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NextEnergy Solar Fund Ltd.

Transaction in Own Shares Feb 13, 2025

6291_rns_2025-02-13_1d69574f-5320-4808-8905-562029c815ff.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 9204W

NextEnergy Solar Fund Limited

13 February 2025

LEI: 213800ZPHCBDDSQH5447

13 February 2025

NextEnergy Solar Fund Limited

("NESF" or the "Company")

Transaction in own shares

NextEnergy Solar Fund, a leading specialist investor in solar energy and energy storage, announces that it has purchased the following number of Ordinary Shares on the London Stock Exchange through RBC Europe Limited .

Date of purchase: 12 February 2025
Number of ordinary shares purchased: 30,465
Lowest price per ordinary share (GBp): 69.40
Highest price per o rdinary share (GBp): 70.00
Weighted average price per ordinary share (GBp): 69.97

The Company intends to hold the purchased shares in Treasury.

Following the above transaction, the Company holds 12,163,029 its Ordinary Shares in treasury and has 578,658,156 Ordinary Shares in issue (excluding treasury shares).

The total number of voting rights in the Company is 578,658,156 which may be used by shareholders as the denominator for the calculations by which they will determine if they are required to notify their major interest or a change to their major interest in the Company under the FCA's Disclosure Guidance and Transparency Rules. 

For further information:

NextEnergy Capital

Michael Bonte-Friedheim
020 3746 0700

[email protected]
Ross Grier
Stephen Rosser
Peter Hamid (Investor Relations)
RBC E urope Limited 020 7653 4000
Matthew Coakes
Kathryn Deegan
C avendish 020 7397 1 909
Robert Peel
H/Advisors Maitland 020 7379 5151
Neil Bennett
Finlay Donaldson
Ocorian Administration (Guernsey) Limited 01481 742642
Kevin Smith

Notes to Editors1:

About NextEnergy Solar Fund

NextEnergy Solar Fund is a specialist solar energy and energy storage investment company that is listed on the London Stock Exchange.

NextEnergy Solar Fund's investment objective is to provide ordinary shareholders with attractive risk-adjusted returns, principally in the form of regular dividends, by investing in a diversified portfolio of utility-scale solar energy and energy storage infrastructure assets.  The majority of NESF's long-term cash flows are inflation-linked via UK government subsidies.

As at 30 September 2024, the Company had an unaudited gross asset value of £1,104m.  For further information please visit www. nextenergysolarfund.com

Article 9 Fund

NextEnergy Solar Fund is classified under Article 9 of the EU Sustainable Finance Disclosure Regulation and EU Taxonomy Regulation.  NextEnergy Solar Fund's sustainability-related disclosures in the financial services sector are in accordance with Regulation (EU) 2019/2088 and can be accessed on the ESG section of both the NextEnergy Solar Fund and NextEnergy Capital websites.

About NextEnergy Group

NextEnergy Solar Fund is managed by NextEnergy Capital, part of the NextEnergy Group.  NextEnergy Group was founded in 2007 to become a leading market participant in the international solar sector.  Since its inception, it has been active in the development, construction, and ownership of solar assets across multiple jurisdictions.  NextEnergy Group operates via its three business units: NextEnergy Capital (Investment Management), WiseEnergy (Operating Asset Management), and Starlight (Asset Development).

·      NextEnergy Capital: has over 17 years of specialist solar expertise having invested in over 460 individual solar plants across the world. NextEnergy Capital currently manages four institutional funds with a total capacity in excess of 3GW+ and has assets under management of $4.3bn.  More information is available at www.nextenergycapital.com   

·      WiseEnergy®:   is a leading specialist operating asset manager in the solar sector.  Since its founding, WiseEnergy has provided solar asset management, monitoring and technical due diligence services to over 1,500 utility-scale solar power plants with an installed capacity in excess of 2.5 GW.  More information is available at www.wise-energy.com

·      Starlight: has d eveloped over 100 utility-scale projects internationally and continues to progress a large pipeline of c.10GW of both green and brownfield project developments across global geographies.  More information is available at www.starlight-energy.com

Notes:

1: All financial data is unaudited at 30 September 2024, being the latest date in respect of which NextEnergy Solar Fund has published financial information

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), a breakdown of the individual trades made as part of the Programme is detailed below:

Aggregate information:

Platform Daily total volume (in number of shares) Daily weighted average price of shares acquired (GBp)
XLON 51 69.40
BATE 3,751 70.00
CHIX 26,663 69.97
Transaction Date Transaction Time Volume Price Platform Transaction Ref
12/02/2025 08:00:57 1761 70.00 CHIX 00282621037TRLO0
12/02/2025 16:18:09 1870 70.00 BATE 00282759981TRLO0
12/02/2025 16:18:09 1881 70.00 BATE 00282759982TRLO0
12/02/2025 16:18:09 1049 70.00 CHIX 00282759984TRLO0
12/02/2025 16:18:09 2400 70.00 CHIX 00282759985TRLO0
12/02/2025 16:18:09 949 70.00 CHIX 00282759986TRLO0
12/02/2025 16:18:09 4800 70.00 CHIX 00282759987TRLO0
12/02/2025 16:18:09 736 70.00 CHIX 00282759988TRLO0
12/02/2025 16:18:09 206 70.00 CHIX 00282759989TRLO0
12/02/2025 16:18:09 5846 70.00 CHIX 00282759993TRLO0
12/02/2025 16:18:11 937 70.00 CHIX 00282760006TRLO0
12/02/2025 16:18:11 1842 70.00 CHIX 00282760007TRLO0
12/02/2025 16:18:11 1675 70.00 CHIX 00282760008TRLO0
12/02/2025 16:18:19 203 70.00 CHIX 00282760160TRLO0
12/02/2025 16:19:07 2155 69.90 CHIX 00282760642TRLO0
12/02/2025 16:19:30 948 69.70 CHIX 00282760870TRLO0
12/02/2025 16:19:30 948 69.70 CHIX 00282760871TRLO0
12/02/2025 16:19:46 208 69.40 CHIX 00282761024TRLO0
12/02/2025 16:29:57 51 69.40 XLON 00282768440TRLO0

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.

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