Market announcement
Arco Vara AS
LEI code
097900BHCB0000066171
Size of the entity
Small group
Economic activities
Professional, Scientific and Technical Activities
Country of registered office
Estonia
General information
Categories
Management interim statement or quarterly financial report
Unique data record identifier
3007
Attachments
Submission date and time
25.02.2011 18:30:00
Content of announcement in Estonian
Title
25.02.2011 2010.aasta IV kvartali ja 12 kuu konsolideeritud vahearuanne
Message
Juhatuse esimehe kommentaarid
2010. aastal müüdi Arco Vara projektides 129 korterit või krunti, millest 73
Eestis, 45 Lätis ja 11 Bulgaarias. Arco Vara ajaloo suurim algusest lõpuni
iseseisvalt arendatud projekt Boulevard Residence Madrid Sofias sai kasutusloa
juuni lõpus. Enamus eellepingutega kaetud üüripindasid on klientidele üle antud
ja rentnikud on oma tegevuse hoones käivitanud. Esimesed asjaõiguslepingud
korterite osas on sõlmitud ja korterid klientidele üle antud. Arendusdivisjon
jätkab pooleliolevate korterite lõpetamist Bišumuiža-1 projektis Riias ja
ehitust Manastirski projektis Sofias.
Viimaste kvartalite müügitempo on laoseisu oluliselt vähendanud ning
ehitushinnad on jätkuvalt soodsad. Seetõttu on alustatud uute arendustega, et
olla valmis turul tekkinud nõudluse rahuldamiseks. Arco Vara kontserni kuuluv
AS Kolde ja AS Merko Ehitus sõlmisid töövõtulepingu Kodukolde arendusprojekti
järgmise etapi ehitamiseks ja finantseerimiseks. Uus elamukompleks koosneb
neljast korterelamust 100 korteri ja 40 majadealuse garaažikohaga, maapealse
suletud brutopinnaga 8 760 ruutmeetrit. Esimesed kaks maja valmivad 2011. aasta
kevadel. Ehitustegevus on graafikus ja eelmüükide arv on ületanud kõik ootused.
Tivoli projekti osas peame läbirääkimisi võimalike partnerite ja pankadega
ehituse alustamiseks ja finantseerimiseks. Bilansipäevajärgselt oleme läbi
viinud arhitektuurikonkursi ning käivitanud ettevalmistavate tööde teostamise
krundil. Ehitustegevusega plaanime alustada 2011. aasta kevadel. Samuti oleme
2011. aasta alguses teatanud 4-korruselise kortermaja ehitusplaanist Tallinnas
Tehnika tänaval.
Teenindusdivisjoni restruktureerimine avaldab jätkuvalt mõju divisjoni
üldhalduskulude vähenemisele, vähenenud on ka käive, kuid aeglasemas tempos.
Tulemuseks on esimene kvartaalne ärikasum kriisijärgsel perioodil 1,3 mln
krooni (0,08 mln eurot) kolmandas kvartalis. Kontserni vahendustehingute arv on
aastaga tõusnud 11%, samuti on tõusnud hindamisaktide arv 25% võrra, samas on
maaklerite ja hindajate arv vähenenud 4%.
Bulgaaria meeskond kolis uude esinduslikku kontorisse Madrid Boulevard
Residence'is. Plaanis on suurendada maaklerite arvu, et olla valmis
kinnisvaraturu elavnemiseks.
Ehitusdivisjonis sõlmiti aasta jooksul uusi ehituslepinguid 347 mln krooni
(22,2 mln euro) väärtuses. Ehituslepingute järelejäänud maht on 2010. aasta
lõpu seisuga 262 mln krooni (16,8 mln eurot) võrreldes 2009. aasta lõpu 80,0
mln krooniga (5,1 mln euroga). Põhilisteks tellijateks on jätkuvalt riiklik
sektor ja omavalitsusasutused. Keskkonna ja infrastruktuuriga seotud
projektidele lisaks suunatakse jätkuvalt vahendeid haridussektoriga seotud
projektidesse. Oluline on märkida, et ehitusega seotud sisekäive on olnud
Kontsernis aasta jooksul pea olematu.
Selle aastaga on toimunud oluline paranemine enamikes grupi finantsnäitajates,
nii müügitulu kui brutokasum näitavad kvartalite lõikes kasvutendentsi. Üle
mitme aasta olid kolmandas kvartalis kõik divisjonid ärikasumis. Eelmisel
aastal alguse saanud püsikulude vähendamine on positiivselt mõjutanud ka selle
aasta tulemusi ning püsikulude kokkuhoid on jätkuvalt juhtkonna teravdatud
tähelepanu all. Üldhalduskulud on vähenenud võrreldes eelmise aastaga 26%.
Likviidsuse parandamiseks on Kontsern aasta jooksul jooksvalt müünud väiksemaid
kinnisvarainvesteeringuid, mille üle puudub võimalus teostada kontrolli ja
juhtimist, või mis muul viisil ei sobinud Kontserni strateegiliste
eesmärkidega.
Kontsern on pikendanud Sofias Madrid´i projekti arendamiseks Piraeus Bank
Bulgaria'lt võetud laenu ja Tallinnas asuvate projektidega Navigator ja Tivoli
seotud laene SEB Pangalt kogusummas 360,7 mln krooni (23,1 mln eurot). Selle
tulemusena pikenes Madrid'i projekti arendamiseks võetud laenu tagasimakse
tähtaeg kolme aasta võrra - 2012. aastalt 2015. aastani. Projektide Navigator
ja Tivoli laen pikenes 31. jaanuarini 2011.
Möödunud aasta detsembris otsustasid Arco Vara AS aktsionärid vähendada
aktsiakapitali ning 16.03.2010 jõustus sellekohane äriregistri kanne.
Aktsiakapitali vähendamine on vähendanud aktsia hinna volatiilsust, võimaldanud
aktsiat börsil efektiivsemalt hinnastada (läbi ostu- ja müügihindade vahe
vähenemise) ja loonud uusi võimalusi kapitalistruktuuri edasiseks
tugevdamiseks.
Arco Vara AS 100% tütarettevõte Arco Investeeringute AS võõrandas temale
kuuluva nõude Celia Crowd AS (endise nimega Ühendatud Kapital AS) vastu AS-ile
EMF Invest. Tehingu väärtus oli 52 mln krooni (3,3 mln eurot) ning tehingu
tulemusena tekkis kontsernile neljandas kvartalis erakorralist kasumit 18,9 mln
krooni (1,2 mln eurot).
Ühisettevõtete kajastamise arvestuspõhimõtte muutus
Kontserni juhtkond on üle vaadanud ühisettevõtete kajastamise
arvestuspõhimõtted. Varasemalt kajastati ühisettevõtteid proportsionaalse
konsolideerimise meetodil. Alates 1. jaanuarist 2010 kajastatakse
ühisettevõtteid kapitaliosaluse meetodil. Juhtkonna arvates kajastab
kapitaliosaluse meetod varasemast adekvaatsemalt grupi varasid, kohustusi ja
omakapitali.
PÕHILISED NÄITAJAD
-- 12 kuu äritulud kokku moodustasid 358,4 mln krooni (22,9 mln eurot), mis on
27% vähem kui eelmisel aastal.
-- Ärikahjum oli -2,0 mln krooni (-0,1 mln eurot), mis on 98% vähem kui
eelmise aasta samal perioodil.
-- Puhaskahjum oli -4,6 mln krooni (-0,3 mln eurot), mis on 99% väiksem kui
eelmise aasta samal perioodil.
-- Omakapital moodustab 39,4% (2009 lõpu seisuga: 36,7%) bilansimahust.
Omakapitali tootlikkus oli negatiivne (2009: negatiivne). Investeeritud
kapitali tootlikkus oli 1,8% (2009: negatiivne).
-- Ehituslepingute järelejäänud maht oli aasta lõpu seisuga 262,2 mln krooni
(16,8 mln eurot), 2009 lõpus 79,6 mln krooni (5,1 mln eurot).
-- 12 kuu jooksul müüdi kortereid ja krunte kokku 129 tükki (2009: 82).
