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

Majandusaasta aruanne

Teate ID

6547

Esitamise kuupäev ja aeg

16.03.2018 19:15:00

Teate sisu eesti keeles

Pealkiri

Baltic Horizon Fondi 2017. aasta konsolideeritud ning auditeeritud majandustulemused

Teade

Northern Horizon Capital AS juhatus kinnitas Baltic Horizon Fundi (Fond)
auditeeritud 2017. majandusaasta aruande. Finantstulemused ei ole, võrreldes
15. veebruaril 2018 avaldatud esialgsete tulemustega, muutunud.

Fondi  vara brutoväärtus  2017. aasta lõpus  kasvas 2016. aasta lõpuga võrreldes
154,9 miljonilt  eurolt 215,8 miljoni euroni. Vara brutoväärtus kasvas peamiselt
tänu  aasta  jooksul  omandatud  uutele kinnisvarainvesteeringutele ja novembris
toimunud  järjekordse osakute avaliku  pakkumise tulemusena kasvanud rahalistele
vahenditele.   Fond   viis   13. veebruaril  2018 lõpule  Postimaja  ostukeskuse
omandamise  ja on  seega investeerinud  suurema osa  täiendavast kapitalist, mis
2017. aasta novembris kaasati.

2017. aastal  kasvas Fondi vara puhasväärtus  2016. aasta lõpuga võrreldes 76,8
miljonilt  eurolt 107 miljoni euroni. Kasv  tulenes uuest kaasatud kapitalist ja
Kontserni  2017. aasta  tegevustulemustest.  Fond  kaasas  juunis  ja  novembris
toimunud  avalikul pakkumisel  25,6 miljonit eurot  netokapitali ja  teenis 9,4
miljonit  eurot  puhaskasumit.  Fond  tegi  ka investoritele rahalise väljamakse
summas 5,1 miljonit eurot.

2017. aastal  kasvas Kontserni puhaskasum  2016. aastaga võrreldes 5,8 miljonilt
eurolt  9,4 miljoni  euroni.  Aasta  vältel  kajastas  Kontsern õiglase väärtuse
muutustest teenitud kasumi summas 3,7 miljonit eurot (2016: 2,7 miljonit eurot).

2017. aastal  kajastas  Kontsern  puhast  renditulu  summas  10,8 miljonit eurot
(2016:    7,2 miljonit    eurot).   Puhas   renditulu   suurenes   tänu   uutele
kinnisvarainvesteeringutele,  mis omandati  pärast täiendava  kapitali kaasamist
2016. aasta lõpus ja 2017. aastal.

Aasta peamised näitajad

                                                                        Muutus
 Tuhandetes eurodes                                       2017   2016    (%)
-------------------------------------------------------------------------------


 Renditulu                                               11 839  7 874  50,4 %

 Teenustasutulu                                           3 692  2 594  42,3 %

 Renditegevuse kulud                                     -4 763 -3 315  43,7 %
-------------------------------------------------------------------------------
 Puhas renditulu                                         10 768  7 153  50,5 %
-------------------------------------------------------------------------------


 Avalike pakkumistega seotud kulud                         -637   -938 -32,1 %

 Halduskulud                                             -2 137 -1 252  70,7 %

 Muud äritulud ja -kulud                                     14     97 -85,6 %

 Kinnisvarainvesteeringute   ümberhindluse   kasumid  ja
 kahjumid                                                 3 676  2 737  34,3 %
-------------------------------------------------------------------------------
 Ärikasum                                                11 684  7 797  49,9 %
-------------------------------------------------------------------------------


 Finantstulud                                                47     14 235,7 %

 Finantskulud                                            -1 528 -1 253  21,9 %
-------------------------------------------------------------------------------
 Finantstulud ja -kulud kokku                            -1 481 -1 239  19,5 %


-------------------------------------------------------------------------------
 Maksueelne kasum                                        10 203  6 558  55,6 %

