Market announcement
Baltic Horizon Fund / Northern Horizon Capital AS
LEI code
5299008IKT93E4SA0G49
Size of the entity
Small undertaking
Economic activities
Financial and Insurance Activities
Industry sector(s)
Management company
Country of registered office
Estonia
General information
Categories
Other corporate action
Unique data record identifier
8311
Submission date and time
15.10.2020 21:20:00
Content of announcement in Estonian
Title
Baltic Horizon Fond avaldab osaku puhasväärtuse 2020. aasta septembri seisuga ja muudatuse finantskalendris
Message
Baltic Horizon Fondi (Fond) osaku puhasväärtus (NAV) 2020. aasta septembri lõpu seisuga on 1,2247 eurot osaku kohta. Fondi kogu puhasväärtus tõusis kuuga 138,9 miljoni euroni. Fondi osaku puhasväärtuse muutus võrreldes eelneva kuu lõpu seisuga on +0.54%. Fondi puhasväärtust mõjutas positiivselt renditegevusest teenitud rahavoog ja negatiivselt muutus rahavoogude riskimaandamisinstrumendi reservis. EPRA NAV, EPRA NRV ja EPRA NTA kasvas 2020. aasta septembri lõpu seisuga 1,3137 euroni osaku kohta, mis tähendab +0.59% kasvu võrreldes eelmise kuuga. Aasta esimese 9 kuu konsolideeritud puhas renditulu ulatus 15,2 miljoni euroni, ületades eelmise aasta sama perioodi renditulu 1,6 miljoni euro ehk +11,8% võrra (13,6 miljonit eurot 30. septembril 2019. aastal lõppenud üheksa kuu jooksul). Tugeva kasvu taga olid Galerija Centrs`i ja North Star`i omandamised, millel oli positiivne mõju Fondi renditulu kasvule 2020. aastal (võrreldes 2019. aastaga), ehkki renditulu kasv 2020. aastal aeglustus üürnikele pakutud abistamismeetmete tõttu COVID-19 pandeemia ajal. COVID-19 kriisi otsene mõju 2020. aasta septembri puhtale renditulule piirdus enim kannatanud üürnike ajutise üürisoodustusega 0,1 miljoni euro ulatuses, mis on oluliselt vähem võrreldes teise kvartaliga 2020. Fond teenis 2020. aasta septembris auditeerimata konsolideeritud puhaskasumit 0,8 miljonit eurot. 2020. aasta septembri lõpus moodustas Fondi konsolideeritud raha ja raha ekvivalendid 8,4 miljonit eurot (31. detsember 2019: 9,8 miljonit eurot), mis näitab tugevat likviidsuspositsiooni. Üüri kogumismäärade paranemine mõjutas positiivselt Fondi sularahajääki septembris 2020. Kokku kasvasid Fondi sularaha ja raha ekvivalendid septembri 2020 jooksul 1,3 miljoni euro võrra. Pärast edukaid läbirääkimisi üürnikega on Fondi juhtkond suutnud vähendada nõudeid üürnike vastu 3,3 miljonilt eurolt 2020. aasta mai lõpus 1,4 miljoni euroni 2020. aasta septembri lõpu seisuga, mis on tavapärane määr. 30. septembri 2020. aasta seisuga oli Fondi portfelli õiglane väärtus kokku 347,2 miljonit eurot (31. detsember 2019: 358,9 miljonit eurot), samas kui üüritav netopind oli 153 351 ruutmeetrit. Fond on investeerinud täiendavad 0,4 miljonit eurot Meraki