Market announcement

AS PRFoods

LEI code

529900PFXFO2ZDCRNK93

Size of the entity

Medium group

Economic activities

Financial and Insurance Activities

Country of registered office

Estonia

General information

Categories

Half-yearly financial report

Unique data record identifier

10151

Submission date and time

28.02.2023 19:01:51

Content of announcement in Estonian

Title

AS-i PRFoods 2022/2023 majandusaasta 2. kvartali ja 6. kuu konsolideeritud auditeerimata vahearuanne

Message

AS-i PRFoods 2022/2023 majandusaasta 2. kvartali ja 6. kuu konsolideeritud
auditeerimata vahearuanne

2022/23 finantsaasta algas juuli 2023 ja kujutab endast oluliselt muutunud grupi
struktuuri. Tingituna suurest kahjumist Soomes müüsime sealse üksuse ning
vähendamaks laenukoormust väljusime kasumiga Rootsi ärist.

Uus grupi struktuur hõlmab endas kala töötlemist Shotimaal ja Saaremaal ning
kalakasvatust Eestis.

II kvartali ja I poolaasta käive oli vastavalt 7.3 ja 11.9 miljonit eurot -
loomulikult vähem, kuna ei sisalda enam Soome ega Rootsi käivet nii töötlemises
kui kalakasvatuses (eelmisel aastal samal perioodil oli käive 15.3 miljonit
eurot II kvartalis ja 29.5 miljonit eurot I poolaastal).

Parem fookus kõrge lisandväärtusega toodetele ning värske kala müük oma
farmidest tõid endaga kaasa väga suure muutuse kasumis.

Esimest korda koroonajärgses keskkonnas olid kõik meie tütarettevõtted (Saare
Kala Tootmine, Redstorm, JRJ) alates II kvartalist kasumis.

Konsolideeritud baasil paranesid meie tulemused drastiliselt II kvartalis, nii
aasta kui kvartali baasil: Ärikasum (EBITDA) oli 800,000 eur vs -300,000 2021 II
kvartalis, kasv üle 360%. Puhaskasumi baasil paranes tulemus 1.3 miljoni euro
võrra, puhaskahjumiks ja -0.1 miljonit eur võrreldes -1.4 miljoni eurose
kahjumiga eelmisel aastal. Meie intressikulud vähenesid 50% võrra tänu
võlakoormuse vähenemisele. On oluline märkida, et ca 90% meie laenuportfellist
(võlakirjad, laenud) on fikseeritud intressiga.

Tegevuskasum paranes 120% ja oli 0.2 miljonit eurot vs -1.2 miljonit eurot
tegevuskahjumit eelmine aasta.

PRFoodsi netovõlgnevus on siiani liiga kõrge, kuid me parandasime oma
likviidsuskordajat tagasi 1.0 peale. Hoolimata volatiilsusest toiduainete turul
ja kõrgest inflatsioonist näeme oma toodete järgi püsivat nõudlust ning oleme
suutnud sisendhindade kasvu kanda edasi lõpptoodetesse.

6 kuu baasil oli meie puhaskasum 733,000 eur vs -2.12 miljonit eurot kahjumit
eelmisel aastal. Puhaskasum sisaldab ühekordset tulu Rootsi äriüksuse müügist.

Olles kontsentreeritum oma suuruselt, oleme rohkem fokusseeritud efektiivsusele
ja usume, et suudame säilitada ärikasumi meie tehastes. Kalakasvatus on
hooajaline tegevus ning järgmine kalakasvatuse perioodi tulem tuleb peale
käesoleva finantsaasta lõppu.

See on olnud väga raske tee läbimaks nii COVIDit, kõrget inflatsiooni, sõda ja
takistusi rahvusvahelises logistikas aga me oleme hakkama saanud. Vajalikud
muudatused tooteportfellis ja juhtkonnas on lõpule viidud, uus tiim on väga
ambitsioonikas ja fokusseeritud. Väga suured tänusõnad lähevad meie töötajatele,
kes on näidanud suurt pühendumust ja sitkust!

