Börsiteade

Baltic Horizon Fund / Northern Horizon Capital AS

LEI kood

5299008IKT93E4SA0G49

Emitendi suuruskategooria

Väike ettevõtja

Majandustegevusalad

Finants- ja kindlustustegevus

Sektor(id)

Fondivalitseja

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Muud korporatiivtoimingud

Teate ID

9329

Esitamise kuupäev ja aeg

15.02.2022 23:00:00

Teate sisu eesti keeles

Pealkiri

BALTIC HORIZON FONDI 2021. AASTA IV KVARTALI KONSOLIDEERITUD AUDITEERIMATA MAJANDUSTULEMUSED

Teade

Northern  Horizon  Capital  AS-i  (Fondivalitseja)  juhatus on kinnitanud Baltic
Horizon  Fondi (Fond) auditeerimata konsolideeritud vahearuande tulemused 2021.
aasta kohta.

G4S-i peahoone võõrandamine
8. novembril  2021 sõlmis Baltic Horizon  fond asjaõiguslepingu ettevõttega HITS
Investments  OÜ,  et  müüa   Paldiski  mnt  80 (Tallinn)  asuv  G4S-i  peahoone.
Müügihind  oli 15,35 miljonit eurot (ei sisalda käibemaksu), mis on ligilähedane
vara kõige hilisemale hindamistulemusele. Üle 5-aastase hoidmisperioodi sisemine
tulumäär  oli ligikaudu  11,2% ning omakapitali  kordaja (equity multiple) 1,7.
Müügiotsus  tehti  selleks,  et  vältida   kasvanud  väljarentimise riski uutele
üürnikele ja kapitalikulu, mis hoone energiatõhususe tõstmisega oleks kaasnenud.
Tehingust   saadud   vahendeid   kasutatakse   Fondi  Balti  portfelli  uute  ja
energiasäästlikumate investeeringute soetamiseks.

Baltic Horizon fondi Meraki SPV võlakirjad
15. novembril  2021 võttis  Nasdaq  Vilniuse  börs  BH  Meraki  UAB  emiteeritud
võlakirjad    kauplemisele    Nasdaq    Balti    börsi   First   North   turule.
Võlakirjaemissiooni  maht  on  4 miljonit  eurot. Võlakirjade nominaalväärtus on
100 eurot,  intressimäär  5% aastas  ning  intressi  makstakse  välja kaks korda
aastas.

Kuus hoonet said BREEAM-i sertifikaadi
Baltic  Horizon soovis  2021. aasta lõpuks  sertifitseerida kõik oma büroohooned
vastavalt  BREEAM-i  keskkonna  hindamise  standardile.  2021. aastal anti North
Starile, Domus Pro ärikeskusele, Upmalas Biroji bürookompleksile, LNK Centre'ile
ja   Vainodes  I-le  BREEAM-i  keskkonnasertifikaat  hinnanguga  ?väga  hea"  ja
Linconale hinnanguga ?hea". Kõigil büroohoonetel on nüüd BREEAM-i sertifikaat.

COVID-19 - arengud ja meie tegevus
2020. aasta  alguses hakkas maailmas levima uus koroonaviirus (COVID-19), mis on
oluliselt   mõjutanud  erinevate  riikide,  sh  Balti  riikide,  ettevõtteid  ja
majandust.   Viiruse  levik  on  muutnud  oluliselt  Fondi  tegevuskeskkonda  ja
avaldanud negatiivset mõju Fondi 2020. ja 2021. aasta majandustulemustele.

2020. aasta  lõpus algas Balti riikides teine piirangute periood, mil valitsused
kehtestasid   elanikele  ja  ettevõtetele  koroonaviiruse  leviku  tõkestamiseks
rangeid  kitsendusi. Ostukeskused  pandi mõneks  ajaks kinni.  Avatuks jäid vaid
esmavajalikud müügikohad (toidukauplused ja apteegid).

Fondi 2021. aasta IV kvartali majandustulemusi mõjutas jätkuvalt pandeemia, sest
raskustesse  sattunud  kaubanduspindade  rentnikele  tehti  soodustusi  ja  seda
eelkõige  novembris  Lätis  kehtestatud  viimaste liikumispiirangute ajal. Hästi
hajutatud  portfell on  võimaldanud Fondil  COVID-19 mõju piirata ning järgmisel
aastal    on  oodata  tugevamaid  konsolideeritud  põhitegevuse  tulemusi,  sest
südalinnades asuv kaubandus- ning meelelahutussektor peaks taastuma.

Väljamaksed 2021. aasta III kvartali ja 2021. aasta IV kvartali tulemuste eest
28. oktoobril   2021 kuulutas   Fond  osakuomanikele  2021. aasta  III  kvartali
tulemuste  eest välja  rahalise väljamakse  kogusummas 2 034 tuhat  eurot (0,017
eurot  osaku  kohta).  See  teeb  2021. aasta  III  kvartali  kaalutud  keskmise
puhasväärtuse tootluseks 1,63%.

3. veebruaril   2022 kuulutas   Fond   osakuomanikele  2021. aasta  IV  kvartali
tulemuste  eest välja  rahalise väljamakse  kogusummas 2 273 tuhat  eurot (0,019
eurot   osaku  kohta).  See  teeb  2021. aasta  IV  kvartali  kaalutud  keskmise
puhasväärtuse tootluseks 1,79%.

Turul  valitseva  ebakindluse  tõttu  otsustas  Fond  teha 2020. ja 2021. aastal
vähendatud  väljamakseid  ja  jätta  6,1 miljoni  euro  ulatuses jaotuskõlblikku
rahavoogu  välja maksmata. 2021. aastal kuulutas  Fond välja väljamakseid summas
6,9 miljonit eurot kogu jaotuskõlblikust rahavoost, mida oli 8,7 miljonit eurot.

