Market announcement
AS TALLINNA VESI
Category
Management interim statement or quarterly financial report
Attachments
Date
24.04.2008 08:47:47
Title
2008. aasta 1. kvartali majandustulemused (EUR)
Message
TEGEVUSARUANNE 2008. AASTA 1. KVARTALI MAJANDUSTULEMUSED Kokkuvõte 2008. aasta 1. kvartalis kasvas Ettevõtte müügitulu 13,5 miljoni euroni, mis on 2,9%-line kasv võrreldes 2007. aasta 1. kvartaliga. Vee ja reoveeteenuse kogu müügimahud kasvasid 0,4%. Tulu müügist teeninduspiirkonna eraklientidele kasvas 9,5%, müük teeninduspiirkonna juriidilistele klientidele 10,0% ja müük väljaspool teeninduspiirkonda 43,0%, ulatudes 0,8 milj. m³ või 0,4 miljoni euroni. Ettevõtte kasum enne tulumaksu oli 5,7 miljonit eurot, mis on 2007. aastaga võrreldes 6,1% vähem. Elimineerides 2007.aasta 1. kvartalis vabastatud lämmastiku provisjoni mõju, kasvas perioodilise tegevuse kasum 9,1% võrra. Ettevõte investeeris 2,1 miljonit eurot, millest 0,86 miljonit eurot investeeriti võrkude laiendamiseks ja arendamiseks. -------------------------------------------------------------------------------- | miljon EUR | 1 kv | 1 kv | Muutus | 1 kv | 1 kv | Muutus | | | 2008 | 2007 | | 2008 | 2007 | | | | | | | | põhi | | -------------------------------------------------------------------------------- | Müügitulu | 13,5 | 13,1 | 2,9% | 13,5 | 13,1 | 2,9% | -------------------------------------------------------------------------------- | Põhitegevuse tulud | 11,6 | 10,3 | 12,3% | 11,6 | 10,3 | 12,3% | -------------------------------------------------------------------------------- | Põhitegevusega seotud | 1,9 | 2,8 | -31,4% | 1,9 | 2,8 | -31,4% | | muud tulud | | | | | | | -------------------------------------------------------------------------------- | Brutokasum | 7,6 | 7,7 | -2,2% | 7,6 | 6,9 | 9,9% | -------------------------------------------------------------------------------- | Brutokasumi marginaal % | 56,0% | 58,8% | -4,9% | 56,0% | 52,4% | 6,9% | -------------------------------------------------------------------------------- | Ärikasum | 6,4 | 6,8 | -5,3% | 6,4 | 5,9 | 8,4% | -------------------------------------------------------------------------------- | Ärikasumi marginaal % | 47,4% | 51,5% | -7,9% | 47,4% | 45,0% | 5,4% | -------------------------------------------------------------------------------- | Kasum enne | 5,7 | 6,1 | -6,1% | 5,7 | 5,2 | 9,1% | | tulumaksustamist | | | | | | | -------------------------------------------------------------------------------- | Maksustamiseelse kasumi | 42,4% | 46,4% | -8,7% | 42,4% | 39,9% | 6,1% | | marginaal % | | | | | | | -------------------------------------------------------------------------------- | Puhaskasum | 5,7 | 6,1 | -6,1% | 5,7 | 5,2 | 9,1% | -------------------------------------------------------------------------------- | Vara puhasrentaablus % | 3,4% | 3,8% | -9,0% | 3,4% | 3,2% | 5,8% | -------------------------------------------------------------------------------- | Kohustuste osatähtsus | 49,3% | 50,7% | -2,7% | 49,3% | 50,7% | -2,7% | | koguvarast | | | | | | | -------------------------------------------------------------------------------- Brutokasumi marginaal - brutokasum / müügitulu Ärikasumi marginaal - ärikasum / müügitulu Maksustamiseelse kasumi marginaal - kasum enne tulumaksustamist / müügitulu Vara puhasrentaablus - puhaskasum / vara kokku Kohustuste osatähtsus koguvarast - kohustused kokku / vara kokku Kasumiaruanne 1. kvartal 2008 Müügitulud 2008. aasta 1. kvartalis kasvas Ettevõtte tulu 13,5 miljoni euroni, mis on 2,9% suurune kasv võrreldes eelmise aasta sama perioodiga. Ettevõtte tulud põhitegevusest olid 11,6 miljonit eurot. Põhitegevuse tulu koosneb peamiselt era- ja juriidilistele klientidele osutatud veemüügi ning reoveeteenuse tulust nii teeninduspiirkonnas kui väljaspool. Samuti sisaldab see Tallinna linnalt saadavat sademetevee kogumise süsteemide käigushoidmise ja hoolduse tasu. Tulud veemüügist ja reoveeteenustest kasvasid võrreldes eelmise aasta 1. kvartaliga 12,1% võrra 10,8 miljoni euroni, tulenevalt 11,7% suurusest tariifitõusust alates 1. jaanuarist 2007 kombinatsioonis allkirjeldatud teguritega. Sektori lõikes jagunes kasv järgnevalt: müük eraklientidele kasvas 9,5% võrra 5,7 miljoni euroni. Müük äriklientidele teeninduspiirkonnas kasvas 10,0% võrra 4,5 miljoni euroni. Müük äriklientidele väljaspool teeninduspiirkonda (peamiselt ümbritsevatele omavalitsustele pakutav reovee puhastamise teenus) kasvas 43,0% ulatudes 832 tuhande m³ ehk 0,4 miljoni euroni. Saadud ülereostustasu oli 0,14 miljonit eurot suurem, kui 2007. aasta samal perioodil. 2008. aasta 1. kvartalis vähenesid eraklientide müügimahud 143 tuhande m³ ehk 1,9% võrra võrreldes 2007. aasta 1. kvartaliga. Meie arvates selgitab seda osaliselt soe talv, aga olemasolevate tarbijate siirdumine lähivaldadesse. Ettevõte on esitanud 2007. aasta 1. kvartaliga võrreldes arveid suuremale arvule kinnistuomanikele, aga eelpool mainitud asjaolude koosmõjul on selles grupis väike langus. Müük juriidilistele klientidele teeninduspiirkonnas langes võrreldes 2007. aasta 1. kvartaliga mitme teguri tõttu. Osa kaotatud müügimahust tuleneb ettevõtete siirdumisest Tallinna äärealadele tänu madalamatele kinnisvarahindadele. Lisaks mõjutas 2008. aasta 1. kvartali müüki võrreldes eelmise aasta sama perioodiga see, et 2007. aasta lõpus viis üks Ettevõtte suurimaid juriidilisi kliente oma asutuse teenusepiirkonnast välja, mille tõttu vähenes 2008. aasta 1. kvartalis müügimaht 69 tuhande m3 võrra. 1. kvartali müügis sisaldub ka üks erandlik müügi suurenemine kogumahus 43 tuhande m3 võrra kliendile, kes varem oma puurkaevu kasutanud kliendi tarbimisest. Kinnisvaraturg tundub olevat jõudnud stagnatsiooni faasi. Hoolimata sellest, et uute korterite ning ärihoonete ehitus on jätkuvalt kasvanud, jääb suur osa uutest hoonetest tühjaks kuna nii juriidilised kliendid kui ka elamispinda vajavad eraisikud ostavad kinnisvara pigem Tallinna äärealadele, kus kinnisvarahinnad on taskukohasemad. See trend kajastub ka Ettevõtte müüginumbrites ümbritsevatele aladele, mis on kasvanud 43,0% võrreldes eelmise aasta sama perioodiga. See kajastab Ettevõtte edukat strateegiat saamaks tagasi kliente, kes on otsustanud Tallinnast lahkuda. Ettevõte otsib aktiivselt täiendavaid võimalusi ümbekaudsetesse valdadesse laienemiseks. 2008. aasta 1. kvartalis kasvas sademetevee teenuse ja tuletõrjehüdrantide süsteemide käigushoidmise ja hoolduse tasu 9,8% võrra 0,63 miljoni euroni võrreldes 2007. aasta sama perioodiga. See on kooskõlas lepingu nõuete ja sätetega, mille kohaselt sademetevee ja tuletõrjehüdrantide kulud arveldatakse tegelike kulude ja töödeldud mahtude alusel. See on lepingujärgselt kokkulepitud aastani 2020. Põhitegevusega seotud muud tulud olid 1,9 miljonit eurot (peamiselt liitumised ning sademetevee torustiku ehitus), mis on 0,88 miljonit eurot vähem võrreldes 2007. aasta 1. kvartaliga. Tulud kajastatakse antud real siis, kui on tõenäoline, et antud tulud tasumisele kuuluvad. Tallinna linnaga 30. novembril 2007.aastal sõlmitud uue lepingu kohaselt on tulude voog aasta vältel palju ühtlasem. Enne 2008. aastat kinnitati märkimisväärne osa töödest ja tuludest 1. kvartalis. Alates 2008. aasta märtsist on antud real oleva tulu arvestamisel peamiselt kasutatud põhitegevuspiirkonna erakliendile müüdud vee mahtu ning fikseeritud arenduskomponenti kuupmeetri kohta. Müüdud toodete ja teenuste kulu ja brutokasumi marginaal Põhitegevusega seotud müüdud toodete ja teenuste kulu oli 2008. aasta 1. kvartalis 4,2 miljonit eurot, so 1,4 miljonit eurot ehk 47,4% enam kui eelmise aasta samal perioodil. Siiski võrreldes 2007. aasta 1. kvartaliga kasvasid perioodilised kulud vaid 0,5 miljoni euro ehk 13,5% võrra, kuna 2007. aasta 1. kvartali tulemusi mõjutas saastetasu provisjoni vabastamine, mis vähendas kulusid 0,85 miljonit eurot. 