · Flags units
2024-10-17 · 0000950170-24-115300
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $1,300,000,000
Class S, Class T, Class D, Class I · Operating Partnership Units · Use of proceeds Acquisitions, working capital, and general corporate purposes · Flags units
2024-09-16 · 0000950170-24-106783
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-08-16 · 0000950170-24-097949
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-07-17 · 0000950170-24-084265
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
48,372,324 shares · Gross proceeds $1,300,000,000
Class S, Class T, Class D, Class I · Use of proceeds Proceeds from primary offering used for acquisitions, working capital, and debt repayment · Flags units
2024-06-14 · 0000950170-24-073616
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Class I
2024-05-23 · 0001193125-24-145889
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2024-05-15 · 0000950170-24-060366
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2024-04-17 · 9999999995-24-000996
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-04-17 · 0000950170-24-045026
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-04-15 · 0000950170-24-044344
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-03-21 · 0000950170-24-034850
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-03-14 · 0000950170-24-031583
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2024-02-14 · 0000950170-24-014964
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $23.08
Class S, Class T, Class D, Class I · Exchange NYSE · Ticker SREIT · Use of proceeds to fund acquisitions and working capital · Flags units
2024-01-19 · 0000950170-24-005817
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Common Stock
2023-12-18 · 0000950170-23-071171
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $24.81 · 43,612,785 shares · Gross proceeds $1,200,000,000
Class S · Use of proceeds Proceeds are used for acquisitions, working capital, and debt repayment. · Flags units
2023-11-16 · 0000950170-23-064362
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $24.92 · 52,753,149 shares · Gross proceeds $1,200,000,000
CLASS_S · Exchange NASDAQ · Ticker SREIT · Operating Partnership Units · Use of proceeds for general corporate purposes and investments · Flags units
2023-10-17 · 0000950170-23-053766
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
51,342,691 shares · Gross proceeds $1,200,000,000
Class S, Class T, Class D, Class I · Third-party Operating Partnership Units · Use of proceeds Proceeds from the primary offering are used for general corporate purposes. · Flags units
2023-09-15 · 0000950170-23-048361
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2023-08-16 · 0000950170-23-043035
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $25.06
Class S, Class T, Class D, Class I · Exchange NASDAQ · Ticker SREIT · Use of proceeds Debt repayment, working capital, and acquisitions · Flags dual_class, units
2023-07-17 · 0000950170-23-033223
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $25.52
CLASS_S, CLASS_T, CLASS_D, CLASS_I · Exchange NASDAQ · Ticker SREIT · Use of proceeds Proceeds are used for general corporate purposes. · Flags units
2023-06-15 · 0000950170-23-028320
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2023-05-17 · 0000950170-23-022704
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Use of proceeds No proceeds from securities sales during the quarter
2023-05-12 · 0000950170-23-021837
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
180,000 shares
2023-05-09 · 0001193125-23-139547
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2023-04-14 · 0000950170-23-012912
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2023-04-13 · 9999999995-23-000917
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Range $25.86 to $26.32
Common Stock · Third-party Operating Partnership Units · Flags units
2023-03-17 · 0000950170-23-008659
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $26.22
Class S · Third-party Operating Partnership Units · Use of proceeds Debt repayment, working capital, and acquisitions · Flags units, self_underwritten
2023-02-15 · 0000950170-23-002914
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $916,000,000
Class S, Class T, Class D, Class I · Use of proceeds to fund acquisitions, working capital, and other general corporate purposes
2023-01-18 · 0000950170-23-000884
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-12-15 · 0001564590-22-039389
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-11-15 · 0001564590-22-037808
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-10-18 · 0001564590-22-034404
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $27.76 · 669 shares
Class S · Exchange NASDAQ · Ticker SREIT · Use of proceeds Debt repayment, acquisitions, and working capital
2022-09-15 · 0001564590-22-031727
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2022-08-12 · 0001564590-22-029305
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2022-08-10 · 9999999995-22-002313
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $18,000,000,000 · Gross proceeds $18,000,000,000
CLASS_T, CLASS_S, CLASS_D, CLASS_I · Use of proceeds Proceeds will be used for investments, acquisitions, and general corporate purposes. · Flags best_efforts · Underwriters best_efforts
2022-08-10 · 0001193125-22-217489
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11/A and confirms the priced prospectus.
Price $27.63 · 1,385 shares
Class S · Operating Partnership Units · Use of proceeds acquisitions and portfolio investments · Flags units
2022-07-15 · 0001564590-22-025861
S-11/A
amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior 424B3 filing.
