Market announcement

Nordic Fibreboard AS

LEI code

54930002HOIXBD15OM06

Size of the entity

Small group

Economic activities

Financial and Insurance Activities

Country of registered office

Estonia

General information

Categories

Management interim statement or quarterly financial report

Unique data record identifier

8609

Submission date and time

26.02.2021 17:07:54

Content of announcement in Estonian

Title

Nordic Fibreboard AS 2020 IV kvartali ja 12 kuu auditeerimata majandustulemused

Message

JUHTKONNA ARUANNE

Nordic Fibreboard AS auditeerimata 2020. majandusaasta neljanda kvartali ja 12
kuu tulemused

Nordic  Fibreboard  AS  konsolideeritud  müügitulu  oli 2020. aasta 4. kvartalis
jätkuvatelt  tegevustelt  2,07 miljonit  eurot  (2020.  aasta 4. kvartalis 3,23
miljonit  eurot). Kontserni  peamise ärisegmendi,  puitkiudplaadi, müügitulu oli
2020 aasta  4. kvartalis  2,01 miljonit  eurot  (2019 4. kvartalis 2,78 miljonit
eurot). Müügitulu languse peamiseks põhjuseks oli  Püssi tehase sulgemine 2020.
aasta   märtsis,  mis  tulenes  COVID-19 pandeemia  tõttu  klientide  tellimuste
olulistest kaotustest märkmetahvlite tööstuses. Mööbli jaemüügi müügitulu 2020.
aasta  4. kvartalis oli  1 tuhat eurot,  müügitulu vähenemine  (võrreldes 2019.
aasta  4. kvartaliga  390 tuhat  eurot)  tulenes  Kontserni  väljumisest  mööbli
jaemüügi  segmendist 2020 aasta alguses ning majandusaasta jooksul toimus ainult
mõnede   järelejäänud  laojääkide  tühjendusmüük.  Kinnisvarahalduse  müügitulu,
sealhulgas  kommunaalkulude  edasimüük,  oli  2020. aasta  4. kvartalis 64 tuhat
eurot,  jäädes praktiliselt  samale tasemele  võrreldes sama perioodiga eelmisel
aastal (2019 4 kv. 63 tuhat eurot).

Nordic   Fibreboard   konsolideeritud   EBITDA   oli   2020. aasta  4. kvartalis
jätkuvatelt  tegevustelt  positiivne  137 tuhat  eurot (2019. aasta 4. kvartalis
jätkuvatelt  tegevustelt  positiivne  141 tuhat  eurot). 2019. aasta 4. kvartali
EBITDA  tulemus sisaldab ühekordset tulu 324 tuhat eurot kinnisvarainvesteeringu
ümberhindlusest  Pärnu  Riverside  Development  OÜ-s,  samas  kui 2020 aasta 4.
kvartali  EBITDA tulemus  sisaldab kasutuseta  seisnud kiudplaadi amortiseerunud
büroohoone  lammutuskulude  ühekordset  kulu  38 tuhat  eurot. Peamise segmendi,
kiudplaadi,  EBITDA  oli  2020. aasta  4. kvartalis,  peale  varasemalt mainitud
ühekordset  büroohoone lammutuskulu, positiivne 139 tuhat eurot (2019. aasta 4.
kvartalis  negatiivne  119 tuhat  eurot),  kiudplaadi  EBITDA  nii suure muutuse
peamisteks  põhjusteks  on  kiudplaadi  divisjoni  paranenud  efektiivsus. Püssi
tehase  sulgemise tõttu  viidi Püssis  toodetavate ehitussektori  tellimused üle
Pärnu  tehasesse, mille tulemusena alustas Pärnu tehas 2020. aasta aprillis tööd
neljas  vahetuses.  Pärnu  tehas  töötab  nüüd täisajaga tootmisvõimsusel, välja
arvatud  igakuiseks  korraliseks  hooldustööks  üks  kord  kuu jooksul. Masinate
suurema  töövõimsuse  kasutamise  tulemusena  suurenes  Nordic Fibreboard Ltd OÜ
brutomarginaal   märkimisväärselt,   ulatudes  2020. aasta  4. kvartalis  28%-ni
(20194. kv 11%)

Peale  amortisatsioonikulu ja neto  finantskulu oli Nordic  Fibreboard AS 2020.
aasta  4. kvartali  konsolideeritud  kasum  jätkuvatelt tegevustelt 1 231  tuhat
eurot  (2019. aasta 4. kvartalis kahjum 75 tuhat eurot jätkuvatelt tegevustelt).
Kasumi   muutuse   põhjuseks   on   2020 aasta   lõpus   toimunud   laenude   ja
arvelduskrediidi  refinantseerimine, millest saadi  ühekordset finatstulu 1 237
tuhat eurot.

