Baltic Horizon Fund publishes its NAV for Septembe
Post# of 301275
Net asset value ( NAV ) of Baltic Horizon Fund (the Fund ) unit as of end of September 2017 amounted to 1.3402 EUR per unit. Compared to previous month, NAV changed by +0.65%. NAV was positively affected by the operating performance of the properties and improved terms of refinanced loans.
Additional information:
Tarmo Karotam Baltic Horizon Fund manager E-mail [email protected] www.baltichorizon.com
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, www.baltichorizon.com