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/Equities/XLON/AERS
OverviewShare PriceRNSTradesShort InterestDirectorsHoldings
Aquila European Renewables PLC logo
Aquila European Renewables PLC
/Equities/XLON/AERS
OverviewShare PriceRNSTradesShort InterestDirectorsHoldings
Aquila European Renewables PLC logo

Aquila European Renewables PLC

Loading price data...
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Price Chart

Open
15.84
High
18.50
Low
14.70
Close
15.79
Change
-2.60 (-15.03%)
Volume
76,627

Recent RNS announcements

28 Apr 202607:00:04Final Results
25 Mar 202610:45:55Exchange rate for the Second Return of Capital
17 Mar 202607:00:14Asset disposal update & B Share Scheme Distribn
6 Feb 202607:00:09NAV, Dividend, Managed Wind-Down and Factsheet
22 Jan 202611:57:26Exchange rate for the Initial Return of Capital

Annual Reports

28 Apr 2025Annual financial report
26 Apr 2024Annual Report
26 Apr 2023Annual Financial Results

Directors (4)

Robert Graham Naylor
Robert Graham NaylorNon-Executive Chairman
6 mos
Kenneth Macmillan MacRitchie
Kenneth Macmillan MacRitchieNon-Executive Director
7 yrs 1 mos
Alexander David MacLellan
Alexander David MacLellanNon-Executive Director
7 yrs 1 mos
Myrtle May Dawes
Myrtle May DawesNon-Executive Director
2 yrs 8 mos

Company details

Aquila European Renewables is a London-listed investment fund with a focus on generating attractive, long-term income returns in euros. It achieves this through a diversified portfolio of renewable investments in continental Europe and Ireland. AER has built a diverse renewable energy portfolio spanning six European countries and four power markets, utilising hydro, solar PV, and onshore wind technologies. By including renewables in institutional and private investor portfolios, the fund contributes to financial returns and the transition to clean energy. As an exchange-listed renewables fund, AER mobilises significant capital to expand sustainable infrastructure, advance technologies, and hasten the global transition to a low-carbon economy.

Industry
Financials
Sector
Financial Services
LEI
213800UKH1TZIC9ZRP41
Region
Europe
Admission date
5 Jun 2019
Website
www.aquila-european-renewables.com

Investment Trust · as at 31 Dec 2025

NAV per Share
56.70p
Discount/Premium
-70.2%
Total Net Assets
£214.3m

NAV History

Dec 2020–Dec 2025 · Daily

Shares details

Shares in issue
—
Last updated: 1 May 2026

Instrument details

ISIN
GB00BK6RLF66
Exchange
XLON
Market
Main Market
Market Segment
SET3
Market Sector
ON15
Security Description
Ordinary Shares of EUR0.01 each; fully paid;
Listing Category
Closed-ended investment funds
Loading price data...
--
--

Price Chart

Open
15.84
High
18.50
Low
14.70
Close
15.79
Change
-2.60 (-15.03%)
Volume
76,627

Recent RNS announcements

28 Apr 202607:00:04Final Results
25 Mar 202610:45:55Exchange rate for the Second Return of Capital
17 Mar 202607:00:14Asset disposal update & B Share Scheme Distribn
6 Feb 202607:00:09NAV, Dividend, Managed Wind-Down and Factsheet
22 Jan 202611:57:26Exchange rate for the Initial Return of Capital

Annual Reports

28 Apr 2025Annual financial report
26 Apr 2024Annual Report
26 Apr 2023Annual Financial Results

Directors (4)

Robert Graham Naylor
Robert Graham NaylorNon-Executive Chairman
6 mos
Kenneth Macmillan MacRitchie
Kenneth Macmillan MacRitchieNon-Executive Director
7 yrs 1 mos
Alexander David MacLellan
Alexander David MacLellanNon-Executive Director
7 yrs 1 mos
Myrtle May Dawes
Myrtle May DawesNon-Executive Director
2 yrs 8 mos

Company details

Aquila European Renewables is a London-listed investment fund with a focus on generating attractive, long-term income returns in euros. It achieves this through a diversified portfolio of renewable investments in continental Europe and Ireland. AER has built a diverse renewable energy portfolio spanning six European countries and four power markets, utilising hydro, solar PV, and onshore wind technologies. By including renewables in institutional and private investor portfolios, the fund contributes to financial returns and the transition to clean energy. As an exchange-listed renewables fund, AER mobilises significant capital to expand sustainable infrastructure, advance technologies, and hasten the global transition to a low-carbon economy.

Industry
Financials
Sector
Financial Services
LEI
213800UKH1TZIC9ZRP41
Region
Europe
Admission date
5 Jun 2019
Website
www.aquila-european-renewables.com

Investment Trust · as at 31 Dec 2025

NAV per Share
56.70p
Discount/Premium
-70.2%
Total Net Assets
£214.3m

NAV History

Dec 2020–Dec 2025 · Daily

Shares details

Shares in issue
—
Last updated: 1 May 2026

Instrument details

ISIN
GB00BK6RLF66
Exchange
XLON
Market
Main Market
Market Segment
SET3
Market Sector
ON15
Security Description
Ordinary Shares of EUR0.01 each; fully paid;
Listing Category
Closed-ended investment funds
Share Price15.79p
Day Change-2.60p(-15.03%)
1 May 14:10
Market closed
Share Price15.79p
Day Change-2.60p(-15.03%)
1 May 14:10
Market closed