VÕTMENÄITAJAD

KASUMIARUANNE

+----------------------------+-------------+---------+-------------+---------+
|mln EUR                     |2kv 2022/2023|2021/2022|2kv 2021/2022|2020/2021|
+----------------------------+-------------+---------+-------------+---------+
|Müügitulu                   |          7,3|     42,1|         15,3|     58,7|
+----------------------------+-------------+---------+-------------+---------+
|Brutokasum                  |          1,6|      3,1|          2,2|        5|
+----------------------------+-------------+---------+-------------+---------+
|EBITDA äritegevusest        |          0,8|     -1,7|          0,8|     -1,2|
+----------------------------+-------------+---------+-------------+---------+
|EBITDA                      |          0,8|     -2,1|         -0,3|     -1,3|
+----------------------------+-------------+---------+-------------+---------+
|EBIT                        |          0,2|     -4,2|           -1|     -3,9|
+----------------------------+-------------+---------+-------------+---------+
|EBT                         |         -0,0|     -8,2|         -1,4|       -5|
+----------------------------+-------------+---------+-------------+---------+
|Puhaskasum (-kahjum)        |         -0,1|     -8,2|         -1,4|     -5,2|
+----------------------------+-------------+---------+-------------+---------+
|Brutomarginaal              |        22,1%|     7,4%|        14,1%|    8,50%|
+----------------------------+-------------+---------+-------------+---------+
|Äritegevuse EBITDA marginaal|        11,3%|    -4,1%|         5,2%|    -2,1%|
+----------------------------+-------------+---------+-------------+---------+
|EBITDA marginaal            |        11,3%|    -5,1%|        -2,1%|    -2,1%|
+----------------------------+-------------+---------+-------------+---------+
|EBIT marginaal              |         2,9%|    -9,9%|        -6,4%|    -6,6%|
+----------------------------+-------------+---------+-------------+---------+
|EBT marginaal               |        -0,5%|   -19,5%|        -8,9%|    -8,5%|
+----------------------------+-------------+---------+-------------+---------+
|Puhaskasumi marginaal       |        -1,8%|   -19,4%|        -9,1%|    -8,8%|
+----------------------------+-------------+---------+-------------+---------+
|Tegevuskulude suhtarv       |       -18,9%|   -17,1%|        15,1%|    16,1%|
+----------------------------+-------------+---------+-------------+---------+

BILANSS

+-----------------------------+----------+----------+----------+----------+
|mln EUR                      |31.12.2022|30.06.2022|31.12.2021|30.06.2021|
+-----------------------------+----------+----------+----------+----------+
|Netovõlgnevus                |      17,7|      24,7|      24,2|      20,9|
+-----------------------------+----------+----------+----------+----------+
|Omakapital                   |       7,5|       8,1|      14,9|      15,8|
+-----------------------------+----------+----------+----------+----------+
|Käibekapital                 |       0,0|      -3,2|      -2,6|      -2,9|
+-----------------------------+----------+----------+----------+----------+
|Varad                        |      32,2|      38,9|      56,0|      55,3|
+-----------------------------+----------+----------+----------+----------+
|Likviidsuskordaja            |      1,0x|      0,7x|      0,9x|      0,9x|
+-----------------------------+----------+----------+----------+----------+
|Omakapitali suhtarv          |     23,3%|     20,7%|     26,7%|     28,6%|
+-----------------------------+----------+----------+----------+----------+
|Finantsvõimendus             |     70,2%|     75,4%|     61,8%|     56,9%|
+-----------------------------+----------+----------+----------+----------+
|Võlakordaja                  |      0,8x|      0,8x|      0,7x|      0,7x|
+-----------------------------+----------+----------+----------+----------+
|Netovõlg / äritegevuse EBITDA|     21,4x|    -14,5x|    -14,3x|    -16,9x|
+-----------------------------+----------+----------+----------+----------+
|Omakapitali tootlus          |     -1,7%|    -68,5%|    -26,7%|    -28,7%|
+-----------------------------+----------+----------+----------+----------+
|Varade tootlus               |     -0,4%|    -17,3%|     -7,9%|     -9,1%|
+-----------------------------+----------+----------+----------+----------+

Konsolideeritud finantsseisundi aruanne

+-------------------------------------+------------+------------+------------+
| EUR '000                            | 31.12.2022 | 31.12.2021 | 30.06.2022 |
+-------------------------------------+------------+------------+------------+
| VARAD                               |            |            |            |
+-------------------------------------+------------+------------+------------+
| Raha ja ekvivalendid                |        386 |        498 |        110 |
+-------------------------------------+------------+------------+------------+
| Nõuded ja ettemaksed                |      5 016 |      4 463 |      2 567 |
+-------------------------------------+------------+------------+------------+
| Varud                               |      2 089 |      4 596 |      2 196 |
+-------------------------------------+------------+------------+------------+
| Bioloogilised varad                 |          0 |      4 523 |      3 003 |
+-------------------------------------+------------+------------+------------+
| Käibevara kokku                     |      7 491 |     14 080 |      7 876 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksuvara         |          0 |         38 |         93 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised finantsinvesteeringud  |        304 |        300 |        229 |
+-------------------------------------+------------+------------+------------+
| Materiaalne põhivara                |      6 944 |     14 655 |      8 882 |
+-------------------------------------+------------+------------+------------+
| Immateriaalne vara                  |     17 443 |     23 715 |     21 837 |
+-------------------------------------+------------+------------+------------+
| Põhivara kokku                      |     24 691 |     38 708 |     31 041 |
+-------------------------------------+------------+------------+------------+
| VARAD KOKKU                         |     32 182 |     52 788 |     38 917 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED JA OMAKAPITAL            |            |            |            |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused          |      2 777 |      6 275 |      7 094 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed                 |      4 672 |     11 666 |      3 978 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine                 |          0 |        207 |          0 |
+-------------------------------------+------------+------------+------------+
| Lühiajalised kohustused kokku       |      7 449 |     18 148 |     11 072 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused          |     15 270 |     18 180 |     17 725 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed                 |          0 |          0 |        204 |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksukohustus     |      1 644 |      1 877 |      1 599 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine                 |        327 |        662 |        265 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised kohustused kokku       |     17 241 |     20 719 |     19 792 |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED KOKKU                    |     24 690 |     38 867 |     30 865 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Aktsiakapital                       |      7 737 |      7 737 |      7 737 |
+-------------------------------------+------------+------------+------------+
| Ülekurss                            |     14 007 |     14 007 |     14 007 |
+-------------------------------------+------------+------------+------------+
| Oma aktsiad                         |      - 390 |       -390 |       -390 |
+-------------------------------------+------------+------------+------------+
| Kohustuslik reservkapital           |         51 |         51 |         51 |
+-------------------------------------+------------+------------+------------+
| Realiseerimata kursivahed           |        394 |        831 |        839 |
+-------------------------------------+------------+------------+------------+
| Jaotamata kasum (kahjum)            |    -14 605 |     -8 883 |    -14 391 |
+-------------------------------------+------------+------------+------------+
| Ettevõtte aktsionäridele kuuluv osa |      7 194 |     13 353 |      7 853 |
+-------------------------------------+------------+------------+------------+
| Mittekontrolliv osalus              |        297 |        568 |        199 |
+-------------------------------------+------------+------------+------------+
| OMAKAPITAL KOKKU                    |      7 491 |     13 921 |      8 052 |
+-------------------------------------+------------+------------+------------+
| OMAKAPITAL JA KOHUSTUSED KOKKU      |     32 182 |     52 788 |     38 917 |
+-------------------------------------+------------+------------+------------+

