According to the stock exchange announcement published on 8 May 2023, Baltic Horizon Fund plans to redeem the bonds issued on 8 May 2023 with the maturity date of 8 May 2028 partially and in several.
Baltic Horizon Fund today announces the release of its Annual ESG report 2022. Baltic Horizon launched its ESG strategy in 2019, and in the subsequent years…
MIL-OSI: Baltic Horizon Fund has published its Annual ESG report 2022 foreignaffairs.co.nz - get the latest breaking news, showbiz & celebrity photos, sport news & rumours, viral videos and top stories from foreignaffairs.co.nz Daily Mail and Mail on Sunday newspapers.
The net asset value of the Baltic Horizon Fund unit at the end of May 2023 amounted to EUR 1.1049 per unit. Compared to the previous month, NAV per unit decreased by 1.2%. The total net asset value. | June 15, 2023