The Renewables Infrastructure Group Limited Ipo

The renewables infrastructure group limited ipo

Objective

The Company will seek to provide investors with long-term, stable dividends, while preserving the capital value of its investment portfolio through investment, principally in a range of operational assets which generate electricity from renewable energy sources, with a particular focus on onshore wind farms and solar PV parks.

NET ASSET VALUE (NAV)

Estimated NAV: 111.68
Latest actual NAV: 115.00
Latest actual NAV date: 30 June 2019
Premium/Discount: 21.78%
12m average Premium/Discount: 9.51%
NAV frequency: Semi-Annually
Time / dateTimeBuy / sellTypeVolumePriceValue
13:47 - 16/01 13:47
16/01
Buy 1351 134.40p £1,815.74
13:46 - 16/01 13:46
16/01
Buy 3000 134.31p £4,029.39
13:42 - 16/01 13:42
16/01
Buy 3715 134.31p £4,989.73
13:42 - 16/01 13:42
16/01
Buy 54007 134.30p £72,531.40
13:34 - 16/01 13:34
16/01
Buy 2200 134.31p £2,954.91

Trades priced above mid-price at the time a trade is placed are assumed buys, those priced below are assumed sells.

The Renewables Infrastructure Group - Richard Crawford

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The renewables infrastructure group limited ipo