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Aquila European Renewables Income Fund (GBP)

Current Price 94.50p Bid 92.00p Ask 97.00p Change 0.00%
Last Updated: 04/12/2020 05:49. Prices delayed by at least 15 minutes.
Call 0113 243 6941 or search for your local office

Company Overview

Aquila European Renewables Income Fund objective is to provide investors with a truly diversified portfolio of renewable assets. The fund's aim is to invest mostly in diversified operating and a limited number of greenfield renewable energy assets, such as hydropower-plants, onshore wind and solar parks across continental Europe & Ireland.

Financial Highlights Year Ended 31/12/2019

Revenue
£n/am
Operating Profit/Loss
£0.14m
Dividend yield (%)
1.50
Total dividend for year
€0.0150
Dividend cover
-0.03
P/E Ratio
n/a

Key Personnel

Mr Ian Nolan
Non-Executive Chairman
Mr David MacLellan
Non-Executive Director
Mr Kenneth MacRitchie
Non-Executive Director
Mr Patricia Rodrigues
Non-Executive Director

Stock Details

EPIC
AERS
ISIN
GB00BK6RLF66
Shares in Issue
193.77m
Market cap
£299.60m

Price Summary

Mid Price
94.50p
Bid Price
92.00p
Ask Price
97.00p
Volume
19,287
Change Today
0.00p
% Change Today
0.00%
Open
95.00p
Previous Close
94.50p
Intraday High
94.50p
Intraday Low
93.02p
52 Week High
98.75p
52 Week Low
81.00p
52 week high and low figures quoted above are calculated from intraday price data.

Intra-Day Chart

News

Income Statement

Year End Date
31 Dec 2019
 
€ (M)
Continuing Operations
Revenue
n/a
Operating Profit/Loss
0.14
Net Interest
-0.20
Pre-Tax Profit
-0.05
Profit After Tax from continuing operations
-0.05
Discontinued Operations
Profit After Tax
n/a
Profit/Loss for the Year
n/a
Attributable to:
Equity Holders of Parent Company
n/a
Minority Interests
n/a
Total Dividend Paid
€0.0150
Retained Profit/(Loss) for the Financial Year
-0.05

Earnings per Share

Year End Date
31 Dec 2019
Basic
-0.04¢
Diluted
-0.04¢
Adjusted
-0.04¢
Dividend per Share
€0.0150

Assets

Year End Date
31 Dec 2019
 
€ (M)
Non-Current Assets
Property, Plant & Equipment
n/a
Intangible Assets
n/a
Investment Properties
n/a
Investments
n/a
Other Financial Assets
n/a
Other Non-Current Assets
n/a
Current Assets
Inventories
n/a
Trade & Other Receivables
n/a
Cash at Bank & In Hand
38.86
Current Asset Investments
n/a
Other Current Assets
n/a
Other Assets
n/a
Total Assets
159.45

Liabilities

Year End Date
31 Dec 2019
 
€ (M)
Current Liabilities
Borrowings
n/a
Other Current Liabilities
n/a
Total Current Liabilities
n/a
Non-Current Liabilities
Borrowings
n/a
Provisions
n/a
Other Non-Current Liabilities
n/a
Total Non-Current Liabilities
n/a
Other Liabilities
n/a
Total Liabilities
0.53

Net Assets

Year End Date
31 Dec 2019
 
€ (M)
Net Assets
158.92

Capital & Reserves

Year End Date
31 Dec 2019
 
€ (M)
Share Capital
n/a
Share Premium Account
0.31
Other Reserves
157.11
Retained Earnings
n/a
Shareholders Funds
158.92
Minority Interests/Other Equity
n/a
Total Equity
n/a

Dividend History

Type
Ex-Dividend Date
Payment Date
Payment
3rd Interim
08 Oct 2020
29 Oct 2020
1.25¢
2nd Interim
27 Aug 2020
14 Sep 2020
0.75¢
1st Interim
21 May 2020
22 Jun 2020
0.75¢
2nd Interim
20 Feb 2020
20 Mar 2020
0.75¢
Interim
14 Nov 2019
29 Nov 2019
0.75¢
2nd Interim
20 Feb 2020
20 Mar 2020
0.75¢
Interim
14 Nov 2019
29 Nov 2019
0.75¢

Dividend Metrics

Year End Date
31 Dec 2019
Dividend growth
n/a%
Dividend yield
1.50%
Dividend cover
-0.03
The value of your investments and the income from them may go down as well as up, and you could get back less than you invested.
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