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3i Infrastructure (3IN) investor relations material
3i Infrastructure Status update summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Portfolio activity, performance, and exits
Achieved a significant exit from TCR, generating €1.1 billion–€1,140 million in proceeds, a 50% uplift to prior valuation, 19% IRR over 10 years, and a 3.5x money multiple.
Realized three major exits in the past three years, including Attero, Valorem, and TCR, totaling £1.5 billion in proceeds and a 41% average uplift to pre-sale valuations.
TCR expanded globally, doubling fleet size and electrifying over 40% of its fleet.
Completed strategic bolt-on acquisitions for Joulz, ESVAGT, and Future Biogas, expanding geographic reach, product offerings, and EBITDA.
Infinis, Tampnet, FLAG, and ADS delivered strong or stable performance, with ongoing growth initiatives.
New investments and acquisitions
Committed €300 million to acquire a majority stake in Lefdal Mine Datacenter, a highly efficient, renewable-powered facility in Norway with 80 MW fully let capacity and 10-year availability-based contracts.
Joulz completed two bolt-on acquisitions, including CBS and Engie's C&I solar rooftop business, increasing EBITDA by about 70%.
ESVAGT acquired two wind-farm SOVs from EDDA WIND, boosting annual EBITDA by €10 million.
Future Biogas acquired Burton Agnes Renewables plant, expanding its portfolio to ten plants.
Financial guidance, capital allocation, and balance sheet
On track to deliver the annual return target of 8%-10%, likely at the lower end, and to pay a full-year dividend of £0.1345 per share, up 6.3% year-on-year, with new targets to be set at the next results announcement.
Pro forma net cash position of approximately £200–£201 million after repaying the revolving credit facility and completing recent investments.
Proceeds from TCR sale used to repay RCF, fund growth in Joulz, ESVAGT, Future Biogas, and invest in LMD.
RCF extended to June 2029, providing strong liquidity visibility.
Disciplined capital allocation maintained amid market volatility, prioritizing debt repayment, portfolio growth, and new investments.
- 5.1% total return, premium exits, and higher dividend drive strong portfolio growth.3IN
H1 202515 Jan 2026 - 7.4% NAV return, 18% income growth, and TCR-led performance; dividend target on track.3IN
H1 202620 Nov 2025 - 10.1% total return and strong dividend growth highlight robust portfolio performance.3IN
H2 202516 Nov 2025
Next 3i Infrastructure earnings date
Next 3i Infrastructure earnings date
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