Nordic  Fibreboard  AS  konsolideeritud  müügitulu  oli 2020. aastal jätkuvatelt
tegevustelt kokku 10,27 miljonit eurot, mis on 23% langust võrreldes 2019. aasta
sama  perioodiga (2019: 13,33 miljonit eurot jätkuvatelt tegevustelt). Müügitulu
langus on tingitud Püssi tehase sulgemise tõttu vähenenud tootmismahust.

Kontserni   2020. aasta   12 kuu   kasum  oli  1,07 miljonit  eurot  jätkuvatelt
tegevustelt  (2019. aastal kahjum  1,13 miljonit eurot jätkuvatelt tegevustelt).
2020 ja  2019 aasta tulemuste suure erinevuse  põhjusteks on varasemalt mainitud
2020. aasta  lõpus  toimunud  laenude  ning  arvelduskrediidi refinantserimisest
saadud  erakorraline finantstulu 1,24 miljonit eurot,  Pärnu tehase efektiivsuse
parendamine  ja  2019 aastal  mööbli  hulgimüügis  sektorist  väljumisel  saadud
ühekordne kahjum.

Ärivaldkondade ülevaade

Müügitulu ärisegmentide lõikes

                                        tuh EUR         |       tuh EUR
                              -------------+------------+----------+----------
                                IV kv 2020 | IV kv 2019 | 12k 2020 | 12k 2019
-------------------------------------------+------------+----------+----------
  Jätkuvad tegevused                       |            |          |
-------------------------------------------+------------+----------+----------
  Kiudplaadi tootmine ja müük        2 007 |      2 775 |   10 001 |   11 745
-------------------------------------------+------------+----------+----------
  Mööbli jaemüük                         1 |        390 |       56 |    1 515
-------------------------------------------+------------+----------+----------
  Kinnisvara haldamine                  64 |         63 |      212 |      111
-------------------------------------------+------------+----------+----------
  Elimineerimine                         0 |        (1) |      (0) |     (38)
-------------------------------------------+------------+----------+----------
  Kokku                              2 072 |      3 226 |   10 269 |   13 333
                                           |            |          |

-------------------------------------------+------------+----------+----------
  Lõpetatud tegevus                      0 |          0 |        0 |    1 215
-------------------------------------------+------------+----------+----------

-------------------------------------------+-----------------------+----------
  KOKKU                              2 072 |      3 226     10 269 |   14 548
-------------------------------------------+-----------------------+----------

Kasum ärisegmentide lõikes

                                 -----------+----------+--------+--------
 tuh EUR                          IV kv 2020|IV kv 2019|12k 2020|12k 2019
--------------------------------------------+----------+--------+--------
 Jätkuvad tegevused                         |          |        |
--------------------------------------------+----------+--------+--------
 EBITDA ärisegmentide lõikes                |          |        |
--------------------------------------------+----------+--------+--------
 Kiudplaadi tootmine ja müük             139|     (119)|     597|      68
--------------------------------------------+----------+--------+--------
 Mööbli jaemüük                          (1)|      (66)|    (40)|   (200)
--------------------------------------------+----------+--------+--------
 Kinnisvara haldamine                      3|       322|       0|     352
--------------------------------------------+----------+--------+--------
 Elimineerimine                          (4)|         5|    (18)|     104
--------------------------------------------+----------+--------+--------
 KOKKU EBITDA                            137|       141|     540|     325
--------------------------------------------+----------+--------+--------
 Põhivara kulum ja amortisatsioon        136|       177|     558|     669
--------------------------------------------+----------+--------+--------
 KOKKU ÄRIKASUM/-KAHJUM                    0|      (35)|    (19)|   (343)
--------------------------------------------+----------+--------+--------
 Neto finantskulud                  (1 231)*|        39|(1 093)*|   784**
--------------------------------------------+----------+--------+--------
 Tulumaksukulu                             0|         0|       0|       0
--------------------------------------------+----------+--------+--------
 PUHASKASUM/-KAHJUM                    1 231|      (75)    1 074| (1 127)
                                            |                   |

--------------------------------------------+----------+--------+--------
 Lõpetatud tegevus                         0|         0|       0|   (271)
--------------------------------------------+----------+--------+--------

--------------------------------------------+----------+--------+--------
 KOKKU                                 1 231|      (75)|   1 074| (1 398)
--------------------------------------------+----------+--------+--------

*  Neto finantskulu  sisaldab 2020. aasta  4. kvartalis (samuti 12k 2020 veerus)
laenude refinantseerimisest saadud  erakorralist finantstulu 1 237 tuhat eurot.

