Riverstone Energy

Data as at: 26/01/2021

Objective
To achieve superior risk adjusted after tax returns by making privately negotiated investments in the E&P, midstream, services and power sectors.
Launch date
24/10/2013
Domicile
Guernsey

Please note, some investment companies release their Net Asset Values (NAVs) less frequently than daily. For example they may provide NAVs on a weekly, monthly, quarterly or even semi-annual basis. This means that the estimated NAV shown below, and the associated discount/premium to market price, will not necessarily reflect recent market movements.

Total assets (m) Price (last close) Price (bid) Price (offer) NAV Dividend dates Discount / premium (%) Gearing (%) 5yr dividend growth (%) p.a. Dividend yield (%)
280.71 282.50 279.00 283.00 446.00 Dec -36.7 0 N/A 0.0

Dividends

Dividends displayed in traded currency.

There have been no dividends in the last 12 months.

Trading information

ISIN TIDM Traded currency
GG00BBHXCL35 RSE GBX

Traded volumes (number of shares)

  Yesterday 1 month 1 year 5 years
Total 17,419 1,673,489 35,428,830 96,641,372
Average N/A 83,674 139,484 75,797

Traded values (m)

  Yesterday 1 month 1 year 5 years
Total 0.05 5.02 102.27 712.96
Average N/A 0.25 0.40 0.56

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FE fundinfo logo Company documents provided by FE fundinfo.