büroohoonete käimasolevatesse ehitustöödesse 2020. aasta septembris. Finantskalendri muudatus: Baltic Horizon Fondi 2020. aasta III kvartali vahearuanne (auditeerimata konsolideeritud) avalikustatakse 49. nädalal. Varasemalt oli aruande avaldamise ajaks planeeritud 46. nädal. Uuendatud finantskalender on saadaval Baltic Horizon Fondi kodulehel. Lisainformatsiooni saamiseks palume ühendust võtta: Tarmo Karotam Baltic Horizon Fond, fondijuht E-mail [email protected] (https://www.globenewswire.com/Tracker?data=Aq7eFsHivmk2iGrO8RsZXimw66nqB06jZVlC jh1OUp_zy_DWEMq7mKYKcXx4coRE61HVrecijf4FD4X4jPSEDPwUauFGiIwXv7oXE_3S1YY- jsBiixtd9969i9nOgzLYo4BaDAhhl9j7K9rrS24z_tHmTHMAGatVpO6JL6STnGqf4xPXk93DE1- wnYfLWO- hdOQ9WPjN5t04GUG25Az8IoIOSKZhMFmcIhLhDqWGRXHv_Ndtr64dxw_PW8sMorp57tunoks8XoXo36U wmqLgGAr6eC_jlhyXPS_J3RsOqWzFwQF0fjp2b8VlZTm_J3Mho7CRPEAKUS7LMH5SXHzOGkl8uNR95qi RsPR4kpru7OpPCdiOLwbTI452BeISu4W_7y40NFfa62Ym0x5MJH0uhWa1vpzYhMpSlZ27CDoG0Y1yPfs nLQV8kZuUpxgP06u0uT2btDFq4HtnTdhph- AKLT0mcxGUxr7FUPEN97OAhSya7O9EgcIw6uK0dmpKznVJhVaGz6I1UKdwtl4UBM4HvISy03eqWABAPF Qz2_IIo9lNeU9tCBNFaGD19EXatlq0lxNx4otXWMfw8c4dJDQ5gWp4oxZJn3owX82Odbfk0BCs9uh0nX kyrrQZbEkndaXoAlH0PfVXvc9MGfIrawhHjNUCooNhLCGRoALgPIzbnITfLzXUCb3xc3oVu4vMq_pE5h zHDu25oWPR2gxERozvAdxRPmPdd3ihVlPuy7YfTvqHkQRK6hi2l3xPothIL7Blf59XMjs- JTxFzv_SwRqDR0nQdWVwGiBktQyAsEdRupK_7ThOctBJAbpfoWOugU9FTlw8lNBajwGcBjJndxkkU4Jg OhRvinPv7bNLWb9tTnn1X4D01r3nDBc-RiBLdy6KGP3cmjTjSfy2vOYiqfhUFNh3ZCJnHr6Khun_1F- kxJ7LQF4H7KFl6DWFjcnK1lNs- 34L4sIBoWt3QgMpW828xlZmdK9jJMgIpyd4ghuoKncFAhbhzMiFtFHKNH3UOUxzB7yBZ6992LOQmvbGa A1UhVWid2UbypsunXAnd_eovGw3VjmIo7ZkvmRmX9IFyWfkp4- RwyAh0tnqGs4uOLpRBwYCmeJTpRj5Imc7azMhc3_xpwtB5ftr_lfAE6W7xkxnp1hNZ6PHwhJq13wRKng bXesIUfpFvhw3O_uxnLJ3Hjvp9bVvgKmWAMUBYsb- kAfMB7Jo4vDUlDZZ9Pu8C4mWGw46i52KOgWjHryHP6- 8maxOyc6wQIraPTRbq0UUCnTAZ9lbPMSkVTmmk0XrrF4KtPOpPb2EfjMhOvP80- W2fZ0Od8WAHgkmcNOJ0zuu7hlh2JBObUX137JlQK3Nhj8T- cwOQMq7FWWbGK1m4Wu1ztYpiq4ZnAAYMVBILx65KEmUndWLLhUOQVeBb_gZF_61dgt1m9g7tXoSPP_d9 8xwLD_IWoB29K1aSGN5MNpf9wJyPIj_neHI_mBpME3hGnjiJ6nBJIcRqJVAjPEINkO4tygFUvjmH0lg5 lYSAHB72ppU- glS85FmJiUgRHiSwjb0HzPreP6fQ4N_JZDFaXczth8qREkniV75AQAbkH1okpveKY_wNZSGRV7gYYMnR fcSdNae9CgWslutmeW2plHfubcFeKkzMyAw-E1n1AXRAdRBhDh5ScOoTz-6n- YqpnhAhbN9V_ogs8ARPx3my_j76m4wYZjrSya0dPReGbxpDXSSVCm9DdOYXHjx8xrqM6wLoy41vYqwfZ TiUbg0_IgCFT_FZ8Y4Pcn_vMBEuvH2IRuMPtVzixdJMHcSr7Nw0xZPadqinj- d0LRvGm9gDEHmshwhMYVJKe-Acv_HS4gupXPtWUg_Pd3SrjuHQ- JGUsdfLPUE_51zmfVEJpLKcxD0hAAHxBpYgcYtjxRxKvYEIpZBzXllJUBTUZuxPGCDK7wdL4gOEnLFgq B5x1UoDdI5P6R6GHMrJlMRWS1FA8_Ur0GTL2ETld94yRbecJKoYTEe2pWNp-l0XUy2TulUxkn8i- RdlvsjnaIMndOG_) www.baltichorizon.com (https://www.globenewswire.com/Tracker?data=IUXMSR- J2wsFWrjR5YiwxC_3RNMlkgZ5olrmJE-yWCWALoAynrcJ9e3D8ZMfvrjXEcM6oplCV- 9eLnRDxLBBFokb9jnx07EcTofRrVu2AGk72NIldpRp_ibOiy6oPhKoYu3w2yN9yNjq6Rrm18uVSZyTFt