 Tulumaksukulu                                             -759   -798  -4,9 %
-------------------------------------------------------------------------------
 Perioodi kasum                                           9 444  5 760  64,0 %
-------------------------------------------------------------------------------


 Ringluses olevate osakute kaalutud keskmine arv 62 270 694 47 350 881 31,5 %

 Kasum osaku kohta (eurodes)                           0,15       0,12 25,0 %



                                                                  Muutus
 Tuhandetes eurodes                        31.12.2017 31.12.2016   (%)
-------------------------------------------------------------------------


 Kasutuses olevad kinnisvarainvesteeringud    189 317    141 740 33,6 %

 Vara brutoväärtus                            215 785    154 938 39,3 %



 Intressikandvad laenud                        98 087     69 172 41,8 %

 Kohustused kokku                             108 809     78 129 39,3 %



 Vara puhasväärtus                            106 976     76 809 39,3 %
-------------------------------------------------------------------------


 Ringluses olevate osakute arv           77 440 638   57 264 743   35,2 %

 Vara puhasväärtus osaku kohta (eurodes)     1,3814       1,3413    3,0 %

 Laenu tagatuse suhtarv                        51,8 %       48,8 %

 Keskmine sisemine intressimäär                 1,7 %        1,8 %

KINNISVARA INVESTEERINGUTE TULEMUSED 31. DETSEMBER 2017 SEISUGA

2017. aastal  oli Fondi kinnisvarainvesteeringute portfelli rendipindade tegelik
keskmine täitumus 96,6% (2016: 97,1%). Kõiki rendigarantiisid arvesse võttes oli
sisemine  täitumuse määr 97,8% (2016: 97,1%). Kinnisvarainvesteeringute keskmine
otsene  tootlus  oli  2017. aastal  7,2% (2016: 7,2%). Kinnisvarainvesteeringute
portfelli esmane puhastootlus oli samal perioodil 6,8% (2016: 6,8%).

-----------------------------------------------------------------------------------
                                                     2017.                 2017.
                             Turuväärtus(1)           aasta  2017. aasta    aasta
 Kinnisvara-                   tuhandetes   Renditav otsene     esmane    täitumuse
 investeering   Linn   Riik     eurodes     netopind tootlus puhastootlus   määr
-----------------------------------------------------------------------------------
 Duetto I      Vilnius Leedu         16 210    8 327 6,5 %   6,4 %        100,0%(2)

 Pirita
 ostukeskus    Tallinn Eesti         11 630    5 436 7,5 %   7,6 %        100,0%(2)

 Upmalas
 Biroji
 bürookompleks  Riia   Läti          24 269   10 419 7,2 %   6,7 %         99,8 %

 G4S-i
 peahoone      Tallinn Eesti         16 570    8 363 7,4 %   7,0 %        100,0 %

 Europa
 ostukeskus    Vilnius Leedu         39 600   16 856 6,5 %   6,5 %         95,5 %

 Domus Pro
 ostukeskus    Vilnius Leedu         17 280   11 247 7,8 %   6,9 %         98,0 %

 Domus Pro
 ärikeskus     Vilnius Leedu          7 150    4 759 3,9%(3) 2,8 %         73,4 %

 CC Plaza      Tallinn Eesti         13 240    8 664 8,2 %   7,5 %        100,0 %

 SKY
 supermarket    Riia   Läti           5 448    3 263 8,6 %   7,5 %         99,3 %

 Lincona       Tallinn Eesti         16 050   10 859 7,7 %   7,4 %         94,1 %

 Vainodes I     Riia   Läti          21 870    8 052 4,3%(4) 4,2 %        100,0 %
-----------------------------------------------------------------------------------
 Portfell
 kokku                              189 317   96 245 7,2 %   6,8 %         97,2 %