Konsolideeritud koondkasumiaruanne

+------------------------+-------------+-------------+------------+------------+
|EUR '000                |2kv 2022/2023|2kv 2021/2022|6k 2022/2023|6k 2021/2022|
+------------------------+-------------+-------------+------------+------------+
|Müügitulud              |        7 300|       15 292|      11 910|      29 499|
+------------------------+-------------+-------------+------------+------------+
|Müüdud kaupade kulu     |       -5 688|      -13 139|      -9 785|     -26 572|
+------------------------+-------------+-------------+------------+------------+
|Brutokasum              |        1 612|        2 153|       2 125|       2 927|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Tegevuskulud            |       -1 379|       -2 395|      -2 493|      -4 704|
+------------------------+-------------+-------------+------------+------------+
|Müügi- ja turustuskulud |         -671|       -1 668|     - 1 314|      -3 249|
+------------------------+-------------+-------------+------------+------------+
|Üldhalduskulud          |         -708|         -727|     - 1 179|      -1 455|
+------------------------+-------------+-------------+------------+------------+
|Muud äritulud/-kulud    |          -21|           11|        - 68|          62|
+------------------------+-------------+-------------+------------+------------+
|Bioloogiliste varade    |             |             |            |            |
|ümberhindlus            |            0|         -752|        -170|          68|
+------------------------+-------------+-------------+------------+------------+
|Ärikasum (-kahjum)      |          212|         -983|        -606|      -1 647|
+------------------------+-------------+-------------+------------+------------+
|Finantstulud/-kulud     |         -245|         -384|       1 447|        -368|
+------------------------+-------------+-------------+------------+------------+
|Maksustamiseelne kasum  |             |             |            |            |
|(kahjum)                |          -33|       -1 367|         841|      -2 015|
+------------------------+-------------+-------------+------------+------------+
|Tulumaks                |         -102|          -17|        -108|        -109|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasum (-kahjum)    |         -135|       -1 384|         733|      -2 124|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasumi (-kahjumi)  |             |             |            |            |
|jaotus:                 |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Emaettevõtte            |             |             |            |            |
|aktsionäridele kuuluv   |             |             |            |            |
|osa                     |         -210|       -1 242|         668|      -2 160|
+------------------------+-------------+-------------+------------+------------+
|Mittekontrolliv osalus  |           75|         -142|          66|          36|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasum (-kahjum)    |             |             |            |            |
|kokku                   |         -135|       -1 384|         733|      -2 124|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Muu koondkasum (-       |             |             |            |            |
|kahjum), mida võib      |             |             |            |            |
|hiljem klassifitseerida |             |             |            |            |
|kasumiaruandesse:       |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Valuutakursi vahed      |            0|          384|        -445|         272|
+------------------------+-------------+-------------+------------+------------+
|Kokku koondkasum (-     |             |             |            |            |
|kahjum)                 |         -135|       -1 000|         288|      -1 852|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|koondkasumi (-kahjumi)  |             |             |            |            |
|jaotus:                 |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Emaettevõtte            |             |             |            |            |
|aktsionäridele kuuluv   |             |             |            |            |
|osa                     |         -210|         -858|         223|      -1 888|
+------------------------+-------------+-------------+------------+------------+
|Väikeaktsionäridele     |             |             |            |            |
|kuuluv osa              |           75|         -142|          66|          36|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|koondkasum (-kahjum)    |             |             |            |            |
|kokku                   |         -135|       -1 000|         288|      -1 852|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Tava puhaskasum (-      |             |             |            |            |
|kahjum) aktsia kohta    |             |             |            |            |
|(EUR)                   |        -0.01|        -0.03|        0.02|       -0.06|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Lahustatud puhaskasum (-|             |             |            |            |
|kahjum) aktsia kohta    |             |             |            |            |
|(EUR)                   |        -0.00|        -0.03|        0.01|       -0.05|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+

Indrek Kasela

AS PRFoods

Juhatuse liige

T: +372 452 1470

[email protected]

www.prfoods.ee (http://www.prfoods.ee)

Content of announcement in English

Title

Consolidated Unaudited Interim Report of AS PRFoods for the 2nd quarter and 6 months of 2022/2023 financial year

Message

Consolidated Unaudited Interim Report of AS PRFoods for the 2nd quarter and 6
months of 2022/2023 financial year

MANAGEMENT COMMENTARY

2022/23 financial year that started in July 2022 and represents very different
group structure. Due to high leverage and losses, we divested from loss-making
Finnish operations in 2022 and sold for profit our Swedish operations.

New group structure has fish processing business in Scotland and Saaremaa,
Estonia, and farming operations in Estonia.

The Q2 and H1 sales were 7.3 and 11.9 million euros respectively, naturally less
due to offload of Finnish operations, both processing and fish farming (15.3
million in Q2 last year and 29.5 million eur in H1). Better focus on Value Added
Product sales and fresh fish sales from our farms, marked very sharp turnaround
in profit.

First time in post-covid environment all our operational subsidiaries (Saare
Kala Tootmine, Redstorm, JRJ) showed positive EBITDA and were profitable in Q2.

On consolidated basis our results improved drastically in Q2, both on year on
year basis and quarter over quarter: EBITDA was 800,000 eur vs -300,000 eur in
Q2 2021, improvement of over 360%. On net profit level our results improved by
1,3 million eur: net loss for period was -0.1 meur vs -1,4 meur last year. Our
financial expenses decreased by 50% due to leverage. It is important to note
that nearly 90% of Group's debt liabilities carry fixed interest (bonds and
loans).

Operating profit increased by 120% and was 0.2 meur vs -1,2 meur last year.

PRFoods Net Debt is still very high, but we managed to improve our liquidity
ratio back to 1.0. Despite volatility in food markets and high inflation
environment, we see continued demand for our products and ability to transfer
input price increases to product prices.

On 6 months basis, our consolidated net profit was 733,000 eur vs -2,12 million
loss last year. Net profit includes one-off profit from sale of Swedish
subsidiary.

While being more concentrated in our size, we are more focused on performance,
and we believe we can achieve sustainable EBITDA profitability in our processing
business. Fish Farming is seasonal operation still and next harvest season will
after end of current financial year.

It has been tough road negotiating COVID, high inflation, war and breakdown of
international logistics, but we have managed. Necessary product changes and
management changes were completed, and new team is very ambitious and focussed
on profitability. Enormous thank you goes out to all our employees who have
shown commitment and resilience!

KEY RATIOS

INCOME STATEMENT

+--------------------------+------------+---------+------------+---------+
|mln EUR                   |            |         |            |         |
|unless indicated otherwise|2Q 2022/2023|2021/2022|2Q 2021/2022|2020/2021|
+--------------------------+------------+---------+------------+---------+
|Sales                     |         7,3|     42,1|        15,3|     58,7|
+--------------------------+------------+---------+------------+---------+
|Gross profit              |         1,6|      3,1|         2,2|        5|
+--------------------------+------------+---------+------------+---------+
|EBITDA from operations    |         0,8|     -1,7|         0,8|     -1,2|
+--------------------------+------------+---------+------------+---------+
|EBITDA                    |         0,8|     -2,1|        -0,3|     -1,3|
+--------------------------+------------+---------+------------+---------+
|EBIT                      |         0,2|     -4,2|          -1|     -3,9|
+--------------------------+------------+---------+------------+---------+
|EBT                       |        -0,0|     -8,2|        -1,4|       -5|
+--------------------------+------------+---------+------------+---------+
|Net profit (loss)         |        -0,1|     -8,2|        -1,4|     -5,2|
+--------------------------+------------+---------+------------+---------+
|Gross margin              |       22,1%|     7,4%|       14,1%|    8,50%|
+--------------------------+------------+---------+------------+---------+
|Operational EBITDA margin |       11,3%|    -4,1%|        5,2%|    -2,1%|
+--------------------------+------------+---------+------------+---------+
|EBITDA margin             |       11,3%|    -5,1%|       -2,1%|    -2,1%|
+--------------------------+------------+---------+------------+---------+
|EBIT margin               |        2,9%|    -9,9%|       -6,4%|    -6,6%|
+--------------------------+------------+---------+------------+---------+
|EBT margin                |       -0,5%|   -19,5%|       -8,9%|    -8,5%|
+--------------------------+------------+---------+------------+---------+
|Net margin                |       -1,8%|   -19,4%|       -9,1%|    -8,8%|
+--------------------------+------------+---------+------------+---------+
|Operating expense ratio   |      -18,9%|   -17,1%|       15,1%|    16,1%|
+--------------------------+------------+---------+------------+---------+

