Baltic Horizon Fund

Buy-back transactions

Buy-back transactions

During the period from 03.09.2018 until 07.09.2018, the following transactions have been made:

Date Amount of units bought back Average unit price, EUR Total cost, EUR
03.09.2018 5517 1,2750 7 034,18
04.09.2018 5826 1,2800 7 457,28
05.09.2018 5772 1,2750 7 359,30
06.09.2018 10134 1,2810 12 981,65
07.09.2018 10592 1,2710 13 462,43
Total 37 841 1,2763 48 294,84

As of the date of this announcement, Baltic Horizon Fund holds 113 486 own units.

All the acquisitions above have been made on Nasdaq Tallinn by SEB Pank AS, acting as a broker carrying out the buy-back program of the Fund units.

The buy-back program duration will be until 19.06.2019 in the course of which the Fund can acquire up to 5 million units for up to EUR 5 million for the price below the most recent NAV.

Additional information:



Tarmo Karotam

Baltic Horizon Fund manager

E-mail

The Fund is a registered contractual public closed-end real estate fund that is managed by Alternative Investment Fund Manager license holder Northern Horizon Capital AS.

Distribution: Nasdaq Tallinn, Nasdaq Stockholm, GlobeNewswire,

EN
07/09/2018

Reports on Baltic Horizon Fund

 PRESS RELEASE

Baltic Horizon Fund announcement of public offering

Baltic Horizon Fund announcement of public offering Baltic Horizon Capital AS announces the offering of up to 169,147,497 new units of Baltic Horizon Fund to the existing investors of Baltic Horizon Fund. Proceeds from the offering will be used for deleveraging Baltic Horizon Fund´s portfolio and/or asset enhancement expenditures. The offering is based on an information document available electronically on the website of Baltic Horizon Fund at . The information document has been prepared in accordance with Articles 1(4)(db) and 1(5)(ba) of Regulation (EU) 2017/1129 of the European Parliame...

 PRESS RELEASE

Baltic Horizon Fundi osakute avaliku pakkumise teade

Baltic Horizon Fundi osakute avaliku pakkumise teade Baltic Horizon Capital AS kuulutab välja kuni 169 147 497 uue Baltic Horizon Fundi osaku pakkumise Baltic Horizon Fundi olemasolevatele investoritele. Pakkumisest laekuvat tulu kasutatakse Baltic Horizon Fundi portfelli võlakoormuse vähendamiseks ja/või varade parendamiseks. Pakkumine põhineb teabedokumendil, mis on elektrooniliselt kättesaadav Baltic Horizon Fundi veebisaidil aadressil. Teabedokument on koostatud vastavalt Euroopa Parlamendi ja nõukogu määruse (EL) 2017/1129 (edaspidi „prospektimäärus”) artikli 1 lõike 4 punktile db j...

 PRESS RELEASE

Baltic Horizon Fund consolidated unaudited results for Q4 2025

Baltic Horizon Fund consolidated unaudited results for Q4 2025 Management Board of Baltic Horizon Capital AS has approved the unaudited financial results of Baltic Horizon Fund (the Fund) for the twelve months of 2025. The Fund reports Q4 2025 and full year 2025 unaudited results in the spirit of fresh start under new ownership of the Management Company, strengthened organization, and at the same time communicates a decision to proceed with the secondary public offering of new units. The Fund generated a total of EUR 15,098 thousand of rental income during 2025. Due to significant vacanci...

 PRESS RELEASE

Baltic Horizon Fondi 2025. aasta IV kvartali konsolideeritud auditeeri...

Baltic Horizon Fondi 2025. aasta IV kvartali konsolideeritud auditeerimata majandustulemused Baltic Horizon Capital AS-i juhatus on kinnitanud Baltic Horizon Fondi (Fond) auditeerimata konsolideeritud vahearuande tulemused 2025. aasta IV kvartali kohta. Fond avaldab 2025. aasta IV kvartali ja kogu aasta auditeerimata tulemused fondivalitseja uute omanike ja tugevdatud organisatsiooniga seotud uue alguse vaimus ning teatab ühtlasi otsusest viia läbi uute osakute täiendav avalik pakkumine. 2025. aastal teenis Fond kokku 15 098 tuhat eurot renditulu. Tulenevalt märkimisväärsest vakantsusest ...

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for January 2026

Baltic Horizon Fund publishes its NAV for January 2026 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) remained at a similar level and was EUR 0.5450 at the end of January 2026 (0.5451 as of 31 December 2025). The year-end total net asset value of the Fund was EUR 78.2 million (EUR 78.2 million as of 31 December 2025). In January 2026, the Fund generated the consolidated net rental income of EUR 0.9 million (EUR 1.0 million in December 2025). At the end of January 2026, the Fund’s consolidated cash and cash equivalents amounted to EUR 5.8 million (31 December 2025...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch