Renewable Funds
London Stock Exchange Group is a committed supporter of green financing and we are ideally placed at the heart of global capital markets to integrate sustainable and green solutions deep into both investment and capital raising.
To discover more about London Stock Exchange Group’s comprehensive sustainable finance offering, please visit our Global Sustainable Investment Centre.
Our markets are home to a broad range of investment funds which provide exposure to technologies & projects across wind, solar, energy storage, efficiency and other renewable infrastructure assets (“green funds”).
Green Investment Funds - Key Highlights:
- Over 20 green funds, worth more than $10bn, are currently listed on London Stock Exchange.
- With over 200% increase in market capitalisation over the last 5 years, our green funds are experiencing particularly strong demand as existing funds typically trade on a weighted average premium to NAV.
- More than $6bn has been raised in further capital by green funds since their listing
Fund Name |
Aquila European Renewables Income Fund |
Admission Date |
05 June 2019 |
Market |
Main Market – Premium Segment |
ISIN |
GB00BK6RLF66 (link) |
Market Cap at admission |
EUR154.3m ($171m/£136m) |
Strategy |
To target a diversified portfolio of renewable energy technologies including wind, solar, and hydro across continental Europe and the Republic of Ireland (excluding the UK). |
Fund Name |
US Solar Fund |
Admission Date |
16 April 2019 |
Market |
Main Market – Premium Segment |
ISIN |
GB00BJCWFX49 (link) |
Market Cap at admission |
$200m |
Strategy |
To predominantly invest in Solar Power Assets in the United States, but it may also invest in Solar Power Assets in other OECD countries in the Americas |
Fund Name |
The Renewable Infrastructure Group |
Admission Date |
29 July 2013 |
Market |
Main Market – Premium Segment |
ISIN |
GG00BBHX2H91 (link) |
Market Cap at admission |
$458m |
Strategy |
To provide investors with long term, stable dividends, whilst preserving the capital value of its investment portfolio through investment 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. |
Fund Name |
Greencoat UK Wind |
Admission Date |
27 March 2013 |
Market |
Main Market – Premium Segment |
ISIN |
GB00B8SC6K54 (link) |
Market Cap at admission |
$394m |
Strategy |
To invest mostly in operating UK wind farms. In the long term, its aim is to provide investors a dividend that increases in line with RPI inflation while preserving the capital value of its investment portfolio on a real basis through reinvestment of excess cash flow and the use of portfolio leverage. |
To admit green investment funds to London Stock Exchange, issuers have a choice of three markets: the Premium segment of the Main Market, the Specialist Fund Segment (SFS) and AIM.
Click this link to contact a member of the team.
Head of Multi Asset |
Director, Fixed Income & Funds |
Manager, Fixed Income & Funds |
Fund Analyst |