 1. Põhineb viimasel, seisuga 31. detsember 2017 teostatud hindamisel.
 2. Sisemine täitumuse määr on rendigarantii tõttu 100%.
 3. Domus Pro III järk avati oktoobris, kuid see ei olnud 2017. aasta IV
    kvartalis täielikult välja renditud. Ootuste kohaselt õnnestub see
    täielikult välja rentida 2018. aasta I kvartali lõpuks. Arenduse eeldatav
    tootlus ja kinnisvarainvesteeringu otsene tootlus (aastapõhine) on 7,9%.
 4. Vainodes I omandamine viidi lõpule 12. detsembril 2017. Kinnisvara otsene
    tootlus (aastapõhine) on 7,0%.

KONSOLIDEERITUD KASUMI- JA MUU KOONDKASUMI ARUANNE

 Tuhandetes eurodes                                                2017   2016
-------------------------------------------------------------------------------


 Renditulu                                                        11 839  7 874

 Teenustasutulu                                                    3 692  2 594

 Renditegevuse kulud                                              -4 763 -3 315
-------------------------------------------------------------------------------
 Puhas renditulu                                                  10 768  7 153
-------------------------------------------------------------------------------


 Halduskulud                                                      -2 774 -2 190

 Muud äritulud ja -kulud                                              14     97

 Kinnisvarainvesteeringute ümberhindluse kasumid ja kahjumid       3 676  2 737
-------------------------------------------------------------------------------
 Ärikasum                                                         11 684  7 797
-------------------------------------------------------------------------------


 Finantstulud                                                         47     14

 Finantskulud                                                     -1 528 -1 253
-------------------------------------------------------------------------------
 Finantstulud ja -kulud kokku                                     -1 481 -1 239


-------------------------------------------------------------------------------
 Maksueelne kasum                                                 10 203  6 558

 Tulumaksukulu                                                      -759   -798
-------------------------------------------------------------------------------
 Perioodi kasum                                                    9 444  5 760
-------------------------------------------------------------------------------


 Tulevikus kasumisse või kahjumisse ümberliigitatav muu koondkasum/-kahjum

 Rahavoogude riskimaandamise puhaskasum/-kahjum                      273   -113

 Kasumisse    või   kahjumisse   ümberliigitatava   intressimäära
 vahetuslepingu lõpetamine                                            57      -

 Intressi ülemmäära (CAP) seadmise kulu                              -43      -

 Rahavoogude    riskimaandamise   puhaskasumi/-kahjumiga   seotud
 tulumaks                                                            -49     18
-------------------------------------------------------------------------------
 Tulevikus     kasumisse     või    kahjumisse    ümberliigitatav
 tulumaksujärgne muu koondkasum/-kahjum                              238    -95


-------------------------------------------------------------------------------
 Perioodi tulumaksujärgne koondkasum kokku                         9 682  5 665
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Tava- ja lahustatud kasum osaku kohta (eurodes)                    0,15   0,12
-------------------------------------------------------------------------------


KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

  Tuhandetes eurodes                    31.12.2017   31.12.2016
----------------------------------------------------------------


  Põhivara

  Kinnisvarainvesteeringud                 189 317      141 740

  Lõpetamata kinnisvarainvesteeringud            -        1 580

  Tuletisinstrumendid                           89            -

  Muu põhivara                                 146          288
----------------------------------------------------------------
  Põhivara kokku                           189 552      143 608
----------------------------------------------------------------


  Käibevara

  Nõuded ostjate vastu ja muud nõuded        1 568        1 269

  Ettemaksed                                   108          178

  Raha ja raha ekvivalendid                 24 557        9 883
----------------------------------------------------------------
  Käibevara kokku                           26 233       11 330
----------------------------------------------------------------
  Varad kokku                              215 785      154 938
----------------------------------------------------------------


  Omakapital

  Sissemakstud kapital                      91 848       66 224

  Omaosakud                                      -           -8

  Rahavoogude riskimaandamise reserv           -56         -294

  Jaotamata kasum                           15 184       10 887
----------------------------------------------------------------
  Omakapital kokku                         106 976       76 809
----------------------------------------------------------------


