China Yangtze Power Co Ltd stock (CNE1000004L9): Top holding in iShares Global Clean Energy ETF
12.05.2026 - 07:26:40 | ad-hoc-news.deChina Yangtze Power Co Ltd, a leading Chinese hydropower operator, holds a prominent position in the iShares Global Clean Energy ETF (ICLN), attracting attention from US investors interested in sustainable energy plays. As of recent holdings data, the company accounts for approximately 5.82% of the ETF's portfolio, according to StockAnalysis.com as of 2026. This weighting highlights its significance in the global clean energy transition.
As of: 12.05.2026
By the editorial team – specialized in equity coverage.
At a glance
- Name: China Yangtze Power Co., Ltd.
- Sector/industry: Utilities / Renewable Energy
- Headquarters/country: China
- Core markets: China
- Key revenue drivers: Hydropower generation
- Home exchange/listing venue: Shanghai Stock Exchange (600900.SS)
- Trading currency: CNY
Official source
For first-hand information on China Yangtze Power Co Ltd, visit the company’s official website.
Go to the official websiteChina Yangtze Power Co Ltd: core business model
China Yangtze Power Co Ltd operates as one of China's largest hydropower companies, primarily managing the Three Gorges Dam, the world's largest hydroelectric power station. The company generates electricity from multiple dams along the Yangtze River, selling power to state grids. This asset-light model relies on long-term concessions and regulated tariffs, providing stable cash flows. Operations span hydropower, with additional interests in wind and solar through subsidiaries.
The firm's business is anchored in state-backed infrastructure, benefiting from China's push for clean energy. It controls key assets like the Three Gorges, Gezhouba, and Xiluodu dams, which together produce significant capacity. Revenue stems almost entirely from electricity sales, with volumes tied to water levels and demand.
Main revenue and product drivers for China Yangtze Power Co Ltd
Hydropower generation forms the core revenue driver, with the Three Gorges Dam contributing the majority. In recent periods, output has been supported by favorable hydrology, though subject to seasonal variations. The company reported stable utilization rates, bolstered by grid demand from industrial growth in China.
Diversification into renewables like wind and pumped storage enhances the portfolio. These segments provide upside as China targets carbon neutrality by 2060. Electricity pricing is regulated, ensuring predictability but limiting margin expansion.
Industry trends and competitive position
The global clean energy sector is expanding rapidly, driven by decarbonization goals. In China, hydropower remains a cornerstone, with China Yangtze Power Co Ltd holding a dominant share of large-scale projects. Competitors include other state utilities, but its scale and prime assets confer advantages.
US investors gain indirect exposure via ETFs like ICLN, where China Yangtze Power Co Ltd ranks highly at 5.82%, per StockAnalysis.com as of 2026. This positions it as a key player in portfolios tracking clean energy indices.
Why China Yangtze Power Co Ltd matters for US investors
China Yangtze Power Co Ltd offers US investors access to China's renewable energy boom through ADRs or ETFs like ICLN on Nasdaq. Its top-holding status provides diversified exposure to hydropower amid rising US interest in global sustainability. The company's stability appeals to those tracking emerging market utilities with ESG focus.
Read more
Additional news and developments on the stock can be explored via the linked overview pages.
Conclusion
China Yangtze Power Co Ltd stands out as a hydropower leader in China, with strong representation in US-listed clean energy ETFs like ICLN. Its regulated model delivers reliability, while exposure to policy-driven renewables growth adds appeal. Investors monitoring global energy shifts will note its position, though currency and regulatory risks persist in the Chinese market.
Disclaimer: This article does not constitute investment advice. Stocks are volatile financial instruments.
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