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
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www.baltichorizon.com (https://www.globenewswire.com/Tracker?data=IUXMSR-
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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