l6bu3W9exQwolx0gB96tdEifZhdkP0gkFOPjCCTiCQjceixMt7-XDQWRVeidwt3sB72Svd5U4- UjvVPTHjtB2vKVOCSBlGjCBSA54DdQWLnnwO7LlkCcWmr1xHddqkfXvbHRVbuxxU6ovWWAZD3SoMUNAG KBTWi06fpRcYvJ74g- sIcpw9a8A9eDW6WndEGYZNTghHFIfqJBBWiQJ8xw5oEu_ae6r4qKsTywQf30xkmIxrh6B9SLkaVnZzwG I6XyXqQekC_LRC3j3A3OrmHWXBjjUgqKYiUekj2HZCJ11p_lTkRJ_D14mFk6sAfQiabmkga0d3Lz3f6R h_adxTD0grvWUy-0j5dKrwTqIcIDzglwSO7bfwklEG4oAdVckSqrA-Nc-LF2Hw4- ffYcWnXMEh8xraZuqMxGvDtc5pzebyJU34wiVTWX_sGPeOd96jx--pZIgwJZy3s5lykr4E7rJT6gWnIp lX2Mrr0qeEsNtylIjLfsG5DfcI6lPCy564jk2H85zScQZBCocSPMVqbZP3idCFuUpJaKo0anPIt985kF u8jop_uVJ81iqiNBr6oa7YagawLhyrrxf8k0IqAk77mmJyWcUyZuCFAIahtJCKwRy_uXp6sUjNaIK25w He1rLbZYnFgpPgGRNavfXU71_6y0Yzxr81K_u70MSZh4AnwpPqR7J45tmClkR5BQkw3WdonWTJtvxtoq 9yxJiyPVws7fxr9lv3x0mLZOq3ewkQzA4qiC62td9Xv7NR68wDtVon0rGCDOsVtjc--AK9BXnl9amZeA rmVzXC4yNrGFR_KPEsA9PUoZuMKhb-TAdCX-W7BrwWd3ZmR5mcoPbMUsagTf26aWAdEcka34jj6CPVg_ s_QhpG3qmIk8kv7q9ExLNpASFa5QoSqtlXR444tsIlN1_E8C5phgpMGuYRKePxdxwa4dbqoTRdidAJ3t D-nkPNXDNFMxefSHbY-lvDM_5RAdY60XaCVL7yNIVNypWA6Ohc0H4E-kRHPDIMU1xGCwunqCBBQcQSev SVoBxmUslr9ZbLTd1cqN4QJDVP7kjwWMq7Upv3vgtSFqCVf9uXJrwLPz3TBdsq0m2oQHeq3BuWCKiqTW xGVi5G-CSsH844D1zmJKp230UfHR1gz9g4s9Pe6BEGChtc41G0RMfAJI8iN2EMOnSbR7BdSrj4fFlSBO RuyDkp3RTi9BLVIERvDBV8ospZmvjEG_BwTPAYGJcGUMBCbpG6aDsylkb7DKxqExko3d0ru153WDDxEv EQ5SMgIA19owJSohs-dTSEfy3Vmyy0GSa_A3r9yJ_GLZo6NggpSbbep1NG1Hk4aISl9g0l5m-XkgVfe5 RcNiiJ8RQ7pOjh8WyRlbxe-giQvtr0SpX0_GUCkMQM0Qfz-EOApTzTOx1EhIirM_wxaC52wZ9Wkx6gDK 4g28UzuTYw7cbsWuJ_8bHy7E26Up3RyVxOlcuYFjuMWG4vFRBN23XaMJDqiF4iptQPt9wFIRsrajun2i aBfQ2qAlNxlL087_XLNitYE7IDSIvOjNdLNNSd8UsQIGZR4vX7OZv7jNa_PJkynOe4sWYJI9oLvF93hl KoOdc1CTkrRssKv22u6T1i9fi9mCWH2vxywxAJK96-h07JMBKbV1wFA8U7uiF3dIsC6e7wfFqUrOzL1x aWNLoLNyiLy4XxMkVlHzoG08Ldpgip3vl4A9Zai3Gk0Wk_9FiERhAgUKdoLDOJTNI2CdtIbyOYgeyC4C aR03X-wDZK8WJEtAxh8zN_f2PrkxOQlGh8dcHyB0wO2PxoXnU04EbxWx15NIlpC8Le5qOq-fbvIajs4W pAJPy80pyT_Bm-Wz8OHEki5PZg1oQ7-4fnVmTneIFtzsKRzbqYe) Baltic Horizon Fond on registreeritud lepinguline avalik kinnine kinnisvarafond, mida valitseb alternatiivfondivalitseja Northern Horizon Capital AS. Avaldamine: GlobeNewswire, Nasdaq Tallinn, Nasdaq Stockholm, www.baltichorizon.com
Content of announcement in English
Title
Baltic Horizon Fund publishes its NAV for September 2020 and a change in the financial calendar
Message
Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of September 2020 amounted to EUR 1.2247 per unit. The total net asset value of the Fund rose to EUR 138.9 million over the month. Compared to the previous month, NAV increased by +0.54%. The NAV was affected positively by the operating performance of properties and negatively by cash flow hedge movement during the month. EPRA NAV, EPRA NRV and EPRA NTA as at the end of September 2020 increased