Baltic Horizon Fund publishes its NAV for February 2020

Baltic Horizon FundNet asset value (NAV) of Fund (the Fund) unit as at end of February 2020 amounted to 1.3334 EUR per unit. Compared to the previous month, NAV increased by +0.64%.

The NAV was affected positively by operating performance of properties and negatively by cash flow hedge reserve movement during the month. The Fund earned an unaudited consolidated net profit of EUR 1,176 thousand in February 2020.

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