Aquila European Renewables Income Net Asset Value and Factsheet - 31 December 2020 (0763O)
February 05 2021 - 1:00AM
UK Regulatory
TIDMAERS TIDMAERI
RNS Number : 0763O
Aquila European Renewables Income
05 February 2021
5 February 2021
Aquila European Renewables Income Fund plc
Net Asset Value and Factsheet - 31 December 2020
Aquila European Renewables Income Fund plc (the Company), a Euro
income fund, announces its unaudited net asset value ("NAV") as at
31 December 2020, on a cum-income basis, was EUR 316,902,809 or
99.96 cents per ordinary share.
Further details will shortly be available in the quarterly
factsheet on the Company's website at:
https://www.aquila-european-renewables-income-fund.com.
For further details contact:
Media contacts:
Smithfield Consultants
Ged Brumby | 020 3047 2527
John Kiely | 020 3047 2538
Andrew McLagan | 020 3047 2006
Corporate Broker
Numis Securities 020 7260 1000
Tod Davis
David Benda
Vicki Paine
Joint Financial Advisor
Kempen & Co +31 20 348 8000
Thomas ten Hoedt
Michiel Klomp
Robin van Wijk
NOTES
Aquila European Renewables Income Fund ("AERIF" or the
"Company") is a recently established, London-listed renewable
energy infrastructure investment company with the aim to provide
investors with an attractive long-term, income-based return in EUR
through a diversified portfolio of hydropower, wind and solar PV
investments across continental Europe and Ireland. Through the
diversification of generation technologies, the seasonal production
patterns of these asset types complete each other to balance the
cash flow, while the geographic diversification serves to reduce
exposure to one single energy market. AERIF is targeting an
aggregate annual yield of 5.0% once fully invested.
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