Väljamakse tegemise võime arvutamise valem

                                   IV kv               II kv  III kv   IIV kv
 Tuhandetes eurodes                 2020 I kv 2021      2021    2021     2021
-------------------------------------------------------------------------------
 (+) Puhas renditulu               4 745     4 173     4 357   4 676    3 798
-------------------------------------------------------------------------------
 (-) Fondi halduskulud              -713      -745      -756    -735     -633
-------------------------------------------------------------------------------
 (-) Välised intressikulud        -1 362    -1 346    -1 311  -1 407   -1 408
-------------------------------------------------------------------------------
 (-) Kapitalikulud(1)               -131       -79       -92     -38     -222
-------------------------------------------------------------------------------
 (+)
 Kinnisvarainvesteeringutega
 seotud erakorraline tulu(2)           -         -         -       -      440
-------------------------------------------------------------------------------
 (+) Tagasi lisatud
 noteerimisega seotud kulud           85         -         -       -        -
-------------------------------------------------------------------------------
 (+) Tagasi lisatud
 omandamisega seotud kulud            26        31         5       9       32
-------------------------------------------------------------------------------
 Genereeritud neto rahavoog
 (GNR)                             2 650     2 034     2 203   2 505    2 007
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 GNR kaalutud osaku kohta
 (eurodes)                         0,022     0,017     0,018   0,021    0,017
-------------------------------------------------------------------------------
 12 kuu jooksev GNR tootlus(3)
 (%)                                8,6%      7,4%      7,0%    7,0%     6,8%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Väljakuulutatud väljamaksed       1 316     1 316     1 316   2 034    2 273
-------------------------------------------------------------------------------
 Väljakuulutatud väljamaksed
 osaku kohta(4) (eurodes)          0,011     0,011     0,011   0,017    0,019
-------------------------------------------------------------------------------
 12 kuu jooksev
 dividenditootlus(3) (%)            5,8%      5,4%      5,0%    4,5%     5,4%
-------------------------------------------------------------------------------

 1. Tabelis on esitatud kvartali tegelik kapitalikulu. Osakuomanikele tulevikus
    tehtavate väljamaksete aluseks on eelarvestatud aastane kapitalikulu, mis on
    kvartalite vahel võrdselt ära jaotatud. See vähendab osakuomanikele
    tehtavate rahaliste väljamaksete kvartaalset volatiilsust.
 2. Läti valitsuse COVID-19 toetus, mis on seotud puhta renditulu vähenemisega
    Galerija Centrsi rentnikele tehtud soodustuste tõttu. Toetust kasutatakse
    kinnisvarainvesteeringu tegevuskulude katmiseks.
 3. 12 kuu jooksva GNR-i tootluse ja dividenditootluse aluseks on osaku turuhind
    vastava kvartali lõpu seisuga (2021. aasta IV kvartali osaku turuhind on
    esitatud seisuga 31. detsember 2021).
 4. Väljamaksele õigust omavate osakute arvu alusel.

Puhaskasum ja puhas renditulu
2021. aastal  teenis  kontsern  17,0 miljonit  eurot  puhast  renditulu, mida on
14,7% vähem  kui  aasta  varem  (2020:  19,9 miljonit  eurot).  Puhas  renditulu
kahanes,   sest   portfelli  kuuluvate  kinnisvarainvesteeringute  vabad  pinnad
suurenesid,  rentnikele tehti  pandeemia ajal  rendisoodustusi ja G4S-i peahoone
võõrandati 2021. aasta novembris.

2021. aasta  puhas renditulu  jagunes segmentide  vahel järgmiselt: büroo 63,0%
(2020:  55,8%), kaubandus  32,4% (2020:  40,1%) ja  vaba aeg 4,6% (2020: 4,1%).
Keskses  äripiirkonnas asuvate  kinnisvarainvesteeringute (Postimaja,  Europa ja
Galerija  Centrsi) renditulu moodustas 20,5% Fondi portfelli 2021. aasta puhtast
renditulust.  Elurajoonides  asuvate  ostukeskuste  2021. aasta  puhas renditulu
moodustas 11,9%.

Fondi 2021. aasta puhas renditulu jagunes riikide vahel järgmiselt: Leedu 38,1%
(2020: 36,4%), Läti 36,0% (2020: 38,3%), ja Eesti 25,9% (2020: 25,3%).

Kontserni 2021. aasta puhaskasum oli 1,4 miljonit eurot (2020: puhaskahjum 13,5
miljonit  eurot). Fondi kinnisvarainvesteeringute  majandustulemused olid 2021.
aasta  rangetele koroonapiirangutele  vaatamata positiivsed.  Aasta lõpus tehtud
ümberhindlus  näitas taastumist, sest Fond vähendas ümberhindluse aastakahjumit,
kajastades  2021. aasta  IV  kvartalis  ümberhindluse kasumi summas 7,1 miljonit
eurot.  Hindamise mõju arvesse  võtmata oleks 2021. aasta  puhaskasum olnud 8,6
miljonit  eurot (2020: 11,7 miljonit  eurot). 2021. aasta kasum  osaku kohta oli
0,01 eurot (2020: kahjum 0,12 eurot). Kinnisvarainvesteeringute õiglase väärtuse
muutuse  mõju arvesse  võtmata oleks  kasum osaku  kohta olnud 0,07 eurot (2020:
0,10 eurot).

Varade brutoväärtus (Gross Asset Value ehk GAV)
Fondi  varade brutoväärtus  vähenes aruandeperioodil  2,6%, langedes 2021. aasta
detsembri   lõpuks  346,3 miljoni  euroni  (31.  detsember  2020: 355,6 miljonit
eurot).    Languse    peamised    põhjused    olid    kinnisvara-investeeringute
ümberhindamiskahjum  summas 7,2 miljonit  eurot ja  G4S-i peahoone võõrandamine.
Kontsern  tegi 2021. aasta jooksul  kapitaliinvesteeringuid (7,0 miljonit eurot)
Meraki  büroohoone  arendusprojekti.  Fond  kavatseb  Meraki  büroohoone ehitust
2022. ja  2023. aastal  jätkata.  Lisaks  investeeris  Fond  2,1 miljonit  eurot
teistesse (ümber)arendusprojektidesse.

Varade puhasväärtus (Net Asset Value ehk NAV)
Fondi  varade  puhasväärtus  pisut  vähenes  ja  oli  2021. aasta detsembri lõpu
seisuga   132,6 miljonit   eurot   (31.  detsember  2020: 136,3 miljonit  eurot)
vastavalt  2021. aasta  kinnisvarainvesteeringute  ümberhindlusele. Seisuga 31.
detsember   2021 oli   osaku  puhasväärtus  IFRS-i  kohaselt  1,1082 eurot  (31.
detsember 2020: 1,1395 eurot) ning EPRA puhas materiaalne põhivara ja EPRA puhas
taastamisväärtus  olid  1,1884 eurot  (31.  detsember  2020: 1,2219 eurot) osaku
kohta.   EPRA   puhas   võõrandamisväärtus   oli   1,1086 eurot  (31.  detsember
2020: 1,1435 eurot) osaku kohta.