2022-07-15 · 0001193125-22-195094
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $7,600,000,000
Class S, Class T, Class D, Class I · Operating Partnership Units · Use of proceeds Proceeds used for investments, debt repayment, and working capital · Flags units · Underwriters self-underwritten
2022-06-16 · 0001564590-22-023379
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2022-06-15 · 0001564590-22-023302
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2022-05-27 · 9999999995-22-001607
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-05-13 · 0001564590-22-020161
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Class S, Class T, Class D, Class I · Flags units
2022-04-15 · 0001564590-22-014552
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-03-30 · 0001193125-22-089474
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Range $26.25 to $26.66 · 238,685,048 shares · Gross proceeds $5,800,000,000
Class S, Class T, Class D, Class I · Use of proceeds Proceeds used for acquisitions, working capital, and general corporate purposes.
2022-03-15 · 0001564590-22-010404
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11 and confirms the priced prospectus.
2022-02-11 · 0001564590-22-004830
S-11
filed
Real estate registration statement
Registration statement filed for a real estate issuer or REIT offering.
Follows 424B3 in the pre-IPO sequence.
Use of proceeds Proceeds will be used for debt repayment, working capital, and acquisitions.
2022-02-08 · 0001193125-22-031083
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-01-18 · 0001564590-22-001487
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2022-01-04 · 0001193125-22-000774
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $25.76 · Gross proceeds $3,800,000,000
Class S · Use of proceeds Proceeds are used for acquisitions, working capital, and other general corporate purposes.
2021-12-15 · 0001564590-21-060445
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-11-15 · 0001564590-21-057082
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-10-15 · 0001564590-21-050916
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-09-15 · 0001564590-21-048010
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $22.89 · Gross proceeds $1,100,000,000
Class S, Class T, Class D, Class I · Exchange NASDAQ · Ticker STRE · Operating Partnership Units · Use of proceeds Proceeds are used for acquisitions and general corporate purposes · Flags units
2021-08-13 · 0001564590-21-044303
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $22.42 · Range $22.42 to $22.57 · 24,496,341 shares · Gross proceeds $500,000,000
Class S, Class T, Class D, Class I · Use of proceeds Acquisitions, working capital, and debt repayment
2021-07-15 · 0001564590-21-036727
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-06-15 · 0001564590-21-032952
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2021-06-03 · 0001193125-21-180982
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows S-11/A and marks the registration effective.
2021-06-02 · 9999999995-21-002180
S-11/A
amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior 424B3 filing.
2021-05-20 · 0001193125-21-167698
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
2021-05-14 · 0001564590-21-028034
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
2021-04-27 · 9999999995-21-001569
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-04-15 · 0001564590-21-019021
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2021-04-01 · 0001193125-21-103889
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $21.78 · Gross proceeds $2,500,000,000
CLASS_S · Use of proceeds Acquisitions, working capital, and general corporate purposes
2021-03-15 · 0001564590-21-013189
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $2,261,900,000
Class S, Class T, Class D, Class I · Exchange NYSE · Ticker SREIT · Use of proceeds Proceeds from the offering are used for general corporate purposes, including acquisitions and working capital. · Flags units
2021-02-12 · 0001564590-21-005763
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $2,000,000,000
Class S, Class T, Class D, Class I · Use of proceeds Acquisitions, investments, and general corporate purposes
2021-01-19 · 0001564590-21-001487
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $21.40 · Range $21.26 to $21.40 · 89,403,853 shares · Gross proceeds $1,900,000,000
CLASS_S · Use of proceeds Proceeds from primary offering and distribution reinvestment plan
2020-12-16 · 0001564590-20-057255
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-11-13 · 0001564590-20-053746
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows S-11 and confirms the priced prospectus.
3,660 shares
2020-11-02 · 0001193125-20-283255
S-11
filed
Real estate registration statement
Registration statement filed for a real estate issuer or REIT offering.
Follows 424B3 in the pre-IPO sequence.
Price $5,000,000,000 · 5,000,000,000 shares · Gross proceeds $5,000,000,000
Class T, Class S, Class D, Class I · Use of proceeds To invest in stabilized, income-oriented commercial real estate · Flags best_efforts
2020-10-29 · 0001193125-20-280770
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-10-21 · 0001193125-20-273505
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $21.39 · Gross proceeds $1,700,000,000
Class S, Class T, Class D, Class I · Use of proceeds Acquisitions and working capital · Flags units
2020-10-15 · 0001564590-20-046504
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $1,600,000,000
Class S, Class T, Class D, Class I · Use of proceeds Acquisitions, working capital, and general corporate purposes.
