1 month+33.33%
3 months-66.67%
6 months-81.82%
1 week 0.02
Extreme 0.015
0.02
1 month 0.02
Extreme 0.015
0.04
Current year 0.02
Extreme 0.015
0.25
1 year 0.02
Extreme 0.015
0.25
3 years 0.02
Extreme 0.015
0.25
5 years 0.02
Extreme 0.015
0.25
10 years 0.02
Extreme 0.015
0.25
Change 5-day change 1-year change 3-year change Capi.($)
0.00%0.00% - - 457K
-1.50%-0.99%+1.54%+118.80% 15B
-2.85%+0.31%+20.83%+164.71% 11.81B
-0.32%+2.27%-20.12%+28.28% 8.63B
-2.42%-1.76%+7.96%+139.21% 7.16B
-0.69%+1.92%-28.18%-15.43% 6.82B
-1.71%+3.95%+4.22%+21.74% 6.68B
-0.52%-3.29%+7.47%+24.88% 4.68B
-0.85%+0.86% - - 3.74B
-0.82%+0.94%-3.30%+1.68% 3.64B
Average -1.15%+0.66%-1.20%+60.48% 6.82B
Weighted average by Cap. -1.47%+0.62%+0.18%+79.66%
Logo Starlight U.S. Residential Fund (Multi-Family) Investment LP
Starlight U.S. Residential Multi-Family Investment LP is a closed-end trust. The Fund's investment objectives are to directly or indirectly acquire, own and operate a portfolio primarily composed of income-producing residential multifamily properties that demonstrate value based on pricing and local supply and demand trends to achieve the Fund’s target metrics and are located in the primary markets, with a particular focus on the suburban areas of primary submarkets, make stable monthly cash distributions, and increase NOI through active asset management, which may include high return, value-add capital expenditures, lease up of non-stabilized properties. It has interests in and operates a portfolio comprising interests in 1,333, Class A stabilized, income-producing multifamily residential suites located in Tampa, Florida, Austin, Texas, Phoenix, Arizona and Raleigh, North Carolina. It is managed by Starlight Investments US AM Group LP.
Employees
-
Date Price Change Volume
07/10/26 CA$0.0200 0.00% 42,000
06/10/26 CA$0.0200 0.00% 2,000
05/10/26 CA$0.0200 +33.33% 22,876
02/10/26 CA$0.0150 0.00% 6,000
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