2008. aasta 1. kvartalis ei ole Ettevõte viiendat järjestikust kvartalit ületanud ühtegi saastenormi, mistõttu vähenesid keskkonnamaksud 1. kvartalis 0,19 miljoni euro võrra, osaliselt tasandatud maksumäära tõusuga 20% võrra. Kuna sissetuleva reovee saastatustase varieerub ning ettevõttel puudub täielik kontroll sademevee väljalaskude saastatuse üle, siis ei saa me garanteerida sama tulemuse kordumist ka 2008. aasta järgmistes kvartalites. Kvartali kemikaalikulud olid 0,29 miljonit eurot, mis on 11,7% vähem kui 2007. aasta samal perioodil. See on puhastatud reovee hulga ja doseeritud kemikaalide kombineeritud tulemus, seda vaatamata kõrgetele kemikaalihindadele. Tõusu sellel kulukirjel võib oodata aasta järgmistel kuudel. Elektrikulud kasvasid 2008. aasta 1. kvartalis võrreldes eelmise aasta sama perioodiga 0,02 miljoni euro ehk 3,7% võrra kõrgema elektrihinna ning puhastatud reovee hulga tõttu. Palgakulud kasvasid 0,24 miljoni euro ehk 28,5% võrra seoses mitme asjaoluga. Esiteks, suurenenud töötajate arv seoses uute teenuste käivitamisega ettevõttes. Teiseks, konkurentsitingimused tööjõuturul põhjustasid olulise palkade tõusu. Viimasena mõjutas 1. kvartalit ka osakondade ümberstruktureerimine ja ühendamine. Struktuuri mõjusid elimineerides kasvasid palgad 18,6%. See on samal tasemel Eesti keskmise palgatõusuga, mis viimaste andmete põhjal on tõusnud ligikaudu 20% aasta baasil. Muud müüdud toodete ja teenuste kulud kasvasid 0,15 miljoni euro ehk 23,7% võrra. 2008. aasta 1. kvartalis kasvasid muud kulud mitmete tugiteenuste (nt transport ja turvateenused) kulude suurenemise tõttu, mis tulenes tööjõukulude märkimisväärsest kasvust Tallinnas. Ettevõte kasutas ära langust ehitusturul ning elimineeris osa kulude kasvust allkirjastades ühe raamlepingu kvartali lõpuks oluliselt konkurentsivõimelisemate hindadega. 2008. aasta 1. kvartalis avaldas eelnimetatud kulude kasvule mõju ligi 0,05 miljoni euro ulatuses, kuid me ei plaani selle kordumist järgnevates kvartalites. Kulude kasvust tingitud surve esitab juhtidele väljakutse otsimaks edasisi võimalusi efektiivsuse suurendamiseks protsesside, hangete jms ülevaatamise kaudu. Ülaltoodud mõjude tulemusena oli 2008. aasta 1. kvartalis ettevõtte brutokasum 7,6 miljonit eurot, mis on 0,17 miljoni euro või 2,2% võrra vähem, kui 2007. aasta 1. kvartali 7,7 miljoni euro suurune brutokasum. Võrreldes 2008. aasta 1. kvartali brutokasumit 2007. aasta 1. kvartali brutokasumiga perioodilisest tegevusest, kasvas brutokasum 9,9% ehk 0,68 miljoni euro võrra. Ärikulud ja ärikasumi marginaal Turustuskulud kasvasid 2008. aasta 1. kvartalis võrrelduna 2007. aasta 1. kvartaliga 0,01 miljoni euro võrra 0,22 miljoni euroni. Seda mõjutas peamiselt üldiselt tõusnud palgatase, kuid ka amortisatsiooni kasv, mis on seotud kliendiinfosüsteemiga (KLIF). 2008. aasta 1. kvartalis kasvasid üldhalduskulud 0,01 miljonit eurot 0,93 miljoni euroni palgakulude suurenemise tulemusena, mis on tingitud üleüldisest palgainflatsioonist, kui ka koondamishüvitiste tasumisest 2008. aasta 1. kvartalis. Tööjõukulud olid 2008. aasta 1. kvartalis 1,5 miljonit eurot, mis on 0,31 miljonit eurot enam, kui 2007. aasta samal perioodil. See on 2008. aasta alguses üle kogu Ettevõtte läbi viidud palkade korrigeerimise ning täiendava 0,08 miljoni euro suuruse uute tegevuste käivitamisest tuleneva lisapalgakulu ja koondamiskulude tulemus. Ilma nende lisakuludeta oleks tööjõukulude kasv olnud 0,23 miljoni euro või 19%. Muud äritulud/kulud andsid 2008. aasta 1. kvartalis kokku kulu 0,01 miljonit eurot võrreldes 0,15 miljoni euro suuruse tuluga 2007. aasta 1. kvartalis, tulenedes põhiliselt 0,15 miljoni krooni ebatõenäoliste võlgade laekumisest 2007. aasta 1. kvartalis. Ülaltoodud mõjude tulemusena oli ettevõtte ärikasum 2008. aasta 1. kvartalis 6,4 miljonit eurot, mis on 0,36 miljonit eurot vähem kui 6,8 miljoni euro suurune ärikasum 2007. aasta 1. kvartalis. Võrreldes 2008. aasta 1. kvartali ärikasumit 2007. aasta 1. kvartali perioodilise tegevusega, kasvas ärikasum 8,4% ehk 0,49 miljoni euro võrra. Finantskulud Ettevõtte neto finantskulud olid 2008. aasta 1. kvartalis 0,68 miljonit eurot, mis on 0,02 miljoni euro ehk 2,4% võrra enam kui 2007. aasta 1. kvartalis. Võrrelduna 2007. aasta 1. kvartaliga on Ettevõtte intressikulud tõusnud 12,2% võrra. See on tingitud asjaolust, et osa Ettevõtte laenudest on seotud 6 kuu EURIBORi määraga, mis on tõusnud 4,686%ni 2008. aasta 1. kvartaliks võrreldes 3,736%ga 2007. aasta 1. kvartalis. Intressikulude tõusu katab osaliselt 2008. aasta 1. kvartalis kasvanud finantstulu, mis on Ettevõtte efektiivsema rahade juhtimise, tugeva rahalise seisu ja suurenenud intressimäärade tulemus. Maksustamiseelne kasum Ettevõtte maksustamiseelne kasum oli 2008. aasta 1. kvartalis 5,7 miljonit eurot, so 0,37 miljonit eurot vähem kui 6,1 miljoni euro suurune maksustamiseelne kasum 2007. aasta 1. kvartalis. Võrreldes 2008. aasta 1. kvartali maksustamiseelset kasumit 2007. aasta 1. kvartali perioodilise tegevusega, kasvas maksustamiseelne kasum 9,1% ehk 0,48 miljoni euro võrra. Bilanss 2008. aasta kolme kuu jooksul investeeris ettevõte põhivarasse 2,1 miljonit eurot. Lõpetamata-, materiaalne- ja immateriaalne põhivara oli 2008. aasta 31. märtsi seisuga 138,5 miljonit eurot. Käibevara suurenes aasta kolme kuuga 4,5 miljoni euro võrra 28,4 miljoni euroni, sealjuures on 9,5 miljoni euro võrra kasvanud rahajääk pangas. Lühiajalised kohustused vähenesid kolme kuu jooksul 2,4 miljoni euro võrra 10,4 miljoni euroni. See tulenes peamiselt kohustuste vähenemisest seoses 2007. aasta lõpu kapitaliinvesteeringute arvete tasumisega 2008. aasta 1. kvartalis. Ettevõte hoiab jätkuvalt oma finantsvõimendust sihiks võetud 50% tasemel. 2008. aasta 31. märtsi seisuga oli kohustuste osakaal varast 49,3%. Pikaajalised kohustused olid 2008. aasta märtsi lõpu seisuga 71,9 miljonit eurot, mis koosnes peaaegu täielikult kahe pikaajalise pangalaenu jäägist. Rahakäive 2008. aasta 1. kvartali jooksul oli Ettevõtte äritegevuse rahakäive 7,9 miljonit eurot, mis on 2,4 miljonit eurot enam kui 2007. aasta samal perioodil. Perioodilise põhitegevuse ärikasum on jätkuvalt peamine tegur ettevõtte äritegevuse rahakäibe kasvus. Lisaks andis oma panuse võlgade tasumine 2008. aasta 1. kvartalis. 2008. aasta 1. kvartali investeerimistegevuse raha sissevool oli 1,7 miljonit eurot, so 3,9 miljonit eurot enam kui 2007. aasta 1. kvartalis. Selle peamiseks põhjuseks olid suured rajamistulu arved, mis kuulusid maksmisele ning maksti 2008. aasta 1. kvartalis, mille tasakaalustasid osaliselt suurenenud investeerimismaksed. 1. kvartalis investeeris ettevõte 2,1 miljonit eurot - 1,5 miljonit eurot võrkude laiendamiseks ja parendamiseks, 0,31 miljonit eurot Paljassaare sade- ja reovee puhastusjaama uuendamiseks, 0,06 miljonit eurot vee kvaliteedi säilitamiseks (Ülemiste veepuhastusjaam ja toorvee kvaliteet) ja 0,19 miljonit eurot muid investeeringuid (IT, investeeringute väärtuse säilimine, veenäidikud jne). Raha väljavoolu finantstegevusest ei olnud võrreldes 2007. aasta 1. kvartali 0,02 miljoni euro suuruse raha väljavooluga. Eelnevate tegurite mõjul oli raha sissevool 2008. aasta 1. kvartali jooksul 9,5 miljonit eurot võrrelduna 3,2 miljoni euro suuruse raha sissevooluga 2007. aasta 1. kvartalis. Raha ja raha ekvivalentide saldo oli 2008. aasta 31. märtsi seisuga 20,9 miljonit eurot. Töötajad 2008. aasta 1. kvartali lõpus töötas ettevõttes 317 töötajat, võrreldes 313 töötajaga 2007. aasta 1.kvartali lõpus. Dividendid ja aktsiahinna muutused 2007. aasta majandustulemuste põhjal tegi Ettevõtte juhatus ettepaneku maksta 15 914 640 eurot dividende. Sellest 639 eurot makstakse B-aktsia omanikule ja 15 914 000 eurot, so 0,8 eurot aktsia kohta A-aktsia omanikele. Ettevõtte juhatus tegi ettepaneku maksta dividendid välja 2008. aasta 13. juunil vastavalt 30. mail 2008 kell 23.59 fikseeritavale aktsionäride nimekirjale. 