2020-09-15 · 0001564590-20-043627
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-09-01 · 0001193125-20-236988
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
290 shares
2020-08-21 · 0001193125-20-226956
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-08-14 · 0001564590-20-040240
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-08-04 · 0001193125-20-208873
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-07-15 · 0001564590-20-032400
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-07-02 · 0001193125-20-186399
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-06-12 · 0001564590-20-029129
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
2020-06-02 · 0001193125-20-157550
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $21.22
Class I · Exchange NASDAQ · Ticker STRE · Flags units
2020-05-14 · 0001564590-20-025324
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement (424B3) with details on May 1, 2020 transaction prices for its common stock classes, reflecting the March 31, 2020 net asset value (NAV) per share. The filing also provided an update on the ongoing public offering, portfolio performance amid COVID-19, and rent collection data for April 2020. The NAV per share remained stable despite a 2.2% monthly decline, driven by reduced allocations in securities and hotels. Rent collections for multifamily, office, and industrial properties showed resilience, while hotel occupancies dropped significantly due to the pandemic.
2020-05-04 · 0001564590-20-020880
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
Starwood Real Estate Income Trust, Inc. filed a Notice of Effectiveness for its public offering, disclosing the May 1, 2020 transaction prices for its common stock classes, calculated based on the March 31, 2020 net asset value (NAV). The filing updates the NAV per share, outlines the status of the $5.0 billion public offering, and addresses the impact of COVID-19 on the portfolio, which contributed to a 2.2% decline in NAV. The document also details valuation methodologies and assumptions for property investments.
2020-04-23 · 9999999995-20-000832
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to disclose the May 1, 2020 transaction prices for its common stock classes, the March 31, 2020 net asset value (NAV) per share, progress on its public offering, and portfolio impacts from COVID-19. The supplement highlights NAV adjustments, rental collection performance, and sector-specific challenges, particularly in hotels and securities.
2020-04-20 · 0001564590-20-017343
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
CLASS_S, CLASS_T, CLASS_D, CLASS_I · Exchange NASDAQ · Ticker SREIT · Use of proceeds Proceeds used for real estate and real estate-related investments
The current filing (Supplement No. 5) updates the prospectus by incorporating Starwood Real Estate Income Trust, Inc.'s Annual Report on Form 10-K for the year ended December 31, 2019, and updates the 'Experts' section to reflect the audit of financial statements by Deloitte & Touche LLP. This follows a previous filing (Supplement No. 4) that disclosed the acquisition of an office property in Boston.
2020-04-01 · 0001193125-20-094773
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Use of proceeds Acquisition of 60 State Street office property
The current filing supplements the prospectus to disclose Starwood Real Estate Income Trust, Inc.'s acquisition of a 38-story Class A office tower, 60 State Street in Boston, through a joint venture with its sponsor's affiliate. The $614.3 million acquisition expands the company's investment portfolio, with the property 91% leased to diverse tenants including law firms and technology companies. The filing emphasizes the property's strategic location and amenities, alongside the joint venture structure where the sponsor's affiliate holds a 25% interest with an option to sell back within four months.
2020-03-23 · 0001193125-20-081356
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing updates the transaction prices for Starwood Real Estate Income Trust, Inc.'s common stock classes as of April 1, 2020, reflecting the February 29, 2020 net asset value (NAV) per share. It also provides an update on the ongoing public offering, noting increased shares issued and proceeds. The NAV per share for each class is tied to the February 29, 2020 valuation, with no material changes since then.
2020-03-13 · 0001564590-20-010677
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its public offering supplement to disclose the transaction prices for each class of common stock as of March 1, 2020, aligned with the January 31, 2020 net asset value (NAV) per share. The filing also provided a detailed breakdown of NAV components, highlighting investments in real properties, securities, cash, and liabilities. The current public offering remains active, with $1.2 billion in proceeds raised through the primary offering and $16.4 million via the distribution reinvestment plan as of January 31, 2020.
2020-02-14 · 0001564590-20-004804
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
3,336 shares
The current filing supplements the prospectus to disclose Starwood Real Estate Income Trust, Inc.'s acquisition of a fee-simple interest in the Southeast Affordable Housing Portfolio for $460.9 million, comprising 3,336 units across 18 multifamily communities with 96% occupancy, located in high-growth Sunbelt markets.
2020-02-14 · 0001193125-20-037889
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
Starwood Real Estate Income Trust, Inc. issued a Notice of Effectiveness for its public offering, disclosing the transaction prices for each class of common stock as of February 1, 2020, equal to the December 31, 2019 net asset value (NAV) per share. The filing also provided an update on the ongoing $5.0 billion public offering, including total shares issued and proceeds raised as of December 31, 2019. NAV calculations were detailed, reflecting investments in real properties, securities, and cash, with liabilities such as debt and performance participation accruals subtracted.
2020-02-04 · 9999999995-20-000228
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing updates the transaction price and net asset value (NAV) per share for Starwood Real Estate Income Trust, Inc.'s common stock classes as of December 31, 2019, and provides an update on the ongoing public offering. The transaction price for each share class equals the NAV per share as of the same date, with no material changes affecting NAV since December 31, 2019. The offering remains active, with $1.0 billion in proceeds raised through the primary offering and $13.7 million via the distribution reinvestment plan as of December 31, 2019.
2020-01-21 · 0001564590-20-001521
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
400 shares
The current filing discloses Starwood Real Estate Income Trust, Inc.'s acquisition of a multifamily property in Salt Lake City, Utah, named Avida, for $86.7 million. The property, a 400-unit high-quality asset with 95% occupancy, is strategically located near major transportation routes and employment centers. This supplement updates the prospectus with details about the acquisition, emphasizing its alignment with the company's real estate investment strategy.
2019-12-18 · 0001193125-19-317146
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
45,138,404 shares
Common Stock of Starwood Real Estate Income Trust, Inc.
The current filing updates the transaction prices for each share class of Starwood Real Estate Income Trust, Inc. as of January 1, 2020, discloses the November 30, 2019 net asset value (NAV) per share, and provides an update on the status of the public offering. The transaction prices align with the NAV as of November 30, 2019, and the offering continues to accept subscriptions monthly.
2019-12-13 · 0001564590-19-045890
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
277 shares
The current filing discloses Starwood Real Estate Income Trust, Inc.'s acquisition of The Griffin, a multifamily property in Scottsdale, Arizona, for $96.15 million. This supplement updates the investment portfolio section of the prospectus, highlighting the new asset's location, occupancy rates, and market positioning. The filing emphasizes the company's ongoing strategy of acquiring high-quality real estate assets, building on prior acquisitions of industrial and mixed-use properties outlined in previous supplements.
2019-12-13 · 0001193125-19-313513
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Ticker SREIT
The current filing supplements the prospectus to disclose Starwood Real Estate Income Trust, Inc.'s acquisition of two properties: a 33-asset industrial portfolio in Chicago, Indianapolis, Columbus, and Milwaukee for $319.6 million, and a mixed-use property in Durham, North Carolina, for $111.25 million. These acquisitions expand the company's real estate holdings, emphasizing Class A industrial assets and a high-quality multifamily-commercial complex near Duke University.
2019-12-02 · 0001193125-19-304168
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
39,455,287 shares
Common Stock
Starwood Real Estate Income Trust, Inc. issued Supplement No. 13 to its prospectus, updating details on transaction prices for common stock classes as of December 1, 2019, and the October 31, 2019 net asset value (NAV) per share. The supplement also disclosed an extension of the public offering until December 27, 2020, changes to the audit committee, increased director compensation, and included a quarterly report. The NAV per share for each class was tied to the October 31, 2019 valuation, with sensitivity analysis highlighting risks from interest rate and capitalization rate fluctuations.
2019-11-18 · 0001564590-19-043679
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
439 shares
The current filing discloses Starwood Real Estate Income Trust, Inc.'s acquisition of the Thornton Apartments, a multifamily property in Alexandria, Virginia, for $180.2 million. This follows a prior acquisition of the Cascades Apartments in Charlotte, North Carolina, as detailed in the previous supplement. The new property is described as a high-quality, midrise development with 439 units, located near major employment centers and transportation hubs in Northern Virginia.
2019-11-01 · 0001193125-19-281362
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing discloses Starwood Real Estate Income Trust, Inc.'s acquisition of the Cascades Apartments, a multifamily property in Charlotte, North Carolina, for $109.6 million. This supplement replaces prior updates on net asset value (NAV) calculations, transaction prices, and public offering status from the previous filing.
2019-10-22 · 0001193125-19-270966
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
33,322,888 shares
Common Stock of Starwood Real Estate Income Trust, Inc.
The current filing updates the transaction prices and net asset value (NAV) per share for Starwood Real Estate Income Trust, Inc.'s common stock classes as of September 30, 2019. It also provides an update on the ongoing public offering, disclosing the NAV calculation methodology, key assumptions, and their potential impact on property valuations. The filing highlights the relationship between discount rates, exit capitalization rates, and investment values.
