Feb. 04 2021 Mar. 05 2021

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DateOpenCloseDaily HighDaily Low

Price change over selected period: 0% 0

Total Analysts: 20

Buy Ratings: 14 Neutral Ratings: 6 Sell Ratings: 0

Analyst: {{ANALYST_DATA}}
Price-Target: {{PRICE_DATA}}
Rating: {{RATING_DATA}}

Price *Price Target

Lowest: 18.50 Median: 21.83 Highest: 26.00

All
  • All
  • Buy
  • Hold
  • Sell
  • Yearly
  • Quarterly
 202420252026
Revenue2,0222,132919
Dividend1.921.891.92
Dividend Yield (in %)9.79 %9.62 %9.79 %
EPS2.052.002.05
P/E Ratio9.569.829.55
EBIT671650-
EBITDA1,8901,850-
Net Profit676665681
Net Profit Adjusted676665681
Pre-Tax Profit609606702
Net Profit (Adjusted)534564-
EPS (Non-GAAP) ex. SOE2.052.002.05
EPS (GAAP)1.441.581.51
Gross Income---
Cash Flow from Investing---
Cash Flow from Operations---
Cash Flow from Financing---
Cash Flow per Share2.162.052.05
Free Cash Flow688669-
Free Cash Flow per Share---
Book Value per Share19.8020.4618.49
Net Debt5,8255,819-
Research & Development Exp.---
Capital Expenditure---
Selling, General & Admin. Exp.---
Shareholder’s Equity6,4096,587-
Total Assets26,99826,530-
 Previous Quarter
ending 06/30/24
Current Quarter
ending 09/30/24
Next Quarter
ending 12/31/24
Current Year
ending 12/31/24
Next Year
ending 12/31/25
Earnings Estimates
No. of Analysts88886
Average Estimate0.483 USD0.491 USD0.498 USD2.050 USD1.996 USD
Year Ago0.537 USD0.148 USD0.222 USD1.074 USD-
Publish Date8/6/202411/6/20242/21/2025--
Revenue Estimates
No. of Analysts33332
Average Estimate505 USD499 USD495 USD2,022 USD2,132 USD
Year Ago520 USD532 USD518 USD2,052 USD-
Publish Date8/6/202411/6/20242/21/2025--

* Average Estimates in Million (e.g. Revenue) or per share (e.g. Dividend). Source: FactSet

DateNameDividend*yieldCurrency
2023Starwood Property Trust Inc Shs of Benef Interest1.929.13USD
2022Starwood Property Trust Inc Shs of Benef Interest1.9210.47USD
2021Starwood Property Trust Inc Shs of Benef Interest1.927.90USD
2020Starwood Property Trust Inc Shs of Benef Interest1.929.95USD
2019Starwood Property Trust Inc Shs of Benef Interest1.927.72USD
2018Starwood Property Trust Inc Shs of Benef Interest1.929.74USD
2017Starwood Property Trust Inc Shs of Benef Interest1.928.99USD
2016Starwood Property Trust Inc Shs of Benef Interest1.928.75USD
2015Starwood Property Trust Inc Shs of Benef Interest1.929.34USD
2014Starwood Property Trust Inc Shs of Benef Interest1.928.26USD
2013Starwood Property Trust Inc Shs of Benef Interest1.826.57USD
2012Starwood Property Trust Inc Shs of Benef Interest1.868.10USD
2011Starwood Property Trust Inc Shs of Benef Interest1.749.40USD
2010Starwood Property Trust Inc Shs of Benef Interest1.205.59USD
2009Starwood Property Trust Inc Shs of Benef Interest0.110.58USD

*Yield of the Respective Date

Starwood Property Trust, Inc. engages in originating, acquiring, financing and managing commercial mortgage loans and other commercial real estate debt and equity investments. It operates through the following segments: Real Estate Commercial and Residential Lending, Infrastructure Lending, Real Estate Property, and Real Estate Investing and Servicing. The Real Estate Commercial and Residential Lending segment includes commercial first and subordinated mortgages, mezzanine loans, preferred equity, certain residential mortgage loans, and other real estate debt investments. The Infrastructure Lending segment is involved primarily in originating, acquiring, financing and managing infrastructure debt investments. The Real Estate Property segment consists of acquisition and managing equity interests in stabilized commercial real estate properties, such as multi-family properties, that are held for investment. The Real Estate Investing and Servicing segment provides businesses that manage and work out problem assets, investment businesses that acquire and manage unrated, investment grade and non-investment grade, mortgage loan businesses which originates conduit loans for the purpose of selling loans into securitization transactions and an investment business that acquires commercial real estate assets. The company was founded on August 17, 2009, and is headquartered in Greenwich, CT.

Risk
  • Low
  • Medium
  • High

Moody’s Daily Credit Risk Score is a 1-10 score of a company’s credit risk, based on an analysis of the firm’sbalance sheet and inputs from the stock market. The score provides a forward-looking, one-year measure of creditrisk, allowing investors to make better decisions and streamline their work ow. Updated daily, it takes intoaccount day-to-day movements in market value compared to a company’s liability structure.

Ownerin %
Freefloat93.93
The Vanguard Group, Inc.9.13
Vanguard Group, Inc. (Subfiler)8.97
BlackRock Fund Advisors5.88
Barry Stuart Sternlicht, MBA5.05
Vanguard Total Stock Market ETF3.04
State Street Corp.2.85
BlackRock Institutional Trust Co. NA2.73
Vanguard Small Cap Index Fund2.39
Vanguard Small Cap Value Index Fund1.61
Morgan Stanley Smith Barney LLC1.55
Geode Capital Management LLC1.52
Northern Trust Investments, Inc.(Investment Management)1.06
Cardinal Capital Management LLC1.03
JPMorgan Securities LLC1.00

Shareholder percentage totals can add to more than 100% because some holders are included in the free float.

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