2008. aasta 31.märtsi seisuga olid üle 5%-list otseosalust omavad AS Tallinna Vesi aktsionärid: -------------------------------------------------------------------------------- | United Utilities (Tallinn) BV | 35.3% | -------------------------------------------------------------------------------- | City of Tallinn | 34.7% | -------------------------------------------------------------------------------- | Nordea Bank Finland Plc kliendikonto | 8.78% | -------------------------------------------------------------------------------- | Morgan Stanley + Co International Equity client | 6.81% | | account | | -------------------------------------------------------------------------------- Kvartali lõpus, 31. märtsil 2008, oli AS Tallinna Vesi aktsia sulgemishind 12.50 eurot, mis on 3,6% madalam võrreldes kvartali alguses olnud 12.96 eurost ületades märkimisväärselt OMX Tallinn indeksit, mis langes kvartalis 14,0%. Põhitegevusega seotud arengud 2008. aastal 2008. aasta 1. kvartalis juurutas Ettevõte Tallinna linnaga sõlmitud Teenuslepingu muudatuse, mis allkirjastati 2007. aasta 30. novembril. Teenuslepingut pikendati 2020. aastani. Samuti fikseeriti K-koefitsient 2020. aastani - 2% aastatel 2009 kuni 2010 ning 0% aastatel 2011 kuni 2020. Lisainvesteeringuid (v.a. lepinguga kinnitatud hooldusinvesteeringud ning võrkude laienduse kava) ei saa Ettevõtte käest nõuda enne 2020. aastat. Vastavalt lepingule peavad võrkude laiendamise ehitused olema lõpetatud märtsiks 2011. Kompenseerimaks Ettevõttele ehitus- ja finantseerimiskulutusi, lisatakse alates 1. märtsist 2008 kuni 2017 aasta lõpuni eraisikute vee tariifile spetsiaalne arenduskomponent ning Tallinna linn kompenseerib sademetevee torustike rajamiskulu igakuiselt 0,28 miljonit eurot kuni 2011. aasta lõpuni. Arenduskomponent kompenseeritakse tarbijatele Tallinna linna poolt otsese maksega Ettevõttele. Arenduskomponent on suurem ehitusperioodil (0,58 eurot m3 kohta kuni 31. detsembrini 2011 ja 0,39 eurot m3 kohta aastatel 2012 kuni 2017). Aasta algusest tõusid vee- ja kanalisatsiooniteenuse tariifid, mis said Tallinna linnavalitsuse heakskiidu 2007. aasta lõpus. Tariifi tõus on 11,7% teeninduspiirkonnas ning sellelähedane väljaspool teeninduspiirkonda, olenevalt individuaalsetest lepingutest ümbritsevate omavalitsustega 1. kvartalis vastasid kõikidest heitvee- ja sademeteveeväljalaskudest võetud proovid kõikidele seatud nõuetele ning selle tulemusena kohaldusid selles kvartalis 50% võrra vähendatud saastetasumäärad. Tänu suurepärastele puhastustulemustele hoidis Ettevõte 2008. aasta 1. kvartalis keskkonnatasudelt kokku 0,18 miljonit eurot. Internetipõhise iseteeninduse kasutamine on kasvanud 4-kordselt võrreldes 2007. aasta 31. märtsiga, enam kui 10% arvetest esitati interneti kaudu. Meil on heameel kinnitada, et 2008. aasta 1. kvartalis täitsime kõiki teenustasemete nõudeid vastavalt Tallinna Linnaga sõlmitud lepingule. -------------------------------------------------------------------------------- | KASUMIARUANNE | I kvartal | I kvartal | 12 kuud | -------------------------------------------------------------------------------- | (tuhat EUR) | 2008 | 2007 | 2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Põhitegevuse tulud | 11 561 | 10 298 | 41 436 | -------------------------------------------------------------------------------- | Põhitegevusega seotud muud tulud | 1 940 | 2 828 | 11 021 | -------------------------------------------------------------------------------- | Müügitulu | 13 501 | 13 126 | 52 457 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Müüdud toodete/teenuste kulud | -4 228 | -2 869 | -13 848 | -------------------------------------------------------------------------------- | Põhitegevusega seotud muud kulud | -1 718 | -2 535 | -10 110 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | BRUTOKASUM | 7 555 | 7 722 | 28 499 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Turustuskulud | -216 | -202 | -866 | -------------------------------------------------------------------------------- | Üldhalduskulud | -928 | -913 | -3 633 | -------------------------------------------------------------------------------- | Muud äritulud/-kulud (-) | -5 | 153 | 118 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | ÄRIKASUM | 6 406 | 6 761 | 24 118 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Finantstulud/-kulud (-) | -686 | -670 | -2 827 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | KASUM ENNE TULUMAKSUSTAMIST | 5 720 | 6 091 | 21 291 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Dividendide tulumaks | 0 | 0 | -3 533 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | PERIOODI PUHASKASUM | 5 720 | 6 091 | 17 757 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Jaotatav: | | | | -------------------------------------------------------------------------------- | A- aktsia omanikele | 5 719 | 6 090 | 17 757 | -------------------------------------------------------------------------------- | B- aktsia omanikule | 0,64 | 0,64 | 0,64 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Kasum aktsia kohta eurodes | 0,29 | 0,30 | 0,89 | -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- | BILANSS | | | | -------------------------------------------------------------------------------- | (tuhat EUR) |31.03.2008 |31.03.2007 | 31.12.2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | VARAD | | | | -------------------------------------------------------------------------------- | KÄIBEVARA | | | | -------------------------------------------------------------------------------- | Raha ja pangakontod | 20 908 | 18 551 | 11 403 | -------------------------------------------------------------------------------- | Väärtpaberid | 0 | 631 | 0 | -------------------------------------------------------------------------------- | Nõuded ostjate vastu | 6 848 | 7 401 | 11 838 | -------------------------------------------------------------------------------- | Viitlaekumised ja ettemaksed | 334 | 273 | 331 | -------------------------------------------------------------------------------- | Varud | 250 | 201 | 233 | -------------------------------------------------------------------------------- | Varad müügiks | 71 | 97 | 72 | -------------------------------------------------------------------------------- | KOKKU KÄIBEVARA | 28 411 | 27 153 | 23 877 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | PÕHIVARA | | | | -------------------------------------------------------------------------------- | Materiaalne põhivara | 128 721 | 121 833 | 127 375 | -------------------------------------------------------------------------------- | Immateriaalne põhivara | 3 035 | 3 249 | 3 140 | -------------------------------------------------------------------------------- | Lõpetamata varad - v.a. | 1 760 | 4 077 | 3 070 | | liitumis-ehitused | | | | -------------------------------------------------------------------------------- | Lõpetamata