2019-10-15 · 0001564590-19-036942
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Range $20.84 to $21.00
Common Stock of Starwood Real Estate Income Trust, Inc.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to reflect the transaction prices for each class of common stock as of October 1, 2019, and the August 31, 2019 net asset value (NAV) per share. The filing also provided an update on the ongoing public offering and disclosed the appointment of Ethan Bing to the Investment Committee of its Advisor. The NAV per share for each class was aligned with the August 31, 2019 valuation, with no material changes affecting NAV since that date.
2019-09-17 · 0001564590-19-034820
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to disclose the transaction prices for each class of common stock as of October 1, 2019, reflecting the August 31, 2019 net asset value (NAV) per share. The supplement also provided an update on the ongoing public offering and announced the appointment of Ethan Bing to the Investment Committee of its Advisor. The NAV calculation methodology and sensitivity to valuation assumptions were reiterated, highlighting the impact of discount rates and exit capitalization rates on property investments.
2019-09-16 · 0001564590-19-034762
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement with details on share class transaction prices as of September 1, 2019, NAV calculations as of July 31, 2019, and an update on its ongoing public offering. The filing also included charter amendments, a quarterly report, and valuation methodology assumptions. Compared to the previous filing, which focused on a multifamily property acquisition, this supplement emphasizes NAV disclosures, share class pricing, and corporate governance changes.
2019-08-15 · 0001564590-19-032340
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
335 shares
The current filing supplements the prospectus with the acquisition of Concord Park Apartments, a multifamily property in Laurel, Maryland, for $86.7 million. It also includes details on the net asset value (NAV) per share as of June 30, 2019, and updates on the ongoing public offering. The previous filing focused on NAV calculations, transaction prices, and offering status.
2019-08-01 · 0001193125-19-210024
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $20.96 · 21,843,519 shares
Class S, Class T, Class D, Class I · Use of proceeds to fund investments in real properties and real estate related securities
The current filing updates the transaction prices for Starwood Real Estate Income Trust, Inc.'s common stock classes as of August 1, 2019, and provides the June 30, 2019 net asset value (NAV) per share. It also includes an update on the ongoing public offering, noting 21,843,519 shares issued and sold as of the filing date. The document emphasizes the NAV calculation methodology and potential sensitivities in property valuations.
2019-07-15 · 0001193125-19-193801
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $20.66 · 19,058,051 shares
Class S, Class T, Class D, Class I · Use of proceeds Proceeds from the offering are used for general corporate purposes
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement with the transaction prices for each class of common stock as of July 1, 2019, reflecting the May 31, 2019 net asset value (NAV) per share. The filing also provided an update on the ongoing public offering and disclosed the departure of Brendan Brogan from the Investment Committee of its Advisor. The NAV per share for each class ranged from $20.54 to $20.66, with detailed breakdowns of assets, liabilities, and share classes.
2019-06-14 · 0001193125-19-173648
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. supplements its prospectus to disclose the acquisition of a $231 million office portfolio in Jacksonville, Florida, through a joint venture. The portfolio, 90% leased with major tenants like Fidelity Investments and J.P. Morgan, is managed by Vanderbilt Office Properties. Financing included $135 million in property-level debt from Wells Fargo.
2019-05-23 · 0001193125-19-154400
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. issued Supplement No. 3 to its prospectus, updating the transaction price for its common stock classes as of June 1, 2019, and disclosing the April 30, 2019 net asset value (NAV) per share. The supplement also provides an update on the ongoing public offering and includes the Q1 2019 10-Q filing. The document corrects previously issued dates and details the methodology for NAV calculations, including property valuations and risk factors affecting investment values.
2019-05-16 · 0001193125-19-148236
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing updates the net asset value (NAV) per share for Starwood Real Estate Income Trust, Inc. as of April 30, 2019, discloses transaction prices for each class of common stock effective June 1, 2019, provides an update on the public offering, and includes the Quarterly Report on Form 10-Q for the quarter ended March 31, 2019. It also includes a sensitivity analysis of valuation assumptions used in the NAV calculation.
2019-05-15 · 0001193125-19-148028
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
This supplement updates the transaction prices for Starwood Real Estate Income Trust, Inc.'s common stock classes (S, T, D, I) as of May 1, 2019, aligning them with the March 31, 2019 net asset value (NAV) per share. It also provides a detailed breakdown of the NAV components and highlights future disclosures on property valuation methodologies using discounted cash flow analysis.
2019-04-17 · 0001193125-19-108588
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
Price $20.85 · 239,856,000 shares · Gross proceeds $4,000,000,000
Class T · Exchange OTC · Ticker STRE · Use of proceeds To invest in stabilized, income-oriented commercial real estate and debt secured by commercial real estate · Flags best_efforts · Underwriters Starwood Capital, L.L.C.
