Baltic Horizon Fund

Notice on the results of public offering of Swedish Depository Receipts of Baltic Horizon Fund in Sweden

Notice on the results of public offering of Swedish Depository Receipts of Baltic Horizon Fund in Sweden

Northern Horizon Capital AS hereby announces the public offering of up to 119,635,429 of Baltic Horizon Fund's („Fund“) Swedish Depository Receipts (the "SDR") in Sweden (the „SDR Offering“) ended at 12:00 CEST on 17 October 2022. In total, 22,599,522  units of the Fund (the “Units”) will be converted into the SDRs (whereby each one (1) Unit shall be converted into one (1) SDR).

Northern Horizon Capital AS has submitted a listing application for trading the SDRs on Nasdaq Stockholm. The SDRs will be issued and delivered on 19 October 2022 and the first day of trading with the SDRs on Nasdaq Stockholm will be about 19 October 2022 (the exact date will be announced separately).

Since the issue of the SDRs was made through conversion of Units only, there were no new proceeds for the Fund to utilise by way of this SDR issue. The total number of the outstanding Units have remained the same as prior to the SDR Offering, i.e. 119,635,429 Units. 22,599,522 Units, covering the total amount of the SDRs issued, were deposited at Nordic Issuing AB’s - who is acting as the SDR issuing agent - account with Swedbank Estonia.

After the end of the SDR Offering period, the unitholders have a right to convert Units into SDRs (and vice versa) on an ongoing basis. The unitholder who are holders of Units held in Euroclear Sweden will have such a possibility until the end of October after which Euroclear Sweden will appoint a sales agent to sell such Units and pay out the proceeds (less sales costs and any applicable taxes) to the cash account connected with the respective Swedish Investor’s securities account. More information about converting is available .

For additional information, please contact:        

Tarmo Karotam

Baltic Horizon Fund manager

E-mail 

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

Distribution: Nasdaq Tallinn, Nasdaq Stockholm, GlobeNewswire, .

NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION, IN WHOLE OR IN PART, DIRECTLY OR INDIRECTLY, IN OR INTO THE UNITED STATES, AUSTRALIA, CANADA, HONG KONG, JAPAN, NEW ZEALAND, SINGAPORE, SOUTH AFRICA OR SUCH OTHER COUNTRIES OR OTHERWISE IN SUCH CIRCUMSTANCES IN WHICH THE PUBLICATION OR DISTRIBUTION WOULD BE UNLAWFUL.



EN
18/10/2022

Reports on Baltic Horizon Fund

 PRESS RELEASE

Baltic Horizon Fund consolidated audited results for 2025

Baltic Horizon Fund consolidated audited results for 2025 Management Board of Baltic Horizon Capital AS has approved the audited financial results of Baltic Horizon Fund (the Fund) for the twelve months of 2025. The financial results remained unchanged compared to the preliminary disclosure on 17 February 2026. Baltic Horizon Fund reports its annual result and the financial standing at the end of 2025. Following additional capital raised from unitholders in the first quarter of 2026, the Fund continues to operate as a going concern. The year ended with a EUR 20.1 million net loss, followi...

 PRESS RELEASE

Baltic Horizon Fondi 2025. aasta konsolideeritud auditeeritud finantst...

Baltic Horizon Fondi 2025. aasta konsolideeritud auditeeritud finantstulemused Baltic Horizon Capital AS-i juhatus on kinnitanud Baltic Horizon Fondi (fond) 2025. aasta auditeeritud majandustulemused. Finantstulemused jäid samaks, võrreldes esialgse avalikustamisega 17. veebruaril 2026. Fond avaldab oma 2025. aasta lõpu majandusaasta tulemused ning finantsseisundi ülevaate. Arvestades 2026. aasta esimeses kvartalis osakuomanikelt kaasatud täiendavat kapitali, on Fond jätkuvalt tegevusvõimeline. Majandusaasta lõppes 20,1 miljoni euro suuruse puhaskahjumiga. See järgneb varasematele kahjumi...

 PRESS RELEASE

Baltic Horizon Fund redeemed early part of the bonds

Baltic Horizon Fund redeemed early part of the bonds Baltic Horizon Fund announced on 10 March 2026 via stock exchange announcement a plan to redeem partially the bonds issued on 8 May 2023 (ISIN code EE3300003235) on 31 March 2026. Baltic Horizon Fund hereby announces that it has today, on 31 March 2026 redeemed early bonds in the amount of EUR 7,499,998.80. The total nominal amount of the bonds before the redemption was EUR 18,999,997.80 and after the redemption is EUR 11,499,999. The partial redemption of the bonds entailed a change in the nominal value, the new nominal value being EUR 2...

 PRESS RELEASE

Baltic Horizon Fond lunastas ennetähtaegselt osa võlakirju

Baltic Horizon Fond lunastas ennetähtaegselt osa võlakirju Baltic Horizon Fond teavitas 10. märtsil 2026 avaldatud börsiteate vahendusel plaanist lunastada 31. märtsil 2026 osa võlakirjadest, mis emiteeriti 8. mail 2023 (ISIN-kood EE3300003235). Käesolevaga annab Baltic Horizon Fond teada, et lunastas täna, 31. märtsil 2026 võlakirju ennetähtaegselt 7 499 998,80 euro ulatuses. Enne lunastamist oli võlakirjade nominaalsumma kokku 18 999 997,80 eurot ja pärast lunastamist on 11 499 999 eurot. Võlakirjade osalise lunastamisega kaasnes nimiväärtuse muutus, uus nimiväärtus on 27 380,95 eurot üh...

 PRESS RELEASE

Changes in the management board of Baltic Horizon Capital AS

Changes in the management board of Baltic Horizon Capital AS Baltic Horizon Capital AS, the management company of Baltic Horizon Fund, hereby informs of changes in the management board. This follows the  of 20 January 2026, where Baltic Horizon Capital AS proposed Edvinas Karbauskas for appointment to the management board of Baltic Horizon Capital AS. On March 26, 2026, the Supervisory Board of Baltic Horizon Capital AS elected Edvinas Karbauskas as a new member of the management board starting 1 April 2026 for a period of four years. Edvinas Karbauskas is also appointed as a co-fund man...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch