Baltic Horizon Fondi NAV for June 2026-end fell slightly to €0.4039 per unit from €0.4042 on May 31 (about -0.07%). Total fund NAV declined marginally to €91.5M from €91.6M, indicating a small month-end contraction with limited signal for investors.
Baltic Horizon Fondi NAV for June 2026-end fell slightly to €0.4039 per unit from €0.4042 on May 31 (about -0.07%). Total fund NAV declined marginally to €91.5M from €91.6M, indicating a small month-end contraction with limited signal for investors.
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mildly negative
Sentiment Score
-0.12