**  Neto  finatskulud  sisaldavad  2019 aastal  erakorralist  kulu, kahjum Skano
Furniture Factory OÜ müügist 540 tuhat eurot

Nordic Fibreboard Ltd: kiudplaadi müük

Puitkiudplaadi  müügitulu langes  2020. aasta 4. kvartalis  28% võrreldes 2019.
aasta sama perioodiga, (2020. aasta 4. kvartal 2,01 miljonit eurot versus 2019.
aasta  4. kvartal 2,78 miljonit  eurot).  2020.  aasta 4. kvartalis  müüsime oma
tooteid  17 riigi klientidele.  Puitkiudplaadi müügitulu  2020. aastal kokku oli
10,00 miljonit  eurot,  mis  oli  15% langust  võrreldes  eelmise aastaga (2019.
aastal   11,75 miljonit   eurot).  Müügitulu  peamiseks  languse  põhjuseks  oli
märkmetahvlite  segmendis klientide  kaotus. Kogu  selle sektori toodang toodeti
Püssi  tehases,  mis  2020. aasta  märtsis  suleti.  Samas meie peamistel Põhja-
Euroopa   ja   Venemaa   ehitussektori   turgudel   on   müük  olnud  stabiilne.
Puitkiudplaadi  suurima turuosa Soome müük  moodustab 2020. aasta 12 kuu müügist
26% (mille  osakaal on tõusnud  võrreldes eelmise aasta  sama perioodiga, 2019.
aasta  12 kuud 22%), Taani on meie suurimatest klientitest teise turuosaga riik,
moodustades  2020. aasta 12 kuu müügist 22% (võrreldes eelmise aastaga on samuti
tõusnud,  2019. aasta 12 kuud osakaal  müügist 14%). Eesti ja  Venemaa müügid on
võrreldes  eelmise  aastaga  jäänud  samale  tasemele  samal ajal kui kaugematel
turgudel  oli  tunda  langust  peamiselt  koroonaviiruse  negatiiivse mõju tõttu
sarnastel turgudel.

Puitkiudplaadi  EBITDA 2020. aasta  4. kvartalis oli  positiivne 139 tuhat eurot
(2019.  aasta  4. kvartal:  negatiivne  119 tuhat  eurot), kiudplaadi 2020 terve
aasta   EBITDA  oli  597 tuhat  eurot  (2019.  aastal  68 tuhat  eurot).  EBITDA
paranemise  peamiseks põhjusteks oli 2020. aastal Pärnu tehase masinate täieliku
kasutuvõimsuse   rakendamise   tulemusel  saavutatud  efektiivsuse  parendamine.
Puitkiudplaadi  4. kvartali EBITDA  139 tuhat eurot  oli väiksem kui 2020. aasta
teises  ja kolmandas  kvartalis, vastavalt  347 tuhat eurot  ja 366 tuhat eurot,
peamiselt  iga-aastase  kahenädalase  hooldusseisaku  tõttu, mis toimusid 2020.
aasta  oktoobri  alguses  ja  2020. aasta  detsembri  lõpus. Tavaliselt toimuvad
hooldustöödeks  ettenähtud tehase  kahenädalased seisakud  juulis ja detsembris.
Oktoobri  ja detsembri seisakute tulemusena oli 2020. aasta 4. kvartali toodangu
maht   väiksem  kui  eelneval  kahel  kvartalil,  kus  hoodustöödeks  ettenähtud
seisakute aeg tehases oli lühem.

Kiudplaadi müügitulu geograafiliselt

                       tuh EUR      |       tuh EUR
                ----------+---------+----------+----------
                  Q4 2020 | Q4 2019 | 12M 2020 | 12M 2019
--------------------------+---------+----------+----------
  Euroopa Liit      1 633 |   2 036 |    8 327 |    8 656
--------------------------+---------+----------+----------
  Venemaa             307 |     376 |    1 240 |    1 545
--------------------------+---------+----------+----------
  Aasia                49 |     115 |      189 |      544
--------------------------+---------+----------+----------
  Aafrika               0 |     103 |       96 |      523
--------------------------+---------+----------+----------
  Lähis-Ida            10 |      72 |       65 |      232
--------------------------+---------+----------+----------
  Teised riigid         9 |      74 |       85 |      245
--------------------------+---------+----------+----------
  TOTAL             2 007 |   2 775 |   10 001 |   11 745

Skano Furniture: mööbli jaemüük

Mööbli  jaemüügi  müügitulu  2020. aasta  4. kvartalis  oli 1 tuhat eurot (2019.
aasta  4. kvartalis 390 tuhat eurot).  Nagu varasemates aruannetes informeeritud
on   mööbli   jaemüük   lõpetatud  ning  kogu  2020. aasta  müük  toimus  ladude
tühjendusmüügist.

