RNS Number : 1595L
Greencoat UK Wind PLC
17 July 2017

17 July 2017

Greencoat UK Wind plc


Notice of Results, Net Asset Value and Interim Dividend


Greencoat UK Wind PLC, the leading renewable infrastructure fund, invested in operating UK wind farms, will announce its Net Asset Value as of 30 June 2017, the quarterly dividend and release half-year results for the period to 30 June 2017 on Thursday 27 July 2017. A conference call for analysts and investors will be held at 9am on the day. To register for the call please contact Tulchan Communications on 020 7353 4200, or by email on UKWind@tulchangroup.com.


For further information, please contact:


Greencoat UK Wind PLC                                         020 7832 9400

Stephen Lilley

Laurence Fumagalli

Tom Rayner



Tulchan                                                                       020 7353 4200

Peter Hewer



Heritage Administration Services

Joseph McDaniel                                                         028 9078 5885



Notes to Editors:

Greencoat UK Wind PLC is the leading listed renewable infrastructure fund, invested in 21 operating UK wind farms with net generating capacity of 452MW.  The Company's aim is to provide investors with an annual dividend that increases in line with RPI inflation (6.49p for 2017) while preserving the capital value of its investment portfolio in the long term on a real basis through reinvestment of excess cash flow and the prudent use of portfolio gearing.

UKW is managed by an experienced team at Greencoat Capital LLP, a leading European renewable investment manager with c. £2 billion of assets under management across a number of funds in wind and solar infrastructure and private equity, and is overseen by a strong and experienced independent board.

UKW is incorporated in England and Wales and is a UK Investment Trust.

For more information about UKW, please visit http://www.greencoat-ukwind.com.

For more information about Greencoat Capital LLP, please visit http://www.greencoat-capital.com.

This information is provided by RNS
The company news service from the London Stock Exchange