Kinnisvarainvesteeringud
Baltic  Horizoni portfelli kuulub 14 Balti  riikide pealinnades asuvat rahavooga
kinnisvarainvesteeringut   ja   üks   lõpetamata  kinnisvarainvesteering  Meraki
maatükil.  2021. aasta  IV  kvartali  lõpus  oli Fondi portfelli õiglane väärtus
327,4 miljonit  eurot (31.  detsember 2020: 340,0 miljonit  eurot) ja renditavat
netopinda  oli kokku 144 081 ruutmeetrit. 2021. aasta IV kvartalis müüs Kontsern
G4S-i   peahoone   15,4 miljoni   euro   eest,  investeeris  0,2 miljonit  eurot
olemasolevasse    kinnisvarainvesteeringute    portfelli,   1,5 miljonit   eurot
rekonstrueerimisprojektidesse    ja    lisaks    3,0 miljonit    eurot    Meraki
arendusprojekti.

Intressikandvad laenukohustised ja võlakirjad
2021. aasta  jooksul viis  Fond lõpule  18-kuuliste tagatud võlakirjade suunatud
pakkumise mahus 4,0 miljonit eurot. Võlakirjad kannavad fikseeritud 5,0% määraga
intressi,  mida makstakse kaks korda  aastas. Laekunud vahendeid kasutati Meraki
büroohoone   ehituse   rahastamiseks.   Pangalaenukohustised   vähenesid   pisut
graafikujärgse laenuamortisatsiooni tõttu. Aastane laenuamortisatsioon moodustab
0,2% kogu  tasumata  laenujäägist.  Võlakirjade  märkimise ja laenutagasimaksete
järel  vähenesid intressikandvad laenud ja  võlakirjad 198,6 miljoni euroni (31.
detsember 2020: 205,6 miljonit eurot).

Rahavood
2021. aasta  äritegevuse  rahavoog  oli  positiivne  summas  14,7 miljonit eurot
(2020:  positiivne summas  16,1 miljonit eurot).  Investeerimistegevuse rahavoog
oli G4S-i peahoone võõrandamise tõttu 2021. aasta IV kvartalis positiivne summas
6,9 miljonit  eurot (2020: negatiivne summas 4,3 miljonit eurot). Müügist saadud
vahendeid   kasutati  osaliselt  olemasolevatesse  kinnisvara-investeeringutesse
täiendavate  investeeringute  tegemiseks  ning  Meraki,  Postimaja  ja  CC Plaza
kompleksi  ning  Europa  arendusprojektide rahastamiseks. Finantseerimistegevuse
rahavoog oli negatiivne summas 18,7 miljonit eurot (2020: negatiivne summas 8,3
miljonit  eurot).  2021. aastal  tegi  Fond osakuomanikele rahalisi väljamakseid
summas  6,0 miljonit eurot,  maksis võlgadelt  regulaarseid intresse ning maksis
täielikult  tagasi  G4S-i  peahoone  pangalaenu.  Lisaks maksis Fond 2021. aasta
detsembris   ennetähtaegselt   tagasi   3,0 miljonit  eurot  Europa  ostukeskuse
pangalaenust. 2021. aasta lõpus oli Fondil raha ja raha ekvivalente summas 16,1
miljonit  eurot (31.  detsember 2020: 13,3 miljonit  eurot), mis näitab piisavat
likviidsust    ja    finantspaindlikkust.    Vaba    raha    kasutatakse    uute
kinnisvarainvesteeringute soetamiseks ja arendusprojektide jätkamiseks.

Peamised kasumlikkuse näitajad

 Tuhandetes
 eurodes                                      IV kv 2021  IV kv 2020 Muutus (%)
-------------------------------------------------------------------------------
 Puhas renditulu                                   3 798       4 745     -20,0%

 Halduskulud                                        -633        -713     -11,2%

 Muu äritulu                                         440          18   2 344,4%

 Kahjum kinnisvarainvesteeringu müügist              -71           -          -

 Kinnisvarainvesteeringute ümberhindluse
 kasum/kahjum                                      7 103      -9 488     174,9%

 Ärikasum/-kahjum                                 10 637      -5 438     295,6%

 Finantstulud ja -kulud (neto)                    -1 484      -1 406       5,5%

 Maksueelne kasum/kahjum                           9 153      -6 844     233,7%

 Tulumaks                                           -861         166    -618,7%
-------------------------------------------------------------------------------
 Perioodi puhaskasum/-kahjum                       8 292      -6 678     224,2%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Ringluses olevate osakute kaalutud
 keskmine arv                                119 635 429 118 124 947       1,3%

 Kasum/kahjum osaku kohta
 (eurodes)                                          0,07       -0,06     216,7%
-------------------------------------------------------------------------------


Peamised finantsseisundi näitajad

 Tuhandetes
 eurodes                                      31.12.2021  31.12.2020 Muutus (%)
-------------------------------------------------------------------------------
 Kasutuses olevad
 kinnisvarainvesteeringud                        315 959     334 518      -5,5%

 Lõpetamata kinnisvarainvesteeringud              11 400       5 474     108,3%

 Varade brutoväärtus (GAV)                       346 338     355 602      -2,6%



 Intressikandvad laenud ja
 võlakirjad                                      198 571     205 604      -3,4%

 Kohustised
 kokku                                           213 754     219 281      -2,5%


-------------------------------------------------------------------------------
 IFRS varade puhasväärtus (IFRS
 NAV)                                            132 584     136 321      -2,7%

 EPRA puhas taastamisväärtus (EPRA
 NRV)                                            142 176     146 180      -2,7%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Ringluses olevate osakute arv               119 635 429 119 635 429          -

 Osaku puhasväärtus - IFRS (eurodes)              1,1082      1,1395      -2,7%

 EPRA puhas taastamisväärtus (NRV) osaku
 kohta (eurodes)                                  1,1184      1,2219      -2,7%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Laenu tagatuse suhtarv (%)                        60,7%       60,5%          -

 Keskmine sisemine intressimäär (%)                 2,7%        2,6%          -
-------------------------------------------------------------------------------

Kinnisvarainvesteeringute tulemused
Fondi  kinnisvarainvesteeringute portfelli keskmine  tegelik täitumus oli 2021.
aasta  IV kvartalis  92,4% (III kv  2021: 93,1%). Seisuga 31. detsember 2021 oli
täitumus   92,1% (30.   september   2021: 92,9%). Kaubanduse-segmendis  täitumus
vähenes  peamiselt Europa ostukeskuse rekonstrueerimise  tõttu - rentnikud pidid
seal   osa   pindu  ajutiselt  järgnevate  kuude  ehitustööde  ajaks  vabastama.
Büroosegmendi  täitumus  oli  küll  jätkuvalt  tugev,  kuid  pisut  langes. Seda
põhjustas  Lincona ajutiselt  vaba pind.   Domus Pro  ärikeskuse täitumus tõusis
ning hoone täitus jälle täielikult novembris, kui vaba pinna hõivas uus rentnik.
Keskmine otsene tootlus oli 2021. aasta IV kvartalis 4,5% (III kv 2021: 5,4%) ja
esmane    puhastootlus   4,8% (III   kv   2021: 5,8%). Kinnisvarainvesteeringute
tootlused  langesid  2021. aasta  III  kvartaliga  võrreldes  vabade  pindade ja
valdavalt  vaba  aja  ja  kaubanduspindade  rentnikele pandeemiaga seoses tehtud
rendisoodustuste   tõttu.   Portfelli  keskmine  rendihind  oli  2021. aasta  IV
kvartalis  11,1 eurot  ruutmeetri  kohta  (2021.  aasta  III kvartal: 12,2 eurot
ruutmeetri kohta).

