The net asset value of the Baltic Horizon Fund unit at the end of April 2023 amounted to EUR 1.1181 per unit. Compared to the previous month, NAV per unit increased by 0.2%. The total net asset. | May 15, 2023
Northern Horizon Capital AS invites Baltic Horizon Fund unit-holders and Swedish Depositary Receipt holders to attend an annual General Meeting of Baltic Horizon Fund on 2 June 2023 at 14:00 at. | May 12, 2023
Management Board of Northern Horizon Capital AS has approved the unaudited consolidated interim financial statements of Baltic Horizon Fund for the three months of 2023. Net result and net. | May 9, 2023
Baltic Horizon Fund has completed a private placement of 5-year bonds and issued bonds with a total aggregate volume of EUR 42,000,000 with final maturity on 8 May 2028 . The bonds bear a coupon of 8%. | May 8, 2023
Baltic Horizon Fund is about to sign subscription orders with two investors in connection with Baltic Horizon Fund s private placement of new bonds. The total size of the private placement is planned. | May 3, 2023