Market announcement

Nordic Fibreboard AS

LEI code

54930002HOIXBD15OM06

Size of the entity

Small group

Economic activities

Financial and Insurance Activities

Country of registered office

Estonia

General information

Categories

Annual financial report

Unique data record identifier

10277

Submission date and time

27.04.2023 15:32:50

Content of announcement in Estonian

Title

Nordic Fibreboard AS auditeeritud majandusaasta aruanne 2022

Message

Nordic Fibreboard AS nõukogu on kinnitanud ettevõtte 2022. aasta auditeeritud
majandusaasta aruande.

MAJANDUSTEGEVUSE ÜLEVAADE

Konsolideeritud müügitulu oli 2022. aastal 11,07 miljonit eurot, mis on 10%
suurem võrreldes 2021. aasta 10,10 miljoni suuruse müügituluga. Puitkiudplaadi
tootmisest tulenev müügitulu oli 2022. aastal 11,04 miljonit eurot (2021. aastal
9,84 miljonit eurot). Müügikasvu põhjuseks oli puitkiudplaatide suurenenud müük
peamistel turgudel, milleks on Soome, Taani, Eesti ja Läti. Tõus tuleneb hinna
ja mahu kombinatsioonist sõltuvalt turust. Kinnisvara haldusest tulenev
müügitulu oli 2022. aastal 39 tuhat eurot (2021. aastal 254 tuhat eurot),
kinnivara halduse segmendi müügitulu vähenemise tingis ühe suurima üürniku
lahkumine üüripinnalt 2021 aasta lõpus, kes  paiknesid territooriumi vanades
tootmishoonetes. Kontsern ei näe ette vanade tootmishoonete uuesti
väljarentimist.

Nordic Fibreboard AS konsolideeritud EBITDA oli 2022. aastal 1,73 eurot (2021:
1,56 miljonit eurot eurot). EBITDA rentaablus oli 2022. aastal 16% ning jäi
võrreldes 2021. aastaga sarnasele tasemele (2021: 15%). 2022. aasta EBITDA
sisaldab ühekordset tulu 697 tuhat eurot kinnisvarainvesteeringu ümberhindlusest
Pärnu Riverside Development OÜ-s. Kontserni brutomarginaal aga langes 2021.
aasta 33%-lt 2022. aastal 23%-le, brutomarginaali languse peamiseks põhjuseks
oli ettevõtte peamise sisendkulu, hakkepuidu, hinna oluline tõus.

Nordic Fibreboard AS konsolideeritud puhaskasum oli 2022. aastal 1,23 miljonit
eurot (2021: 1,20 miljonit eurot). 2022. aasta puhaskasum sisaldas 129 tuhat
eurot dividende Nordic Fibreboard Ltd-le kuuluvatelt Trigon Property Development
AS (TPD) akstiatelt. 2021. aastal sisaldas puhaskasum TPD aktsiate
ümberhindlusest saadud kasumit summas 265 tuhat eurot.

Konsolideeritud finantsseisundi aruanne

 tuh EUR                                                 |31.12.2022|31.12.2021
---------------------------------------------------------+----------+----------
 Raha ja raha ekvivalendid                               |         2|        57
---------------------------------------------------------+----------+----------
 Nõuded ja ettemaksed (Lisa 5)                           |       559|       902
---------------------------------------------------------+----------+----------
 Varud (Lisa 6)                                          |     1 672|       390
---------------------------------------------------------+----------+----------
 Kokku käibevarad                                        |     2 233|     1 349
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Kinnisvarainvesteeringud (Lisa 7)                       |     1 859|     1 152
---------------------------------------------------------+----------+----------
 Finantsvarad õiglases väärtuses muutustega läbi         |          |
 kasumiarauande (Lisa 9)                                 |       644|       644
---------------------------------------------------------+----------+----------
 Materiaalne põhivara (Lisa 8)                           |     4 670|     4 915
---------------------------------------------------------+----------+----------
 Immateriaalne põhivara (Lisa 8)                         |         2|         3
---------------------------------------------------------+----------+----------
 Kokku põhivarad                                         |     7 175|     6 714
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 KOKKU VARAD                                             |     9 408|     8 063
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Võlakohustised (Lisas 10)                               |       290|       146
---------------------------------------------------------+----------+----------
 Võlad ja ettemaksed (Lisas 11)                          |     1 014|       829
---------------------------------------------------------+----------+----------
 Lühiajalised eraldised (Lisa 12)                        |        18|        19
---------------------------------------------------------+----------+----------
 Kokku lühiajalised kohustised                           |     1 322|       994
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Pikaajalised võlakohustised (Lisas 10)                  |     2 875|     3 074
---------------------------------------------------------+----------+----------
 Pikaajalised eraldised (Lisa 12)                        |       127|       145
---------------------------------------------------------+----------+----------
 Kokku pikaajalised kohustised                           |     3 002|     3 219
---------------------------------------------------------+----------+----------
 Kokku kohustised                                        |     4 324|     4 213
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Aktsiakapital (nominaalväärtuses) (Lisa 13)             |       450|       450
---------------------------------------------------------+----------+----------
 Kohustuslik reservkapital                               |        45|         0
---------------------------------------------------------+----------+----------
 Jaotamata kasum (kahjum)                                |     4 589|     3 400
---------------------------------------------------------+----------+----------
 Kokku omakapital                                        |     5 084|     3 850
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 KOKKU KOHUSTISED JA OMAKAPITAL                          |     9 408|     8 063