Ülevaade Fondi kinnisvarainvesteeringutest seisuga 31. detsember 2021

                                                               Esmane
                                    Õiglane            Otsene  puhas-
 Kinnisvarainvesteering Segment   väärtus(1)  Renditav tootlus tootlus
                                  (tuhandetes netopind  IV kv   IV kv  Täitumuse
                                   eurodes)    (m(2))  2021(2) 2021(3)   määr
--------------------------------------------------------------------------------
 Vilnius, Leedu

 Duetto I               Büroo       17 345     8 587    8,3%    7,4%    100,0%

 Duetto II              Büroo       19 683     8 674    7,5%    7,1%    100,0%

 Europa ostukeskus      Kaubandus   36 737     16 856   2,0%    2,1%     78,8%

 Domus Pro ostukeskus   Kaubandus   16 255     11 226   7,6%    7,4%     99,4%

 Domus Pro ärikeskus    Büroo        7 820     4 831    8,5%    7,1%    100,0%

 North Star ärikeskus   Büroo       19 869     10 550   5,5%    6,0%     89,7%

 Meraki arendus                     11 400       -        -       -        -
--------------------------------------------------------------------------------
 Vilniuses kokku                    129 109    60 724   5,5%    5,4%     92,2%
--------------------------------------------------------------------------------
 Riia, Läti

 Upmalas Biroji         Büroo
 bürookompleks                      21 944     10 459   7,2%    8,0%    100,0%

 Vainodes I             Büroo       18 150     8 052    6,5%    7,7%    100,0%

 LNK Centre             Büroo       16 840     7 452    6,2%    6,5%    100,0%

 Sky ostukeskus         Kaubandus    5 096     3 249    7,6%    7,7%     97,6%

 Galerija Centrs        Kaubandus   65 544     20 022   0,8%    0,9%     79,2%
--------------------------------------------------------------------------------
 Riias kokku                        127 574    49 234   3,6%    4,1%     91,4%
--------------------------------------------------------------------------------
 Tallinn, Eesti

 Postimaja ja CC Plaza  Kaubandus   29 772     9 145    3,0%    3,5%     93,9%

 Postimaja ja CC Plaza  Vaba aeg    14 442     8 664    5,8%    4,8%    100,0%

 Lincona                Büroo       16 990     10 870   6,8%    6,6%     89,1%

 Pirita ostukeskus      Kaubandus    9 472     5 444    4,8%    6,2%     89,2%
--------------------------------------------------------------------------------
 Tallinnas kokku                    70 676     34 123   4,6%    4,9%     93,2%
--------------------------------------------------------------------------------
 Portfell kokku                     327 359   144 081   4,5%    4,8%     92,1%
--------------------------------------------------------------------------------

 1. Põhineb viimasel, seisuga 31. detsember 2021 teostatud hindamise, ja
    kajastatud kasutusõiguse varadel.
 2. Otsese tootluse leidmiseks jagatakse puhas äritulu kinnisvarainvesteeringu
    soetusmaksumuse ja hilisemate kapitalikulude summaga.
 3. Esmase puhastootluse leidmiseks jagatakse puhas äritulu
    kinnisvarainvesteeringu turuväärtusega.

KONSOLIDEERITUD KASUMI- JA MUU KOONDKASUMI ARUANNE

                                                                         01.01.2021- 01.01.2020-
 Tuhandetes eurodes        01.10.2021- 31.12.2021 01.10.2020- 31.12.2020  12.31.2021  12.31.2020
------------------------------------------------------------------------------------------------
 Renditulu                                  4 651                  5 148      19 495      21 697

 Teenustasutulu                             1 204                  1 241       4 901       4 990

 Renditegevuse kulud                       -2 057                 -1 644      -7 392      -6 753
------------------------------------------------------------------------------------------------
 Puhas renditulu                            3 798                  4 745      17 004      19 934



 Halduskulud                                 -633                   -713      -2 869      -2 918

 Muu äritulu                                  440                     18         444         204

 Kahjum
 kinnisvarainvesteeringu
 müügist                                      -71                      -         -71           -

 Kinnisvarainvesteeringute
 ümberhindluse
 kasum/kahjum                               7 103                 -9 488      -7 161     -25 245
------------------------------------------------------------------------------------------------
 Ärikasum/-kahjum                          10 637                 -5 438       7 347      -8 025
------------------------------------------------------------------------------------------------


 Finantstulud                                   -                      -           1           3

 Finantskulud                              -1 484                 -1 406      -5 706      -5 524
------------------------------------------------------------------------------------------------
 Finantstulud   ja  -kulud
 kokku                                     -1 484                 -1 406      -5 705      -5 521
------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------
 Maksueelne kasum/kahjum                    9 153                 -6 844       1 642     -13 546
------------------------------------------------------------------------------------------------
 Tulumaks                                    -861                    166        -229           5
------------------------------------------------------------------------------------------------
 Perioodi kasum/kahjum                      8 292                 -6 678       1 413     -13 541
------------------------------------------------------------------------------------------------


 Tulevikus  kasumisse  või
 kahjumisse
 ümberliigitatav       muu
 koondkasum/-kahjum

 Rahavoogude
 riskimaandamise
 puhaskasum/-kahjum                           279                    119         898        -108

 Rahavoogude
 riskimaandamise
 puhaskahjumi/-kasumiga
 seotud tulumaks                              -32                    -10         -66           3
------------------------------------------------------------------------------------------------
 Tulevikus  kasumisse  või
 kahjumisse
 ümberliigitatav
 tulumaksujärgne       muu
 koondkasum/-kahjum kokku                     247                    109         832        -105
------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------
 Perioodi  tulumaksujärgne
 koondkasum/
 -kahjum kokku                              8 539                 -6 569       2 245     -13 646
------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------
 Tava-    ja    lahustatud
 kasum/kahjum  osaku kohta
 (eurodes)                                   0,07                  -0,06        0,01       -0,12
------------------------------------------------------------------------------------------------


KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

  Tuhandetes eurodes                    31.12.2021   31.12.2020
----------------------------------------------------------------
  Põhivarad