EEK EUR
--------------------------------------------------------------------------------
12 kuud 12 kuud IV IV 12 12 IV IV
2010 2009 kvarta kvarta kuud kuud kvarta kvarta
l 2010 l 2009 2010 2009 l 2010 l 2009
--------------------------------------------------------------------------------
Miljonites
--------------- -------------------------------
Müügitulu ja 358,4 493,1 129,2 131,7 22,9 31,5 8,3 8,4
muu äritulu
--------------------------------------------------------------------------------
Ärikasum -2,0 -91,7 8,5 36,9 -0,1 -5,9 0,5 2,4
(-kahjum)
--------------------------------------------------------------------------------
s.h -8,2 -40,6 -2,6 -40,6 -0,5 -2,6 -0,2 -2,6
kinnisvarainve
steeringute ja
varude
ümberhindlused
--------------------------------------------------------------------------------
Kahjum enne -4,2 -363,9 15,2 3,5 -0,3 -23,3 1,0 0,2
tulumaksu
--------------------------------------------------------------------------------
s.h kasum või -2,4 -4,5 0,0 0,0 -0,2 -0,3 0,0 0,0
kahjum
finantsvarade
võõrandamisest
--------------------------------------------------------------------------------
Puhaskahjum -4,6 -363,1 15,3 5,6 -0,3 -23,2 1,0 0,4
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
EPS (kroonides -0,92 -76,26 3,26 1,46 -0,06 -4,87 0,21 0,09
ja eurodes)
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Varad kokku, 1 104,4 1 224,4 70,6 78,3
perioodi lõpu
seisuga
--------------------------------------------------------------------------------
Investeeritud 931,5 1 015,3 59,5 64,9
kapital,
perioodi lõpu
seisuga
--------------------------------------------------------------------------------
Neto laenud, 430,2 500,8 27,5 32,0
perioodi lõpu
seisuga
--------------------------------------------------------------------------------
Omakapital, 435,4 449,8 27,8 28,7
perioodi lõpu
seisuga
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Laenude 0,8 1,2 0,8 1,2
keskmine
pikkus
(aastates)
--------------------------------------------------------------------------------
Laenude 6,4% 5,9% 6,4% 5,9%
keskmine
intress
(aastas)
--------------------------------------------------------------------------------
ROIC (jooksev 1,8% neg 1,8% neg
4 kvartalit)
--------------------------------------------------------------------------------
ROE (jooksev 4 neg neg neg neg
kvartalit)
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Töötajate arv 153 171 153 171
perioodi lõpul
--------------------------------------------------------------------------------
TULUD JA KASUM
EEK EUR
12 12 IV IV 12 12 IV IV
kuud kuud kvartal kvartal kuud kuud kvarta kvartal
2010 2009 2010 2009 2010 2009 l 2010 2009
--------------------------------------------------------------------------------
miljonites
------------------------------ ----------------
Müügitulu ja
muu äritulu
--------------------------------------------------------------------------------
Teenindus 30,0 38,0 8,3 9,3 1,9 2,4 0,5 0,6
--------------------------------------------------------------------------------
Arendus 196,7 218,1 82,8 49,8 12,6 13,9 5,3 3,2
--------------------------------------------------------------------------------
Ehitus 139,6 277,2 39,7 75,7 8,9 17,7 2,5 4,8
--------------------------------------------------------------------------------
Elimineerimis -7,9 -40,2 -1,6 -3,1 -0,5 -2,6 -0,1 -0,2
ed
--------------------------------------------------------------------------------
Müügitulu ja 358,4 493,1 129,2 131,7 22,9 31,5 8,3 8,4
muu äritulu
kokku
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Ärikasum
--------------------------------------------------------------------------------
Teenindus -2,7 -16,6 -1,4 -7,5 -0,2 -1,1 -0,1 -0,5
--------------------------------------------------------------------------------
Arendus 27,1 -36,8 21,8 56,7 1,8 -2,4 1,3 3,6
--------------------------------------------------------------------------------
Ehitus -3,6 -8,1 -4,7 -5,3 -0,2 -0,5 -0,3 -0,3
--------------------------------------------------------------------------------
Elimineerimis 0,0 0,0 -0,6 -0,2 0,0 0,0 0,0 0,0
ed
--------------------------------------------------------------------------------
Jagamatud -22,8 -30,2 -6,6 -6,8 -1,5 -1,9 -0,4 -0,4
ärikulud
--------------------------------------------------------------------------------
Ärikasum -2,0 -91,7 8,5 36,9 -0,1 -5,9 0,5 2,4
kokku
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Intressitulud -18,2 -22,6 -10,6 -10,7 -1,2 -1,4 -0,7 -0,7
ja
intressikulud
--------------------------------------------------------------------------------
Muud 15,9 -249,7 17,3 -22,7 1,0 -16,0 1,2 -1,4
finantstulud
ja -kulud
--------------------------------------------------------------------------------
Tulumaksukulu -0,3 0,9 0,1 2,1 0,0 0,1 0,0 0,1
--------------------------------------------------------------------------------
Puhaskasum -4,6 -363,1 15,3 5,6 -0,3 -23,2 1,0 0,4
--------------------------------------------------------------------------------
Ehitusdivisjoni neljanda kvartali tulemust mõjutas negatiivselt erakorraline
nõuete allahindlus 4,6 mln krooni (0,3 mln eurot) ulatuses, mis on seotud ühe
suure tellija ja ühe konsortsiumipartneri pankrotistumisega. Põhilised kulude
kärped on tehtud ja töö kulude alandamise suunas on muutunud iga äriüksuse
rutiiniks. Põhitähelepanu on suunatud käibe suurendamisele, käimasolevate
projektide lõpetamisele, uute alustamisele ja likviidsuse parandamisele läbi
projektide ja laoseisu müügi.
Neljanda kvartali finantstulusid- ja kulusid mõjutas enim nõude müük AS-i
Ühendatud Kapital vastu. Hoolimata müügitulude ja muude äritulude vähenemisest
kõikide divisjonide lõikes on tänu sihipärasele kulude kokkuhoiule 2010. aasta
ärikahjum võrreldes 2009. aastaga vähenenud Kontserni tasandil 98%.
RAHAVOOD
EEK EUR
12 kuud 12 kuud 12 kuud 12 kuud
2010 2009 2010 2009
--------------------------------------------------------------------------------
miljonites
--------------------------------------------------------------------------------
Äritegevuse rahavood 27,4 -51,1 1,8 -3,3
--------------------------------------------------------------------------------
Investeerimistegevuse rahavood 95,1 104,9 6,1 6,7
--------------------------------------------------------------------------------
Finantseerimistegevuse rahavood -121,3 -145,2 -7,8 -9,3
--------------------------------------------------------------------------------
Perioodi rahavood kokku 1,2 -91,4 0,1 -5,8
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Raha ja raja ekvivalendid 64,7 156,1 4,1 10,0
perioodi alguses
--------------------------------------------------------------------------------
Valuutakursi mõju 0,0 0,0 0,0 0,0
--------------------------------------------------------------------------------
Raha ja raha ekvivalendid 65,9 64,7 4,2 4,1
perioodi lõpus
--------------------------------------------------------------------------------
Mais 2010 lunastas Arco Vara AS ennetähtaegselt 18,9 mln krooni (1,2 mln euro)
ulatuses kommertspabereid. Detsembris 2010 tagastas Arco Vara AS
graafikuväliselt LHV Panga laenu osaliselt summas 4,5 mln krooni (0,3 mln
eurot).
Rohkem erakorralisi laenutagastusi 2010. aastal ei ole toimunud.
Finantseerimistegevuse netorahavoogudest moodustavad intressimaksed 35,1 mln
krooni (2,2 mln eurot). Graafikujärgseid ja varude müügiga seotud pangalaenude
põhiosa tagasimakseid on olnud 109,3 mln krooni (7,0 mln eurot), perioodi
jooksul kasutatud limiitidest suurima osa moodustavad Madridi projekti
lõpetamisega ning Kolde eelviimase etapi ehitamisega seotud finantseerimine
kogusummas 67,4 mln krooni (4,3 mln eurot).
Suurimad lühiajalised kohustused järgmise 12 kuu jooksul:
-- projekti Boulevard Residence Madrid Sofias laenu kogusummas 238,1 mln
krooni (15,2 mln eurot) oleme kajastanud lühiajalisena, kuna tagatise
allahindluse tulemusena ei vasta see ajutiselt täies ulatuses
lepingujärgsele tagatisväärtuse nõudele. Laenu tagasimakse tähtaeg on
aastal 2015, vastavalt müügiprognoosile ja tagastusgraafikule 31.12.2010
seisuga kuulub järgmise 12 kuu jooksul tagastamisele 72,1 mln krooni (4,6
mln eurot);
-- projektide Tivoli ja Laeva2 laenud kogusummas 102,5 mln krooni (6,6 mln
eurot);
-- Bišumuiža projekti laen summas 25,5 mln krooni (1,6 mln eurot);
-- Manastirski projekti laenu lühiajaline osa vastavalt graafikule summa 31,7
mln krooni (2,0 mln eurot).
Jooksvalt on makstud laene tagasi projektides „Kodukolde” ja Merivälja2
Tallinnas, „Bišumuiža-1” Riias ning Madrid Sofias. Lisaks on laenutagastused
toimunud rahavoogu tootvates projektides (sh kogu Enerpointi projektiga seotud
pangalaen). Enamus Kontserni kohustusi on eurodes.
TEENINDUSDIVISJON
Hoiame kulusid pideva kontrolli all, et vältida kulude kasvamist tuludest
kiiremini.