Mööbli jaemüügitulu geograafiliselt

                      tuh EUR   |     tuh EUR     |
                   -----------+-+------+--------+-+      |          |
                              |   IV kv|        |        |          |
                    IV kv 2020|    2019|12k 2020|12k 2019|31.12.2020|31.12.2019
------------------------------+--------+--------+--------+----------+----------
 Eesti                       1|     370|      56|   1 152|         0|         2
------------------------------+--------+--------+--------+----------+----------
 Läti*                       0|      13|       0|     137|         0|         0
------------------------------+--------+--------+--------+----------+----------
 Leedu*                      0|       7|       0|     226|         0|         0
------------------------------+--------+--------+--------+----------+----------
 Kokku    (toimivad           |        |        |        |          |
 kauplused)                  1|     390|      56|   1 515|         0|         2
                              |        |        |        |          |


*Eesti   kauplused   suleti  31.01.2020 ning  Läti  ja  Leedu  kauplused  suleti
30.09.2019.

Pärnu Riverside Development: kinnisvarahaldus

2020. aasta  4. kvartali renditulu koos kommunaalkulude vahendusega oli 64 tuhat
eurot (2019. aasta 4. kvartalis 63 tuhat eurot). Kogu müügitulu on Eesti sisene.
Ettevõtte   kulud  koosnevad  tegevuskuludest  ning  detailplaneeringuga  seotud
kuludest, mille tulemusena oli kinnisvarahalduse EBITDA 2020. aasta 4. kvartalis
positiivne 3 tuhat eurot. 2019. aasta 4. kvartali positiivset EBITDA-d 322 tuhat
eurot  mõjutas  tugevalt  kinnisvarainvesteeringu  ümberhindlus summas 327 tuhat
eurot.  Kinnisvarahalduse puhaskasum 2020. aasta  4. kvartalis oli 3 tuhat eurot
(2019. aasta 4. kvartali puhaskasum oli 300 tuhat eurot).

Kinnisvara   ümberhindamise   põhjuseks   oli  2019. aasta  lõpus  vastu  võetud
kinnisvarainvesteeringute  arvestuspõhimõtete muutus, kus soetusmaksumuse asemel
hakati kajastama kinnisvarainvesteeringuid bilansis õiglases väärtuses.

KONSOLIDEERITUD FINANTSSEISUNDI JA RAHAVOOGUDE ARUANNE

Seisuga  31.12.2020 olid  Nordic  Fibreboard  AS  varad kokku 7,7 miljonit eurot
(31.12.2019:  9,1 miljonit  eurot).  Kontserni  kohustised  kokku  olid  seisuga
31.12.2020 5,0 miljonit   eurot   (31.12.2019:  7,5 miljonit  eurot),  milledest
kontsernil oli laenukohustisi 3,2 miljonit eurot seisuga 31.12.2020 (31.12.2019:
4,6 miljonit).

Nõuded   ja   ettemaksed  olid  kokku  0,8 miljonit  eurot  seisuga  31.12.2020
(31.12.2019:  1,4 miljonit eurot).  Varud seisuga  31.12.2020 0,5 miljonit eurot
(31.12.2019  0,9 miljonit  eurot).  Kinnisvarainvesteeringud  suurenesid õiglase
väärtuse  ümberhindluse ja 2020. aastal  tehtud kapitaliseeritud kulutuste tõttu
1,12 miljonilt    seisuga   31.12.2019 summale   1,13 miljonit   eurot   seisuga
31.12.2020. Finantsvarade  õiglane  väärtus   (ehk  Trigon Property Development
aktsiad)  suurenes  397 tuhandelt  eurolt  seisuga  31.12.2019 summale 450 tuhat
eurot  seisuga 31.12.2020. Materiaalne  ja immateriaalne  põhivara kokku seisuga
31.12.2020 oli  4,7 miljonit eurot (31.12.2019  5,2 miljonit eurot). Bilansimahu
vähenemisele 2020. aastal avaldas mõju Püssi tehase sulgemine.

Kontserni  äritegevuse tulemuseks  2020. aasta jooksul  oli raha  sissevool 165
tuhat eurot jätkuvatelt tegevustelt (2019. aasta jooksul jätkuvatelt tegevustelt
516 tuhat eurot). Investeerimistegevustelt tulenevalt toimus 2020. aasta jooksul
jätkuvatelt  tegevustelt raha väljavool summas  89 tuhat eurot võrdluseks 2019.
aasta     jätkuvatelt    tegevustelt    raha    väljavool    153 tuhat    eurot.
Finantseerimisetegevustelt  oli  raha  väljavool  jätkuvatelt tegevustelt 2020.
aastal 58 tuhat eurot ( 2019. aastal jätkuvatelt tegevustelt raha väljavool 410
tuhat  eurot). Netorahavoo tulemuseks  jätkuvatelt tegevustelt oli 2020. aastal
raha  sissevool summas  19  tuhat  eurot  (2019. aastal  jätkuvatelt tegevustelt
raha väljavool 47 tuhat eurot).