  Kinnisvarainvesteeringud                 315 959      334 518

  Lõpetamata kinnisvarainvesteeringud       11 400        5 474

  Immateriaalsed põhivarad                       9            -

  Materiaalsed põhivarad                         2            2

  Muud põhivarad                                23           22
----------------------------------------------------------------
  Põhivarad kokku                          327 393      340 016
----------------------------------------------------------------


  Käibevarad

  Nõuded ostjate vastu ja muud nõuded        2 708        1 901

  Ettemaksed                                   137          352

  Raha ja raha ekvivalendid                 16 100       13 333
----------------------------------------------------------------
  Käibevarad kokku                          18 945       15 586
----------------------------------------------------------------
  Varad kokku                              346 338      355 602
----------------------------------------------------------------


  Omakapital

  Sissemakstud kapital                     145 200      145 200

  Rahavoogude riskimaandamise reserv          -829       -1 661

  Jaotamata kahjum                         -11 787       -7 218
----------------------------------------------------------------
  Omakapital kokku                         132 584      136 321
----------------------------------------------------------------


  Pikaajalised kohustised

  Intressikandvad võlakohustised           157 471      195 670

  Edasilükkunud tulumaksukohustised          6 297        6 009

  Tuletisinstrumendid                          756        1 736

  Muud pikaajalised kohustised               1 103        1 026
----------------------------------------------------------------
  Pikaajalised kohustised kokku            165 627      204 441
----------------------------------------------------------------


  Lühiajalised kohustised

  Intressikandvad võlakohustised            41 676       10 222

  Võlad tarnijatele ja muud võlad            5 223        3 640

  Tulumaksukohustis                              5            1

  Tuletisinstrumendid                          109           27

  Muud lühiajalised kohustised               1 114          950
----------------------------------------------------------------
  Lühiajalised kohustised kokku             48 127       14 840
----------------------------------------------------------------
  Kohustised kokku                         213 754      219 281
----------------------------------------------------------------
  Omakapital ja kohustised kokku           346 338      355 602
----------------------------------------------------------------

Lisainformatsiooni saamiseks palume kontakteeruda:

Tarmo Karotam
Baltic Horizon Fond, fondijuht
E-mail: [email protected]
www.baltichorizon.com

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

Käesolev teade sisaldab informatsiooni, mille Fondivalitseja on kohustatud
avaldama Euroopa Liidu turukuritarvituse määruse kohaselt. Informatsioon esitati
avaldamiseks 15.02.2022 kell 23:00 Eesti aja järgi ülalmainitud
avaldamiskanalite esindajatele.

Teate sisu inglise keeles

Pealkiri

Baltic Horizon Fund Consolidated Unaudited Interim Results for Q4 2021

Teade

Management Board of Northern Horizon Capital AS (the Management Company) has
approved the unaudited consolidated interim financial statements of Baltic
Horizon Fund (the Fund) for the twelve months of 2021.

G4S office building disposal
On  8 November 2021, Baltic Horizon Fund signed a real right agreement with HITS
Investments  OÜ  to  sell  the  land  plot  located  at Paldiski mnt 80, Tallinn
together  with the  G4S Headquarters  office building.  The sales  price was EUR
15.35 million  (excluding  value  added  tax)  matching approximately the latest
valuation.  The  IRR  for  the  holding  period  of more than 5 years was around
11.2%, while  equity multiple was 1.7. The decision  to dispose of the asset was
made to avoid high re-leasing risk and potential capital expenditure of bringing
the asset to a high energy efficiency standard.  The proceeds of the transaction
will  be  used  for  new  and  more  energy efficient investments for the Fund's
portfolio in the Baltics.

Baltic Horizon Fund Meraki SPV bonds
On  15 November 2021, bonds issued by BH Meraki  UAB were admitted to the Nasdaq
Baltic  First North Market by Nasdaq Vilnius. The  size of the bond issue is EUR
4 million. The bonds have a nominal value of EUR 100 and an annual interest rate
of 5% with interest paid semi-annually.

Six buildings received BREEAM certification
Baltic  Horizon aimed to certify all  currently operational office assets by the
end  of  2021 using  the  BREEAM  In-Use environmental assessment method. During
2021, the Fund's North Star, Domus Pro Office, Upmalas Biroji BC, LNK Centre and
Vainodes I properties were awarded the BREEAM In-Use "Very Good" and Lincona was
awarded  the  BREEAM  In-Use  "Good"  environmental  certification.  All  office
properties are now BREEAM certified.

Impact of COVID-19 pandemic
At  the beginning  of 2020, a  new coronavirus  (COVID-19) started spreading all
over  the world,  which has  had a  strong impact  on businesses  and economies,
including  in the Baltics.  The virus outbreak  has caused significant shifts in
the Fund's operating environment, which has had a negative overall impact on the
Fund's performance in 2020 and 2021.

At  the end of 2020, the Baltic countries  entered the second round of lockdowns
and  heavy government  restrictions for  residents and  businesses to  fight the
spread  of  the  COVID-19 virus.  Shopping  centres  were  forced to close for a
limited  period except  for essential  retail shops  (groceries, pharmacies). In
summer  2021, all  three  Baltics  countries  eased COVID-19 restrictions as new
virus cases dropped and the situation stabilised. However, COVID-19 cases in all
three  countries started to  spike in late  2021 and early 2022 once the omicron
variant became the dominant COVID variant. As a result of spiking cases, Latvian
government  decided to reimpose the lockdown for a period from 21 October to 15
November. Other Baltic countries also took restrictive actions, but without full
lockdowns.  While the omicron  variant led to  a drastically increased number of
COVID-19 cases,  hospitalization and death rates did not follow the same drastic
trend  due to the lower disease severity of  the omicron variant. At the date of
this  report,  Lithuania  has  already  started  lifting restrictions related to
COVID-19 with other countries expected to follow.

BHF's  operating results  of Q4  2021 continued to  be affected  by the pandemic
through  the support measures for weakened retail tenants, especially during the
latest  Latvian lockdown in November. It  is expected that broad diversification
of  the  portfolio  should  allow  the  Fund  to  limit the COVID-19 impacts and
maintain  healthy consolidated operational performance  throughout the next year
as  the  central  retail  sector  is  set  to  recover.  The  Fund's operational
performance  has largely recovered every time  heavy restrictions were lifted in
all Baltic countries.

Distributions to unitholders for Q3 and Q4 2021 Fund results
On  28 October 2021, the Fund declared a cash distribution of EUR 2,034 thousand
(EUR  0.017 per  unit)  to  the  Fund  unitholders  for  Q3  2021 results.  This
represents a 1.63% return on the weighted average Q3 2021 net asset value to its
unitholders.