to EUR 1.3137 per unit, corresponding to an increase of +0.59% over the last month. Consolidated net rental income for the first 9 months of the year amounted to EUR 15.2 million, exceeding the previous year's net rental income for the same period by EUR 1.6 million or +11.8% (EUR 13.6 million during the nine months ended 30 September 2019). The strong growth was driven by the acquisitions of Galerija Centrs and North Star, which had a positive effect on the Group's net rental income growth in 2020 as compared to 2019, albeit rental income growth in 2020 slowed down due to relief measures granted to tenants during the COVID-19 pandemic. The direct impact of the COVID-19 health crisis on the net rental income in September 2020 was limited to temporary rent reductions for the most affected tenants in the amount of EUR 0.1 million, which is significantly lower compared to Q2 2020. The Fund earned an unaudited consolidated net profit of EUR 0.8 million in September 2020. At the end of September 2020, the Fund's consolidated cash and cash equivalents amounted to EUR 8.4 million (31 December 2019: EUR 9.8 million) which demonstrates a strong liquidity position. Improving rent collection rates had a positive impact on the Fund's cash balance during September 2020. In total, the Fund's cash and cash equivalents increased by EUR 1.3 million during September 2020. After successful negotiations with the tenants, the Fund's management team has managed to reduce the trade receivables from EUR 3.3 million as at the end of May 2020 to a standard level of EUR 1.4 million as at the end of September 2020. As of 30 September 2020, the total fair value of Fund's portfolio stood at EUR 347.2 million (31 December 2019: EUR 358.9 million), while the total net leasable area was 153,351 sq. m. The Fund has invested an additional EUR 0.4 million into ongoing constructions of Meraki office buildings during September 2020. Change in the financial calendar: The Q3 2020 interim report (unaudited consolidated) of Baltic Horizon Fund will be disclosed on week 49. Previously the planned disclosure time of the report was week 46. Updated financial calendar is available on Baltic Horizon Fund webpage. For additional information please contact: Tarmo Karotam Baltic Horizon Fund manager E-mail [email protected] (https://www.globenewswire.com/Tracker?data=uMlftpVUP59vcFGbVHHzr_KcjChy3SCrD- dLLbKTf0tYKkwB7G6reju32f7rd8ox82AC6Fn9dBPVvf3Ds42Jh3HUJLP5jcLLX8sWJsVvChk=) www.baltichorizon.com (https://www.globenewswire.com/Tracker?data=GSQVye1bgzTst_zGKIpP26VIk1zPIzIgVMWj ti3i1cf-4E0NoN4fd-0Tfskl1CsTlTHoZAL_uWoEIZ8vsfyPcNQbnnYeu2x_1pKetGZPyYM=) 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: GlobeNewswire, Nasdaq Tallinn, Nasdaq Stockholm, www.baltichorizon.com