Net Asset Value and Dividend Declaration

Released : 30 Jan 2020 15:16

RNS Number : 4805B

Greencoat Renewables PLC

30 January 2020

THIS ANNOUNCEMENT IS NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION IN WHOLE OR IN PART, DIRECTLY OR INDIRECTLY, BY ANY MEANS OR MEDIA, IN OR INTO OR FROM THE UNITED STATES, CANADA, AUSTRALIA, NEW ZEALAND, JAPAN, OR THE REPUBLIC OF SOUTH AFRICA OR ANY OTHER JURISDICTION IN WHICH RELEASE, PUBLICATION OR DISTRIBUTION WOULD BE UNLAWFUL.

Net Asset Value and Dividend Announcement

Dublin, London, 30 January 2020: Greencoat Renewables PLC ("Greencoat Renewables") the renewable infrastructure company invested in euro‐dominated assets, today announces that its unaudited Net Asset Value as of 31 December 2019 is €650.0 million (103.1c per share).

Net Asset Value

Net Asset Value / Net Asset Value per share

€650.0 million / 103.1c per share

Q4 Dividend/Dividend per share

€9.5 million / 1.5075c per share

The Company's December 2019 Factsheet is available on the Company's website, www.greencoat‐renewables.com

The Company also announces a quarterly interim dividend of 1.5075c per share with respect to the quarter ended 31 December 2019.

Dividend Timetable

Ex‐Dividend Date

6 February 2020

Record Date

7 February 2020

Payment Date

28 February 2020

‐‐‐ ENDS ‐‐‐

For further details contact:

Greencoat Capital LLP (Investment Manager)

Bertrand Gautier

Paul O' Donnell

Tom Rayner

+44 20 7832 9400

FTI Consulting (Investor Relations & Media)

Jonathan Neilan

+353 1 765 0886

Melanie Farrell

greencoat@fticonsulting.com

+353 1 679 6363

Davy (Broker, NOMAD and Euronext Growth Adviser)

Fergal Meegan

Barry Murphy

Ronan Veale

RBC Capital Markets (Joint Broker)

Matthew Coakes

Jonathan Hardy

Elizabeth Evans

+44 20 7653 4000

About Greencoat Renewables PLC

Greencoat Renewables PLC is an investor in euro‐denominated renewable energy infrastructure assets. Governed by a strong and experienced independent board, it is focused on the acquisition and management of operating wind farms in Ireland. It is managed by an experienced team at Greencoat Capital LLP, a leading European renewable investment manager with over €5 billion of assets under management across a number of funds in wind, solar and bioenergy infrastructure.

Forward Looking Statements and Important Information

This announcement may include statements that are, or may be deemed to be, "forward‐looking statements", including terms such as "believes", "estimates", "anticipates", "expects", "intends", "may", "plans", "projects", "will", "explore" or "should" or, in each case, their negative or other variations or comparable terminology or by discussions of strategy, plans, objectives, goals, future events or intentions. Forward‐looking statements include all matters that are not historical facts. By their nature, forward‐looking statements involve risks and uncertainties because they relate to future events and depend on circumstances that may or may not occur in the future. Forward‐looking statements are not guarantees of future performance. The Company's actual investment performance, results of operations, financial condition, liquidity, distribution policy and the development of its financing strategies may differ materially from the impression created by, or described in or suggested by, the forward‐looking statements contained in this announcement. In addition, this announcement may include target figures for future financial periods. Any such figures are targets only and are not forecasts. Subject to their legal and regulatory obligations, Greencoat Renewables, the Directors and Greencoat Capital LLP expressly disclaim any obligations to update or revise any forward‐looking statement contained herein to reflect any change in expectations with regard thereto or any change in events, conditions or circumstances on which any statement is based.

The financial information contained in this announcement has not been audited or reviewed by Greencoat Renewables' auditors in accordance with the International Standards on Auditing (Ireland) or International Standard on Review Engagements.

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.comor visit www.rns.com.

END

NAVBMMATMTMJBIM

Attachments

  • Original document
  • Permalink

Disclaimer

Greencoat Renewables plc published this content on 30 January 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 30 January 2020 15:39:08 UTC