Eestis jätkame seoses elamispindade turu aktiviseerumisega aktiivset
turunduskampaaniat. Jätkatakse läbirääkimisi koostöölepingute sõlmimiseks
suuremate elamis- ja äripindade arendajatega, mille tulemusena on vahenduses
olevate objektide arv 2010. aasta jooksul kasvanud. Eesmärgiks on pakkuda
klientidele laia teenuste ning objektide valikut.
Sofias kolis teenindusdivisjoni meeskond uude esinduslikku kontorisse Madrid
Boulevard Residence'is. Plaanis on suurendada maaklerite arvu, et olla valmis
kinnisvaraturu aktiviseerumiseks ka Bulgaarias.
Divisjoni 2010. aasta ärikahjum oli kokku -2,7 mln krooni (-0,17 mln eurot)
võrreldes -16,6 mln krooniga (-1,06 eurot) 2009. aastal. Edukaim oli kolmas
kvartal, kui suudeti teenida ärikasumit 1,3 mln krooni (0,08 mln eurot).
Viimati oli divisjon ärikasumis 2006. aasta kolmandas kvartalis. Kontserni
vahendustehingute arv võrreldes eelmise aastaga on tõusnud 11%, hindamisaktide
arv on tõusnud 25% võrra.
ARENDUSDIVISJON
2010. aastal müüdi Arco Vara projektides 129 korterit või krunti. Lätis müüdi
aasta jooksul 26 Bišumuiža korterit ja 19 elamukrunti projektis Mazais
Baltezers'i järve lähedal. Eestis müüdi 41 Kodukolde korterit ja 32 Merivälja
krunti. Bulgaarias müüdi 11 korterit Madridi projektis Sofias.
Kodukolde arendusprojekti uue etapi ehitamiseks (100 korterit) ja
finantseerimiseks on sõlmitud töövõtuleping
AS-iga Merko Ehitus. Ehitustöödega on alustatud ja need on graafikus. Neljast
majast esimesed kaks valmivad 2011. aasta kevadel.
Arendusdivisjon omandas kinnistu Harku vallas eesmärgiga ehitada lasteaed.
Sõlmitud on lasteaia üürileping vallaga, ehitustöövõtuleping YIT Ehitus AS-iga
ning finantseerimisleping DnB NORD pangaga. Ehitustööd käivad ja lasteaed
valmib 2011. aasta aprillis.
Boulevard Residence Madrid äri- ja eluhoone Sofias sai juunis kasutusloa.
Enamus eellepingutega kaetud üüripindasid on klientidele üle antud ja rentnikud
on oma tegevuse hoones käivitanud. Esimesed asjaõiguslepingud korterite osas on
sõlmitud ja korterid klientidele üle antud. Tivoli projekti osas peetakse
läbirääkimisi võimalike partnerite ja pankadega ehituse alustamiseks ja
finantseerimiseks. Oleme käivitanud ettevalmistavate tööde teostamise krundil
ja ehitustegevusega plaanime alustada 2011. aasta kevadel.
Kinnisvaraturg Balti riikides on stabiliseerunud. Kõige järsem hinnatõus on
toimunud Lätis. Oleme tõstnud väljamüügi hindu ka enda arendusprojektides.
2010. aasta lõpu seisuga töötas divisjonis kokku 26 inimest (31.12.2009 seisuga
23 inimest).
Projektide kohta leiab lisainfot: www.arcorealestate.com/arendus
EHITUSDIVISJON
Ehitusdivisjon on tavapäraselt aktiivne keskkonna- ja infrastruktuuriprojektide
ning haridusasutustega seotud tsiviilehituse objektidel.
Aasta lõpu seisuga on suuremateks uuteks ehituslepinguteks Tallinn-Muuga vee ja
kanalisatsiooni trassid ja rajatised 103 mln krooniga (6,6 mln eurot) ja
Lennuakadeemia 31 mln krooniga (2,0 mln eurot).
2010. aastal sõlmiti uusi ehituslepinguid 347 mln krooni (22,2 mln euro)
väärtuses. Ehituslepingute järelejäänud maht on 2010. aasta lõpu seisuga 262
mln krooni (16,8 mln eurot) võrreldes 2009. aasta lõpu 80,0 mln krooniga (5,1
mln euroga).
2010. aasta lõpu seisuga töötas divisjonis kokku 49 inimest (31.12.2009 seisuga
59 inimest).
Konsolideeritud koondkasumiaruanne
Lisa 12 kuud 12 kuud IV kvartal IV kvartal
2010 2009 2010 2009
--------------------------------------------------------------------------------
EEK tuhandetes
--------------------------------------------------------------------------------
Müügitulu teenuste müügist 181 239 293 316 47 734 86 814
--------------------------------------------------------------------------------
Müügitulu kaupade müügist 149 423 92 274 58 586 40 908
--------------------------------------------------------------------------------
Müügitulu kokku 2 330 662 385 590 106 320 127 722
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Müüdud toodangu kulu 3 -254 049 -414 186 -62 978 -43 642
--------------------------------------------------------------------------------
Brutokasum (-kahjum) 76 613 -28 596 43 342 84 080
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Muud äritulud 4 27 776 107 502 22 880 3 991
--------------------------------------------------------------------------------
Turustuskulud 5 -4 734 -4 401 -1 339 -1 086
--------------------------------------------------------------------------------
Üldhalduskulud 6 -63 225 -85 666 -20 803 -30 065
--------------------------------------------------------------------------------
Muud ärikulud 4 -38 453 -80 496 -35 586 -20 024
--------------------------------------------------------------------------------
Ärikasum (-kahjum) -2 023 -91 657 8 494 36 896
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finants- ja 7 26 448 8 152 16 541 -3 446
investeerimistegevuse tulud
--------------------------------------------------------------------------------
Finants- ja 7 -28 616 -280 419 -9 851 -29 971
investeerimistegevuse kulud
--------------------------------------------------------------------------------
Kasum (-kahjum) enne -4 191 -363 924 15 184 3 479
tulumaksu
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Tulumaksukulu -398 868 67 2 103
--------------------------------------------------------------------------------
Aruandeperioodi puhaskasum -4 589 -363 056 15 251 5 582
(-kahjum)
--------------------------------------------------------------------------------
Emaettevõtja osalus 8 -4 385 -361 618 15 455 6 910
--------------------------------------------------------------------------------
Vähemusosalus -204 -1 438 -204 -1 328
--------------------------------------------------------------------------------
Muu koondkasum (-kahjum)
--------------------------------------------------------------------------------
Valuutakursi vahed välisettevõtte 0 303 -178 40
ümberarvestamisel
--------------------------------------------------------------------------------
Muu koondkasum (-kahjum) 0 303 -178 40
--------------------------------------------------------------------------------
Aruandeperioodi koondkasum -4 589 -362 753 15 073 5 622
(-kahjum)
--------------------------------------------------------------------------------
Emaettevõtja osalus -4 385 -361 315 15 277 6 950
----------------------------------------------
Vähemusosalus -204 -1 438 -204 -1 328
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Aktsia puhaskasum (-kahjum)
kroonides
----------------------------------------------
- tava -0,92 -76,26 3,26 1,46
--------------------------------------------------------------------------------
- lahustatud -0,92 -76,26 3,26 1,46
--------------------------------------------------------------------------------
Lisa 12 kuud 12 kuud IV kvartal IV kvartal
2010 2009 2010 2009
--------------------------------------------------------------------------------
EUR tuhandetes
--------------------------------------------------------------------------------
Müügitulu teenuste müügist 11 583 18 746 3 051 5 548
--------------------------------------------------------------------------------
Müügitulu kaupade müügist 9 550 5 897 3 744 2 614
--------------------------------------------------------------------------------
Müügitulu kokku 2 21 133 24 643 6 795 8 162
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Müüdud toodangu kulu 3 -16 237 -26 471 -4 025 -2 789
--------------------------------------------------------------------------------
Brutokasum (-kahjum) 4 896 -1 828 2 770 5 373
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Muud äritulud 4 1 775 6 871 1 462 255
--------------------------------------------------------------------------------
Turustuskulud 5 -302 -281 -86 -69
--------------------------------------------------------------------------------
Üldhalduskulud 6 -4 041 -5 475 -1 330 -1 922
--------------------------------------------------------------------------------
Muud ärikulud 4 -2 458 -5 145 -2 274 -1 280
--------------------------------------------------------------------------------
Ärikasum (-kahjum) -130 -5 858 542 2 357
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finants- ja 7 1 690 521 1 057 -220
investeerimistegevuse tulud
--------------------------------------------------------------------------------
Finants- ja 7 -1 829 -17 922 -630 -1 915
investeerimistegevuse kulud
--------------------------------------------------------------------------------
Kasum (-kahjum) enne -269 -23 259 969 222
tulumaksu
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Tulumaksukulu -25 55 4 134
--------------------------------------------------------------------------------
Aruandeperioodi puhaskasum -294 -23 204 973 356
(-kahjum)
--------------------------------------------------------------------------------
Emaettevõtja osalus 8 -294 -23 112 973 441
--------------------------------------------------------------------------------
Vähemusosalus 0 -92 0 -85
--------------------------------------------------------------------------------
Muu koondkasum (-kahjum)
--------------------------------------------------------------------------------
Valuutakursi vahed välisettevõtte 0 19 -11 3
ümberarvestamisel
--------------------------------------------------------------------------------
Muu koondkasum (-kahjum) 0 19 -11 3
--------------------------------------------------------------------------------
Aruandeperioodi koondkasum -294 -23 185 962 359
(-kahjum)
--------------------------------------------------------------------------------
Emaettevõtja osalus -281 -23 093 975 444
----------------------------------------------
Vähemusosalus -13 -92 -13 -85
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Aktsia puhaskahjum
(kroonides)
----------------------------------------------
- tava -0,06 -4,87 0,21 0,09
--------------------------------------------------------------------------------
- lahustatud -0,06 -4,87 0,21 0,09
--------------------------------------------------------------------------------
Konsolideeritud finantsseisundi aruanne