TULEVIKU VÄLJAVAADE

Nordic Fibreboard Ltd

Meie  püsiklientide tellimuste  portfellid Põhja-Euroopa  suurimatel turgudel on
endiselt suuremahulised. Nende turgude suurenenud nõudluse tõttu pidime kaugemal
asuvate  klientide tellimused  edasi lükkama.  Turu suurenenud nõudluse tulemuse
tõttu kaalub juhtkond nüüd meetmeid Püssi tehase võimalikuks taasavamiseks selle
aasta   teisel  poolel.  Teisalt  oleme  teadlikud  COVID-19 pandeemiaga  seotud
jätkuvast  ebakindlusest  ning  eeldame,  et  lähikuudel  saabub   turu nõudluse
pandeemia olukorra kohta selgem ülevaade.

Pärnu Riverside Development

Jätkatakse Pärnus Suur-Jõe tn 48 oleva kinnisvara haldamist ja arendamist.

Töötajad

Seisuga 31.12.2020 töötas Kontsernis 97 inimest (võrreldes 126 inimesega seisuga
31.12.2019). Töötajate  keskmine  arv  oli  2020 4. kvartalis  96 (4.  kvartalis
2019: 125).

2020. aasta    kaheteistkümne   kuu   jooksul   moodustasid   tööjõukulud   koos
maksukuludega  kokku 2,0 miljonit eurot  jätkuvatelt tegevustelt (kaksteist kuud
2019 2,5 miljonit  eurot  jätkuvatelt  tegevustelt).  Kõigi kontserni ettevõtete
s.h.  tütarettevõtted  juhatuse  liikmetele  arvestatud tasud koos maksukuludega
olid kokku 217 tuhat eurot 2020 aasta kaheteist kümne kuu jooksul ning 173 tuhat
eurot kaheteistkümne kuu jooksul 2019 aastal.

Finantssuhtarvud

 tuh EUR
                                   |          |          |          |
 Kasumiaruanne                     |IV kv 2020|IV kv 2019|  12k 2020|  12k 2019
-----------------------------------+----------+----------+----------+----------
 Müügitulu                         |     2 072|     3 226|    10 269|    13 333
-----------------------------------+----------+----------+----------+----------
 EBITDA                            |       137|       141|       540|       325
-----------------------------------+----------+----------+----------+----------
 EBITDA rentaablus                 |        7%|        4%|        5%|        2%
-----------------------------------+----------+----------+----------+----------
 Ärikasum/-kahjum                  |         0|      (35)|      (19)|     (343)
-----------------------------------+----------+----------+----------+----------
 Ärirentaablus                     |        0%|      (1%)|      (0%)|      (3%)
-----------------------------------+----------+----------+----------+----------
 Puhaskasum/-kahjum                |     1 231|      (75)|     1 074|   (1 127)
-----------------------------------+----------+----------+----------+----------
 Puhasrentaablus                   |       59%|      (2%)|       10%|      (8%)
                                   |          |          |          |

-----------------------------------+----------+----------+----------+----------
 Lõpetatud tegevus                 |         0|         0|         0|     (271)
-----------------------------------+----------+----------+----------+----------

-----------------------------------+----------+----------+----------+----------
 KASUM/KAHJUM KOKKU                |     1 231|      (75)|     1 074|   (1 398)
-----------------------------------+----------+----------+----------+----------



                                   |          |          |          |
 Bilanss                           |31.12.2020|31.12.2019|31.12.2020|31.12.2019
-----------------------------------+----------+----------+----------+----------
 Koguvarad                         |     7 650|     9 045|     7 650|     9 045
-----------------------------------+----------+----------+----------+----------
 Koguvarade puhasrentaablus        |       14%|     (12%)|       14%|     (12%)
-----------------------------------+----------+----------+----------+----------
 Omakapital                        |     2 648|     1 542|     2 648|     1 542
-----------------------------------+----------+----------+----------+----------
 Omakapitali puhasrentaablus       |       41%|     (73%)|       41%|     (73%)
-----------------------------------+----------+----------+----------+----------
 Võlakordaja                       |       65%|       83%|       65%|       83%
                                   |          |          |          |

                                   |          |          |          |
 Aktsia                            |31.12.2020|31.12.2019|31.12.2020|31.12.2019
-----------------------------------+----------+----------+----------+----------
 Aktsia viimane hind (EUR)*        |      0,45|      0,41|      0,45|      0,41
-----------------------------------+----------+----------+----------+----------
 Puhaskasum aktsia kohta (EUR)     |      0,24|    (0,31)|      0,24|    (0,31)
-----------------------------------+----------+----------+----------+----------
 Hind-tulu (PE) suhtarv            |      1,89|    (1,32)|      1,89|    (1,32)
-----------------------------------+----------+----------+----------+----------
 Aktsia raamatupidamisväärtus (EUR)|      0,59|      0,34|      0,59|      0,34
-----------------------------------+----------+----------+----------+----------
 Turuhinna ja                      |          |          |          |
 raamatupidamisväärtuse suhe       |      0,76|      1,20|      0,76|      1,20
-----------------------------------+----------+----------+----------+----------
 Turukapitalisatsioon tuh EUR      |     2 025|     1 845|     2 025|     1 845
-----------------------------------+----------+----------+----------+----------
 Aktsiate arv tk                   | 4 499 061| 4 499 061| 4 499 061| 4 499 061
-----------------------------------+----------+----------+----------+----------