torustikud - uued liitumised | 4 800 | 5 254 | 5 756 | -------------------------------------------------------------------------------- | Ettemaksed materiaalse põhivara eest | 202 | 206 | 345 | -------------------------------------------------------------------------------- | KOKKU PÕHIVARA | 138 518 | 134 618 | 139 686 | -------------------------------------------------------------------------------- | VARAD KOKKU | 166 929 | 161 771 | 163 562 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | KOHUSTUSED JA OMAKAPITAL | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | LÜHIAJALISED KOHUSTUSED | | | | -------------------------------------------------------------------------------- | Pikaajaliste laenukohustuste | 2 665 | 11 | 2 651 | | lühiajaline osa | | | | -------------------------------------------------------------------------------- | Hankijate ja muud võlad | 3 492 | 4 046 | 5 558 | -------------------------------------------------------------------------------- | Maksuvõlad | 1 513 | 1 269 | 1 693 | -------------------------------------------------------------------------------- | Lühiajalised eraldised | 159 | 49 | 143 | -------------------------------------------------------------------------------- | Tulevaste perioodide tulud | 2 553 | 2 100 | 2 691 | -------------------------------------------------------------------------------- | LÜHIAJALISED KOHUSTUSED KOKKU | 10 382 | 7 475 | 12 736 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | PIKAAJALISED KOHUSTUSED | | | | -------------------------------------------------------------------------------- | Pangalaenud | 71 932 | 74 541 | 71 932 | -------------------------------------------------------------------------------- | Muud võlad | 7 | 6 | 7 | -------------------------------------------------------------------------------- | PIKAAJALISED KOHUSTUSED KOKKU | 71 940 | 74 548 | 71 939 | -------------------------------------------------------------------------------- | KOKKU KOHUSTUSED | 82 321 | 82 023 | 84 675 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | OMAKAPITAL | | | | -------------------------------------------------------------------------------- | Aktsiakapital | 12 782 | 12 782 | 12 782 | -------------------------------------------------------------------------------- | Ülekurss | 24 734 | 24 734 | 24 734 | -------------------------------------------------------------------------------- | Kohustuslik reservkapital | 1 278 | 1 278 | 1 278 | -------------------------------------------------------------------------------- | Eelmiste perioodide kogunenud kasum | 40 093 | 34 863 | 22 336 | -------------------------------------------------------------------------------- | Perioodi puhaskasum | 5 720 | 6 091 | 17 757 | -------------------------------------------------------------------------------- | KOKKU OMAKAPITAL | 84 607 | 79 749 | 78 887 | -------------------------------------------------------------------------------- | KOHUSTUSED JA OMAKAPITAL KOKKU | 166 929 | 161 771 | 163 562 | -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- | RAHAKÄIBE ARUANNE | I kvartal | I kvartal | 12 kuud | -------------------------------------------------------------------------------- | (tuhat EUR) | 2008 | 2007 | 2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | ÄRITEGEVUSE RAHAKÄIVE | | | | -------------------------------------------------------------------------------- | Ärikasum | 6 406 | 6 761 | 24 118 | -------------------------------------------------------------------------------- | Korrigeerimine kulumiga | 1 415 | 1 259 | 5 064 | -------------------------------------------------------------------------------- | Korrigeerimine rajamistulude ja | -222 | -293 | -911 | | -kuludega | | | | -------------------------------------------------------------------------------- | Muud finantstulud ja -kulud | -26 | -15 | -101 | -------------------------------------------------------------------------------- | Kasum (-) / kahjum (+) põhivara müügist | 0 | 1 | -155 | -------------------------------------------------------------------------------- | Kuluks kantud põhivarad | 0 | 0 | 30 | -------------------------------------------------------------------------------- | Tegevuskuludest kapitaliseeritud | -360 | -297 | -1 263 | | põhivaraks | | | | -------------------------------------------------------------------------------- | Äritegevusega seotud käibevara muutus | 845 | -979 | -2 049 | -------------------------------------------------------------------------------- | Äritegevusega seotud kohustuste muutus | -206 | -929 | -21 | -------------------------------------------------------------------------------- | Makstud intressid | 0 | -1 | -3 386 | -------------------------------------------------------------------------------- | Rahajäägi muutus äritegevusest | 7 852 | 5 508 | 21 326 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | INVESTEERIMISTEGEVUSE RAHAKÄIVE | | | | -------------------------------------------------------------------------------- | Põhivara soetamine, sh liitumisehitised | -4 621 | -3 327 | -16 997 | -------------------------------------------------------------------------------- | Rajamistasudest finantseeritavate | 6 018 | 934 | 6 509 | | torustike eest laekumine | | | | -------------------------------------------------------------------------------- | Põhivara müügitulu ja saadud/tagastatud | 0 | 1 | 25 | | ettemaksed | | | | -------------------------------------------------------------------------------- | Müügiootel varade ja | 0 | 0 | 15 | | kinnisvarainvesteeringu müügitulu | | | | -------------------------------------------------------------------------------- | Saadud intressid | 255 | 145 | 676 | -------------------------------------------------------------------------------- | Rahajäägi muutus | 1 653 | -2 248 | -9 773 | | investeerimistegevusest | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | FINANTSEERIMISTEGEVUSE RAHAKÄIVE | | | | -------------------------------------------------------------------------------- | Tasutud kapitalirendi maksed | 0 | -20 | -30 | -------------------------------------------------------------------------------- | Tasutud dividendid | 0 | 0 | -12 527 | -------------------------------------------------------------------------------- | Tulumaks dividendidelt | 0 | 0 | -3 533 | -------------------------------------------------------------------------------- | Rahajäägi muutus | 0 | -20 | -16 091 | | finantseerimistegevusest | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Rahajäägi kogumuutus | 9 505 | 3 241 | -4 537 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | RAHA JA RAHA EKVIVALENDID PERIOODI | 11 403 | 15 940 | 15 940 | | ALGUSES | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | RAHA JA RAHA EKVIVALENDID PERIOODI | 20 908 | 19 181 | 11 403 | | LÕPUS | | | | -------------------------------------------------------------------------------- Lisainformatsioon: Siiri Lahe Finantsdirektor +372 6262 262 siiri.lahe@tvesi.ee
Title
Results of operations for the 1st quarter 2008 (EUR)
Message
