Gresham House Energy Storage Fund plc (the ‘Fund’) invests in a portfolio of utility-scale operational Energy Storage Systems (known as ESS) located in Great Britain and targets a NAV total return of 8.0% per annum (net of all Fund expenses and before leverage) with a minimum dividend payment of 7.0p (4.5p in the first financial year).*
The Gresham House New Energy team has a proven track record in developing and operating energy storage and other renewable assets sector having developed 70MW of Energy Storage Systems and approximately 290MW of predominantly ground-mounted solar projects.
The Fund is managed by Gresham House Asset Management Limited under the leadership of Ben Guest, and is listed on the London Stock Exchange (Specialist Fund Segment). Shares commenced trading on 13 November 2018.
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