What exactly is the First North market? First North is the light version of the stock exchange. The company is publicly traded, but the requirements are significantly less stringent than for a company listed on the regulated market.

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Baltic Horizon Fundi osakuid on meie portfellis kokku 2000 tükki, keskmise ostuhinnaga 1,289. Saime juba osa ka esimese kvartali renditulu baasil tehtud väljamaksest, kokku 46 eurot. Fond teatas hiljuti, et augustis makstakse teise kvartali tulude põhjal ühe aktsia kohta välja järjekordsed 1,8 senti.

1 dag sedan · STOCKHOLM (Fonder Direkt) Den börsnoterade fastighetsfonden Baltic Horizon Fund steg med 0,3 procent på Nasdaq Stockholm i mars, samtidigt som fondens nettoandelsvärde (NAV) ökade med 0,4 procent till 1,1460 euro. NAV påverkades positivt av den operativa fastighetsutvecklingen. 2021-04-15 · Baltic Horizon Fund / Northern Horizon Capital Company Announcement Baltic Horizon Fund publishes its NAV for March 2021. The net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of March 2021 amounted to EUR 1.1460 per unit.

Baltic horizon fund aktsia

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Strong focus on delivering 7-9%. annual dividend Fund Units Nordic Corporate governance. approach Fund Governance A portfolio of 15 commercial properties. worth over 345 mln EUR Fund Portfolio.

2021-03-22 · Investment properties The Baltic Horizon Fund portfolio consists of 15 cash flow investment properties in the Baltic capitals and an investment property under construction on the Meraki land plot. At the end of 2020, the fair value of the Fund’s portfolio was EUR 340.0 million (31 December 2019: EUR 358.9 million) and incorporated a total net leasable area of 153,345 sq. m.

Baltic Horizon Fund publishes its NAV for February 2021. The net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of February 2021 amounted to EUR 1.1416 per unit.

Baltic horizon fund aktsia

Handla och se senaste avsluten i börshandlade fonden (ETF) Baltic Horizon Fund hos Avanza. Bli kund gratis!

oktoober 2020 (kuni kella 16:00-ni). Baltic Horizon fund täiendavate aktsiatega seotud prospekti ja märkimisega seotud muude materjalidega saate tutvuda www.fi.ee. Baltic Horizon Fund / Northern Horizon Capital Company Announcement Baltic Horizon Fund publishes its NAV for March 2021. The net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of March 2021 amounted to EUR 1.1460 per unit. Compared to the previous month, NAV per unit increased by +0.39%. Baltic Horizon Fund has launched a tender for property management and accounting services. During the competition, the fund seeks to select partners to provide maintenance, marketing, rental, commercial management and accounting services for real estate owned by the Baltic Horizon Fund in all three Baltic States.

Baltic horizon fund aktsia

Download CSV EfTEN ja Baltic Horizon teenisid miljoneid kasumit. EfTENi III fond püsib kasvukursil, ainus tõrvatilk meepotis on investorite jaoks dividend lahjendamine uue aktsiaemissiooni läbi – aga see võetakse vastu stoiliselt. BALTIC HORIZON FUND (TAL:NHCBHFFT) : Stock quote, stock chart, quotes, analysis, advice, financials and news for share BALTIC HORIZON FUND | TALLINN STOCK EXCHANGE: NHCBHFFT | TALLINN STOCK EXCHANGE On Wednesday, Baltic Horizon Fund (NHCBHFFS:STO) closed at 11.70, -10.69% below its 52-week high of 13.10, set on Jun 23, 2020. Baltic Horizon Fundi osakuid on meie portfellis kokku 2000 tükki, keskmise ostuhinnaga 1,289. Saime juba osa ka esimese kvartali renditulu baasil tehtud väljamaksest, kokku 46 eurot. Fond teatas hiljuti, et augustis makstakse teise kvartali tulude põhjal ühe aktsia kohta välja järjekordsed 1,8 senti. Northern Horizon Capital AS som är förvaltningsbolag för Baltic Horizon Fund har skrivit avtal med Linstow AS om att köpa 100% av aktierna i Tampere Invest SIA som äger shoppingcentret Galerija Centrs mitt i Riga.
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Baltic horizon fund aktsia

2021-04-15 · Baltic Horizon Fund / Northern Horizon Capital Company Announcement Baltic Horizon Fund publishes its NAV for March 2021. The net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of March 2021 amounted to EUR 1.1460 per unit. Compared to the previous month, NAV per unit increased by +0.39%. Baltic Horizon Fond avalikustas reedel osaku puhasväärtuse 2020.

This was the first time when a security listed on Nasdaq Tallinn was dual-listed on Nasdaq Stockholm. Baltic Horizon Fond avaldab osaku puhasväärtuse 2021.
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Baltic Horizon Fund declares quarterly cash distribution of approx. EUR 1.70 million to investors. April 15, 2020. Baltic Horizon Fund publishes its NAV for March 2020. March 31, 2020. Summary of Baltic Horizon Fund webinar. March 27, 2020. Baltic Horizon Fund offers relief measures to its SME tenants most affected by the COVID-19 pandemic

År. Baltic Horizon Fund publishes its NAV for January 2021. The net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of January 2021 amounted to EUR 1.1442 per unit.