Baltic Horizon Fund
Baltic Horizon Fund consolidated audited results for 2023
March 29, 2024 05:35 ET | Baltic Horizon Fund / Northern Horizon Capital
Management Board of Northern Horizon Capital AS has approved the audited financial results of Baltic Horizon Fund (the Fund) for the year 2023. The financial results remained unchanged compared to the...
Baltic Horizon Fond
Baltic Horizon Fond plaanib lunastada ennetähtaegselt osa võlakirju
March 15, 2024 13:15 ET | Baltic Horizon Fund / Northern Horizon Capital
8. mail 2023 avaldatud börsiteate kohaselt plaanib Baltic Horizon Fond 8. mail 2023 emiteeritud võlakirjad lõpliku lunastustähtajaga 8. mail 2028 (ISIN-kood EE3300003235; Võlakirjad) osaliselt...
Baltic Horizon Fund
Baltic Horizon Fund plans to redeem early part of the bonds
March 15, 2024 13:15 ET | Baltic Horizon Fund / Northern Horizon Capital
According to the stock exchange announcement published on 8 May 2023, Baltic Horizon Fund planned to redeem the bonds issued on 8 May 2023 with the maturity date of 8 May 2028 (ISIN code EE3300003235;...
Baltic Horizon Fund
Baltic Horizon Fund plans to redeem early part of the bonds
March 15, 2024 13:15 ET | Baltic Horizon Fund / Northern Horizon Capital
According to the stock exchange announcement published on 8 May 2023, Baltic Horizon Fund planned to redeem the bonds issued on 8 May 2023 with the maturity date of 8 May 2028 (ISIN code EE3300003235;...
Baltic Horizon Fund
Baltic Horizon Fund publishes its NAV for February 2024
March 15, 2024 11:30 ET | Baltic Horizon Fund / Northern Horizon Capital
The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) amounted to EUR 0.9126 at the end of February 2024, increasing by 0.1% over the month (0.9118 as of 31 January 2024). The...
Baltic Horizon Fond
Baltic Horizon Fond avaldab osaku puhasväärtuse 2024. aasta veebruari seisuga
March 15, 2024 11:30 ET | Baltic Horizon Fund / Northern Horizon Capital
Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2024. aasta veebruari lõpu seisuga on 0,9126 eurot osaku kohta. Fondi osaku puhasväärtus võrreldes eelneva kuu lõpu seisuga kasvas 0,1%. Fondi kogu...
Baltic Horizon Fund
Baltic Horizon Fund publishes its NAV for February 2024
March 15, 2024 11:30 ET | Baltic Horizon Fund / Northern Horizon Capital
The net asset value (NAV) per unit of the Baltic Horizon Fund (the Fund) amounted to EUR 0.9126 at the end of February 2024, increasing by 0.1% over the month (0.9118 as of 31 January 2024). The...
Baltic Horizon Fondi
Baltic Horizon Fondi võlakirjaomanikud kiitsid võlakirjatingimuste muudatused heaks
March 15, 2024 10:25 ET | Baltic Horizon Fund / Northern Horizon Capital
Baltic Horizon Fund taotles 13. märtsil 2024 avaldatud kirjaliku hääletusprotsessiga võlakirjainvestorite nõusolekut teatud võlakirjatingimuste (Tingimused) muutmiseks ning võlateeninduse...
Bondholders of Balti
Bondholders of Baltic Horizon Fund approved the amendments to the bond terms and conditions
March 15, 2024 10:25 ET | Baltic Horizon Fund / Northern Horizon Capital
Baltic Horizon Fund applied for bondholders’ approval for certain amendments to the terms and conditions (the Terms and Conditions) of the Baltic Horizon Fund EUR 42 million 5-year floating rate bonds...
Bondholders of Balti
Bondholders of Baltic Horizon Fund approved the amendments to the bond terms and conditions
March 15, 2024 10:25 ET | Baltic Horizon Fund / Northern Horizon Capital
Baltic Horizon Fund applied for bondholders’ approval for certain amendments to the terms and conditions (the Terms and Conditions) of the Baltic Horizon Fund EUR 42 million 5-year floating rate bonds...