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Valuation: Foresight Solar Fund Limited

Capitalization 339M 448M 392M 354M 616M 41.46B 640M 4.23B 1.68B 19.81B 1.68B 1.65B 71.54B P/E ratio 2025 *
36.4x
P/E ratio 2026 * 7.45x
Enterprise value 641M 848M 741M 670M 1.17B 78.44B 1.21B 8B 3.17B 37.47B 3.18B 3.11B 135B EV / Sales 2025 *
4.78x
EV / Sales 2026 * 4.7x
Free-Float
96.94%
Yield 2025 *
13.1%
Yield 2026 * 13.2%
1 day-0.24%
1 week-2.83%
Current month-2.83%
1 month-1.59%
3 months-4.92%
6 months-21.77%
Current year-4.04%
1 week 61.8
Extreme 61.8
66
1 month 60.4
Extreme 60.404
66
Current year 60
Extreme 60
67.6
1 year 60
Extreme 60
92.9
3 years 60
Extreme 60
114.6
5 years 60
Extreme 60
125.54
10 years 60
Extreme 60
127.03
Manager TitleAgeSince
Director of Finance/CFO 55 -
Investor Relations Contact - -
Corporate Officer/Principal 45 31/12/2010
Director TitleAgeSince
Director/Board Member 59 31/08/2020
Director/Board Member - 17/09/2023
Chairman 66 15/09/2025
Change 5d. change 1-year change 3-years change Capi.($)
-0.24%-2.83%-23.89%-44.12% 448M
-1.40%-2.86%+65.03%+156.15% 18.57B
-5.19%-4.29%+126.37%+249.87% 16.65B
-3.07%-3.65%+85.03%+187.69% 9.91B
+1.71%+4.74%+14.12%+50.51% 9.7B
-0.68%-1.96%-10.69%-4.06% 6.61B
-0.95%+1.04%+37.70%+83.50% 6.54B
+0.07%-0.86%+8.79%+13.24% 4.23B
+0.58%-0.29%+8.52%-7.03% 3.89B
+0.26%+0.18%+3.83%-8.65% 3.64B
Average -0.89%-0.95%+31.48%+67.71% 8.02B
Weighted average by Cap. -1.67%-1.52%+56.62%+123.54%

Financials

2025 *2026 *
Net sales 134M 177M 155M 140M 244M 16.41B 253M 1.67B 663M 7.84B 666M 652M 28.31B 130M 172M 150M 136M 236M 15.92B 246M 1.62B 643M 7.6B 646M 632M 27.47B
Net income - -
Net Debt 302M 400M 349M 316M 549M 36.98B 571M 3.77B 1.49B 17.67B 1.5B 1.47B 63.8B 272M 360M 315M 284M 495M 33.3B 514M 3.4B 1.35B 15.91B 1.35B 1.32B 57.47B
Logo Foresight Solar Fund Limited
Foresight Solar Fund Limited is a Jersey-based closed-ended investment company with a diversified portfolio of solar photovoltaics (PV) and battery storage assets. The Company’s investment objective is to provide investors with a sustainable and progressive quarterly dividend underpinned by investments in a geographically diverse portfolio of assets. It aims to deliver sustainable investment returns to investors alongside environmental, social and governance (ESG) benefits. The Company acquires ground-based, operational solar power plants. It invests in utility-scale battery storage systems up to a limit of approximately 10% of the gross asset value of the Company, calculated at the time of investment. Its diversified portfolio consists of approximately 61 assets with a total global peak capacity of 1.1 gigawatts (GW). Its investment manager is Foresight Group LLP.
Employees
-
Date Price Change Volume
13/03/26 61.80 p -3.29% 754,715
12/03/26 63.90 p +1.75% 1,846,306
11/03/26 62.80 p -3.38% 2,463,443
10/03/26 65.00 p +2.36% 931,116
09/03/26 63.50 p -0.16% 1,277,456
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
5
Last Close Price
0.6180GBP
Average target price
0.8800GBP
Spread / Average Target
+42.39%

Annual profits - Rate of surprise

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