Starwood Real Estate Income Trust, Inc. is offering up to $5 billion in common stock through a continuous offering, structured into four share classes with varying fees and pricing based on net asset value (NAV). The trust is externally managed by Starwood REIT Advisors, L.L.C., an affiliate of Starwood Capital Group, and aims to elect REIT status for tax purposes. The offering includes a distribution reinvestment plan and emphasizes risks related to liquidity, lack of public trading, and reliance on the advisor.
2019-04-17 · 0001193125-19-108583
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
The filing confirms the effectiveness of Starwood Real Estate Income Trust, Inc.'s registration statement, with Supplement No. 15 disclosing leadership changes in its management team. Key updates include new appointments to CFO and asset management roles, effective April 2019.
2019-04-16 · 9999999995-19-000727
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. issued Supplement No. 15 to its prospectus, focusing on management changes. Chris Lowthert resigned as Chief Financial Officer (CFO) and Treasurer, effective April 11, 2019, with no disagreements cited. Dave Guiteau was appointed as the new CFO and Treasurer. Additionally, Robert Geimer stepped down as Head of Asset Management & Operations, replaced by Mark Deason. These changes reflect internal restructuring without reported conflicts.
2019-04-15 · 0001193125-19-106609
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. filed Supplement No. 14 to its prospectus, updating financial disclosures related to the Noble Portfolio, including audited financial statements and pro forma information. The supplement incorporates the company's 2018 Annual Report on Form 10-K and updates the 'Experts' section with audit reports from Deloitte & Touche LLP and PricewaterhouseCoopers LLP. This follows prior disclosures in Supplement No. 13, which included NAV calculations, a hotel acquisition, and distribution declarations.
2019-04-01 · 0001193125-19-094747
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. issued a supplement (Supplement No. 13) to its 2018 prospectus, disclosing updated transaction prices for common stock classes as of April 1, 2019, and the February 28, 2019 net asset value (NAV) per share. The filing also announced the acquisition of a 43% stake in a Fort Lauderdale hotel via a joint venture, along with the declaration of its first shareholder distributions. The NAV per share for each class aligned with the February 28, 2019 valuation, reflecting investments in real properties, securities, and cash, offset by debt and liabilities.
2019-03-15 · 0001193125-19-076353
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to disclose the transaction prices for each class of its common stock as of March 1, 2019, and the calculation of its January 31, 2019 net asset value (NAV) per share. The transaction prices align with the NAV per share, reflecting the company's ongoing valuation process. The supplement also reaffirms the methodology for NAV calculations, including the use of cost-based valuations for real estate properties and future plans to disclose discounted cash flow assumptions.
2019-02-15 · 0001193125-19-042549
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Use of proceeds To fund the acquisition of a hotel portfolio, including cash from the public offering and property-level debt
The current filing supplements the prospectus to disclose Starwood Real Estate Income Trust's acquisition of a U.S.-based select service hotel portfolio comprising 1,057 rooms across eight properties in Florida and Colorado. The portfolio was purchased for $229 million, featuring high-growth markets, stable demand drivers, and minimal near-term capital needs. Funding came from cash reserves, existing debt, and new property-level financing. The filing also notes the portfolio's competitive landscape and reliance on the Advisor's management relationships.
2019-01-18 · 0001193125-19-012967
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Price $20.00 · 8,198,838 shares
Class S, Class T, Class D, Class I
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to disclose the February 1, 2019 transaction prices for its common stock classes, aligned with the December 31, 2018 net asset value (NAV) per share. The supplement also provided an update on the ongoing public offering, added a Puerto Rico suitability standard limiting investments to 10% of liquid net worth, and revised the subscription agreement. The NAV breakdown showed total net assets of $163.995 million as of December 31, 2018.
2019-01-17 · 0001193125-19-011239
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
1,150 shares
Starwood Real Estate Income Trust, Inc. disclosed the acquisition of three multifamily properties (Florida Multifamily Portfolio, Phoenix Property, and Savannah Property) in its latest filing. These acquisitions, made from affiliates of the Advisor, add $182 million in assets to the trust. The previous filing focused on updates to the public offering, Class I shares, and valuation guidelines, with no mention of property acquisitions.
2019-01-04 · 0001193125-19-001705
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Gross proceeds $165,000,000
Class I · Use of proceeds Proceeds from the offering are intended for general corporate purposes.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement (No. 8) to reflect the release of escrow proceeds following the satisfaction of the minimum offering requirement, updates to Class I share eligibility, and revised valuation guidelines. The company confirmed $165 million in gross proceeds from escrow, with ongoing monthly share sales starting February 1, 2019. Valuation processes now involve Altus Group U.S. Inc. as an independent advisor, with detailed procedures for quarterly property appraisals and monthly NAV adjustments.
2018-12-21 · 0001193125-18-356461
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus with the Quarterly Report on Form 10-Q for the quarter ended September 30, 2018. The filing supplements prior disclosures and includes unaudited financial statements, management discussion, and risk factors. The company remains in the pre-IPO phase, with no investments acquired as of September 30, 2018.
2018-11-15 · 0001193125-18-328109
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. updated its prospectus supplement to indicate an expected escrow break on December 14, 2018, contingent on meeting the $150 million purchase order threshold and board approval. The Advisor will waive management fees for the first three months post-escrow. The filing also reiterates risks around the uncertainty of escrow break and the Florida Multifamily Portfolio acquisition, which remains subject to conditions.
2018-11-13 · 0001193125-18-325451
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
1,150 shares
Use of proceeds for potential acquisition of real estate assets
Starwood Real Estate Income Trust, Inc. supplements its prospectus to disclose two key developments: (1) its intended acquisition of a Florida multifamily portfolio following the escrow period, comprising 1,150 units across four properties in Jacksonville and Naples, and (2) the appointment of three new members to its Advisor's Investment Committee. The acquisition remains conditional and subject to customary terms, while the new committee members bring expertise in capital markets, debt management, and European real estate investments.
2018-10-09 · 0001193125-18-295591
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
The current filing supplements the prospectus to disclose the Advisor's entry into an Investment Management Agreement with BlackRock Financial Management, Inc., appointing BlackRock as a sub-advisor to manage real estate-related securities and other investments. This agreement outlines BlackRock's role in liquidity management for the share repurchase plan, cash management, and other purposes, with fees paid entirely by the Advisor. The filing also updates the investment allocation policy to reflect revised guidelines for managing overlapping investment opportunities with Starwood Capital affiliates.
2018-09-07 · 0001193125-18-269252
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
256 shares
Starwood Real Estate Income Trust, Inc. issued Supplement No. 3 to its prospectus, disclosing updates including intended acquisitions of two multifamily properties in Phoenix and Savannah, the departure of Suril Shah from the Investment Committee, revisions to the share repurchase plan's Early Repurchase Deduction, updates to investment allocation policies, and inclusion of its Q2 2018 10-Q report. The supplement emphasizes uncertainties around property acquisitions and governance changes.
2018-08-10 · 0001193125-18-245471
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. issued Supplement No. 2 to its prospectus, disclosing a waiver of the Advisor's management fee for the first three months following the offering's escrow break. This fee waiver benefits investors holding shares during this period, impacting the company's operational costs and fee structure.
2018-07-10 · 0001193125-18-215147
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
The current 424B3 filing supplements the April 12, 2018 prospectus for Starwood Real Estate Income Trust, Inc., disclosing the appointment of two new Investment Committee members (Jeffrey Dishner and Laura Mestel Rubin) and including the Q1 2018 10-Q financial report. The company remains in early stages with no investments made as of March 2018.
2018-05-15 · 0001193125-18-164261
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows 424B3 and marks the registration effective.
The current filing updates the prospectus with an updated 'Experts' section and includes the Annual Report on Form 10-K for the year ended December 31, 2017. This supplement follows the prospectus dated December 27, 2017, and Supplement No. 1 dated January 19, 2018.
2018-04-25 · 9999999995-18-000912
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
Use of proceeds to make investments in accordance with our investment strategy and policies
The current 424B3 filing for Starwood Real Estate Income Trust, Inc. supplements the prospectus with updates including the 'Experts' section and the Annual Report on Form 10-K for 2017. The filing emphasizes the company's focus on acquiring stabilized commercial real estate and debt, managed by its advisor Starwood REIT Advisors. The company had not yet commenced operations as of December 2017, with activities centered on preparing for its initial public offering.
2018-04-02 · 0001193125-18-104876
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows 424B3 and confirms the priced prospectus.
This supplement updates the prospectus for Starwood Real Estate Income Trust, Inc.'s IPO, incorporating changes to the board of directors, investment priorities of Starwood Property Trust, suitability standards for Ohio and North Dakota investors, tax disclosures under the Tax Cuts and Jobs Act, distribution reinvestment plan procedures, and subscription agreements. The updates aim to align disclosures with current operational and regulatory requirements.
2018-01-19 · 0001193125-18-014893
424B3
priced
Final prospectus
Final prospectus filed near launch with final deal terms.
Follows EFFECT and confirms the priced prospectus.