BALANCE SHEET

+----------------------------+----------+----------+----------+----------+
|mln EUR                     |          |          |          |          |
|unless indicated otherwise  |31.12.2022|30.06.2022|31.12.2021|30.06.2021|
+----------------------------+----------+----------+----------+----------+
|Net debt                    |      17,7|      24,7|      24,2|      20,9|
+----------------------------+----------+----------+----------+----------+
|Equity                      |       7,5|       8,1|      14,9|      15,8|
+----------------------------+----------+----------+----------+----------+
|Working capital             |       0,0|      -3,2|      -2,6|      -2,9|
+----------------------------+----------+----------+----------+----------+
|Assets                      |      32,2|      38,9|      56,0|      55,3|
+----------------------------+----------+----------+----------+----------+
|Liquidity ratio             |      1,0x|      0,7x|      0,9x|      0,9x|
+----------------------------+----------+----------+----------+----------+
|Equity ratio                |     23,3%|     20,7%|     26,7%|     28,6%|
+----------------------------+----------+----------+----------+----------+
|Gearing ratio               |     70,2%|     75,4%|     61,8%|     56,9%|
+----------------------------+----------+----------+----------+----------+
|Debt to total assets        |      0,8x|      0,8x|      0,7x|      0,7x|
+----------------------------+----------+----------+----------+----------+
|Net debt to operating EBITDA|     21,4x|    -14,5x|    -14,3x|    -16,9x|
+----------------------------+----------+----------+----------+----------+
|ROE                         |     -1,7%|    -68,5%|    -26,7%|    -28,7%|
+----------------------------+----------+----------+----------+----------+
|ROA                         |     -0,4%|    -17,3%|     -7,9%|     -9,1%|
+----------------------------+----------+----------+----------+----------+

Consolidated Statement of Financial Position

+--------------------------------+--------------------+----------+----------+
|EUR '000                        |          31.12.2022|31.12.2021|30.06.2022|
+--------------------------------+--------------------+----------+----------+
|ASSETS                          |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|Cash and cash equivalents       |                386 |       498|       110|
+--------------------------------+--------------------+----------+----------+
|Receivables and prepayments     |              5 016 |     4 463|     2 567|
+--------------------------------+--------------------+----------+----------+
|Inventories                     |               2 089|     4 596|     2 196|
+--------------------------------+--------------------+----------+----------+
|Biological assets               |                   0|     4 523|     3 003|
+--------------------------------+--------------------+----------+----------+
|Total current assets            |               7 491|    14 080|     7 876|
+--------------------------------+--------------------+----------+----------+
|                                |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|Deferred tax assets             |                0   |        38|        93|
+--------------------------------+--------------------+----------+----------+
|Long-term financial investments |                304 |       300|       229|
+--------------------------------+--------------------+----------+----------+
|Tangible assets                 |               6 944|    14 655|     8 882|
+--------------------------------+--------------------+----------+----------+
|Intangible assets               |             17 443 |    23 715|    21 837|
+--------------------------------+--------------------+----------+----------+
|Total non-current assets        |             24 691 |    38 708|    31 041|
+--------------------------------+--------------------+----------+----------+
|TOTAL ASSETS                    |             32 182 |    52 788|    38 917|
+--------------------------------+--------------------+----------+----------+
|                                |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|EQUITY AND LIABILITIES          |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|Interest-bearing liabilities    |               2 777|     6 275|     7 094|
+--------------------------------+--------------------+----------+----------+
|Payables and prepayments        |              4 672 |    11 666|     3 978|
+--------------------------------+--------------------+----------+----------+
|Government grants               |                 0  |       207|         0|
+--------------------------------+--------------------+----------+----------+
|Total current liabilities       |              7 449 |    18 148|    11 072|
+--------------------------------+--------------------+----------+----------+
|                                |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|Interest-bearing liabilities    |              15 270|    18 180|    17 725|
+--------------------------------+--------------------+----------+----------+
|Payables and prepayments        |                  0 |         0|       204|
+--------------------------------+--------------------+----------+----------+
|Deferred tax liabilities        |              1 644 |     1 877|     1 599|
+--------------------------------+--------------------+----------+----------+
|Government grants               |                 327|       662|       265|
+--------------------------------+--------------------+----------+----------+
|Total non-current liabilities   |             17 241 |    20 719|    19 792|
+--------------------------------+--------------------+----------+----------+
|TOTAL LIABILITIES               |             24 690 |    38 867|    30 865|
+--------------------------------+--------------------+----------+----------+
|                                |                    |          |          |
+--------------------------------+--------------------+----------+----------+
|Share capital                   |              7 737 |     7 737|     7 737|
+--------------------------------+--------------------+----------+----------+
|Share premium                   |              14 007|    14 007|    14 007|
+--------------------------------+--------------------+----------+----------+
|Treasury shares                 |              - 390 |      -390|      -390|
+--------------------------------+--------------------+----------+----------+
|Statutory capital reserve       |                 51 |        51|        51|
+--------------------------------+--------------------+----------+----------+
|Currency translation differences|                 394|       831|       839|
+--------------------------------+--------------------+----------+----------+
|Retained profit (loss)          |             -14 605|    -8 883|   -14 391|
+--------------------------------+--------------------+----------+----------+
|Equity attributable to parent   |               7 194|    13 353|     7 853|
+--------------------------------+--------------------+----------+----------+
|Non-controlling interest        |                297 |       568|       199|
+--------------------------------+--------------------+----------+----------+
|TOTAL EQUITY                    |              7 491 |    13 921|     8 052|
+--------------------------------+--------------------+----------+----------+
|TOTAL EQUITY AND LIABILITIES    |             32 182 |    52 788|    38 917|
+--------------------------------+--------------------+----------+----------+

