Baltic Horizon Fund publishes its NAV for February 2026
· baltic horizon fund / baltic horizon capital
AI Briefing
- NAV per unit increased to EUR 0.5466, total net asset value EUR 78.5 million
- NAV per unit increased from EUR 0.5450 as of 31 January 2026
- NAV per unit and total net asset value for 31 January 2026 were EUR 0.5450 and EUR 78.2 million, respectively.
Advertisement