HA Sustainable Infrastructure Capital, Inc. is an investor in sustainable infrastructure assets advancing the energy transition. The Company’s investments are diversified across multiple asset classes, including utility-scale solar, onshore wind, and storage; distributed solar and storage; renewable natural gas (RNG), and energy efficiency. It partners with clients to deploy real assets that facilitate the energy transition. The Company invests in a variety of asset classes across its three primary climate solutions markets: Behind the Meter; Grid-Connected; and Fuels, Transport, and Nature. Behind the Meter includes residential solar and storage, community solar and commercial and industrial solar, and energy efficiency. Grid-Connected include utility-scale solar, onshore wind, and battery energy storage systems. Fuels, Transport, and Nature include renewable natural gas, fleet decarbonization, and ecological restoration.
Mã chứng khoánHASI
Tên công tyHA Sustainable Infrastructure Capital Inc
Ngày IPOApr 18, 2013
Giám đốc điều hànhLipson (Jeffrey A)
Số lượng nhân viên153
Loại chứng khoánOrdinary Share
Kết thúc năm tài chínhApr 18
Địa chỉOne Park Place, Suite 200
Thành phốANNAPOLIS
Sàn giao dịch chứng khoánNASDAQ OMX NASDAQ Basic NYSE
Quốc giaUnited States of America
Mã bưu điện21401
Điện thoại14105719860
Trang webhttps://investors.hasi.com/
Mã chứng khoánHASI
Ngày IPOApr 18, 2013
Giám đốc điều hànhLipson (Jeffrey A)
Tổng cộng
697.63M
USD đã được phân phối dưới dạng cổ tức trong 5 năm qua.
HASI.NB Final Cash Dividend of gross USD 0.42 paid on Jan 09, 2026 going ex on Dec 29, 2025 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.42 paid on Oct 17, 2025 going ex on Oct 03, 2025 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.42 paid on Jul 11, 2025 going ex on Jul 02, 2025 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.42 paid on Apr 18, 2025 going ex on Apr 04, 2025 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.395 paid on Jan 12, 2024 going ex on Dec 28, 2023
HASI.NB Final Cash Dividend of gross USD 0.395 paid on Oct 11, 2023 going ex on Oct 03, 2023 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.395 paid on Jul 12, 2023 going ex on Jul 03, 2023 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.395 paid on Apr 10, 2023 going ex on Mar 31, 2023 with reinvestment option
HASI.NB Interim Cash Dividend of gross USD 0.375 paid on Jan 06, 2023 going ex on Dec 27, 2022