Starlight Private Global Real Assets Trust Reports Q2 2025 Results

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Starlight Private Global Real Assets Trust Reports Q2 2025 Results

Business Wire – Tue Aug 12, 6:07PM CDT

</p> <p>Starlight Investments Capital LP (“Starlight Capital”), on behalf of Starlight Private Global Real Assets Trust (the “Trust”), announced today the Trust’s financial results for the three months ended June 30, 2025.</p> <p><b>Q2 2025 HIGHLIGHTS</b></p> <p><b>Portfolio Investments</b></p> <p>As of June 30, 2025, the Trust had an investment of $264,526 (December 31, 2024 – $253,961) in the two Public Portfolio LPs and $24,636,704 in four investments in the Private Portfolio (December 31, 2024 – $27,901,801). The Public Portfolio LPs had 63 investments with an effective market value of $248,104 in publicly traded global real estate and infrastructure securities.</p> <p>The Public Portfolio’s investment portfolio remains liquid, and the Trust does not anticipate any issues in being able to meet the liquidity needs of the Public Portfolio LP’s or the Trust.</p> <p><b>Distributions</b></p> <p>As at June 30, 2025, the Trust declared two distributions of $0.1523 per series A unit for a total distribution of $0.3046 per series A unit, two distributions of $0.1546 per series F unit for a total distribution of $0.3092 per series F unit and two distributions of $0.1575 per series I unit for a total distribution of $0.3150 per series I unit.</p> <p><b>Quarterly Redemption of Units</b></p> <p>On June 30, 2025, 38,086 series F units were redeemed under the quarterly redemption with a net asset value of $11.0771 for total proceeds of $421,881.</p> <p><b>FINANCIAL AND OPERATIONAL HIGHLIGHTS</b></p> <table cellspacing="0" class="bwtablemarginb bwblockalignl bwwidth100"> <tbody> <tr> <td class="bwtopsingle bwsinglebottom bwleftsingle bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth56" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"> </p> </td> <td class="bwtopsingle bwsinglebottom bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth22 bwvertalignb bwpadr0" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>As at</b></p> <p class="bwalignr bwcellpmargin"><b>June 30, 2025</b></p> </td> <td class="bwtopsingle bwsinglebottom bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth22 bwvertalignb bwpadr0" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>As at</b></p> <p class="bwalignr bwcellpmargin"><b>December 31, 2024</b></p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Current assets</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>$26,362,754</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">$29,038,585</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Current liabilities</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>584,321</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">823,755</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Net assets attributable to holders of redeemable units per series</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"> </p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"> </p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl4" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Series A</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>23,826</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">25,562</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl4" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Series F</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>25,753,283</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">28,187,903</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl4" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Series I</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>1,324</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">1,365</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwpadl0 bwrowaltcolor1 bwwidth56" colspan="1" rowspan="1"> <p class="bwcellpmargin"> </p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrowaltcolor1 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>25,778,433</b></p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrowaltcolor1 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">$28,214,830</p> </td> </tr> </tbody> </table> <p><b>ANALYSIS OF FINANCIAL PERFORMANCE</b></p> <p>The Trust’s financial performance and results of operations for the three months ending June 30, 2025, and 2024 are summarized below:</p> <table cellspacing="0" class="bwtablemarginb bwblockalignl bwwidth100"> <tbody> <tr> <td class="bwtopsingle bwsinglebottom bwleftsingle bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth56" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"> </p> </td> <td class="bwtopsingle bwsinglebottom bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth22 bwvertalignb bwpadr0" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>Three months ended</b></p> <p class="bwalignr bwcellpmargin"><b>June 30, 2025</b></p> </td> <td class="bwtopsingle bwsinglebottom bwrightsingle bwrowaltcolor0 bwpadl0 bwwidth22 bwvertalignb bwpadr0" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>Three months ended</b></p> <p class="bwalignr bwcellpmargin"><b>June 30, 2024</b></p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Investment gain (loss)</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>$(709,185)</b></p> </td> <td class="bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22 