Lisa 31.12.2010 31.12.2009 31.12.2008
--------------------------------------------------------------------------------
tuhandetes EEK
--------------------------------------------------------------------------------
Raha ja raha ekvivalendid 65 858 64 724 156 061
--------------------------------------------------------------------------------
Finantsinvesteeringud 0 0 40 416
--------------------------------------------------------------------------------
Nõuded 9 90 130 150 939 276 541
--------------------------------------------------------------------------------
Ettemakstud kulud 3 004 2 999 6 077
--------------------------------------------------------------------------------
Varud 10 559 215 754 805 827 237
--------------------------------------------------------------------------------
Bioloogilised varad 0 0 3 680
--------------------------------------------------------------------------------
Käibevara kokku 718 207 973 467 1 310 012
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finantsinvesteeringud 15 588 17 853 216 025
--------------------------------------------------------------------------------
Nõuded 1 189 2 635 921
--------------------------------------------------------------------------------
Kinnisvarainvesteeringud 11 358 104 219 129 157 367
--------------------------------------------------------------------------------
Materiaalne põhivara 10 994 10 545 41 664
--------------------------------------------------------------------------------
Immateriaalne põhivara 312 812 12 475
--------------------------------------------------------------------------------
Põhivara kokku 386 187 250 974 428 452
--------------------------------------------------------------------------------
VARAD KOKKU 1 104 394 1 224 441 1 738 464
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Laenukohustused 12 424 433 371 615 223 598
--------------------------------------------------------------------------------
Võlad 13 78 828 83 621 124 190
--------------------------------------------------------------------------------
Ettemaksed 72 501 81 902 64 172
--------------------------------------------------------------------------------
Eraldised 21 555 43 571 37 999
--------------------------------------------------------------------------------
Lühiajalised kohustused kokku 597 317 580 709 449 959
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Laenukohustused 12 60 316 186 578 454 048
--------------------------------------------------------------------------------
Võlad 11 337 6 278 1 418
--------------------------------------------------------------------------------
Eraldised 0 1 100 3 191
--------------------------------------------------------------------------------
Pikaajalised kohustused kokku 71 653 193 956 458 657
--------------------------------------------------------------------------------
KOHUSTUSED KOKKU 668 970 774 665 908 616
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Aktsiakapital 47 417 952 842 952 842
--------------------------------------------------------------------------------
Ülekurss 0 0 712 514
--------------------------------------------------------------------------------
Kohustuslik reservkapital 31 463 31 463 31 463
--------------------------------------------------------------------------------
Jaotamata kasum (kahjum) 356 544 -530 537 -862 979
--------------------------------------------------------------------------------
Oma aktsiad 0 -3 992 -3 992
--------------------------------------------------------------------------------
Omakapital kokku 435 424 449 776 829 848
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Vähemusosalusele kuuluv omakapital -1 103 -1 191 3 614
--------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv 436 527 450 967 826 234
omakapital kokku
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 1 104 394 1 224 441 1 738 464
--------------------------------------------------------------------------------
Lisa 31.12.2010 31.12.2009 31.12.2008
--------------------------------------------------------------------------------
tuhandetes EUR
--------------------------------------------------------------------------------
Raha ja raha ekvivalendid 4 209 4 137 9 974
--------------------------------------------------------------------------------
Finantsinvesteeringud 0 0 2 583
--------------------------------------------------------------------------------
Nõuded 9 5 760 9 647 17 674
--------------------------------------------------------------------------------
Ettemakstud kulud 192 192 388
--------------------------------------------------------------------------------
Varud 10 35 740 48 241 52 870
--------------------------------------------------------------------------------
Bioloogilised varad 0 0 235
--------------------------------------------------------------------------------
Käibevara kokku 45 901 62 217 83 724
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finantsinvesteeringud 996 1 141 13 806
--------------------------------------------------------------------------------
Nõuded 9 76 168 59
--------------------------------------------------------------------------------
Kinnisvarainvesteeringud 11 22 887 14 005 10 058
--------------------------------------------------------------------------------
Materiaalne põhivara 703 674 2 663
--------------------------------------------------------------------------------
Immateriaalne põhivara 20 52 798
--------------------------------------------------------------------------------
Põhivara kokku 24 682 16 040 27 384
--------------------------------------------------------------------------------
VARAD KOKKU 70 583 78 257 111 108
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Laenukohustused 12 27 126 23 750 14 290
--------------------------------------------------------------------------------
Võlad 13 5 038 5 344 7 937
--------------------------------------------------------------------------------
Ettemaksed 4 634 5 234 4 101
--------------------------------------------------------------------------------
Eraldised 1 378 2 785 2 429
--------------------------------------------------------------------------------
Lühiajalised kohustused kokku 38 176 37 116 28 757
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Laenukohustused 12 3 855 11 925 29 019
--------------------------------------------------------------------------------
Võlad 724 400 91
--------------------------------------------------------------------------------
Eraldised 0 70 204
--------------------------------------------------------------------------------
Pikaajalised kohustused kokku 4 579 12 395 29 314
--------------------------------------------------------------------------------
KOHUSTUSED KOKKU 42 755 49 511 58 071
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Aktsiakapital 3 030 60 897 60 897
--------------------------------------------------------------------------------
Ülekurss 0 0 45 538
--------------------------------------------------------------------------------
Kohustuslik reservkapital 2 011 2 011 2 011
--------------------------------------------------------------------------------
Jaotamata kasum (kahjum) 22 787 -33 907 -55 154
--------------------------------------------------------------------------------
Oma aktsiad 0 -255 -255
--------------------------------------------------------------------------------
Omakapital kokku 27 828 28 746 53 037
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Vähemusosalusele kuuluv omakapital -70 -76 231
--------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv 27 758 28 670 53 268
omakapital kokku
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 70 583 78 257 111 108
--------------------------------------------------------------------------------
Konsolideeritud rahavoogude aruanne
EEK EUR
Lisa 12 kuud 12 kuud 12 kuud 12 kuud
2010 2009 2010 2009
--------------------------------------------------------------------------------
tuhandetes
--------------------------------------------------------------------------------
Puhaskahjum -4 589 -363 056 -293 -23 204
--------------------------------------------------------------------------------
Intressitulud ja intressikulud 7 18 163 22 595 1 161 1 444
--------------------------------------------------------------------------------
Kasumid ja kahjumid tütar- ja 7 -1 328 4 492 -85 287
ühisettevõtete müügist
--------------------------------------------------------------------------------
Tulud ja kulud muudelt 7 -18 246 -2 001 -1 166 -128
pikaajalistelt
finantsinvesteeringutelt
--------------------------------------------------------------------------------
Finantsvarade allahindluskulu 7 1 788 18 888 114 1 207
--------------------------------------------------------------------------------
Kasumid ja kahjumid ühisettevõtetest kap. 2 841 225 284 182 14 398
osalusel
--------------------------------------------------------------------------------
Materiaalse ja immateriaalse 3,6 2 115 4 975 135 318
põhivara amortisatsioon ja väärtuse
langus
--------------------------------------------------------------------------------
Materiaalse ja immateriaalse 4 15 1 550 1 99
põhivara müügi kasum või kahjum
--------------------------------------------------------------------------------
Kinnisvarainvesteeringute müügi 4 -2 887 -1 088 -185 -70
kasum või kahjum
--------------------------------------------------------------------------------
Kinnisvarainvesteeringute ja 4,11 30 021 -24 265 1 919 -1 551
bioloogilise vara õiglase väärtuse
muutus
--------------------------------------------------------------------------------
Varude ümberhindluse kasum või 3 -21 868 64 905 -1 398 4 148
kahjum
--------------------------------------------------------------------------------
Valuutakursi kasumid ja kahjumid 7 -1 050 2 823 -67 180
--------------------------------------------------------------------------------
Ettevõtte tulumaksukulu 398 -868 25 -55
--------------------------------------------------------------------------------