  Pikaajalised kohustused

  Intressikandvad laenukohustused           96 497       58 981

  Edasilükkunud tulumaksukohustused          5 206        4 383

  Tuletisinstrumendid                           88          345

  Muud pikaajalised kohustused                 859          935
----------------------------------------------------------------
  Pikaajalised kohustused kokku            102 650       64 644
----------------------------------------------------------------


  Lühiajalised kohustused

  Intressikandvad laenukohustused            1 590       10 191

  Võlad tarnijatele ja muud võlad            4 202        2 876

  Tulumaksukohustus                             14           46

  Tuletisinstrumendid                           15            -

  Muud lühiajalised kohustused                 338          372
----------------------------------------------------------------
  Lühiajalised kohustused kokku              6 159       13 485
----------------------------------------------------------------
  Kohustused kokku                         108 809       78 129
----------------------------------------------------------------
  Omakapital ja kohustused kokku           215 785      154 938
----------------------------------------------------------------

Lisainformatsioon:

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

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 turukurvitarvituse määruse kohaselt. Informatsioon
esitati avaldamiseks 16. märtsil 2018 kell 18:00 Eesti aja järgi ülalmainitud
avaldamiskanalite esindajatele.

BHF annual report 2017

BHF majandusaasta aruanne 2017

Teate sisu inglise keeles

Pealkiri

Baltic Horizon Fund consolidated audited results for 2017

Teade

Management Board of Northern Horizon Capital AS has approved the audited
financial results of Baltic Horizon Fund (the Fund) for the year 2017. The
financial results remained unchanged compared to the preliminary disclosure on
15th of February 2018.

At  the end  of 2017, the  GAV increased  from EUR  154.9 million to  EUR 215.8
million  as compared to the  end of 2016. The increase  is mainly related to new
acquisitions  during the year and the increase in cash as a result of the latest
secondary public offering in November. The Fund completed the acquisition of the
Postimaja  Shopping Centre on 13 February 2018 and thus has deployed most of the
new capital raised in November 2017.

During  2017, the Fund NAV increased from EUR 76.8 million to EUR 107 million as
compared  to the end of  2016. The increase is related  to new equity raised and
the  Group’s operational  performance over  the year.  The Fund raised EUR 25.6
million  net equity during the June  and November public offerings and generated
EUR  9.4 million  in  net  profit.  The  Fund  also  made a EUR 5.1 million cash
distribution to its investors.

In  2017, the net profit of the Group increased from EUR 5.8 million to EUR 9.4
million  as compared  to 2016. During  the year,  the Group  recorded a EUR 3.7
million fair value gain (EUR 2.7 million during 2016).

In  2017, the  Group  recorded  a  EUR  10.8 million net rental income (EUR 7.2
million  in 2016). The  increase is  related to  new acquisitions that were made
following the capital raisings at the end of 2016 and during 2017.

Annual Key Figures

                                                                         Change
 Euro ‘000                                         2017         2016        (%)



 Rental income                                   11,839        7,874    50.4 %

 Service charge income                            3,692        2,594    42.3 %

 Cost of rental activities                       (4,763 )     (3,315 )  43.7 %

 Net rental income                               10,768        7,153    50.5 %



 Expenses related to public offerings              (637 )       (938 ) (32.1 )%

 Administrative expenses                         (2,137 )     (1,252 )  70.7 %

 Other operating income / (expenses)                 14           97   (85.6 )%

 Valuation gain / (loss) on investment
 properties                                       3,676        2,737    34.3 %

 Operating profit                                11,684        7,797    49.9 %



 Financial income                                    47           14   235.7 %

 Financial expenses                              (1,528 )     (1,253 )  21.9 %

 Net financing costs                             (1,481 )     (1,239 )  19.5 %



 Profit before tax                               10,203        6,558    55.6 %

 Income tax charge                                 (759 )       (798 )  (4.9 )%

 Profit for the period                            9,444        5,760    64.0 %

 Weighted average number of units
 outstanding                                 62,270,694   47,350,881    31.5 %

