Greencoat Renewables PLC

SRI Style:

Environmental Style

SDR Labelling:

Not eligible to use label (out of scope)

Product:

Investment Trust

Fund Region:

Europe

Fund Asset Type:

Infrastructure

Launch Date:

25/07/2017

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£m

ISIN:

IE00BF2NR112

Sustainable, Responsible
&/or ESG Overview:

No response when requested information from manager (as at December 2025)

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

Objectives

The Company's aim is to provide investors with a quarterly dividend that increases progressively whilst growing the capital value of its investment portfolio in the long term through reinvestment of excess cash flow and the prudent use of portfolio leverage.

The Company will invest in euro denominated operational renewable electricity generation assets within Ireland and Continental Europe. Initially focused solely on the acquisition and management of operating wind farms in Ireland, the Company is now also investing in wind and solar assets in Continental Europe with stable and robust renewable energy frameworks. The return on your investment is based on the price at which you are able to buy and sell the Company’s shares as well as the dividends paid. The share price at any time may be above or below the net asset value of the Company’s investments.

(Source: KIID as at December 2025)

SDR Labelling:

Not eligible to use label (out of scope)

Literature

Fund Name SRI Style SDR Labelling Product Region Asset Type Launch Date Last Amended

Greencoat Renewables PLC

Environmental Style Not eligible to use label (out of scope) Investment Trust Europe Infrastructure 25/07/2017

ISIN: IE00BF2NR112

Sustainable, Responsible &/or ESG Overview

No response when requested information from manager (as at December 2025)

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

Objectives

The Company's aim is to provide investors with a quarterly dividend that increases progressively whilst growing the capital value of its investment portfolio in the long term through reinvestment of excess cash flow and the prudent use of portfolio leverage.

The Company will invest in euro denominated operational renewable electricity generation assets within Ireland and Continental Europe. Initially focused solely on the acquisition and management of operating wind farms in Ireland, the Company is now also investing in wind and solar assets in Continental Europe with stable and robust renewable energy frameworks. The return on your investment is based on the price at which you are able to buy and sell the Company’s shares as well as the dividends paid. The share price at any time may be above or below the net asset value of the Company’s investments.

(Source: KIID as at December 2025)

SDR Labelling:

Not eligible to use label (out of scope)

Literature