MANAGEMENT REPORT RESULTS OF OPERATIONS - FOR THE 1st QUARTER 2008 Overview In the 1st quarter of 2008 the Company's total sales increased, year on year, by 2.9% to 13.5 mln EUR. Total water and sewerage services sale volumes increased by 0.4%. Within the service area sales to residential customers increased by 9.5% year on year, sales to commercial customers increased by 10.0% year on year, and sales to customers outside of the service area increased by 43.0% year on year, reaching 0.8 mln m3 or 0.4 mln EUR. The Company's profit before taxes was 5.7 mln EUR, which is a 6.1% decrease compared to 2007. Eliminating the one-off nitrogen provision release in the 1st quarter of 2007, profit before tax increased by 9.1%. The Company invested 2.1 mln EUR, of which 0.86 mln EUR was invested in network extension and developments. -------------------------------------------------------------------------------- | mln EUR | Q 1 | Q 1 | Change | Q 1 | Q 1 2007 | Change | | | 2008 | 2007 | | 2008 | underlying| | -------------------------------------------------------------------------------- | Sales | 13,5 | 13,1 | 2,9% | 13,5 | 13,1 | 2,9% | -------------------------------------------------------------------------------- | Main operating | 11,6 | 10,3 | 12,3% | 11,6 | 10,3 | 12,3% | | activities | | | | | | | -------------------------------------------------------------------------------- | Other operating | 1,9 | 2,8 | -31,4% | 1,9 | 2,8 | -31,4% | | activities | | | | | | | -------------------------------------------------------------------------------- | Gross profit | 7,6 | 7,7 | -2,2% | 7,6 | 6,9 | 9,9% | -------------------------------------------------------------------------------- | Gross profit | 56,0% | 58,8% | -4,9% | 56,0% | 52,4% | 6,9% | | margin % | | | | | | | -------------------------------------------------------------------------------- | Operating profit | 6,4 | 6,8 | -5,3% | 6,4 | 5,9 | 8,4% | -------------------------------------------------------------------------------- | Operating profit | 47,4% | 51,5% | -7,9% | 47,4% | 45,0% | 5,4% | | margin % | | | | | | | -------------------------------------------------------------------------------- | Profit before | 5,7 | 6,1 | -6,1% | 5,7 | 5,2 | 9,1% | | taxes | | | | | | | -------------------------------------------------------------------------------- | Profit before | 42,4% | 46,4% | -8,7% | 42,4% | 39,9% | 6,1% | | taxes margin | | | | | | | -------------------------------------------------------------------------------- | Net profit | 5,7 | 6,1 | -6,1% | 5,7 | 5,2 | 9,1% | -------------------------------------------------------------------------------- | ROA % | 3,4% | 3,8% | -9,0% | 3,4% | 3,2% | 5,8% | -------------------------------------------------------------------------------- | Debt to total | 49,3% | 50,7% | -2,7% | 49,3% | 50,7% | -2,7% | | capital employed | | | | | | | -------------------------------------------------------------------------------- Gross profit margin - Gross profit / Net sales Operating profit margin - Operating profit / Net sales Profit before taxes margin - Profit before taxes / Net sales ROA - Net profit /Total Assets Debt to Total capital employed - Total Liabilities / Total capital employed Profit and Loss Statement 1st quarter 2008 Sales In the 1st quarter of 2008 the Company's total sales increased, year on year, by 2.9% to 13.5 mln EUR. Sales from the Company's main operating activities were 11.6 mln EUR. Sales in the main operating activity principally comprise of sales of water and treatment of wastewater to domestic and commercial customers within and outside of the service area, and fees received from the City of Tallinn for operating and maintaining the stormwater system. Sales of water and wastewater services were 10.8 mln EUR, a 12.1% increase compared to the 1st quarter of 2007, resulting from the 11.7% increase in tariffs from 1 January 2007 for the Company's residential and commercial customers combined with the factors described below. Included within this amount were the following increases by sector: within the service area sales to residential customers increased by 9.5% to 5.7 mln EUR. Sales to commercial customers increased by 10.0% to 4.5 mln EUR. Sales to customers outside of the service area - primarily bulk volumes of wastewater treatment services provided to the surrounding municipalities - increased by 43.0% reaching 832 thousand m3 or 0.4 mln EUR. Over pollution fees received were 0.14 mln EUR higher than in the 1st quarter of 2007. In the 1st quarter of 2008, the volumes sold to residential customers dropped 1.9% or 143 thousand m3. In our opinion this is partly explainable by the mild winter and people moving to the surrounding areas of Tallinn. The Company has billed more properties than in the 1st quarter of 2007, but a combination of the factors described above has led to the slight reduction in this group. The volumes sold to commercial customers inside the service area decreased compared to the relevant period in 2007 due to several factors combined. Part of the reduction in sales volumes in Tallinn is due to companies moving to the surrounding municipalities, attracted by cheaper real estate prices. In addition the sales in 1st quarter of 2008 compared to the 1st quarter of 2007 were impacted by the fact that one of the Company's biggest industrial customers moved its facilities out of our area at the end of 2007, this resulted in a volume loss of 69 thousand m3 in the 1st quarter of 2008. 1st quarter includes also an exceptional sales totaling 43 thousand m3 for a particular customer who historically has used its own well. The real estate market seems to have reached a point of stagnation. Even though the number of new apartments and business buildings constructed in Tallinn has continued to increase, a large share of new buildings remain vacant as commercial customers as well as people in need of space are moving to surrounding areas due to more affordable real estate prices. This trend is also reflected in the Company's sales to surrounding areas, which has increased by 43.0% compared to the same period last year. This reflects the success of the Company's strategy to re-capture customers leaving Tallinn. The Company is actively looking for the further expansion opportunities into the neighboring municipalities. The sales from the operation and maintenance of the stormwater and firehydrant system increased by 9.8% to 0.63 mln EUR in the 1st quarter of 2008 compared to the same period in 2007. This is in accordance with the terms and conditions of the contract whereby the stormwater and fire hydrant costs are invoiced based on actual costs and volumes treated. This is contractually agreed up to 2020. Sales revenues from other operating activities, mainly connections and stormwater construction, totaled 1.9 mln EUR which is 0.88 mln EUR less than in the 1st quarter of 2007. In this line the revenue is recorded when it is probable that the revenues will flow to the company. According to the new contract concluded with the City of Tallinn on 30th November 2007, the revenue flow will be more even throughout the year. Before 2008 a considerable amount of works and revenues were confirmed in the first quarter. Starting from March 2008 the revenue in this line is mainly calculated using the service area domestic water sales volumes and fixed development rate per cubic meter. Cost of Goods Sold and Gross Margin The cost of goods sold for the main operating activity was 4.2 mln EUR in the 1st quarter of 2008, an increase of 1.4 mln EUR or 47.4% from the equivalent period in 2007. Still the underlying costs increased only by 0.5 mln EUR or 13.5% compared to 1st quarter of 2007, as the 2007 1st quarter results were impacted by release of the pollution tax accrual which reduced the costs by 0.85 mln EUR. In the 1st quarter of 2008 the Company has for the fifth successive quarter recorded zero failures in all pollution measures taken, and as a result the amount of