 Earnings per unit (EUR)                           0.08         0.02   300.0 %


 Weighted average number of units outstanding 62,270,694 47,350,881 31.5 %

 Earnings per unit (EUR)                            0.15       0.12 25.0 %

                                                                      Change
 Euro ‘000                                    31.12.2017 31.12.2016      (%)



 Investment property in use                      189,317    141,740 33.6 %

 Gross asset value (GAV)                         215,785    154,938 39.3 %



 Interest bearing loans                           98,087     69,172 41.8 %

 Total liabilities                               108,809     78,129 39.3 %



 Net asset value (NAV)                           106,976     76,809 39.3 %


 Number of units outstanding          77,440,638   57,264,743   35.2 %

 Net asset value (NAV) per unit (EUR)     1.3814       1.3413    3.0 %

 Loan-to-Value ratio (LTV)                  51.8 %       48.8 %

 Average effective interest rate             1.7 %        1.8 %

investment properties PERFORMANCE as of 31 DECEMBER 2017

During  2017, the  average  actual  occupancy  of the portfolio was 96.6% (2016:
97.1%). When  all rental guarantees are considered, the effective occupancy rate
is  97.8% (2016:  97.1%). Average  direct  property  yield during 2017 was 7.2%
(2016:  7.2%). The net initial yield for  the whole portfolio for 2017 was 6.8%
(2016: 6.8%).

-------------------------------------------------------------------------------
                                                   Direct     Net
                                  Market          property  initial  Occupancy
                                 value(1)         yield for  yield      rate
 Property name  City    Country  Euro‘000   NLA     2017    for 2017  for2017
-------------------------------------------------------------------------------
 Duetto I      Vilnius Lithuania    16,210  8,327 6.5 %     6.4 %     100.0%(2)

 Pirita SC     Tallinn  Estonia     11,630  5,436 7.5 %     7.6 %     100.0%(2)

 Upmalas
 Biroji BC      Riga    Latvia      24,269 10,419 7.2 %     6.7 %     99.8 %

 G4S
 Headquarters  Tallinn  Estonia     16,570  8,363 7.4 %     7.0 %    100.0 %

 Europa SC     Vilnius Lithuania    39,600 16,856 6.5 %     6.5 %     95.5 %

 Domus     Pro
 Retail Park   Vilnius Lithuania    17,280 11,247 7.8 %     6.9 %     98.0 %

 Domus     Pro
 Office        Vilnius Lithuania     7,150  4,759   3.9%(3) 2.8 %     73.4 %

 CC Plaza      Tallinn  Estonia     13,240  8,664 8.2 %     7.5 %    100.0 %

 Sky SC         Riga    Latvia       5,448  3,263 8.6 %     7.5 %     99.3 %

 Lincona       Tallinn  Estonia     16,050 10,859 7.7 %     7.4 %     94.1 %

 Vainodes I     Riga    Latvia      21,870  8,052   4.3%(4) 4.2 %    100.0 %
-------------------------------------------------------------------------------
 Total
 portfolio                         189,317 96,245 7.2 %     6.8 %     97.2 %

 1. Based on the latest valuation as at 31 December 2017.
 2. Effective occupancy rate is 100% due to a rental guarantee.
 3. Domus Pro stage III was opened in October, however, it was not fully
    occupied during Q4 2017. It is expected to be fully occupied by the end of
    Q1 2018. The property development yield and annualized direct property yield
    is 7.9%.
 4. Vainodes I acquisition was closed on 12 December 2017. The annualized direct
    property yield is 7.0%.


STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

 Euro ‘000                                                      2017     2016
-------------------------------------------------------------------------------


 Rental income                                                11,839    7,874

 Service charge income                                         3,692    2,594

 Cost of rental activities                                    (4,763 ) (3,315 )
-------------------------------------------------------------------------------
 Net rental income                                            10,768    7,153
-------------------------------------------------------------------------------


 Administrative expenses                                      (2,774 ) (2,190 )

 Other operating income / (expenses)                              14       97

 Valuation gains / (loss) on investment properties             3,676    2,737
-------------------------------------------------------------------------------
 Operating profit                                             11,684    7,797
-------------------------------------------------------------------------------


 Financial income                                                 47       14

 Financial expenses                                           (1,528 ) (1,253 )
-------------------------------------------------------------------------------
 Net financing costs                                          (1,481 ) (1,239 )


-------------------------------------------------------------------------------
 Profit before tax                                            10,203    6,558

 Income tax charge                                              (759 )   (798 )
-------------------------------------------------------------------------------
 Profit for the period                                         9,444    5,760
-------------------------------------------------------------------------------


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

 Net gains (losses) on cash flow hedges                          273     (113 )

 Termination of interest rate swap agreement reclassified to
 profit or loss                                                   57        -

 Recognition of initial interest rate cap costs                  (43 )      -

 Income tax relating to net gains (losses) on cash flow
 hedges                                                          (49 )     18
-------------------------------------------------------------------------------
 Other comprehensive income/ (expense), net of tax, that is
 or may be reclassified to profit or loss in subsequent
 periods                                                         238      (95 )


-------------------------------------------------------------------------------
 Total comprehensive income/ (expense) for the period, net of
 tax                                                           9,682    5,665
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Basic and diluted earnings per unit (Euro)                     0.15     0.12
-------------------------------------------------------------------------------


CONSOLIDATED STATEMENT OF FINANCIAL POSITION

  Euro ‘000                                31.12.2017       31.12.2016
---------------------------------------------------------------------------


  Non-current assets

  Investment properties                       189,317          141,740

  Investment property under construction            -            1,580

  Derivative financial instruments                 89                -

  Other non-current assets                        146              288
---------------------------------------------------------------------------
  Total non-current assets                    189,552          143,608
---------------------------------------------------------------------------


  Current assets

  Trade and other receivables                   1,568            1,269

  Prepayments                                     108              178

  Cash and cash equivalents                    24,557            9,883
---------------------------------------------------------------------------
  Total current assets                         26,233           11,330
---------------------------------------------------------------------------
  Total assets                                215,785          154,938
---------------------------------------------------------------------------


  Equity

  Paid in capital                              91,848           66,224

  Own units                                         -               (8   )

  Cash flow hedge reserve                         (56   )         (294   )

  Retained earnings                            15,184           10,887
---------------------------------------------------------------------------
  Total equity                                106,976           76,809
---------------------------------------------------------------------------


  Non-current liabilities

  Interest bearing loans and borrowings        96,497           58,981

  Deferred tax liabilities                      5,206            4,383

  Derivative financial instruments                 88              345

  Other non-current liabilities                   859              935
---------------------------------------------------------------------------
  Total non-current liabilities               102,650           64,644
---------------------------------------------------------------------------


  Current liabilities

  Interest bearing loans and borrowings         1,590           10,191

  Trade and other payables                      4,202            2,876

  Income tax payable                               14               46

  Derivative financial instruments                 15                -

  Other current liabilities                       338              372
---------------------------------------------------------------------------
  Total current liabilities                     6,159           13,485
---------------------------------------------------------------------------
  Total liabilities                           108,809           78,129
---------------------------------------------------------------------------
  Total equity and liabilities                215,785          154,938
---------------------------------------------------------------------------

Additional information:

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 an alternative investment fund manager license holder Northern
Horizon Capital AS.

Distribution: Nasdaq, GlobeNewswire, www.baltichorizon.com

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
18:00 EET on 16 March 2018.

BHF annual report 2017