EBITDA = ärikasum(-kahjum) + kulum
EBITDA rentaablus = EBITDA / müügitulu
Ärirentaablus = ärikasum(-kahjum) / müügitulu
Puhasrentaablus = puhaskasum(-kahjum) / müügitulu
Koguvarade puhasrentaablus = puhaskasum(-kahjum) / koguvarad
Omakapitali puhasrentaablus = puhaskasum(-kahjum) / omakapital
Võlakordaja = kohustised / koguvarad
Puhaskasum(-kahjum) aktsia kohta = puhaskasum(-kahjum) / aktsiate arv
Hinna-tulu (PE) suhtarv = aktsia viimane hind / puhaskasum(-kahjum) aktsia kohta
Aktsia raamatupidamisväärtus = omakapital / aktsiate arv
Turuhinna  ja  raamatupidamisväärtuse  suhe  =  aktsia  viimane  hind  /  aktsia
raamatupidamisväärtus
Turukapitalisatsioon = aktsia viimane hind * aktsiate arv
*http://www.nasdaqbaltic.com/

Konsolideeritud finantsseisundi aruanne

 tuh EUR                                      |31.12.2020|31.12.2019|31.12.2018
----------------------------------------------+----------+----------+----------
 Raha ja raha ekvivalendid (Lisa 2)           |        26|         7|        54
----------------------------------------------+----------+----------+----------
 Nõuded ja ettemaksed (Lisa 3)                |       794|     1 394|     1 142
----------------------------------------------+----------+----------+----------
 Varud (Lisa 4)                               |       544|       894|     2 255
----------------------------------------------+----------+----------+----------
 Kokku käibevarad                             |     1 364|     2 296|     3 452
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Kinnisvarainvesteeringud (Lisa 5)            |     1 134|     1 121|       175
----------------------------------------------+----------+----------+----------
 Finantsvarad õiglases väärtuses muutustega   |          |          |
 läbi kasumiarauande (Lisa 8)                 |       451|       397|       422
----------------------------------------------+----------+----------+----------
 Materiaalne põhivara ja vara kasutusõigus    |          |          |
 (Lisa 6)                                     |     4 695|     5 212|     6 223
----------------------------------------------+----------+----------+----------
 Immateriaalne põhivara (Lisa 7)              |         6|        19|        34
----------------------------------------------+----------+----------+----------
 Kokku põhivarad                              |     6 286|     6 749|     6 855
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 KOKKU VARAD                                  |     7 650|     9 045|    10 307
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Võlakohustised (Lisas 9)                     |       256|     4 547|       662
----------------------------------------------+----------+----------+----------
 Võlad ja ettemaksed (Lisas 10)               |     1 574|     2 665|     2 418
----------------------------------------------+----------+----------+----------
 Lühiajalised eraldised (Lisa 11)             |        18|        20|        15
----------------------------------------------+----------+----------+----------
 Kokku lühiajalised kohustised                |     1 848|     7 232|     3 095
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Pikaajalised võlakohustised (Lisas 9)        |     2 993|        92|     4 102
----------------------------------------------+----------+----------+----------
 Pikaajalised eraldised (Lisa 11)             |       161|       179|       210
----------------------------------------------+----------+----------+----------
 Kokku pikaajalised kohustised                |     3 154|       271|     4 311
----------------------------------------------+----------+----------+----------
 Kokku kohustised                             |     5 002|     7 503|     7 406
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Aktsiakapital (nominaalväärtuses) (Lisa 12)  |       450|     2 699|     2 699
----------------------------------------------+----------+----------+----------
 Ülekurss                                     |         0|       364|       364
----------------------------------------------+----------+----------+----------
 Kohustuslik reservkapital                    |         0|       288|       288
----------------------------------------------+----------+----------+----------
 Muud reservid                                |         0|        84|        45
----------------------------------------------+----------+----------+----------
 Jaotamata kasum (kahjum)                     |     2 198|   (1 894)|     (496)
----------------------------------------------+----------+----------+----------
 Kokku omakapital                             |     2 648|     1 542|     2 901
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 KOKKU KOHUSTISED JA OMAKAPITAL               |     7 650|     9 045|    10 307

*   Konsolideeritud   raamatupidamise   vahearuande  lahutamatuteks  osadeks  on
aastaaruande lisad lk 15 kuni 31.

