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Baltic Horizon Fund publishes its NAV for August 2026

Source: GlobeNewswire

Company FundamentalsHousing & Real Estate

Baltic Horizon Fund's NAV per unit rose to EUR 0.4077 at the end of August 2026 from EUR 0.4059 on 31 July, an increase of approximately 0.4%. Total net asset value increased by EUR 0.4 million to EUR 92.4 million, indicating modest monthly portfolio appreciation.

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