Äritegevuse rahavood enne käibekapitali 5 373 -45 766 343 -2 927
muutuseid
--------------------------------------------------------------------------------
Äritegevusega seotud nõuete ja ettemaksude -26 119 30 546 -1 669 1 952
muutus
--------------------------------------------------------------------------------
Varude muutus 37 490 7 527 2 396 481
--------------------------------------------------------------------------------
Bioloogiliste varade muutus 0 3 680 0 235
--------------------------------------------------------------------------------
Äritegevusega seotud kohustuste 10 653 -47 037 681 -3 006
ettemaksude muutus
--------------------------------------------------------------------------------
RAHAVOOD ÄRITEGEVUSEST KOKKU 27 397 -51 050 1 751 -3 265
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Materiaalse ja immateriaalse -628 -1 961 -40 -125
põhivara soetus
--------------------------------------------------------------------------------
Materiaalse ja immateriaalse 25 5 729 2 366
põhivara müük
--------------------------------------------------------------------------------
Kinnisvarainvesteeringute soetus 11 -3 725 -2 776 -238 -177
--------------------------------------------------------------------------------
Kinnisvarainvesteeringute müük 24 530 8 581 1 568 548
--------------------------------------------------------------------------------
Tütar- ja ühisettevõtete soetus -500 -585 -32 -37
--------------------------------------------------------------------------------
Tütar- ja ühisettevõtete müük 23 105 69 479 1 477 4 441
--------------------------------------------------------------------------------
Muude finantsinvesteeringute müük 0 29 383 0 1 878
--------------------------------------------------------------------------------
Antud laenud -3 613 -12 768 -231 -816
--------------------------------------------------------------------------------
Antud laenude tagasimaksed 52 078 5 878 3 328 377
--------------------------------------------------------------------------------
Saadud intressid 3 809 3 929 243 251
--------------------------------------------------------------------------------
RAHAVOOD INVESTEERIMISTEGEVUSEST KOKKU 95 081 104 889 6 077 6 706
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Saadud laenud 65 157 115 005 4 164 7 350
--------------------------------------------------------------------------------
Laenude ja kapitalirendikohustuste -151 386 -226 560 -9 675 -14 480
tagasimaksed
--------------------------------------------------------------------------------
Makstud intressid -35 070 -33 662 -2 241 -2 150
--------------------------------------------------------------------------------
RAHAVOOD FINANTSEERIMISTEGEVUSEST KOKKU -121 299 -145 217 -7 752 -9 280
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
RAHAVOOD KOKKU 1 179 -91 378 76 -5 839
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi 64 724 156 061 4 137 9 974
alguses
--------------------------------------------------------------------------------
Raha ja raha ekvivalentide muutus 1 179 -91 378 76 -5 839
--------------------------------------------------------------------------------
Valuutakursi mõju -45 41 -4 2
--------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi 65 858 64 724 4 209 4 137
lõpus
--------------------------------------------------------------------------------
Content of announcement in English
Title
25.02.2011: Interim report 4 quarter and 12 months 2010
Message
Group Chief Executive's review
In 2010, a total of 129 apartments and plots were sold in the projects of Arco
Vara - 73 in Estonia, 45 in Latvia and 11 in Bulgaria. Our largest ever
completely self-developed project Boulevard Residence Madrid in Sofia was
granted a use permit at the end of June. Most of the commercial rental premises
that were covered with preliminary contracts have already been transferred to
customers and tenants have moved in. We have also signed the first real right
contracts on the apartments and have transferred the apartments to customers.
Our Development division continues completing apartments in the Bishumuiza-1
project in Riga and developing the Manastirski project in Sofia.
The increasing sales of the past quarters have reduced the inventory balance
significantly and construction prices continue to be favourable. Therefore, we
have launched new developments in order to be ready to satisfy the emerging
market demand. The Group's subsidiary AS Kolde joined forces with AS Merko
Ehitus for building and financing the next phase of the Kodukolde development
project. The new housing complex will consist of four apartment buildings with
100 apartment units and 40 underground garage spaces with a gross enclosed area
of 8,760 square metres. The first two buildings will be completed in spring
2011. We are pleased to report that construction is on schedule and
pre-completion sales exceed all expectations. We are also holding negotiations
with potential business partners and banks with a view to starting and
financing the construction of the Tivoli project. Subsequent to the reporting
date, we have held an architectural competition and have launched preparatory
site work. Construction should commence in spring 2011. In addition, at the
beginning of 2011 we have announced a plan to build a four-floor apartment
building in Tehnika street in Tallinn.
The Service division continues to benefit from administrative cost savings
yielded by effective restructuring. Although sales have contracted too, this
has happened at a slower pace. As a result, in the third quarter the division
was able to post its first post-crisis quarterly operating profit of 1.3
million kroons (0.08 million euros). In 2010 the number of brokerage
transactions grew by 11% year-over-year and the number of valuation reports
issued increased by 25% although the number of brokers and appraisers decreased
by 4%.
The division's Bulgarian team moved to new first-class office premises in the
Madrid Boulevard Residence. The division is planning to increase the number of
brokers in order to be ready for the recovery of the real estate market.
During the year, the Construction division secured new contracts of 347 million
kroons (22.2 million euros). At the reporting date, the order backlog amounted
to 262 million kroons (16.8 million euros) compared with 80.0 million kroons
(5.1 million euros) at the end of 2009. The main customers continue to be the
public sector and local governments. In addition to environmental and
infrastructure projects, funds are being allocated to the education sector. It
should be noted that in 2010 practically all of the Group's construction
revenue was external - the proportion of internally generated sales was
negligible.
The reporting period brought significant improvement to most of the Group's
financial performance indicators - both revenue and gross profit grew on a
quarterly basis. Over several years, all divisions ended the third quarter with
an operating profit. The reduction of fixed costs that began in 2009 has had a
positive impact also on the results for 2010. Management will continue
monitoring fixed costs. Compared with the previous year administrative expenses
have shrunk by 26%.
To improve liquidity, the Group has disposed of a number of smaller investment
properties that were not under its complete control or otherwise did not fit
the corporate strategy.
In addition, the Group extended the loans taken from Piraeus Bank Bulgaria for
the development of the Madrid project in Sofia and SEB Pank for the Navigator
and Tivoli projects in Tallinn of 360.7 million kroons (23.1 million euros) in
aggregate. As a result, the maturity date of the loan taken for the Madrid
project was deferred by three years from 2012 to 2015 and the term of the
Navigator and Tivoli projects was extended until 31 January 2011.
In December 2009 the shareholders of Arco Vara AS decided to reduce the
company's share capital. A corresponding Commercial Registry entry took effect
on 16 March 2010. The reduction of share capital has curbed the volatility of
the share price, has allowed more effective pricing of the share on the stock
exchange (through a decrease in the difference between the bid and ask prices)
and has created new opportunities for further strengthening the capital
structure.
In 2010 Arco Vara AS' wholly-held subsidiary Arco Investeeringute AS
transferred its claim against Celia Crowd AS (formerly Ühendatud Kapital AS) to
AS EMF Invest for 52 million kroons (3.3 million euros). The transaction
improved the Group's fourth quarter results by an exceptional sales gain of
18.9 million kroons (1.2 million euros).
Change in accounting for jointly controlled entities
The Group's management has revised the policy for accounting for interests in
jointly controlled entities. Previously, interests in jointly controlled
entities were accounted for using proportionate consolidation. As from 1
January 2010, interests in jointly controlled entities are accounted for using
the equity method. Management believes that the equity method provides a more
faithful representation of the Group's assets, liabilities and equity.
KEY PERFORMANCE INDICATORS
-- In 2010 the Group generated revenue and other income of 358.4 million
kroons (22.9 million euros), a 27% decrease year-over-year
-- Operating loss for 2010 amounted to 2.0 million kroons (0.1 million euros),
a 98% improvement on 2009
-- Net loss was 4.6 million kroons (0.3 million euros), a 99% improvement on
2009
-- Equity to assets ratio at period-end was 39.4% (end of 2009: 36.7%). Return
on equity was negative (2009: negative). Return on invested capital was
1.8% (2009: negative)
-- At the end of 2010, our order backlog (in the construction business) stood
at 262.2 million kroons (16.8 million euros), compared with 79.6 million
kroons (5.1 million euros) at the end of 2009
-- In the twelve months of 2010 we sold a total of 129 apartments and plots
(2009: 82).
