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11 February 2020
This announcement contains inside information for the purpose of Article 7 of the Market Abuse Regulation (EU) No 596/2014.
Aquila European Renewables Income Fund plc
Net Asset Value and Factsheet - 31 December 2019
Aquila European Renewables Income Fund plc (the Company), a Euro income fund, announces its un-audited net asset value ('NAV') as at 31 December 2019, on a cum-income basis, was EUR 158,916,758 or 102.75 cents per ordinary share.
Further details will shortly be available in the quarterly factsheet section of 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
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, onshore 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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Net Asset Value & Factsheet - 31 December 2019 - RNS
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Aquila European Renewables Income Fund plc published this content on 11 February 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 11 February 2020 12:32:00 UTC