Baltic Horizon Fund

Baltic Horizon Fund publishes its NAV for February 2023

Baltic Horizon Fund publishes its NAV for February 2023

The net asset value (NAV) of the Baltic Horizon Fund (the Fund) unit at the end of February 2023 amounted to EUR 1.1145 per unit. Compared to the previous month, NAV per unit decreased by 0.28%. The total net asset value of the Fund amounted to EUR 133.3 million over the month. The NAV change was mainly impacted by the recognition of the sale result of Domus Pro transaction. The decrease in NAV was partially offset by the positive movement in the cash flow hedge reserve. The EPRA NRV as of 28 February 2023 was EUR 1.1819 per unit, corresponding to a decrease of 0.73% over the last month.

Unaudited consolidated net rental income for February 2023 amounted to EUR 1.4 million (EUR 1.4 million in January 2023). The net rental income has increased by 2.8% compared to January 2023. The Fund recognized an unaudited consolidated net loss of EUR 0.9 million in February 2023.

At the end of February 2023, the Fund’s consolidated cash and cash equivalents amounted to EUR 6.7 million (31 December 2022: EUR 5.3 million). The Fund has invested an additional EUR 0.3 million into the finalization of the refurbishment project of Galerija Centrs Food hall. Operational costs are fully covered by cash flows generated by rental activities.

As of 28 February 2023, the total consolidated assets of the Fund were EUR 344.5 million (31 December 2022: EUR 344.0 million).

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. Both the Fund and the Management Company are supervised by the Estonian Financial Supervision Authority.

Distribution: GlobeNewswire, Nasdaq Tallinn, Nasdaq Stockholm,



EN
15/03/2023

Reports on Baltic Horizon Fund

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for September 2025

Baltic Horizon Fund publishes its NAV for September 2025 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) decreased to EUR 0.6773 at the end of September 2025 (0.6784 as of 31 August 2025). The month-end total net asset value of the Fund was EUR 97.2 million (EUR 97.4 million as of 31 August 2025). The EPRA NRV as of 30 September 2025 stood at EUR 0.7224 per unit. In September 2025, the Fund generated the consolidated net rental income of EUR 1.0 million (EUR 1.1 million in August 2025), which was decreased by a EUR 0.5 million allowance for bad debts booked as par...

 PRESS RELEASE

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta septembri ...

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta septembri seisuga Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2025. aasta septembri lõpu seisuga langes 0,6773 euroni osaku kohta (31. august 2025: 0,6784). Fondi kogu puhasväärtus on 97,2 miljonit eurot (31. august 2025: 97,4 eurot). EPRA NRV 2025. aasta septembri lõpu seisuga on 0,7224 eurot osaku kohta. 2025. aasta septembris Fondi konsolideeritud puhas renditulu oli 1,0 miljonit eurot (31. august 2025: 1,1 miljonit eurot), mida vähendas 0,5 miljoni euro suurune ebatõenäoliselt laekuvate nõuete allahindlus, mis kajasta...

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for August 2025

Baltic Horizon Fund publishes its NAV for August 2025 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) increased to EUR 0.6784 at the end of August 2025 (0.6772 as of 31 July 2025). The month-end total net asset value of the Fund was EUR 97.4 million (EUR 97.2 million as of 31 July 2025). The EPRA NRV as of 31 August 2025 stood at EUR 0.7239 per unit. In August 2025, the consolidated net rental income of the Fund was EUR 1.1 million (EUR 1.0 million in July 2025). The increase was mostly driven by the new rent income from the recently handed-over premises to the an...

 PRESS RELEASE

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta augusti se...

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta augusti seisuga Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2025. aasta augusti lõpu seisuga kasvas 0,6784 euroni osaku kohta (31. juuli 2025: 0,6772). Fondi kogu puhasväärtus on 97,4 miljonit eurot (31. juuli 2025: 97,2 eurot). EPRA NRV 2025. aasta augusti lõpu seisuga on 0,7239 eurot osaku kohta. 2025. aasta augustis Fondi konsolideeritud puhas renditulu jäi sarnasele tasemele ja oli 1,1 miljonit eurot (31. juuli 2025: 1,0 miljonit eurot). Kasvu mõjutas peamiselt uue renditulu laekumine, mis tulenes hiljuti ankurrentnik...

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for August 2025

Baltic Horizon Fund publishes its NAV for August 2025 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) increased to EUR 0.6784 at the end of August 2025 (0.6772 as of 31 July 2025). The month-end total net asset value of the Fund was EUR 97.4 million (EUR 97.2 million as of 31 July 2025). The EPRA NRV as of 31 August 2025 stood at EUR 0.7239 per unit. In August 2025, the consolidated net rental income of the Fund was EUR 1.1 million (EUR 1.0 million in July 2025). The increase was mostly driven by the new rent income from the recently handed-over premises to the ...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch