28th Mar 2022 12:25
Octopus Renewables Infrastructure Trust PLC - London-based investment company focused on renewable energy assets in Europe and Australia - Net asset value per share ends 2021 at 102.26 pence, rising from 98.26p at same point a year prior. Increases annual dividend to 5.00p from 3.18p. Total NAV return for 2021 at 9.3%. Made six acquisitions in 2021, totalling 179 megawatts of capacity, including wind, solar and construction and operational assets, together with two developer investments, across three new countries in the year. Read More