Uudiste arhiiv

 

Baltic Horizon Fund offers relief measures to its SME tenants most affected by the COVID-19 pandemic

Baltic Horizon Fund

Northern Horizon Capital AS, the management company of Baltic Horizon Fund, will be implementing a number of relief initiatives focused on alleviating the financial hardship of the most vulnerable group of SME tenants, primarily in the retail sector, whose operations

Baltic Horizon Fund: Teave COVID-19 kohta

Baltic Horizon

Vastuseks COVID-19 puhangule on Northern Horizon Capital AS, Baltic Horizon Fondi (edaspidi Fond) fondivalitseja võtnud kindlakäelisi meetmeid pandeemiast tulenevate riskide juhtimiseks ja avalikkuse, meie üürnike, töötajate ja partnerite ohutuse tagamiseks. Jälgime tähelepanelikult haiguspuhanguga seotud arenguid ning rakendame hoolikalt WHO ja

Baltic Horizon Fund: Update on COVID-19

Baltic Horizon Fund

In response to COVID-19 outbreak, Northern Horizon Capital AS, the management company of Baltic Horizon Fund (the Fund) has taken assertive action to manage the risks arising from the pandemic and to protect the health and safety of the public,

Baltic Horizon Fund publishes its NAV for February 2020

Baltic Horizon Fund

Net asset value (NAV) of Baltic Horizon 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

Baltic Horizon Fund publishes its NAV for January 2020

Baltic Horizon

Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit as at end of January 2020 amounted to 1.3249 EUR per unit. Compared to the previous month, NAV decreased by -1.50%. The NAV decrease was mainly affected by declared

Baltic Horizon Fund: Investoritele väljamakse summas ligikaudu 3.18 miljonit eurot

Baltic Horizon Fund

Northern Horizon Capital AS kui Baltic Horizon fondi (Fond) fondivalitseja võttis vastu otsuse teha osakuomanikele rahaline väljamakse ligikaudu 2.16% ulatuses Fondi 2019.a. neljanda kvartali kaalutud keskmisest puhasväärtusest. Väljamakse suurus kokku on ligikaudu 3.18 miljonit eurot, mis ühe osaku kohta on 0.028

Baltic Horizon Fund publishes its NAV for December 2019

Baltic Horizon Fund

Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit as at end of December 2019 amounted to 1.3470 EUR per unit. Compared to the previous month, NAV increased by +0.97%. The NAV increase was mainly affected by the

Baltic Horizon Fund: Osaku puhasväärtuse 2019. aasta novembri seisuga

Baltic Horizon Fund

Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2019. aasta novembri lõpu seisuga on 1.3340 eurot osaku kohta. Fondi osaku puhasväärtuse muutus võrreldes eelneva kuu lõpu seisuga on +0.83%. Fondi puhasväärtust mõjutas positiivselt renditegevusest teenitud rahavoog ja muutus rahavoogude riskimaandamisinstrumendi reservis.

Baltic Horizon Fund publishes its NAV for November 2019

Baltic Horizon Fund

Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit as at end of November 2019 amounted to 1.3340 EUR per unit. Compared to the previous month, NAV increased by +0.83%. The NAV increase was mainly affected by operating

Baltic Horizon Fund Consolidated Un-Audited Results for Q3 2019

Baltic Horizon Fund

Gross Asset Value (GAV) In Q3 2019, the GAV increased slightly from EUR 344.9 million to EUR 345.3 million compared to the end of Q2 2019. The increase is mainly related to the increase in investment property book value due

Baltic Horizon Fund: Väljamakse investorile

Baltic Horizon Fund

Northern Horizon Capital AS kui Baltic Horizon fondi (Fond) fondivalitseja võttis vastu otsuse teha osakuomanikele rahaline väljamakse ligikaudu 2.29% ulatuses Fondi 2019.a. kolmanda kvartali kaalutud keskmisest puhasväärtusest. Väljamakse suurus kokku on ligikaudu 3.06 miljonit eurot, mis ühe osaku kohta on 0.027

Baltic Horizon Fund declared approx. EUR 3.06 million cash distribution to investors

Baltic Horizon Fund

Northern Horizon Capital AS as the management company of Baltic Horizon Fund (the Fund) has approved a cash distribution of approx. 2.29% of the Fund’s Q3 2019 weighted average net asset value to its unitholders. This equals to approx. EUR 3.06

Baltic Horizon Fund: Osaku puhasväärtus 2019. aasta septembri seisuga

Baltic Horizon Fund

Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2019. aasta septembri lõpu seisuga on 1.3400 eurot osaku kohta. Fondi osaku puhasväärtuse muutus võrreldes eelneva kuu lõpu seisuga on +1.11%. Fondi puhasväärtust mõjutas positiivselt renditegevusest teenitud rahavoog ja muutus rahavoogude riskimaandamisinstrumendi reservis.

Baltic Horizon Fund publishes its NAV for September 2019

Baltic Horizon Fund

Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit as at end of September 2019 amounted to 1.3400 EUR per unit. Compared to previous month, NAV increased by +1.11%. The NAV increase was mainly affected by operating performance

Baltic Horizon Fund: “North Star” Business Centre acquisition in Vilnius

Baltic Horizon Fund closed the acquisition of the “North Star” Business Centre from UAB “Prosperus Strategic RE Fund”. The purchase price is EUR 20.7 million, which corresponds to an estimated entry yield of approximately 7.3%. North Star is located on