Konsolideeritud kasumi- ja muu koondkasumiaruanne

  tuh EUR                                               |   2022 |   2021
--------------------------------------------------------+--------+--------
  Müügitulu (Lisa 22)                                   | 11 074 | 10 096
--------------------------------------------------------+--------+--------
  Müüdud toodangu kulu (Lisa 15)                        |  9 024 |  7 294
--------------------------------------------------------+--------+--------
  Brutokasum                                            |  2 050 |  2 802
--------------------------------------------------------+--------+--------
                                                        |        |
--------------------------------------------------------+--------+--------
  Turustuskulud (Lisa 16)                               |  1 112 |  1 168
--------------------------------------------------------+--------+--------
  Üldhalduskulud (Lisa 17)                              |    424 |    565
--------------------------------------------------------+--------+--------
  Muud äritulud (Lisa 19)                               |    730 |      5
--------------------------------------------------------+--------+--------
  Muud ärikulud (Lisa 20)                               |      9 |     15
--------------------------------------------------------+--------+--------
  Ärikasum                                              |  1 235 |  1 059
--------------------------------------------------------+--------+--------
                                                        |        |
--------------------------------------------------------+--------+--------
  Finantstulud (Lisa 21)                                |    129 |    265
--------------------------------------------------------+--------+--------
  Finantskulud (Lisa 21)                                |    130 |    122
--------------------------------------------------------+--------+--------
  KASUM ENNE TULUMAKSUSTAMIST                           |  1 234 |  1 202
--------------------------------------------------------+--------+--------
                                                        |        |
--------------------------------------------------------+--------+--------
  ARUANDEAASTA PUHASKASUM KOKKU                         |  1 234 |  1 202
--------------------------------------------------------+--------+--------
                                                        |        |
--------------------------------------------------------+--------+--------
  Tava perioodi puhaskasum aktsia kohta (Lisa 14)       |   0,27 |   0,27
--------------------------------------------------------+--------+--------
  Lahustatud perioodi puhaskasum aktsia kohta (Lisa 14) |   0,27 |   0,27

Nordic Fibreboard AS-i 2022. majandusaasta auditeeritud aruande
originaaldokument on esitatud masinloetavas .xhtml formaadis Nasdaq Tallinna
börsile ja allkirjastatud digitaalselt
(Link: https://nasdaqbaltic.com/statistics/et/instrument/EE3100092503/reports
(https://www.globenewswire.com/Tracker?data=Xa_KF0IHY8Po_RqJWKCNXB9PsdqgwSRj75fw
A-ORyI3-
j55QlMkx3KLXThEnohnmknhJeKCbPM8idtZPenhp2QbnaUxpizNoqBGdFuq153F5nS0B9JwAIW1q7dV7
CMdQyGBCyp4v3gQvfZVW84P_K_jHY1j8vSadmCE-
HPVcKFghGwBciBK4KNGeO0cWkJeJs4X9BCPbZjFcoTTcq0DAUFSg6Smkz8eNQoHZwawN6o4=))

Nordic Fibreboard AS-i auditeeritud 2022. aasta majandusaasta aruanne on lisatud
manusena börsiteatele ning on avalikustatud NASDAQ Tallinn ja Nordic Fibreboard
koduleheküljel (
https://group.nordicfibreboard.com/et/investor/finantsaruanded/aastaaruanded)

Torfinn Losvik
Juhatuse esimees
Telefon: + 372 56 99 09 88
E-mail: [email protected]

Content of announcement in English

Title

Nordic Fibreboard AS Audited Annual Report 2022

Message

Supervisory Board of Nordic Fibreboard AS approved the company's audited annual
report for 2022.

OVERVIEW OF OPERATING RESULTS

Consolidated net sales for 2022 were EUR 11.07 million, which is an increase of
10% compared to 2021 sales of EUR 10.10 million. The sales revenue from the
production of fibreboard was EUR 11.04 million in 2022 (2021: EUR 9.84 million). The
reason for such sales increase is due to increased sales of fibreboards in our
key markets such as Finland, Denmark, Estonia and Latvia. The increase is a
combination of price and volume dependent on the Market. The sales revenue in
2022 from real estate management was EUR 39 thousand (2021: EUR 254 thousand), the
decrease in sales revenue of the real estate management was caused by the loss
of the largest tenant at the end of 2021, who occupied the old production halls
of the territory. The Group does not foresee to rent the old production halls
again.

The consolidated EBITDA of Nordic Fibreboard AS for 2022 was EUR 1.73 million
(2021: EUR 1.56 million). EBITDA margin was 16% in 2022 and remained at a similar
level compared to 2021 (2021: 15%). The 2022 EBITDA includes a one-time income
of EUR 697 thousand from the revaluation of the real estate investment in Pärnu
Riverside Development OÜ. However, the Group's gross margin fell from 33% for
full year 2021 to becoming 23% for full year 2022, the main reason for the
decrease in the gross margin was the substantial increase in pricing of
woodchips, the company`s main input costs.