pollution tax payable reduced by 0.19 mln EUR. This is offset by an increase in tax rates year on year of 20%. As the pollution level of the incoming sewerage does vary and the company does not have full control over stormwater outlets regarding the pollution, we cannot guarantee the achievement will be repeated in all following quarters of 2008. The chemical costs were 0.29 mln EUR, this represents an 11.7% decrease compared to the corresponding period in 2007. This result is the combination of volumes treated and chemicals dosed, whilst chemical prices stay high, an increase in this cost line can be expected later in the year. Electricity costs increased by 0.02 mln EUR or 3.7% in the 1st quarter of 2008 compared to the 1st quarter of 2007 due to higher electricity prices combined with volumes treated. Salary expenses increased by 0.24 mln EUR or 28.5% due to number of factors. Firstly, increased headcount from the new services launched. Secondly, a highly competitive labour market has led to significant salary inflation. Finally in the 1st quarter of 2008 the Company restructured and combined departments. Eliminating these structural changes would give us 18.6% increase in salaries. This is in line with the increase in average salaries in the Estonian market, which according to the latest statistics has increased around 20% year on year. Other cost of goods sold in the main operating activity increased by 0.15 mln EUR, or 23.7% year on year. This was due to higher costs on a number of support service contracts, such as transport, security services, maintenance cost, reflecting the significant increase in labour and services costs in Tallinn. The Company has taken advantage of the fall in the construction market and eliminated part of this cost inflation by signing new framework contract at more competitive prices by end of the quarter. The specific impact to costs increase was around 0.05 mln EUR in 1st quarter 2008, but we do not assume to repeat it during the following quarters. The cost pressure sets the challenge to the management to identify the further efficiency opportunities through review of processes, procedures and procurements for example. As a result of all of the above the Company's gross profit for the 1st quarter of 2008 was 7.6 mln EUR, which is a decrease of 0.17 mln EUR, or 2.2%, compared to the gross profit of 7.7 mln EUR for the 1st quarter of 2007. Comparing 1st quarter gross profit for 2008 to underlying gross profit of the 1st quarter of 2007 there was an increase of 9.9% or 0.68 mln EUR. Operating Costs and Operating Margin Marketing expenses increased by 0.01 mln EUR to 0.22 mln EUR during the 1st quarter of 2008 compared to the corresponding period in 2007. This is partly the result of the overall salary increase, supplemented by the increase in depreciation charges due to the Customer Information and Billing system (KLIF). General administration expenses increased by 0.01 mln EUR to 0.93 mln EUR in the 1st quarter of 2008 as a consequence of an increase in salaries due to the overall salaries inflation and redundancy packages accounted to 1st quarter of 2008. Included within all the above cost categories are staff costs. These totaled 1.5 mln EUR in the 1st quarter of 2008, which is a 0.31 mln EUR increase compared to the same period in 2007, as mentioned earlier this was due to the wide revision of salaries at the beginning of 2008, supplemented by extra salary cost due to new activities and redundancy costs totaling 0.08 mln EUR. Without these items the salary increase would have been 0.23 mln EUR or slightly above 19%. Other net income/expenses totaled an expense of 0.01 mln EUR in the 1st quarter of 2008 compared to an income of 0.15 mln EUR in the 1st quarter of 2007- in 1st quarter of 2007 there was a 0.15 mln EUR recovery of doubtful debt. As a result of all of the above the Company's operating profit for the 1st quarter of 2008 was 6.4 mln EUR, a decrease of 0.36 mln EUR compared to an operating profit of 6.8 mln EUR achieved in the 1st quarter of 2007. Compared to the underlying operating profit in the 1st quarter of 2007, the operating profit has increased 8.4% or 0.49 mln EUR in 1st quarter of 2008. Financial expenses Net Financial expenses were 0.68 mln EUR in the 1st quarter of 2008, which is an increase of 0.02 mln EUR or 2.4% compared to the 1st quarter of 2007. The Company's interest costs have increased by 12.2% compared to the 1st quarter of 2007. This is due to the fact that half of the Company's loans are connected to the 6 month Euribor rate, which was 4.686% in the 1st quarter of 2008 compared to 3.736% in the 1st quarter of 2007. The increase in interest expenses is partially offset by an increase in financial income earned during the 1st quarter of 2008, as a result of a more favourable cash position and increasing interest rates. Profit Before Tax The Company's profit before taxes for the 1st quarter of 2008 was 5.7 mln EUR, which is 0.37 mln EUR lower than the profit before taxes of 6.1 mln EUR for the 1st quarter of 2007. Looking at the underlying profit for the 1st quarter of 2007 compared to same period of 2008 there has been an increase of 9.1% or 0.48 mln EUR. Balance sheet During the three months of 2008 the Company invested 2.1 mln EUR into fixed assets. Non-current assets were 138.5 mln EUR at 31 March 2008. Current assets increased by 4.5 mln EUR to 28.4 mln EUR in the three months of the year, including cash at bank which increased by 9.5 mln EUR. Current liabilities decreased by 2.4 mln EUR to 10.4 mln EUR in the three months of the year. This was mainly due to decrease in Trade and other payables compared to 2007 year end, as a result of payment of 2007 end capital investments invoices in 1st quarter of 2008. The company continues to maintain its leverage level within its target range of around 50% with total liabilities to total capital employed of 49.3% as at 31 March 2008. Long-term liabilities stood at 71.9 mln EUR at the end of March 2008, consisting almost entirely of the outstanding balance on the two long-term bank loans. Cash flow During 1st quarter of 2008, the Company generated 7.9 mln EUR of cash flows from operating activities, an increase of 2.4 mln EUR compared to the corresponding period in 2007. Underlying operating profit continues to be the main driver for growth, supplemented by debt collection in 1st quarter of 2008. In the 1st quarter of 2008 net cash inflows from investing activities were 1.7 mln EUR, which is 3.9 mln EUR more than in 2007. This was mainly due to some large construction revenue invoices that were due and paid in the 1st quarter 2008, offset by increased investment payments. In the 1st quarter the company invested 2.1 mln EUR - 1.5 mln EUR networks extension and rehabilitation, 0.31 mln EUR Paljassaare wastewater treatment plant and sludge treatment, 0.06 mln EUR water quality (Ülemiste water treatment plant and raw water) and 0.19 mln EUR other investments (IT, capital maintenance, meters, etc). There were no cash outflows from financing activities during 1st quarter compared to cash outflow of 0.02 mln EUR during the 1st quarter of 2007. As a result of all of the above factors, the total cash inflow in the 1st quarter of 2008 was 9.5 mln EUR compared to a cash inflow of 3.2 mln EUR in the three months of 2007. Cash and cash equivalents stood at 20.9 mln EUR as at 31 March 2008. Employees At the end of the 1st quarter of 2008, the number of employees was 317, compared to 313 at the end of the 1st quarter of 2007. Dividends