Konsolideeritud kasumi- ja muu koondkasumiaruanne

 tuh EUR                               |IV kv 2020|IV kv 2019|12k 2020|12k 2019
---------------------------------------+----------+----------+--------+---------
                                       |          |          |        |
                                       |          |          |        |
 Müügitulu (Lisa 14)                   |     2 072|     3 226|  10 269|  13 333
---------------------------------------+----------+----------+--------+---------
 Müüdud toodangu kulu (Lisa 15)        |     1 591|     2 928|   8 099|  11 538
---------------------------------------+----------+----------+--------+---------
 Brutokasum                            |       481|       298|   2 170|   1 796
---------------------------------------+----------+----------+--------+---------
                                       |          |          |        |
---------------------------------------+----------+----------+--------+---------
 Turustuskulud (Lisa 16)               |       268|       381|   1 283|   1 698
---------------------------------------+----------+----------+--------+---------
 Üldhalduskulud (Lisa 17)              |       176|       248|     605|     658
---------------------------------------+----------+----------+--------+---------
 Muud äritulud (Lisa 19)               |        18|       327|      42|     351
---------------------------------------+----------+----------+--------+---------
 Muud ärikulud (Lisa 19)               |        55|        31|     342|     134
---------------------------------------+----------+----------+--------+---------
 Ärikasum (-kahjum)                    |         0|      (35)|    (19)|   (343)
---------------------------------------+----------+----------+--------+---------
                                       |          |          |        |
---------------------------------------+----------+----------+--------+---------
 Finantstulud (Lisa 20)                |     1 269|        19|   1 310|      19
---------------------------------------+----------+----------+--------+---------
 Finantskulud (Lisa 20)                |        38|        59|     218|     803
---------------------------------------+----------+----------+--------+---------
 KASUM (KAHJUM) ENNE TULUMAKSUSTAMIST  |     1 231|      (75)|   1 074| (1 127)
---------------------------------------+----------+----------+--------+---------
 Ettevõtte tulumaks                    |         0|         0|       0|       0
---------------------------------------+----------+----------+--------+---------
                                       |          |          |        |
---------------------------------------+----------+----------+--------+---------
 ARUANDEPERIOODI PUHASKASUM (KAHJUM)   |     1 231|      (75)|   1 074| (1 127)
---------------------------------------+----------+----------+--------+---------
                                       |          |          |        |
---------------------------------------+----------+----------+--------+---------
 ARUANDEPERIOODI KASUM (KAHJUM)        |          |          |        |
 LÕPETATUD TEGEVUSTELT                 |         0|         0|       0|   (271)
---------------------------------------+----------+----------+--------+--------+
 ARUANDEPERIOODI PUHASKASUM (KAHJUM)   |          |          |        |        |
 KOKKU                                 |     1 231|      (75)|   1 074| (1 398)|
---------------------------------------+----------+----------+--------+--------+
                                       |          |          |        |
---------------------------------------+----------+----------+--------+---------
 Tava perioodi puhaskahjum aktsia kohta|          |          |        |
 (Lisa 13)                             |      0,27|    (0,02)|    0,24|  (0,31)
---------------------------------------+----------+----------+--------+---------
 Lahustatud perioodi puhaskahjum aktsia|          |          |        |
 kohta (Lisa 13)                       |      0,27|    (0,02)|    0,24|  (0,31)
                                       +----------+----------+--------+---------

*   Konsolideeritud   raamatupidamise   vahearuande  lahutamatuteks  osadeks  on
aastaaruande lisad lk 15 kuni 31.

TORFINN LOSVIK

Juhatuse esimees
+372 569 90 988
[email protected]

Content of announcement in English

Title

NORDIC FIBREBOARD AS unaudited consolidated interim report for the fourth quarter and twelve months of 2020

Message

Management report


NORDIC FIBREBOARD AS UNAUDITED results for fourth QUARTER and 12 months of 2020

Consolidated   net  sales  for  Q4  2020 were  EUR  2.07 million  from  continuing
operations  (Q4  2019: EUR  3.23 million  from  continuing  operations). The sales
revenue  of the  Group`s main  business segment,  fibreboard, for Q4 2020 were EUR
2.01 million  (Q4 2019: EUR 2.78 million). The main  reason for this drop in sales
was due to the closure of the Püssi factory in March 2020, which came about as a
result  of the loss of  orders from customers within  the display board industry
caused by the COVID-19 pandemic. Furniture retail sales revenue for Q4 2020 were
EUR  1 thousand, the decrease  in sales (compared  to Q4 2019: EUR 390 thousand) was
due to the Group exiting the furniture retail segment earlier in year 2020, with
some  remaining  stock  sales  taking  place  during  2020. Rental  and property
development  sales,  includes  the  resale  of  utilities, in Q4 2020 were EUR 64
thousand,  remaining practically at  the same level  compared to the same period
last year (Q4 2019: EUR 63 thousand).