On  3 February 2022, the Fund declared a cash distribution of EUR 2,273 thousand
(EUR  0.019 per  unit)  to  the  Fund  unitholders  for  Q4  2021 results.  This
represents a 1.79% return on the weighted average Q4 2021 net asset value to its
unitholders.
With  reduced  payouts  over  2020 and  2021 in  the  light of prevailing market
uncertainty,  the Fund has opted to retain EUR 6.1 million of distributable cash
flow.  During 2021, the  Fund declared  for distribution  EUR 6.9 million out of
total generated distributable cash flow of EUR 8.7 million.

Dividend capacity calculation

 EUR '000                               Q4 2020 Q1 2021 Q2 2021 Q3 2021 Q4 2021
-------------------------------------------------------------------------------
 (+) Net rental income                  4,745   4,173   4,357   4,676   3,798
-------------------------------------------------------------------------------
 (-) Fund administrative expenses       (713)   (745)   (756)   (735)   (633)
-------------------------------------------------------------------------------
 (-) External interest expenses         (1,362) (1,346) (1,311) (1,407) (1,408)
-------------------------------------------------------------------------------
 (-) CAPEX expenditure(1)               (131)   (79)    (92)    (38)    (222)
-------------------------------------------------------------------------------
 (+) Extraordinary income related to
 investment properties(2)               -       -       -       -       440
-------------------------------------------------------------------------------
 (+) Added back listing related
 expenses                               85      -       -       -       -
-------------------------------------------------------------------------------
 (+) Added back acquisition related
 expenses                               26      31      5       9       32
-------------------------------------------------------------------------------
 Generated net cash flow (GNCF)         2,650   2,034   2,203   2,505    2,007
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 GNCF per weighted unit (EUR)           0.022   0.017   0.018   0.021   0.017
-------------------------------------------------------------------------------
 12-months rolling GNCF yield(3 )(%)    8.6%    7.4%    7.0%    7.0%    6.8%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Dividends declared for the period      1,316    1,316   1,316  2,034    2,273
-------------------------------------------------------------------------------
 Dividends declared per unit(4 )(EUR)   0.011    0.011   0.011  0.017    0.019
-------------------------------------------------------------------------------
 12-months rolling dividend yield(3
 )(%)                                   5.8%    5.4%    5.0%    4.5%    5.4%
-------------------------------------------------------------------------------

 1. The table provides actual capital expenditures for the quarter. Future
    dividend distributions to unitholders are aimed to be based on the annual
    budgeted capital expenditure plans equalised for each quarter. This will
    reduce the quarterly volatility of cash distributions to unitholders.
 2. Latvian government COVID-19 grant related to decrease of net rental income
    in Galerija Centrs due to discounts to tenants. The grant is used to off-set
    property operating expenses.
 3. 12-month rolling GNCF and dividend yields are based on the closing market
    price of the unit as at the end of the quarter (Q4 2021: closing market
    price of the unit as of 31 December 2021).
 4. Based on the number of units entitled to dividends.

Net profit and net rental income
In  2021, the Group earned net rental income  of EUR 17.0 million, a decrease of
14.7% compared to the net rental income of EUR 19.9 million for 2020. Net rental
income  decreased due to  increased vacancies across  portfolio, relief measures
granted  to  tenants  during  the  pandemic  and disposal of G4S Headquarters in
November 2021.

Portfolio  properties in  the office  segment contributed 63.0% (2020: 55.8%) of
net  rental  income  in  2021 followed  by  the retail segment with 32.4% (2020:
40.1%) and the leisure segment with 4.6% (2020: 4.1%).  Retail assets located in
the central business districts (Postimaja, Europa and Galerija Centrs) accounted
for  20.5% of total portfolio net rental income in 2021. Total net rental income
attributable to neighbourhood shopping centres was 11.9% in 2021.

During  2021, investment properties  in Lithuania  and Latvia contributed 38.1%
(2020:  36.4%) and 36.0% (2020: 38.3%) of net rental income, respectively, while
investment properties in Estonia contributed 25.9% (2020: 25.3%).

In 2021, the Group recorded a net profit of EUR 1.4 million as compared to a net
loss of EUR 13.5 million in 2020. Even with hard COVID-19 restrictions in 2021,
the  Fund  managed  to  maintain  the  positive  operational  performance of its
investment  properties. Year-end valuations showed  recovery as the Fund brought
down overall yearly valuation losses by recognizing a valuation gain of EUR 7.1
million in Q4 2021. Excluding the valuation impact on the net result, net profit
for  2021 would  have  amounted  to  EUR  8.6 million  (2020: EUR 11.7 million).
Earnings  per unit  for 2021 were  positive at  EUR 0.01 (2020:  negative at EUR
0.12). Earnings  per unit  excluding valuation  losses on  investment properties
amounted to EUR 0.07 (2020: EUR 0.10).

Gross Asset Value (GAV)
At  the end of December 2021, the Fund's  GAV was EUR 346.3 million (31 December
2020: EUR 355.6 million), which was a drop of 2.6% over the period. The decrease
is  mainly related to  the negative property  revaluation of EUR 7.2 million and
the  disposal of G4S Headquarters. The  Group made capital investments (EUR 7.0
million) in the Meraki office building development project during 2021. The Fund
aims  to carry on with the construction of the Meraki office building throughout
2022/2023. An  additional EUR 2.1 million was  invested in other (re)development
projects.

Net Asset Value (NAV)
At  the end of  December 2021, the Fund's  NAV slightly decreased  to EUR 132.6
million  (31 December  2020: EUR 136.3 million)  due to  the results  of overall
investment property revaluation for the financial year. As at 31 December 2021,
IFRS NAV per unit stood at EUR 1.1082 (31 December 2020: EUR 1.1395), while EPRA
net  tangible assets and  EPRA net reinstatement  value were EUR 1.1884 per unit
(31  December 2020: EUR 1.2219). EPRA net disposal value was EUR 1.1086 per unit
(31 December 2020: EUR 1.1435).

Investment properties
The Baltic Horizon Fund portfolio consists of 14 cash flow generating investment
properties  in the Baltic capitals and an investment property under construction
on  the Meraki land  plot. At the  end of Q4  2021, the fair value of the Fund's
portfolio  was  EUR  327.4 million  (31  December  2020: EUR  340.0 million) and
incorporated  a total  net leasable  area of  144,081 sq. m. During Q4 2021, the
Group  sold G4S Headquarters  for EUR 15.4 million,  invested EUR 0.2 million in
the  existing property portfolio, EUR 1.5 million in the reconstruction projects
and an additional EUR 3.0 million in the Meraki development project.

