Northern Horizon Capital AS, as the management company of Baltic Horizon Fund has declared a cash distribution to its unitholders which implies a 2% yield on the fund’s 2016 fourth quarter weighted average NAV. This equals approx. EUR 1.4 million in total and EUR 0.024 per unit. Payments will be distributed from the fund on 7 February 2017. Record date is 3 February 2017.