The consolidated net profit of Nordic Fibreboard AS for 2022 was EUR 1.23 million
(2021: EUR 1.20 million). In 2022, the net profit included dividends of EUR 129
thousand from shares owned by Nordic Fibreboard Ltd in the real estate company
Trigon Property Development AS (TPD). In 2021 the net profit included profit
from the revaluation of TPD shares in the amount EUR 265 thousand.

Consolidated statement of financial position

 EUR thousand                                              |31.12.2022|31.12.2021
---------------------------------------------------------+----------+----------
 Cash and cash equivalents                               |         2|        57
---------------------------------------------------------+----------+----------
 Receivables and prepayments (Note 5)                    |       559|       902
---------------------------------------------------------+----------+----------
 Inventories (Note 6)                                    |     1,672|       390
---------------------------------------------------------+----------+----------
 Total current assets                                    |     2,233|     1,349
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Investment property (Note 7)                            |     1,859|     1,152
---------------------------------------------------------+----------+----------
 Financial assets at fair value through profit or loss   |          |
 (Note 9)                                                |       644|       644
---------------------------------------------------------+----------+----------
 Property, plant and equipment (Note 8)                  |     4,670|     4,915
---------------------------------------------------------+----------+----------
 Intangible assets (Note 8)                              |         2|         3
---------------------------------------------------------+----------+----------
 Total non-current assets                                |     7,175|     6,714
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 TOTAL ASSETS                                            |     9,408|     8,063
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Borrowings (Notes 10)                                   |       290|       146
---------------------------------------------------------+----------+----------
 Payables and prepayments (Notes 11)                     |     1,014|       829
---------------------------------------------------------+----------+----------
 Short-term provisions (Note 12)                         |        18|        19
---------------------------------------------------------+----------+----------
 Total current liabilities                               |     1,322|       994
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Long-term borrowings (Notes 10)                         |     2,875|     3,074
---------------------------------------------------------+----------+----------
 Long-term provisions (Note 12)                          |       127|       145
---------------------------------------------------------+----------+----------
 Total non-current liabilities                           |     3,002|     3,219
---------------------------------------------------------+----------+----------
 Total liabilities                                       |     4,324|     4,213
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 Share capital (at nominal value) (Note 13)              |       450|       450
---------------------------------------------------------+----------+----------
 Statutory reserve capital                               |        45|         0
---------------------------------------------------------+----------+----------
 Retained earnings (loss)                                |     4,589|     3,400
---------------------------------------------------------+----------+----------
 Total equity                                            |     5,084|     3,850
---------------------------------------------------------+----------+----------
                                                         |          |
---------------------------------------------------------+----------+----------
 TOTAL LIABILITIES AND EQUITY                            |     9,408|     8,063

Consolidated statement of profit or loss and other comprehensive income

  EUR thousand                           |   2022 |   2021
---------------------------------------+--------+--------
  Revenue (Note 22)                    | 11,074 | 10,096
---------------------------------------+--------+--------
  Cost of goods sold (Note 15)         |  9,024 |  7,294
---------------------------------------+--------+--------
  Gross profit                         |  2,050 |  2,802
---------------------------------------+--------+--------
                                       |        |
---------------------------------------+--------+--------
  Distribution costs (Note 16)         |  1,112 |  1,168
---------------------------------------+--------+--------
  Administrative expenses (Note 17)    |    424 |    565
---------------------------------------+--------+--------
  Other operating income (Note 19)     |    730 |      5
---------------------------------------+--------+--------
  Other operating expenses (Note 20)   |      9 |     15
---------------------------------------+--------+--------
  Operating profit                     |  1,235 |  1,059
---------------------------------------+--------+--------
                                       |        |
---------------------------------------+--------+--------
  Finance income (Note 21)             |    129 |    265
---------------------------------------+--------+--------
  Finance costs (Note 21)              |    130 |    122
---------------------------------------+--------+--------
  PROFIT BEFORE INCOME TAX             |  1,234 |  1,202
---------------------------------------+--------+--------
                                       |        |
---------------------------------------+--------+--------
  NET PROFIT FOR THE FINANCIAL YEAR    |  1,234 |  1,202
---------------------------------------+--------+--------
                                       |        |
---------------------------------------+--------+--------
  Basic earnings per share (Note 14)   |   0.27 |   0.27
---------------------------------------+--------+--------
  Diluted earnings per share (Note 14) |   0.27 |   0.27



A copy of Nordic Fibreboard AS audited annual report for 2022 is attached to the
announcement and is also published on NASDAQ Tallinn and Nordic Fibreboard web
page (https://group.nordicfibreboard.com/en/investor/financial-reports/annual-
reports).

The ESEF-compliant machine-readable annual report is generated only in Estonian
language.

Torfinn Losvik
CEO & Chairman of the Management Board
Phone: + 372 56 99 09 88
E-mail: [email protected]