Power price forecasts bring down Foresight’s NAV per share
The Foresight Solar Group has announced a net asset value (NAV) of £626.9 million in its update for 31 December 2019.
The Foresight Solar Group has announced a net asset value (NAV) of £626.9 million in its update for 31 December 2019.
Foresight Solar Fund (FSF) recorded above-expectation performance on the back of strong summer sun, but incidents including cable theft and other outages have beset the fund’s operations.