Baltic Horizon Fund

Baltic Horizon Fund publishes its NAV for June 2023

Baltic Horizon Fund publishes its NAV for June 2023

The net asset value (NAV) of the Baltic Horizon Fund (the Fund) unit at the end of June 2023 amounted to EUR 0.9905 per unit. Compared to the previous month, NAV per unit decreased by 10.4%. The total net asset value of the Fund amounted to EUR 118.5 million over the month. The NAV decrease was mainly affected by the mid-year revaluation of investment properties. The EPRA NRV as of 30 June 2023 was EUR 1.0208 per unit, corresponding to a decrease of 11.8% over the last month.

At the end of June 2023, new portfolio valuations were conducted by an independent real estate appraiser Colliers. As of 30 June 2023, the fair value of the Baltic Horizon Fund portfolio decreased to EUR 255.7 million (like-for-like portfolio as of 31 December 2022: 268.9 million). Compared to the previous valuations, the change in portfolio value was mainly driven by the changes in exit yields and upward adjustments of the weighted average cost of capital (WACC) due to the rise in interest rates (EURIBOR) over H1 2023. The summary of property valuations will be published on the Fund`s webpage. More information will be provided in the quarterly report.

Unaudited consolidated net rental income for June 2023 amounted to EUR 1.4 million, corresponding to a decrease of 0.2 million over the previous month (EUR 1.6 million in May 2023). The decrease is mostly related to the sale of Duetto properties. The Fund recognized an unaudited consolidated net loss of EUR 13.8 million in June 2023.

At the end of June 2023, the Fund’s consolidated cash and cash equivalents amounted to EUR 18.2 million (31 December 2022: EUR 5.3 million). The Fund plans to redeem the first part of the bonds with the maturity date of 8 May 2028 in the amount of EUR 7.5 million on 1 August 2023.

As of 30 June 2023, the total consolidated assets of the Fund were EUR 278.8 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
17/07/2023

Reports on Baltic Horizon Fund

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for May 2025

Baltic Horizon Fund publishes its NAV for May 2025 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) increased to EUR 0.6757 at the end of May 2025 (0.6740 as of 30 April 2025). The month-end total net asset value of the Fund was EUR 97.0 million (EUR 96.8 million as of 30 April 2025). The EPRA NRV as of 31 May 2025 stood at EUR 0.7216 per unit. In May 2025, the consolidated net rental income of the Fund was EUR 1.0 million (EUR 1.0 million in April 2025). At the end of May 2025, the Fund’s consolidated cash and cash equivalents amounted to EUR 7.2 million (30 Apri...

 PRESS RELEASE

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta mai seisug...

Baltic Horizon Fond avaldab osaku puhasväärtuse 2025. aasta mai seisuga Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2025. aasta mai lõpu seisuga kasvas 0,6757 euroni osaku kohta (30. aprill 2025: 0,6740). Fondi kogu puhasväärtus on 97,0 miljonit eurot (30. aprill 2025: 96,8 eurot). EPRA NRV 2025. aasta mai lõpu seisuga on 0,7216 eurot osaku kohta. 2025. aasta mais Fondi konsolideeritud puhas renditulu jäi samale tasemele ja oli 1,0 miljonit eurot (30. aprill 2025: 1,0 miljonit eurot). 2025. aasta mai lõpus moodustas Fondi konsolideeritud raha ja raha ekvivalendid 7,2 miljonit eu...

 PRESS RELEASE

Baltic Horizon Fund publishes its NAV for May 2025

Baltic Horizon Fund publishes its NAV for May 2025 The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) increased to EUR 0.6757 at the end of May 2025 (0.6740 as of 30 April 2025). The month-end total net asset value of the Fund was EUR 97.0 million (EUR 96.8 million as of 30 April 2025). The EPRA NRV as of 31 May 2025 stood at EUR 0.7216 per unit. In May 2025, the consolidated net rental income of the Fund was EUR 1.0 million (EUR 1.0 million in April 2025). At the end of May 2025, the Fund’s consolidated cash and cash equivalents amounted to EUR 7.2 million (30 ...

 PRESS RELEASE

Bondholders of Baltic Horizon Fund approved the amendments to the bond...

Bondholders of Baltic Horizon Fund approved the amendments to the bond terms and conditions Baltic Horizon Fund applied for bondholders’ approval for certain amendments to the terms and conditions (the Terms and Conditions) of the Baltic Horizon Fund EUR 42 million 5-year floating rate bonds maturing in 2028 (ISIN EE3300003235, the Bonds) in relation to the Bonds by way of written procedure initiated on 9 June 2025. Bondholders who were entered in the registry of bond-holders maintained by Nasdaq CSD SE on 6 June 2025 were entitled to vote in the written procedure (the Holders). Altogether...

 PRESS RELEASE

Baltic Horizon Fondi võlakirjaomanikud kiitsid võlakirjatingimuste muu...

Baltic Horizon Fondi võlakirjaomanikud kiitsid võlakirjatingimuste muudatused heaks Baltic Horizon Fond taotles 9. juuni 2025 kirjaliku hääletusprotsessiga võlakirjainvestorite nõusolekut võlakirjatingimuste (Tingimused) muutmiseks seoses Baltic Horizon Fondi 42 miljoni euro väärtuses emiteeritud 5-aastase tähtajaga muutuva intressimääraga võlakirjadega, mille lunastustähtaeg on 2028. aastal (ISIN EE3300003235, Võlakirjad). Kirjalikust hääletusprotsessist olid õigustatud osa võtma investorid, kelle nimele oli Nasdaq CSD SE poolt peetavas registris registreeritud Võlakirju 6. juuni 2025 sei...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch