Filed Pursuant to Rule 424(b)(3)
Registration No. 333-220997
STARWOOD REAL ESTATE INCOME TRUST, INC.
SUPPLEMENT NO. 6 DATED JULY 15, 2019
TO THE PROSPECTUS DATED APRIL 16, 2019
This prospectus supplement (“Supplement”) is part of and should be read in conjunction with the prospectus of Starwood Real Estate Income Trust, Inc., dated April 16, 2019 (as supplemented to date, the “Prospectus”). Unless otherwise defined herein, capitalized terms used in this Supplement shall have the same meanings as in the Prospectus. References herein to the “Company,” “we,” “us,” or “our” refer to Starwood Real Estate Income Trust, Inc. and its subsidiaries unless the context specifically requires otherwise.
The purposes of this Supplement are as follows:
| • | | to disclose the transaction price for each class of our common stock as of August 1, 2019; |
| • | | to disclose the calculation of our June 30, 2019 net asset value (“NAV”) per share for each class of our common stock; and |
| • | | to provide an update on status of our current public offering (the “Offering”). |
August 1, 2019 Transaction Price
The transaction price for each share class of our common stock for subscriptions accepted as of August 1, 2019 (and repurchases as of July 31, 2019) is as follows:
| | | | |
| | Transaction Price (per share) | |
Class S | | $ | 20.96 | |
Class T | | $ | 20.82 | |
Class D | | $ | 20.89 | |
Class I | | $ | 20.96 | |
The August 1, 2019 transaction price for each of our share classes is equal to such class’s NAV per share as of June 30, 2019. A detailed presentation of the NAV per share is set forth below. No transactions or events have occurred since June 30, 2019 that would have a material impact on our NAV per share. The purchase price of our common stock for each share class equals the transaction price of such class, plus applicable upfront selling commissions and dealer manager fees.
June 30, 2019 NAV Per Share
NAV per share is calculated in accordance with the valuation guidelines that have been approved by our board of directors. Our NAV per share, which is updated as of the last calendar day of each month, is posted on our website atwww.starwoodNAV.reit. Please refer to “Net Asset Value Calculation and Valuation Guidelines” in the Prospectus for information on how our NAV is determined. The Advisor is ultimately responsible for determining our NAV.
SREIT-SUP6-0719