Interest bearing loans and bonds
During  2021, the Fund completed a private  placement of 18 months secured bonds
of  EUR 4.0 million.  The bonds  bear a  fixed-rate coupon of 5.0% payable semi-
annually.  The  net  proceeds  from  the  issuance  of  the  bonds were used for
financing the construction of the Meraki office building. Outstanding bank loans
also  decreased  slightly  due  to  regular  bank loan amortisation. Annual loan
amortisation  accounts  for  0.2% of  total  debt  outstanding.  After  the bond
subscription  and loan repayments interest-bearing  loans and bonds decreased to
EUR 198.6 million (31 December 2020: EUR 205.6 million).

Cash flow
Cash inflow from core operating activities for 2021 amounted to EUR 14.7 million
(2020:  cash inflow of EUR 16.1 million).  Cash inflow from investing activities
was  EUR 6.9 million (2020: cash outflow of  EUR 4.3 million) due to disposal of
G4S  Headquarters building in Q4 2021. Net proceeds from the sale were partially
used  to finance subsequent capital expenditure on existing portfolio properties
and  investments  in  the  Meraki,  Postimaja  and  CC  Plaza complex and Europa
development  projects.  Cash  outflow  from  financing  activities was EUR 18.7
million  (2020: cash outflow  of EUR 8.3 million).  During 2021, the Fund made a
cash  distribution of EUR  6.0 million, paid regular  interest on debt and fully
repaid  G4S Headquarters bank loan. In December 2021, the Fund also repaid early
EUR  3.0 million  of  Europa  SC  bank  loan.  At  the  end  of 2021, the Fund's
consolidated cash and cash equivalents amounted to EUR 16.1 million (31 December
2020: EUR  13.3 million) which  demonstrates sufficient  liquidity and financial
flexibility.  Available  cash  will  be  used  to  finance  new acquisitions and
continue with development projects.

Key earnings figures

 EUR '000                                   Q4 2021     Q4 2020      Change (%)
-------------------------------------------------------------------------------
 Net rental income                            3,798       4,745         (20.0%)

 Administrative expenses                      (633)       (713)         (11.2%)

 Other operating income                         440          18        2,344.4%

 Losses on disposal of
 investment properties                         (71)           -               -

 Valuation gains (losses) on
 investment properties                        7,103     (9,488)          174.9%

 Operating profit
 (loss)                                      10,637     (5,438)          295.6%

 Net financing costs                        (1,484)     (1,406)            5.5%

 Profit (loss)
 before tax                                   9,153     (6,844)          233.7%

 Income tax                                   (861)         166        (618.7%)
-------------------------------------------------------------------------------

 Net profit (loss) for the
 period
                                              8,292     (6,678)     224.2%
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Weighted average number of units
 outstanding (units)                    119,635,429 118,124,947            1.3%

 Earnings per unit (EUR)                       0.07      (0.06)          216.7%
-------------------------------------------------------------------------------


Key financial position figures

 EUR '000                                     31.12.2021  31.12.2020 Change (%)
-------------------------------------------------------------------------------
 Investment properties in use                    315,959     334,518     (5.5%)

 Investment property under
 construction                                     11,400       5,474     108.3%

 Gross asset value (GAV)                         346,338     355,602     (2.6%)



 Interest-bearing loans and bonds                198,571     205,604     (3.4%)

 Total
 liabilities                                     213,754     219,281     (2.5%)


-------------------------------------------------------------------------------
 IFRS Net asset value (IFRS NAV)                 132,584     136,321     (2.7%)

 EPRA Net Reinstatement Value
 (EPRA NRV)                                      142,176     146,180     (2.7%)
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Number of units outstanding
 (units)                                     119,635,429 119,635,429          -

 IFRS Net asset value (IFRS NAV) per unit
 (EUR)                                            1.1082      1.1395     (2.7%)

 EPRA Net Reinstatement Value (EPRA NRV) per
 unit (EUR)                                       1.1884      1.2219     (2.7%)
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Loan-to-Value ratio (%)                           60.7%       60.5%          -

 Average effective interest rate
 (%)                                                2.7%        2.6%          -
-------------------------------------------------------------------------------

Property performance
During  Q4 2021, the  average actual  occupancy of  the portfolio  was 92.4% (Q3
2021: 93.1%). The  occupancy rate as of 31 December 2021 was 92.1% (30 September
2021: 92.9%). Occupancy  rates in the  retail segment dipped,  mostly due to the
Europa  SC reconstruction as part of the premises were temporarily vacated to be
reconstructed in upcoming months. Occupancy rates in the office segment remained
strong,  but slightly  decreased resulting  from a  temporary vacancy in Lincona
Office. Domus PRO Office building occupancy increased compared with the previous
quarter,  and the building was once  again fully occupied starting from November
as  a new tenant moved to the vacant premises. The average direct property yield
during  Q4 2021 was  4.5% (Q3 2021: 5.4%). The  net initial  yield for the whole
portfolio  for  Q4  2021 was  4.8% (Q3  2021: 5.8%). Property  yields  decreased
compared   to   Q3   2021 due  to  vacancies  and  relief  measures  for  mostly
leisure/retail  tenants with restricted activities.  The average rental rate for
the  whole portfolio for Q4  2021 was EUR 11.1 per sq.  m (Q3 2021: EUR 12.2 per
sq. m).

Overview of the Fund's investment properties as of 31 December 2021

                                                  Direct        Net
 Property name  Sector         Fair             property    initial
                           value(1)      NLA       yield      yield   Occupancy
                         (EUR '000) (sq. m.)  Q4 2021(2) Q4 2021(3)        rate
-------------------------------------------------------------------------------
 Vilnius,
 Lithuania

 Duetto I       Office       17,345    8,587        8.3%       7.4%      100.0%

 Duetto II      Office       19,683    8,674        7.5%       7.1%      100.0%

 Europa SC      Retail       36,737   16,856        2.0%       2.1%       78.8%

 Domus Pro      Retail
 Retail Park                 16,255   11,226        7.6%       7.4%       99.4%

 Domus Pro      Office
 Office                       7,820    4,831        8.5%       7.1%      100.0%

 North Star     Office       19,869   10,550        5.5%       6.0%       89.7%

 Meraki
 Development                 11,400        -           -          -           -
-------------------------------------------------------------------------------
 Total Vilnius              129,109   60,724        5.5%       5.4%       92.2%
-------------------------------------------------------------------------------
 Riga, Latvia

 Upmalas Biroji Office
 BC                          21,944   10,459        7.2%       8.0%      100.0%