and share performance Based on the results of the 2007 financial year, the Management Board of the company proposed to pay 15,914,640 EUR of dividends. Of this 639 EUR will be paid to the owner of the B-share and 15,914,000 EUR, i.e. 0.8 EUR per share to the owners of the A-shares. Management Board proposed to pay the dividends on 13 June 2008, based on the list of shareholders, which will be fixed at 23.59 on 30 May 2008. As of 31 March 2008 AS Tallinna Vesi shareholders, with a direct holding over 5%, were: -------------------------------------------------------------------------------- | United Utilities (Tallinn) BV | 35.3% | -------------------------------------------------------------------------------- | City of Tallinn | 34.7% | -------------------------------------------------------------------------------- | Nordea Bank Finland Plc clients account trading | 8.78% | -------------------------------------------------------------------------------- | Morgan Stanley + Co International Equity client | 6.81% | | account | | -------------------------------------------------------------------------------- At the end of the quarter, 31 March 2008, the closing price of the AS Tallinna Vesi share was 12.50 EUR, which is a 3.6% decrease compared to the closing price of 12.96 EUR at the beginning of quarter, significantly outperforming the market as the OMX Tallinn index dropped by 14.0% during the quarter. Operational highlights in the 1st quarter of 2008 The company implemented the development component in 1st quarter 2008 according to the Services Agreement Amendment which was signed with the City of Tallinn on 30 November 2007. The Services Agreement is extended until 2020 and the k-coefficient is also fixed until 2020 - 2% in years 2009 to 2010 and 0% in years 2011 to 2020. No extra capital expenditures (in addition to maintenance capex and extensions program agreed in the contract) can be imposed on the company until 2020. According to the agreement the network extension constructions must be completed by March 2011. To compensate the Company for the construction and financing costs a specific development component is included into the main services area domestic water tariff starting from 1 March 2008 to the end of 2017 and the City of Tallinn will compensate the stormwater constructions every month 0.28 mln EUR until the end of 2011. The development component shall be compensated to the customers with direct payment to the company by the City of Tallinn. The component is bigger during the construction period (0.58 EUR per m3 until 31 December 2011 and 0.39 EUR per m3 in years 2012 to 2017). From the beginning of the year water and wastewater tariffs increased as approved by the City Council in 2007. The tariff increase was 11.7% in the main service area and was similar outside the main service area, depending on individual contracts within the municipalities. The wastewater treatment performance with all outfall effluent samples at all locations was in the 1st quarter compliant with requirements and as a consequence the environmental charges for the quarter attracted a 50% reduction. As a result of the excellent treatment results the company saved 0.18 mln EUR from environmental taxes in 1st quarter of 2008. The usage of the web based self service has increased by 4 times compared to the 31 March 2007, more than 10% of invoices were issued via web. We are pleased to report the compliance with all requirements of the Levels of Services established by the contract concluded with the City of Tallinn. -------------------------------------------------------------------------------- | INCOME STATEMENT |I Quarter | I Quarter | 12 months | -------------------------------------------------------------------------------- | (thousand EUR) | 2008 | 2007 | 2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Sales from main operating activities | 11 561 | 10 298 | 41 436 | -------------------------------------------------------------------------------- | Revenues from other operating activities | 1 940 | 2 828 | 11 021 | -------------------------------------------------------------------------------- | Net sales | 13 501 | 13 126 | 52 457 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Costs of goods sold (main operating | -4 228 | -2 869 | -13 848 | | activities) | | | | -------------------------------------------------------------------------------- | Costs of goods sold (other operating | -1 718 | -2 535 | -10 110 | | activities) | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | GROSS PROFIT | 7 555 | 7 722 | 28 499 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Marketing expenses | -216 | -202 | -866 | -------------------------------------------------------------------------------- | General administration expenses | -928 | -913 | -3 633 | -------------------------------------------------------------------------------- | Other income/ expenses (-) | -5 | 153 | 118 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | OPERATING PROFIT | 6 406 | 6 761 | 24 118 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Financial income / expenses (-) | -686 | -670 | -2 827 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | PROFIT BEFORE TAXES | 5 720 | 6 091 | 21 291 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Income tax on dividends | 0 | 0 | -3 533 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | NET PROFIT FOR THE PERIOD | 5 720 | 6 091 | 17 757 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Attributable to: | | | | -------------------------------------------------------------------------------- | Equity holders of A-shares | 5 719 | 6 090 | 17 757 | -------------------------------------------------------------------------------- | B-share holder | 0,64 | 0,64 | 0,64 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Earnings per share in euros | 0,29 | 0,30 | 0,89 | -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- | BALANCE SHEET | | | | -------------------------------------------------------------------------------- | (thousand EUR) |31.03.2008|31.03.2007 |31.12.2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | ASSETS | | | | -------------------------------------------------------------------------------- | CURRENT ASSETS | | | | -------------------------------------------------------------------------------- | Cash at bank and in hand | 20 908 | 18 551 | 11 403 | -------------------------------------------------------------------------------- | Commercial paper | 0 | 631 | 0 | -------------------------------------------------------------------------------- | Customer receivables | 6 848 | 7 401 | 11 838 | -------------------------------------------------------------------------------- | Accrued income and prepaid expenses | 334 | 273 | 331 | -------------------------------------------------------------------------------- | Inventories | 250 | 201 | 233 | -------------------------------------------------------------------------------- | Assets for sale | 71 | 97 | 72 | -------------------------------------------------------------------------------- | TOTAL CURRENT ASSETS | 28 411 | 27 153 | 23 877 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | NON-CURRENT ASSETS | | | | -------------------------------------------------------------------------------- | Tangible assets | 128 721 | 121 833 | 127 375 | -------------------------------------------------------------------------------- | Intangible assets | 3 035 | 3 249 | 3 140 | -------------------------------------------------------------------------------- | Unfinished assets - non connections | 1 760 | 4 077 | 3 070 | -------------------------------------------------------------------------------- | Unfinished pipelines - new connections | 4 800 | 5 254 | 5 756 | -------------------------------------------------------------------------------- | Prepayments for fixed assets | 202 | 206 | 345 | -------------------------------------------------------------------------------- | TOTAL NON-CURRENT ASSETS | 138 518 | 134 618 | 139 686 | -------------------------------------------------------------------------------- | TOTAL ASSETS | 166 929 | 161 771 | 163 562 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | LIABILITIES | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CURRENT LIABILITIES | | | | -------------------------------------------------------------------------------- | Current portion of long-term borrowings | 2 665 | 11 | 2 651 | -------------------------------------------------------------------------------- | Trade and other payables, incl. dividends | 3 492 | 4 046 | 5 558 | -------------------------------------------------------------------------------- | Taxes payable | 1 513 | 1 269 | 1 693 | -------------------------------------------------------------------------------- | Short-term provisions | 159 | 49 | 143 | -------------------------------------------------------------------------------- | Deferred income | 2 553 | 2 100 | 2 691 | -------------------------------------------------------------------------------- | TOTAL CURRENT LIABILITIES | 10 382 | 7 475 | 12 736 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | NON-CURRENT LIABILITIES | | | | -------------------------------------------------------------------------------- | Bank loans | 71 932 | 74 541 | 71 932 | -------------------------------------------------------------------------------- | Other payables | 7 | 6 | 7 | -------------------------------------------------------------------------------- | TOTAL NON-CURRENT LIABILITIES | 71 940 | 74 548 | 71 939 | -------------------------------------------------------------------------------- | TOTAL LIABILITIES | 82 321 | 82 023 | 84 675 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | EQUITY CAPITAL | | | | -------------------------------------------------------------------------------- | Share capital | 12 782 | 12 782 | 12 782 | -------------------------------------------------------------------------------- | Share premium | 24 734 | 24 734 | 24 734 | -------------------------------------------------------------------------------- | Statutory legal reserve | 1 278 | 1 278 | 1 278 | -------------------------------------------------------------------------------- | Accumulated profit | 40 093 | 34 863 | 22 336 | -------------------------------------------------------------------------------- | Net profit for the period | 5 720 | 6 091 | 17 757 | -------------------------------------------------------------------------------- | TOTAL EQUITY CAPITAL | 84 607 | 79 749 | 78 887 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | TOTAL LIABILITIES AND EQUITY CAPITAL | 166 929 | 161 771 | 163 562 | -------------------------------------------------------------------------------- -------------------------------------------------------------------------------- | CASH FLOW STATEMENT |I Quarter | I Quarter | 12 months | -------------------------------------------------------------------------------- | (thousand EUR) | 2008 | 2007 | 2007 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CASH FLOWS FROM OPERATING ACTIVITIES | | | | -------------------------------------------------------------------------------- | Operating profit | 6 406 | 6 761 | 24 118 | -------------------------------------------------------------------------------- | Adjustment for depreciation | 1 415 | 1 259 | 5 064 | -------------------------------------------------------------------------------- | Adjustment for income and expenses from | -222 | -293 | -911 | | constructions | | | | -------------------------------------------------------------------------------- | Other financial income and expenses | -26 | -15 | -101 | -------------------------------------------------------------------------------- | Profit from sale of fixed assets | 0 | 1 | -155 | -------------------------------------------------------------------------------- | Expensed fixed assets | 0 | 0 | 30 | -------------------------------------------------------------------------------- | Capitalization of operating expenses | -360 | -297 | -1 263 | -------------------------------------------------------------------------------- | Movement in current assets involved in | 845 | -979 | -2 049 | | operating activities | | | | -------------------------------------------------------------------------------- | Movement in liabilities involved in | -206 | -929 | -21 | | operating activities | | | | -------------------------------------------------------------------------------- | Interest paid | 0 | -1 | -3 386 | -------------------------------------------------------------------------------- | Total cash flow from operating activities | 7 852 | 5 508 | 21 326 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CASH FLOWS FROM INVESTING ACTIVITIES | | | | -------------------------------------------------------------------------------- | Acquisition of fixed assets (incl | -4 621 | -3 327 | -16 997 | | pipelines construction) | | | | -------------------------------------------------------------------------------- | Proceeds from pipelines financed by | 6 018 | 934 | 6 509 | | construction income | | | | -------------------------------------------------------------------------------- | Proceeds from sale of and prepayments | 0 | 1 | 25 | | received for fixed assets | | | | -------------------------------------------------------------------------------- | Proceeds from sale of assets and real | 0 | 0 | 15 | | estate investments | | | | -------------------------------------------------------------------------------- | Interest received | 255 | 145 | 676 | -------------------------------------------------------------------------------- | Total cash flow from investing activities | 1 653 | -2 248 | -9 773 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CASH FLOWS FROM FINANCING ACTIVITIES | | | | -------------------------------------------------------------------------------- | Finance lease payments | 0 | -20 | -30 | -------------------------------------------------------------------------------- | Dividends paid | 0 | 0 | -12 527 | -------------------------------------------------------------------------------- | Income tax on dividends | 0 | 0 | -3 533 | -------------------------------------------------------------------------------- | Total cash flow from financing activities | 0 | -20 | -16 091 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | Change in cash and bank accounts | 9 505 | 3 241 | -4 537 | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CASH AND EQUIVALENTS AT THE BEGINNING OF | 11 403 | 15 940 | 15 940 | | THE PERIOD | | | | -------------------------------------------------------------------------------- | | | | | -------------------------------------------------------------------------------- | CASH AND EQUIVALENTS AT THE END OF THE | 20 908 | 19 181 | 11 403 | | PERIOD | | | | -------------------------------------------------------------------------------- Additional information: Siiri Lahe Chief Financial Officer +372 6262 262 siiri.lahe@tvesi.ee