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Well-secured growth path to 50 GW with higher returns and stable cashflows

Adani Green's portfolio exemplifies growth with stability.
With the entirety of the renewable portfolio being classified as ‘must-run’, our portfolio enjoys priority despatch and cash flow predictability.
Adani Green Portfolio Evolution up to 2030

Focussed on delivering renewable power and storage solutions, we are developing renewable projects at an unparalleled scale and speed. By driving operational excellence through increased digitalisation and maintaining fully funded growth with disciplined capital management, we are well-positioned for sustained growth.

Growth Strategy - 2030
Renewable Energy Capacity in GW
Well-Secured Resource-Rich Sites for growth up to 50 GW by 2030

Strategically positioned Resource and Contract mix to further improve Return profile while maintaining long-term visibility of cashflows

Looking ahead to 2030, we seek to strategically high-grade our portfolio to maximise returns while maintaining a robust cash flow profile. We will achieve this by: i) integrating energy storage solutions and ii) increasing the share of merchants, C&I, Contract for Difference (CFD) and Mid-duration hybrid the contract mix to tap into premium tariffs and enhance EBITDA and return profile while maintaining stable cash flows with long-term visibility by keeping majority of the portfolio under long-term PPAs.

Today

2030

Resource Mix

Contract Mix