Baltic Horizon Fund publishes its NAV for December 2018


Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit as of end of December 2018 amounted to 1.3857 EUR per unit. Compared to previous month, NAV increased by +1.33%. The NAV was affected positively by operating performance of properties, year-end property valuation and negatively by cash flow hedge reserve movement during the month. More information will be provided in the annual report.

For additional information, please contact:
Tarmo Karotam
Baltic Horizon Fund manager
E-mail tarmo.karotam@nh-cap.com
www.baltichorizon.com

Baltic Horizon Fund is a registered contractual public closed-end real estate fund managed by Alternative Investment Fund Manager license holder Northern Horizon Capital AS.

Distribution: Nasdaq, GlobeNewswire, www.baltichorizon.com