EEK EUR
--------------------------------------------------------------------------------
12M 12M Q4 Q4 12M 12M Q4 Q4
2010 2009 2010 2009 2010 2009 2010 2009
--------------------------------------------------------------------------------
In millions
--------------- -------------------------------
Revenue and 358.4 493.1 129.2 131.7 22.9 31.5 8.3 8.4
other income
--------------------------------------------------------------------------------
Operating -2.0 -91.7 8.5 36.9 -0.1 -5.9 0.5 2.4
profit / loss
--------------------------------------------------------------------------------
Incl. net loss -8.2 -40.6 -2.6 -40.6 -0.5 -2.6 -0.2 -2.6
from the
revaluation of
investment
properties and
inventories
--------------------------------------------------------------------------------
Profit / loss -4.2 -363.9 15.2 3.5 -0.3 -23.3 1.0 0.2
before tax
--------------------------------------------------------------------------------
Incl. net -2.4 -4.5 0.0 0.0 -0.2 -0.3 0.0 0.0
gain/loss from
the disposal
of financial
assets
--------------------------------------------------------------------------------
Net profit / -4.6 -363.1 15.3 5.6 -0.3 -23.2 1.0 0.4
loss
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
EPS (in kroons -0.92 -76.26 3.26 1.46 -0.06 -4.87 0.21 0.09
and euros)
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Total assets 1,104.4 1,224.4 70.6 78.3
at period end
--------------------------------------------------------------------------------
Invested 931.5 1,015.3 59.5 64.9
capital at
period end
--------------------------------------------------------------------------------
Net loans at 430.2 500.8 27.5 32.0
period end
--------------------------------------------------------------------------------
Equity at 435.4 449.8 27.8 28.7
period end
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Average loan 0.8 1.2 0.8 1.2
term (in
years)
--------------------------------------------------------------------------------
Average 6.4% 5.9% 6.4% 5.9%
interest rate
of loans (per
year)
--------------------------------------------------------------------------------
ROIC (rolling, 1.8% neg 1.8% neg
4 quarters)
--------------------------------------------------------------------------------
ROE (rolling, neg neg neg neg
4 quarters)
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Number of 153 171 153 171
staff at
period end
--------------------------------------------------------------------------------
REVENUE AND PROFIT
EEK EUR
12M 12M Q4 Q4 12M 12M Q4 Q4
2010 2009 2010 2009 2010 2009 2010 2009
--------------------------------------------------------------------------------
In millions
--------------------------------- ----------------
Revenue and
other income
--------------------------------------------------------------------------------
Service 30.0 38.0 8.3 9.3 1.9 2.4 0.5 0.6
--------------------------------------------------------------------------------
Development 196.7 218.1 82.8 49.8 12.6 13.9 5.3 3.2
--------------------------------------------------------------------------------
Construction 139.6 277.2 39.7 75.7 8.9 17.7 2.5 4.8
--------------------------------------------------------------------------------
Eliminations -7.9 -40.2 -1.6 -3.1 -0.5 -2.6 -0.1 -0.2
--------------------------------------------------------------------------------
Total revenue 358.4 493.1 129.2 131.7 22.9 31.5 8.3 8.4
and other income
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Operating profit
/ loss
--------------------------------------------------------------------------------
Service -2.7 -16.6 -1.4 -7.5 -0.2 -1.1 -0.1 -0.5
--------------------------------------------------------------------------------
Development 27.1 -36.8 21.8 56.7 1.8 -2.4 1.3 3.6
--------------------------------------------------------------------------------
Construction -3.6 -8.1 -4.7 -5.3 -0.2 -0.5 -0.3 -0.3
--------------------------------------------------------------------------------
Eliminations 0.0 0.0 -0.6 -0.2 0.0 0.0 0.0 0.0
--------------------------------------------------------------------------------
Unallocated -22.8 -30.2 -6.6 -6.8 -1.5 -1.9 -0.4 -0.4
expenses
--------------------------------------------------------------------------------
Total operating -2.0 -91.7 8.5 36.9 -0.1 -5.9 0.5 2.4
profit / loss
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Interest income -18.2 -22.6 -10.6 -10.7 -1.2 -1.4 -0.7 -0.7
and expense
--------------------------------------------------------------------------------
Other finance 15.9 -249.7 17.3 -22.7 1.0 -16.0 1.2 -1.4
income and
expense
--------------------------------------------------------------------------------
Income tax -0.3 0.9 0.1 2.1 0.0 0.1 0.0 0.1
expense
--------------------------------------------------------------------------------
Net profit / -4.6 -363.1 15.3 5.6 -0.3 -23.2 1.0 0.4
loss
--------------------------------------------------------------------------------
The Construction division's fourth quarter results were adversely affected by a
write-down of receivables by 4.6 million kroons (0.3 million euros), conducted
due to the bankruptcies of a major customer and a consortium partner.
The main cost cuts have been made and managing and reducing expenses has become
a daily routine at all units. For the time being, the Group's main focus is on
increasing sales, completing projects in progress and launching new ones, and
improving liquidity by selling new projects and inventories.
Finance income and expense for the fourth quarter were influenced the most by
the sale of a receivable from Ühendatud Kapital AS. Despite a decrease in
revenue and other income across all divisions, thanks to determined cost
control the Group's operating loss has decreased by 98% compared with 2009.
CASH FLOWS
EEK EUR
12M 2010 12M 2009 12M 2010 12M 2009
--------------------------------------------------------------------------------
In millions
--------------------------------------------------------------------------------
Cash flows from operating activities 27.4 -51.1 1.8 -3.3
--------------------------------------------------------------------------------
Cash flows from investing activities 95.1 104.9 6.1 6.7
--------------------------------------------------------------------------------
Cash flows from financing activities -121.3 -145.2 -7.8 -9.3
--------------------------------------------------------------------------------
Net cash flow 1.2 -91.4 0.1 -5.8
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Cash and cash equivalents at beginning 64.7 156.1 4.1 10.0
of period
--------------------------------------------------------------------------------
Effect of movements in exchange rates 0.0 0.0 0.0 0.0
--------------------------------------------------------------------------------
Cash and cash equivalents at end of 65.9 64.7 4.2 4.1
period
--------------------------------------------------------------------------------
In May 2010 Arco Vara AS redeemed commercial paper of 18.9 million kroons (1.2
million euros) before maturity.
In December 2010 Arco Vara AS repaid early 4.5 million kroons (0.3 million
euros) of the loan received from LHV bank.
There were no other exceptional loan settlements in 2010. Interest payments
accounted for 35.1 million kroons (2.2 million euros) of net financing cash
flows. Scheduled and inventory sale-related settlements of loan principal
totalled 109.3 million kroons (7.0 million euros). The largest proportion of
credit limits utilised during the period was related to the completion of the
Madrid project and the construction of the last but one phase in the Kodukolde
project that accounted for 67.4 million kroons (4.3 million euros) of the
total.
The largest current liabilities to be settled in the next 12 months comprise:
-- The loan taken for the Boulevard Residence Madrid project in Sofia of 238.1
million kroons (15.2 million euros) in aggregate has been reclassified to
current liabilities because due to the write-down of collateral it is
temporarily not in full compliance with the covenant for the value of
collateral. The loan is to be repaid by 2015. According to the sales
forecast and settlement schedule, as at 31 December 2010 the portion to be
repaid in the next 12 months would be 72.1 million kroons (4.6 million
euros).
-- Loans of 102.5 million kroons (6.6 million euros) related to the Tivoli and
Laeva2 projects.
-- A loan of 25.5 million kroons (1.6 million euros) related to the Bishumuiza
project.
-- The scheduled current portion of a loan related to the Manastirski project
of 31.7 million kroons (2.0 million euros).
During the year the Group made regular repayments of loans taken for the
Kodukolde and Merivälja2 projects in Tallinn, the Bishumuiza-1 project in Riga,
and the Madrid project in Sofia and also settlements under some cash flow
generating projects (including the entire loan of the Enerpoint project). Most
of the Group's liabilities are denominated in euros.
SERVICE DIVISION
We constantly monitor expenses so as to avoid a situation where expenses are
growing faster than revenue.
In connection with the revival of the housing market, we are continuing an
active marketing campaign in Estonia. In addition, we are continuing partnering
negotiations with other major housing and commercial real estate developers.
Through effective cooperation, the number of properties brokered has increased.
Our goal is to offer the customers both a wide range of services and an
extensive selection of properties.
In Sofia, the Service division's Bulgarian team moved to new first-class office
premises in the Madrid Boulevard Residence. We are also planning to increase
the number of brokers in order to be ready for the recovery of the real estate
market in Bulgaria.
The Service division ended 2010 with an operating loss of 2.7 million kroons
(0.17 million euros) compared with an operating loss of 16.6 million kroons
(1.06 million euros) in 2009. The most successful quarter was the third one
where the division generated an operating profit of 1.3 million kroons (0.08
million euros). Before that, the division last earned an operating profit in
the third quarter of 2006. Compared with 2009, the number of brokerage
transactions has grown by 11% and the number of valuation reports issued has
increased by 25%.