bwrightsingle" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">$1,093,698</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Expenses</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>158,916</b></p> </td> <td class="bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22 bwrightsingle" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">(151,737)</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin">Net investment income (loss)</p> </td> <td class="bwsinglebottom bwrightsingle bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>(868,101)</b></p> </td> <td class="bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwwidth22 bwrightsingle" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">941,961</p> </td> </tr> <tr> <td class="bwsinglebottom bwleftsingle bwrightsingle bwrowaltcolor1 bwwidth56 bwpadl1" colspan="1" rowspan="1"> <p class="bwalignl bwcellpmargin"><b>Increase/(decrease) in net assets attributable to holders of redeemable units</b></p> </td> <td class="bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrowaltcolor1 bwwidth22 bwrightsingle" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin"><b>$(868,101)</b></p> </td> <td class="bwsinglebottom bwpadl0 bwpadr0 bwvertalignb bwpadb3 bwrowaltcolor1 bwwidth22 bwrightsingle" colspan="1" rowspan="1"> <p class="bwalignr bwcellpmargin">$941,961</p> </td> </tr> </tbody> </table> <p><b>Forward-looking statements</b></p> <p>Certain statements in this press release are forward-looking and involve a number of risks and uncertainties, including statements regarding the outlook for the Trust’s business and results of operations. Forward-looking statements (“FLS”) are provided for the purpose of assisting the reader in understanding the Trust’s financial performance, financial position and cash flows as at and for the periods ended on certain dates and to present information about management’s current expectations and plans relating to the future. Readers are cautioned such statements may not be appropriate for other purposes. FLS involve known and unknown risks and uncertainties, which may be general or specific and which give risk to the possibility that expectations, forecasts, predictions, projections or conclusions will not prove to be accurate, assumptions may not be correct and objectives, strategic goals and priorities may not be achieved. FLS are statements that are predictive in nature, depend upon or refer to future events or conditions, or that include words such as “may,” “will,” “should,” “could,” “expect,” “anticipate,” “intend,” “plan,” “believe,” or “estimate,” or other similar expressions. Statements that look forward in time or include anything other than historical information are subject to risks and uncertainties, and actual results, actions or events could differ materially from those set forth in the FLS. FLS are not guarantees of future performance and are by their nature based on numerous assumptions.</p> <p>Information contained in FLS is based upon certain material assumptions applied in drawing a conclusion or making a forecast or projection, including management’s perception of historical trends, current conditions and expected future developments, as well as other considerations believed to be appropriate in the circumstances. Although the FLS contained herein are based upon what Starlight Capital believes to be reasonable assumptions, Starlight Capital cannot be sure that actual results will be consistent with these FLS. The reader is cautioned to consider the FLS carefully and not to place undue reliance on FLS.</p> <p>The forward-looking statements relate only to events or information as of the date on which the statements are made in this press release. Unless required by applicable law, it is not undertaken and specifically disclaimed that there is any intention or obligation to update or revise FLS, whether as a result of new information, future events or otherwise, after the date on which the statements are made or to reflect the occurrence of unanticipated events.</p> <p><b>About Starlight Private Global Real Assets Trust</b></p> <p>The <b>Starlight Private Global Real Assets Trust</b> ’s investment objective is to provide unitholders with stable cash distributions and long-term capital appreciation through exposure to institutional quality real assets in the global real estate and global infrastructure sectors.</p> <p>The Trust’s unaudited financial statements, the notes thereto, and Management’s Discussion and Analysis for the three and six months period ended June 30, 2025, can be found on Starlight Capital’s website at <b/><b>www.starlightcapital.com</b> or <b>www.sedarplus.ca</b> .</p> <p><b>About Starlight Capital and Starlight Investments</b></p> <p>Starlight Capital is an independent Canadian asset management firm with over $1 billion in assets under management. We manage Global and North American diversified private and public equity investments across traditional and alternative asset classes, including real estate, infrastructure and private equity. Our goal is to deliver superior risk-adjusted, total returns to investors through a disciplined investment approach: Focused Business Investing. Starlight Capital is a wholly-owned subsidiary of Starlight Investments. Starlight Investments is a leading global real estate investment and asset management firm with over 375 employees and $30B in AUM. A privately held owner, developer and asset manager of over 70,000 multi-residential suites and over 7 million square feet of commercial property space. 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