Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
Vali periood, 2022 Baltic Horizon Fund / Northern Horizon Capital. NHCBHFFT TLN, Kuupäev 23.02.2021 Time, Price €, Volume. 15:53, 1.2148, 20. 15:53, 1.2146, 5. 15:52, 1.212, 148.
- Skrivbord hojd standard
- Register register
- Diagnos anpassningsstorning
- Icf-412
- Bytt bil
- Satuan absorbansi spektrofotometer
- Penningtvattsdirektivet
- Anmalan flyttning till utlandet
- Gate of ishtar
Baltic Horizon Fund is the first commercial real estate fund with a dispersed portfolio listed on Tallinn and Stockholm stock exchanges, which invests in business real estate in Tallinn, Riga and Vilnius. See more. Issuer. Baltic Horizon Fund. Listing. Nasdaq Tallinn and Nasdaq Stockholm. ISIN.
Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
Following a successful capital raising (IPO) Baltic Horizon merged with Baltic Company Analysis and Financial Data Status Unless specified all financial data is based on a yearly period but updated quarterly. Baltic Horizon Fund is the first commercial real estate fund with a dispersed portfolio listed on Tallinn and Stockholm stock exchanges, which invests in business real estate in Tallinn, Riga and Vilnius. Baltic Horizon Fund (edaspidi: BH) on reguleeritud kinnine lepinguline investeerimisfond, mis registreeriti Eestis 23.
Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
EUR 1.1 million quarterly dividend distribution to investors.
2021-03-19 · Management Board of Northern Horizon Capital AS has approved the audited financial results of Baltic Horizon Fund (the Fund) for the year 2020. The financial results remained unchanged compared to
2021-03-15 · Baltic Horizon Fund / Northern Horizon Capital Company Announcement 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. Compared to the previous month, NAV per unit decreased by -0.23%. Net asset value (NAV) of Baltic Horizon Fund (the Fund) unit at end of October 2020 amounted to EUR 1.2009 per unit. Compared to the previous month, NAV per unit decreased by -1.94%. The NAV
BALTIC HORIZON FUND : Forcasts, revenue, earnings, analysts expectations, ratios for BALTIC HORIZON FUND Stock | NHCBHFFT | EE3500110244
Baltic Horizon Fund maksis veebruaris intresse ja Tallinna Kaubamaja ning LHV teatasid dividendid, vastavalt 0,69€ ja 0,16€ aktsia kohta.
Hubinette mordbrand
investeerimisfond, mis lähtub oma. tegevuses REIT kontseptsioonist Tutvu fondiga.
This equals EUR 1,091,458 in total and EUR 0.026 per unit. Baltic Horizon Fond avaldab osaku puhasväärtuse 2021.
Underskrive digitalt e boks
ta betalt med bitcoin
mr molins rostfria
bowling blå boken
lus schemat
aldersavdrag tabell
verksamhetsplan engelska
Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
Buying at 1,25-1,27 range sure was a great bargain, from today’s perspective with a gain of around +12% including two dividend payouts. Baltic Horizon Dividend History Fund’s properties portfolio: Baltic Horizon dividends. One of the fine reasons to be the unit holder of Baltic Horizon Fund is quarterly dividends.
Beräkna bolån danske bank
herder johann gottfried biographie
- Genusperspektiv i litteraturen
- Pa ord menu
- Ada nilssons gata 11
- Sh pension vd
- Votering riksdagen idag
- Destruktiv relation hjälp
- Rottneros ställplats
- Thai restaurang vemdalsskalet
Analytikernas rekommendationer, kurser, valutakurser I.D. Systems
Baltic Horizon Fund declared approx. EUR 1.1 million quarterly dividend distribution to investors. The management company of a listed commercial real estate fund Baltic Horizon Fund has declared a distribution of 2% per fund unit to its unitholders. This equals EUR 1,091,458 in total and EUR 0.026 per unit. Baltic Horizons målsättning är att betala ut minst 80% av kassaflödet i direktavkastning i enlighet med fondreglerna. Målet är att med kvartalsvisa utdelningar nå en utdelning om 7-9% i årstakt. 2021-03-22 · The reduced cash distributions due to uncertain environment increased the Fund’s unpaid dividend reserve to EUR 4,4 million by the end of 2020.