 Vainodes I     Office       18,150    8,052        6.5%       7.7%      100.0%

 LNK Centre     Office       16,840    7,452        6.2%       6.5%      100.0%

 Sky SC         Retail        5,096    3,249        7.6%       7.7%       97.6%

 Galerija       Retail
 Centrs                      65,544   20,022        0.8%       0.9%       79.2%
-------------------------------------------------------------------------------
 Total Riga                 127,574   49,234        3.6%       4.1%       91.4%
-------------------------------------------------------------------------------
 Tallinn,
 Estonia

 Postimaja & CC Retail
 Plaza complex               29,772    9,145        3.0%       3.5%       93.9%

 Postimaja & CC Leisure
 Plaza complex               14,442    8,664        5.8%       4.8%      100.0%

 Lincona        Office       16,990   10,870        6.8%       6.6%       89.1%

 Pirita SC      Retail        9,472    5,444        4.8%       6.2%       89.2%
-------------------------------------------------------------------------------
 Total Tallinn               70,676   34,123        4.6%       4.9%       93.2%
-------------------------------------------------------------------------------
 Total
 portfolio                  327,359  144,081        4.5%       4.8%       92.1%
-------------------------------------------------------------------------------

 1. Based on the latest valuation as at 31 December 2021 and recognised right-
    of-use assets.
 2. Direct property yield (DPY) is calculated by dividing annualized NOI by the
    acquisition value and subsequent capital expenditure of the property.
 3. The net initial yield (NIY) is calculated by dividing annualized NOI by the
    market value of the property.


CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

                                                              01.01.2021- 01.01.2020-
 EUR '000       01.10.2021- 31.12.2021 01.10.2020- 31.12.2020  31.12.2021  31.12.2020
-------------------------------------------------------------------------------------
 Rental income                   4,651                  5,148      19,495      21,697

 Service charge
 income                          1,204                  1,241       4,901       4,990

 Cost of rental
 activities                    (2,057)                (1,644)     (7,392)     (6,753)
-------------------------------------------------------------------------------------
 Net     rental
 income                          3,798                  4,745      17,004      19,934
-------------------------------------------------------------------------------------


 Administrative
 expenses                        (633)                  (713)     (2,869)     (2,918)

 Other
 operating
 income                            440                     18         444         204

 Losses      on
 disposal    of
 investment
 properties                       (71)                      -        (71)           -

 Valuation
 gains (losses)
 on  investment
 properties                      7,103                (9,488)     (7,161)    (25,245)
-------------------------------------------------------------------------------------
 Operating
 profit (loss)                  10,637                (5,438)       7,347     (8,025)
-------------------------------------------------------------------------------------


 Financial
 income                              -                      -           1           3

 Financial
 expenses                      (1,484)                (1,406)     (5,706)     (5,524)
-------------------------------------------------------------------------------------
 Net  financing
 costs                         (1,484)                (1,406)     (5,705)     (5,521)
-------------------------------------------------------------------------------------

-------------------------------------------------------------------------------------
 Profit  (loss)
 before tax                      9,153                (6,844)       1,642    (13,546)
-------------------------------------------------------------------------------------
 Income     tax
 charge                          (861)                    166       (229)           5
-------------------------------------------------------------------------------------
 Profit  (loss)
 for the period                  8,292                (6,678)       1,413    (13,541)
-------------------------------------------------------------------------------------


 Other
 comprehensive
 income that is
 or    may   be
 reclassified
 to  profit  or
 loss        in
 subsequent
 periods

 Net       gain
 (loss) on cash
 flow hedges                       279                    119         898       (108)

 Income     tax
 relating    to
 net     (loss)
 gain  on  cash
 flow hedges                      (32)                   (10)        (66)           3
-------------------------------------------------------------------------------------
 Other
 comprehensive
 income
 (expense), net
 of  tax,  that
 is  or  may be
 reclassified
 to  profit  or
 loss        in
 subsequent
 periods                           247                    109         832       (105)
-------------------------------------------------------------------------------------

-------------------------------------------------------------------------------------
 Total
 comprehensive
 income
 (expense)  for
 the    period,
 net of tax                      8,539                (6,569)       2,245    (13,646)
-------------------------------------------------------------------------------------

-------------------------------------------------------------------------------------
 Basic      and
 diluted
 earnings   per
 unit (EUR)                       0.07                 (0.06)        0.01      (0.12)
-------------------------------------------------------------------------------------

CONSOLIDATED STATEMENT OF FINANCIAL POSITION

  EUR '000                                 31.12.2021   31.12.2020
-------------------------------------------------------------------
  Non-current assets

  Investment properties                       315,959      334,518

  Investment property under construction       11,400        5,474

  Intangible assets                                 9            -

  Property, plant and equipment                     2            2

  Other non-current assets                         23           22
-------------------------------------------------------------------
  Total non-current assets                    327,393      340,016
-------------------------------------------------------------------


  Current assets

  Trade and other receivables                   2,708        1,901

  Prepayments                                     137          352

  Cash and cash equivalents                    16,100       13,333
-------------------------------------------------------------------
  Total current assets                         18,945       15,586
-------------------------------------------------------------------
  Total assets                                346,338      355,602
-------------------------------------------------------------------


  Equity

  Paid in capital                             145,200      145,200

  Cash flow hedge reserve                       (829)      (1,661)

  Retained earnings                          (11,787)      (7,218)
-------------------------------------------------------------------
  Total equity                                132,584      136,321
-------------------------------------------------------------------


  Non-current liabilities

  Interest-bearing loans and borrowings       157,471      195,670

  Deferred tax liabilities                      6,297        6,009

  Derivative financial instruments                756        1,736

  Other non-current liabilities                 1,103        1,026
-------------------------------------------------------------------
  Total non-current liabilities               165,627      204,441
-------------------------------------------------------------------


  Current liabilities

  Interest-bearing loans and borrowings        41,676       10,222

  Trade and other payables                      5,223        3,640

  Income tax payable                                5            1

  Derivative financial instruments                109           27

  Other current liabilities                     1,114          950
-------------------------------------------------------------------
  Total current liabilities                    48,127       14,840
-------------------------------------------------------------------
  Total liabilities                           213,754      219,281
-------------------------------------------------------------------
  Total equity and liabilities                346,338      355,602
-------------------------------------------------------------------


For more information, please contact:

Tarmo Karotam
Baltic Horizon Fund manager
E-Mail: [email protected]
www.baltichorizon.com

The  Fund is a registered contractual public closed-end real estate fund that is
managed  by Alternative Investment Fund  Manager license holder Northern Horizon
Capital  AS. Both  the Fund  and the  Management Company  are supervised  by the
Estonian Financial Supervision Authority.

This announcement contains information that the Management Company is obliged to
disclose  pursuant  to  the  EU  Market  Abuse  Regulation.  The information was
submitted  for publication,  through the  agency of  the above  distributors, at
23:00 EET on 15 February 2022.