Consolidated Statement of Profit or Loss And Other Comprehensive Income

+--------------------------+------------+------------+------------+------------+
|EUR '000                  |2Q 2022/2023|2Q 2021/2022|6m 2022/2023|6m 2021/2022|
+--------------------------+------------+------------+------------+------------+
|Revenue                   |       7,300|      15,292|      11,910|      29,499|
+--------------------------+------------+------------+------------+------------+
|Cost of goods sold        |      -5,688|     -13,139|      -9,785|     -26,572|
+--------------------------+------------+------------+------------+------------+
|Gross profit              |       1,612|       2,153|       2,125|       2,927|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Operating expenses        |      -1,379|      -2,395|      -2,493|      -4,704|
+--------------------------+------------+------------+------------+------------+
|Selling and distribution  |            |            |            |            |
|expenses                  |        -671|      -1,668|      -1,314|      -3,249|
+--------------------------+------------+------------+------------+------------+
|Administrative expenses   |        -708|        -727|      -1,179|      -1,455|
+--------------------------+------------+------------+------------+------------+
|Other income / expense    |         -21|          11|         -68|          62|
+--------------------------+------------+------------+------------+------------+
|Fair value adjustment on  |            |            |            |            |
|biological assets         |           0|        -752|        -170|          68|
+--------------------------+------------+------------+------------+------------+
|Operating profit (loss)   |         212|        -983|        -606|      -1,647|
+--------------------------+------------+------------+------------+------------+
|Financial income /        |            |            |            |            |
|expenses                  |        -245|        -384|       1,447|        -368|
+--------------------------+------------+------------+------------+------------+
|Profit (Loss) before tax  |         -33|      -1,367|         841|      -2,015|
+--------------------------+------------+------------+------------+------------+
|Income tax                |        -102|         -17|        -108|        -109|
+--------------------------+------------+------------+------------+------------+
|Net profit (loss) for the |            |            |            |            |
|period                    |        -135|      -1,384|         733|      -2,124|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Net profit (loss)         |            |            |            |            |
|attributable to:          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Owners of the Parent      |            |            |            |            |
|Company                   |        -210|      -1,242|         668|      -2,160|
+--------------------------+------------+------------+------------+------------+
|Non-controlling interests |          75|        -142|          66|          36|
+--------------------------+------------+------------+------------+------------+
|Total net profit (loss)   |            |            |            |            |
|for the period            |        -135|      -1,384|         733|      -2,124|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Other comprehensive income|            |            |            |            |
|(loss) that may           |            |            |            |            |
|subsequently be classified|            |            |            |            |
|to profit or loss:        |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Foreign currency          |            |            |            |            |
|translation differences   |           0|         384|        -445|         272|
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense)                 |        -135|      -1,000|         288|      -1,852|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense) attributable to:|            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Owners of the Parent      |            |            |            |            |
|Company                   |        -210|        -858|         223|      -1,888|
+--------------------------+------------+------------+------------+------------+
|Non-controlling interests |          75|        -142|          66|          36|
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense) for the period  |        -135|      -1,000|         288|      -1,852|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Profit (Loss) per share   |            |            |            |            |
|(EUR)                     |       -0.01|       -0.03|        0.02|       -0.06|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Diluted profit (loss) per |            |            |            |            |
|share (EUR)               |        0.00|       -0.03|        0.01|       -0.05|
+--------------------------+------------+------------+------------+------------+

Indrek Kasela

AS PRFoods

Member of the Management Board

Phone:+372 452 1470

[email protected]

www.prfoods.ee (http://www.prfoods.ee)