DEVELOPMENT DIVISION
In 2010, a total of 129 apartments and plots were sold in Arco Vara projects.
In Latvia, 26 apartments were sold in the Bishumuiza project and 19 residential
plots in a project near Lake Mazais Baltezers. In Estonia, 41 apartments were
sold in the Kodukolde project and 32 residential plots in the Merivälja
project. In Bulgaria, the Group sold 11 apartments in the Madrid project in
Sofia.
For building and financing the next phase in the Kodukolde project (100
apartments), we have signed a contract with AS Merko Ehitus. Construction work
has commenced and is on schedule. Two out of the four buildings will be
completed in spring 2011.
The Development division has acquired a property for building a nursery school
in Harku rural municipality. There is a rental agreement with the local
government, a construction contract with YIT Ehitus AS and a financing
agreement with DnB NORD bank. Construction work has commenced and the nursery
school will be completed in April 2011.
The Boulevard Residence Madrid commercial and residential building in Sofia was
granted a use permit in June. Most of the commercial rental premises that were
covered with preliminary contracts have been transferred to customers and
tenants have moved in. We have also signed the first real right contracts on
the apartments and have transferred the apartments to customers. In addition,
we are negotiating with potential partners and banks for starting the
construction and financing of the Tivoli project. Preparatory site work is
underway and construction should begin in spring 2011.
The real estate market of the Baltic countries has stabilised. The sharpest
price increase has occurred in Latvia. In response, we have increased prices
also in our own development projects.
At the end of 2010, the Development division employed 26 people (31 December
2009: 23).
For further information on our projects, please refer to:
www.arcorealestate.com/development.
CONSTRUCTION DIVISION
The Construction division is typically actively involved in environmental,
infrastructure and civil engineering (mostly educational establishments
related) projects.
At the year-end, the largest new construction contracts were the Tallinn-Muuga
water and sewerage networks and facilities of 103 million kroons (6.6 million
euros) and the new building of the Estonian Aviation Academy of 31 million
kroons (2.0 million euros).
In 2010, the division secured new contracts of 347 million kroons (22.2 million
euros). At the end of 2010, the order backlog of the Construction division
stood at 262 million kroons (16.8 million euros) against 80.0 million kroons
(5.1 million euros) at the end of 2009.
At the reporting date, the division employed 49 people (31 December 2009: 59
people).
Condensed consolidated statement of comprehensive income
For the period ended 31 December Note 12M 2010 12M 2009 Q4 2010 Q4 2009
2010
--------------------------------------------------------------------------------
EEK In thousands
--------------------------------------------------------------------------------
Revenue from rendering of services 181,239 293,316 47,734 86,814
--------------------------------------------------------------------------------
Revenue from sale of goods 149,423 92,274 58,586 40,908
--------------------------------------------------------------------------------
Total revenue 2 330,662 385,590 106,320 127,722
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Cost of sales 3 -254,049 -414,186 -62,978 -43,642
--------------------------------------------------------------------------------
Gross profit / loss 76,613 -28,596 43,342 84,080
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Other income 4 27,776 107,502 22,880 3,991
--------------------------------------------------------------------------------
Distribution expenses 5 -4,734 -4,401 -1,339 -1,086
--------------------------------------------------------------------------------
Administrative expenses 6 -63,225 -85,666 -20,803 -30,065
--------------------------------------------------------------------------------
Other expenses 4 -38,453 -80,496 -35,586 -20,024
--------------------------------------------------------------------------------
Operating profit / loss -2,023 -91,657 8,494 36,896
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finance income 7 26,448 8,152 16,541 -3,446
--------------------------------------------------------------------------------
Finance expenses 7 -28,616 -280,419 -9,851 -29,971
--------------------------------------------------------------------------------
Profit / loss before tax -4,191 -363,924 15,184 3,479
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Income tax expense -398 868 67 2,103
--------------------------------------------------------------------------------
Profit / loss for the period -4,589 -363,056 15,251 5,582
--------------------------------------------------------------------------------
Profit / loss attributable to owners 8 -4,385 -361,618 15,455 6,910
of the parent
--------------------------------------------------------------------------------
Loss attributable to non-controlling -204 -1,438 -204 -1,328
interests
--------------------------------------------------------------------------------
Other comprehensive income / expense
--------------------------------------------------------------------------------
Exchange differences on translating 0 303 -178 40
foreign operations
--------------------------------------------------------------------------------
Total other comprehensive income / 0 303 -178 40
expense
--------------------------------------------------------------------------------
Total comprehensive income / expense -4,589 -362,753 15,073 5,622
for the period
--------------------------------------------------------------------------------
Total comprehensive income / expense -4,385 -361,315 15,277 6,950
attributable to owners of the parent
--------------------------------------------------------------------------------
Total comprehensive expense -204 -1,438 -204 -1,328
attributable to
non-controlling interests
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Earnings per share (in EEK)
-------------------------------------
- Basic -0.92 -76.26 3.26 1.46
--------------------------------------------------------------------------------
- Diluted -0.92 -76.26 3.26 1.46
--------------------------------------------------------------------------------
For the period ended 31 December 2010 Note 12M 12M Q4 Q4
2010 2009 2010 2009
--------------------------------------------------------------------------------
EUR In thousands
--------------------------------------------------------------------------------
Revenue from rendering of services 11,583 18,746 3,051 5,548
--------------------------------------------------------------------------------
Revenue from sale of goods 9,550 5,897 3,744 2,614
--------------------------------------------------------------------------------
Total revenue 2 21,133 24,643 6,795 8,162
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Cost of sales 3 -16,237 -26,471 -4,025 -2,789
--------------------------------------------------------------------------------
Gross profit / loss 4,896 -1,828 2,770 5,373
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Other income 4 1,775 6,871 1,462 255
--------------------------------------------------------------------------------
Distribution expenses 5 -302 -281 -86 -69
--------------------------------------------------------------------------------
Administrative expenses 6 -4,041 -5,475 -1,330 -1,922
--------------------------------------------------------------------------------
Other expenses 4 -2,458 -5,145 -2,274 -1,280
--------------------------------------------------------------------------------
Operating profit / loss -130 -5,858 542 2,357
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Finance income 7 1,690 521 1,057 -220
--------------------------------------------------------------------------------
Finance expenses 7 -1,829 -17,922 -630 -1,915
--------------------------------------------------------------------------------
Profit / loss before tax -269 -23,259 969 222
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Income tax expense -25 55 4 134
--------------------------------------------------------------------------------
Profit / loss for the period -294 -23,204 973 356
--------------------------------------------------------------------------------
Profit / loss attributable to owners of 8 -294 -23,112 973 441
the parent
--------------------------------------------------------------------------------
Loss attributable to non-controlling 0 -92 0 -85
interests
--------------------------------------------------------------------------------
Other comprehensive income / expense
--------------------------------------------------------------------------------
Exchange differences on translating foreign 0 19 -11 3
operations
--------------------------------------------------------------------------------
Total other comprehensive income / 0 19 -11 3
expense
--------------------------------------------------------------------------------
Total comprehensive income / expense for -294 -23,185 962 359
the period
--------------------------------------------------------------------------------
Total comprehensive income / expense -281 -23,093 975 444
attributable to owners of the parent
---------------------------------
Total comprehensive expense attributable -13 -92 -13 -85
to
non-controlling interests
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Earnings per share (in EUR)
---------------------------------
- Basic -0.06 -4.87 0.21 0.09
--------------------------------------------------------------------------------
- Diluted -0.06 -4.87 0.21 0.09
--------------------------------------------------------------------------------
Condensed consolidated statement of financial position
As at 31 December Note 2010 2009 2008
--------------------------------------------------------------------------------
In EEK thousands
--------------------------------------------------------------------------------
Cash and cash equivalents 65,858 64,724 156,061
--------------------------------------------------------------------------------
Investments 0 0 40,416
--------------------------------------------------------------------------------
Receivables 9 90,130 150,939 276,541
--------------------------------------------------------------------------------
Prepayments 3,004 2,999 6,077
--------------------------------------------------------------------------------
Inventories 10 559,215 754,805 827,237
--------------------------------------------------------------------------------
Biological assets 0 0 3,680
--------------------------------------------------------------------------------
Total current assets 718,207 973,467 1,310,012
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Investments 15,588 17,853 216,025
--------------------------------------------------------------------------------
Receivables 1,189 2,635 921
--------------------------------------------------------------------------------
Investment property 11 358,104 219,129 157,367
--------------------------------------------------------------------------------
Property, plant and equipment 10,994 10,545 41,664
--------------------------------------------------------------------------------
Intangible assets 312 812 12,475
--------------------------------------------------------------------------------
Total non-current assets 386,187 250,974 428,452
--------------------------------------------------------------------------------
TOTAL ASSETS 1,104,394 1,224,441 1,738,464
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Loans and borrowings 12 424,433 371,615 223,598
--------------------------------------------------------------------------------
Trade and other payables 13 78,828 83,621 124,190
--------------------------------------------------------------------------------