Starwood Real Estate Income Trust, Inc. is offering up to $5 billion in common stock through a continuous public offering, structured into four share classes with varying fees. The offering includes a minimum threshold of $150 million to release funds from escrow, with shares priced based on net asset value (NAV) after the escrow period. The trust is externally managed by Starwood REIT Advisors, L.L.C., and faces risks related to liquidity, reliance on third-party management, and uncertainty in distribution payments.
2017-12-28 · 0001193125-17-381150
EFFECT
effective
SEC effectiveness notice
SEC declared the registration statement effective, allowing the offering to proceed.
Follows S-11/A and marks the registration effective.
Starwood Real Estate Income Trust, Inc. filed a Notice of Effectiveness for its S-11 registration statement, confirming the securities offering became effective on December 27, 2017. The filing relates to the registration of securities under the Securities Act of 1933, with the company structured as a real estate investment trust (REIT). The document outlines administrative details, including the effective date, form type, and registration number.
2017-12-27 · 9999999995-17-003330
S-11/A
amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior S-11/A filing.
Price $20.00 · 250,000 shares · Gross proceeds $5,000,000
Class I
Starwood Real Estate Income Trust, Inc. filed an S-11/A registration statement to correct a scrivener's error in a legal opinion related to its initial public offering. The filing outlines the company's structure as an externally managed real estate investment trust (REIT) with a target offering of up to $5 billion in common stock across multiple classes. The offering includes a share repurchase plan and is subject to risks related to liquidity, reliance on the advisor, and NAV valuation. The amendment focuses on updating the legal opinion and omitting the preliminary prospectus.
2017-12-26 · 0001193125-17-378291
S-11/A
amended
Amended real estate registration statement
Updated real estate registration statement filed after SEC comments or deal changes.
Updates the prior S-11 filing.
Starwood Real Estate Income Trust, Inc. is a newly organized real estate investment trust (REIT) focused on investing in stabilized, income-oriented commercial real estate and related debt. The company is externally managed by Starwood REIT Advisors, L.L.C., an affiliate of Starwood Capital Group. The offering seeks to raise up to $5 billion in common stock through a primary offering and a distribution reinvestment plan, with shares structured into four classes (T, S, D, I) featuring varying upfront fees and ongoing servicing charges. The offering is a 'best efforts' structure, with shares priced initially at $20 per share plus fees, and later based on net asset value (NAV) after an escrow period. The trust aims to qualify as a REIT and does not intend to register as an investment company under the Investment Company Act.
2017-12-20 · 0001193125-17-374850
S-11
filed
Real estate registration statement
Registration statement filed for a real estate issuer or REIT offering.
Follows DRS/A in the pre-IPO sequence.
Starwood Real Estate Income Trust, Inc. is a newly organized REIT focused on investing in stabilized commercial real estate and related debt. It is externally managed by Starwood REIT Advisors, L.L.C., an affiliate of Starwood Capital Group. The company is offering up to $5 billion in common stock through a continuous primary offering and a distribution reinvestment plan, with shares structured into four classes (T, S, D, I) featuring different fees and pricing mechanisms. The offering is a 'best efforts' structure, and shares are not publicly traded, relying on a share repurchase plan for liquidity. The filing highlights risks related to lack of operating history, liquidity constraints, and reliance on the advisor.
2017-10-18 · 0001193125-17-312011
DRS/A
amended
Amended draft registration statement
Updated draft registration filed before the public launch.
Updates the prior DRS filing.
Starwood Real Estate Income Trust, Inc. is offering up to $5 billion in common stock through a continuous primary offering and a distribution reinvestment plan. The offering includes four share classes (Class T, S, D, I) with varying fees and pricing structures. Shares will be priced at $20 per share during the escrow period, transitioning to a net asset value (NAV) basis post-escrow. The trust is externally managed by Starwood REIT Advisors, L.L.C., an affiliate of Starwood Capital Group, and is structured as a non-listed REIT. The offering is a 'best efforts' arrangement, with no guaranteed minimum investment threshold beyond $150 million.
2017-09-15 · 0000950123-17-008522
DRS
filed
Draft registration statement
Draft registration filed confidentially before the public launch.
First tracked pre-IPO filing for this issuer.
Starwood Real Estate Income Trust, Inc. is a newly organized real estate investment trust (REIT) seeking to raise up to $5 billion through a primary offering and distribution reinvestment plan. The offering includes four share classes with varying commissions and fees, and shares will be priced based on net asset value (NAV) after an initial escrow period. The company is externally managed by Starwood REIT Advisors, L.L.C., an affiliate of Starwood Capital Group, and operates as a non-listed REIT without a public trading market. A share repurchase plan is available but discretionary.
2017-08-11 · 0000950123-17-007475