skip to content

Interim Results

Foresight Solar Fund NAV up

05 August 2015 07:47

Foresight Solar Fund Ltd's net asset value increased from £209.8m at 31 December to £277.9m at 30 June, taking the NAV per ordinary share to 98.6 pence (31 December 2014: 100.9 pence).

Reported profit for the period was £5.38 million and earnings per share of 2.32 pence.

The first quarterly dividend of 1.52 pence in respect of the period from 1 January to 31 March was paid on 30 June. A second quarterly dividend of 1.52 pence was approved yesterday and will be paid on 30 September .

The company says it is on target to deliver a 6.10 pence dividend for the financial year ending 31 December (6.00 pence inflated by RPI for 2014).

Story provided by StockMarketWire.com

Related Company: FSFL

Info Point:

To buy or sell shares call our Dealing Room on 0113 243 6941.

Too much jargon? Our glossary will help make sense of things.

Find out more about our Share Dealing Services.

Client Area Access

» Secure Login

» Not registered yet?

Bluezest Aviva Aberdeen

Branch Finder

Redmayne-Bentley have High Street branches throughout the UK. Find your nearest branch.