Deferred income 72,501 81,902 64,172
--------------------------------------------------------------------------------
Provisions 21,555 43,571 37,999
--------------------------------------------------------------------------------
Total current liabilities 597,317 580,709 449,959
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Loans and borrowings 12 60,316 186,578 454,048
--------------------------------------------------------------------------------
Other liabilities 11,337 6,278 1,418
--------------------------------------------------------------------------------
Provisions 0 1,100 3,191
--------------------------------------------------------------------------------
Total non-current liabilities 71,653 193,956 458,657
--------------------------------------------------------------------------------
TOTAL LIABILITIES 668,970 774,665 908,616
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Share capital 47,417 952,842 952,842
--------------------------------------------------------------------------------
Share premium 0 0 712,514
--------------------------------------------------------------------------------
Statutory capital reserve 31,463 31,463 31,463
--------------------------------------------------------------------------------
Retained earnings / accumulated losses 356,544 -530,537 -862,979
--------------------------------------------------------------------------------
Own shares 0 -3,992 -3,992
--------------------------------------------------------------------------------
Total equity attributable to equity 435,424 449,776 829,848
holders of the parent
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Non-controlling interests -1,103 -1,191 3,614
--------------------------------------------------------------------------------
Total equity 436,527 450,967 826,234
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 1,104,394 1,224,441 1,738,464
--------------------------------------------------------------------------------
As at 31 December Note 2010 2009 2008
--------------------------------------------------------------------------------
In EUR thousands
--------------------------------------------------------------------------------
Cash and cash equivalents 4,209 4,137 9,974
--------------------------------------------------------------------------------
Investments 0 0 2,583
--------------------------------------------------------------------------------
Receivables 9 5,760 9,647 17,674
--------------------------------------------------------------------------------
Prepayments 192 192 388
--------------------------------------------------------------------------------
Inventories 10 35,740 48,241 52,870
--------------------------------------------------------------------------------
Biological assets 0 0 235
--------------------------------------------------------------------------------
Total current assets 45,901 62,217 83,724
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Investments 996 1,141 13,806
--------------------------------------------------------------------------------
Receivables 9 76 168 59
--------------------------------------------------------------------------------
Investment property 11 22,887 14,005 10,058
--------------------------------------------------------------------------------
Property, plant and equipment 703 674 2,663
--------------------------------------------------------------------------------
Intangible assets 20 52 798
--------------------------------------------------------------------------------
Total non-current assets 24,682 16,040 27,384
--------------------------------------------------------------------------------
TOTAL ASSETS 70,583 78,257 111,108
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Loans and borrowings 12 27,126 23,750 14,290
--------------------------------------------------------------------------------
Trade and other payables 13 5,038 5,344 7,937
--------------------------------------------------------------------------------
Deferred income 4,634 5,234 4,101
--------------------------------------------------------------------------------
Provisions 1,378 2,785 2,429
--------------------------------------------------------------------------------
Total current liabilities 38,176 37,116 28,757
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Loans and borrowings 12 3,855 11,925 29,019
--------------------------------------------------------------------------------
Other liabilities 724 400 91
--------------------------------------------------------------------------------
Provisions 0 70 204
--------------------------------------------------------------------------------
Total non-current liabilities 4,579 12,395 29,314
--------------------------------------------------------------------------------
TOTAL LIABILITIES 42,755 49,511 58,071
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Share capital 3,030 60,897 60,897
--------------------------------------------------------------------------------
Share premium 0 0 45,538
--------------------------------------------------------------------------------
Statutory capital reserve 2,011 2,011 2,011
--------------------------------------------------------------------------------
Retained earnings / accumulated losses 22,787 -33,907 -55,154
--------------------------------------------------------------------------------
Own shares 0 -255 -255
--------------------------------------------------------------------------------
Total equity attributable to equity 27,828 28,746 53,037
holders of the parent
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Non-controlling interests -70 -76 231
--------------------------------------------------------------------------------
Total equity 27,758 28,670 53,268
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 70,583 78,257 111,108
--------------------------------------------------------------------------------
Condensed consolidated statement of cash flows
EEK EUR
For the period ended 31 December Note 12M 2010 12M 2009 12M 12M
2010 2010 2009
--------------------------------------------------------------------------------
In thousands
--------------------------------------------------------------------------------
Loss for the period -4,589 -363,056 -293 -23,204
--------------------------------------------------------------------------------
Interest income and interest expense 7 18,163 22,595 1,161 1,444
--------------------------------------------------------------------------------
Gain/loss on sale of subsidiaries 7 -1,328 4,492 -85 287
and interests in jointly controlled
entities
--------------------------------------------------------------------------------
Gain/loss on other long-term 7 -18,246 -2,001 -1,166 -128
investments
--------------------------------------------------------------------------------
Impairment losses on financial 7 1,788 18,888 114 1,207
assets
--------------------------------------------------------------------------------
Share of profits and losses of equity 2 841 225,284 182 14,398
accounted investees
--------------------------------------------------------------------------------
Depreciation, amortisation and 3, 6 2,115 4,975 135 318
impairment losses on property, plant
and equipment and intangible assets
--------------------------------------------------------------------------------
Gain/loss on the sale of property, 4 15 1,550 1 99
plant and equipment and intangible
assets
--------------------------------------------------------------------------------
Gain/loss on the sale of investment 4 -2,887 -1,088 -185 -70
property
--------------------------------------------------------------------------------
Change in the fair value of 4, 11 30,021 -24,265 1,919 -1,551
investment property and biological
assets
--------------------------------------------------------------------------------
Gain/loss on inventory write-downs 3 -21,868 64,905 -1,398 4,148
and reversals of inventory
write-downs
--------------------------------------------------------------------------------
Exchange gains and losses 7 -1,050 2,823 -67 180
--------------------------------------------------------------------------------
Income tax expense 398 -868 25 -55
--------------------------------------------------------------------------------
Operating cash flow before working capital 5,373 -45,766 343 -2,927
changes
--------------------------------------------------------------------------------
Change in receivables and prepayments -26,119 30,546 -1,669 1,952
--------------------------------------------------------------------------------
Change in inventories 37,490 7,527 2,396 481
--------------------------------------------------------------------------------
Change in biological assets 0 3,680 0 235
--------------------------------------------------------------------------------
Change in payables and deferred income 10,653 -47,037 681 -3,006
--------------------------------------------------------------------------------
NET CASH FROM / USED IN OPERATING 27,397 -51,050 1,751 -3,265
ACTIVITIES
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Acquisition of property, plant and -628 -1,961 -40 -125
equipment and intangible assets
--------------------------------------------------------------------------------
Proceeds from sale of property, 25 5,729 2 366
plant and equipment and intangible
assets
--------------------------------------------------------------------------------
Acquisition of investment property 11 -3,725 -2,776 -238 -177
--------------------------------------------------------------------------------
Proceeds from sale of investment 24,530 8,581 1,568 548
property
--------------------------------------------------------------------------------
Acquisition of subsidiaries and -500 -585 -32 -37
interests in jointly controlled
entities
--------------------------------------------------------------------------------
Proceeds from sale of investments in 23,105 69,479 1,477 4,441
subsidiaries and jointly controlled
entities
--------------------------------------------------------------------------------
Proceeds from sale of other 0 29,383 0 1,878
investments
--------------------------------------------------------------------------------
Loans granted -3,613 -12,768 -231 -816
--------------------------------------------------------------------------------
Repayment of loans granted 52,078 5,878 3,328 377
--------------------------------------------------------------------------------
Interest received 3,809 3,929 243 251
--------------------------------------------------------------------------------
NET CASH FROM INVESTING ACTIVITIES 95,081 104,889 6,077 6,706
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Proceeds from loans received 65,157 115,005 4,164 7,350
--------------------------------------------------------------------------------
Settlement of loans and finance -151,386 -226,560 -9,675 -14,480
lease liabilities
--------------------------------------------------------------------------------
Interest paid -35,070 -33,662 -2,241 -2,150
--------------------------------------------------------------------------------
NET CASH USED IN FINANCING ACTIVITIES -121,299 -145,217 -7,752 -9,280
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
NET CASH FLOW 1,179 -91,378 76 -5,839
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
Cash and cash equivalents at 64,724 156,061 4,137 9,974
beginning of period
--------------------------------------------------------------------------------
Increase / decrease in cash and cash 1,179 -91,378 76 -5,839
equivalents
--------------------------------------------------------------------------------
Effect of exchange rate fluctuations -45 41 -4 2
on cash held
--------------------------------------------------------------------------------
Cash and cash equivalents at end of 65,858 64,724 4,209 4,137
period
--------------------------------------------------------------------------------