The  Group reported  consolidated EBITDA  of EUR  137 thousand for Q4 2020 for its
continuing  operations  (vs  Q4  2019: EBITDA  of  EUR 141 thousand from continued
operations).  The EBITDA result for Q4 2019 includes one-off operating income of
EUR  324 thousand  from  revaluation  of  its  property subsidiary Pärnu Riverside
Development, while the EBITDA result for the Q4 2020 includes one-off expense in
the Group's fibreboard subsidiary of EUR 38 thousand for the removal of previously
used office building located at the fibreboard site in Pärnu. EBITDA of the main
segment,  fibreboard, was for Q4 2020 positive EUR 139 thousand (Q4 2019: negative
EUR 119 thousand), after the above mentioned one-off building removal expense. The
main  reason for such improvement in the  fibreboard business' EBITDA are due to
the  improved efficiency  of the  fibreboard division.  The closure of the Püssi
fibreboard  factory enabled us  to switch the  Püssi factory construction sector
orders  to our  Pärnu factory,  and we  started a  4(th) shift in Pärnu in April
2020 as  a result thereof. The Pärnu factory is now running continuously, except
for  a one-shift maintenance stop every month. This has led to increased machine
utilisation,  and  gross  margin  for  Nordic  Fibreboard  Ltd  OÜ has therefore
increased substantially, being 28% in Q4 2020 (from being 11% in Q4 2019).

After  depreciation and net financial costs, the Group's net result for Q4 2020
from continuing operation was thus a profit of EUR 1,231 thousand (Q4 2019: a loss
EUR 75 thousand from continuing operation). The reason for the change in profit is
the  refinancing of loans and  overdrafts at the end  of 2020, which generated a
one-off  financial  income  of  EUR  1,237 thousand  and  the  improvement  of the
efficiency of the aforementioned fibreboard division.

Consolidated  net  sales  for  12 months  2020 from continuing operations were EUR
10.27 million,  which is a 23% decrease compared 2019 from continuing operations
(2019:  EUR  13.33 million  from  continuing  operations).  The  decrease in sales
revenue  is due to  the reduced production  volume due the  closure of the Püssi
factory.

Consolidated  net profit for  12 months 2020 was EUR  1.07 million from continuing
operations  (2019:  loss  of  EUR  1.13 million  from  continuing operations). The
reasons  for the large  difference between the  results of 2020 and 2019 are the
previously  mentioned extraordinary financial income  from refinancing loans and
overdrafts at the end of 2020 of 1.24 million euros, improving the efficiency of
the Pärnu fibreboard factory in 2020, and the one-off loss incurred in 2019 when
the Group exited its furniture wholesale business.

DIVISION REVIEW

Revenue by business segments

                                        EUR thousand           EUR thousand
                                   ----------+---------+----------+----------
                                     Q4 2020 | Q4 2019 | 12M 2020 | 12M 2019
---------------------------------------------+---------+----------+----------
  Continued operations                       |         |          |
---------------------------------------------+---------+----------+----------
  Fibreboards production and sales     2,007 |   2,775 |   10,001 |   11,745
---------------------------------------------+---------+----------+----------
  Furniture retail                         1 |     390 |       56 |    1,515
---------------------------------------------+---------+----------+----------
  Real Estate Management                  64 |      63 |      212 |      111
---------------------------------------------+---------+----------+----------
  Group transactions                       0 |     (1) |      (0) |     (38)
---------------------------------------------+---------+----------+----------
  TOTAL from continued operations      2,072 |   3,226 |   10,269 |   13,333
                                             |         |          |

---------------------------------------------+---------+----------+----------
  Discontinued operations                  0 |       0 |        0 |    1,215
---------------------------------------------+---------+----------+----------

---------------------------------------------+--------------------+----------
  TOTAL                                2,072 |   3,226     10,269 |   14,548
---------------------------------------------+--------------------+----------

Profit by business segments

                                   -----------+---------+----------+
  EUR thousand                          Q4 2020 | Q4 2019 | 12M 2020 | 12M 2019
----------------------------------------------+---------+----------+----------
  Continued operations                        |         |          |
----------------------------------------------+---------+----------+----------
  EBITDA by business units:                   |         |          |
----------------------------------------------+---------+----------+----------
  Fibreboards production and sales        139 |   (119) |      597 |       68
----------------------------------------------+---------+----------+----------
  Furniture retail                        (1) |    (66) |     (40) |    (200)
----------------------------------------------+---------+----------+----------
  Real Estate Management                    3 |     322 |        0 |      352
----------------------------------------------+---------+----------+----------
  Group transactions                      (4) |       5 |     (18) |      104
----------------------------------------------+---------+----------+----------
  TOTAL EBITDA                            137 |     141 |      540 |      325
----------------------------------------------+---------+----------+----------
  Depreciation                            136 |     177 |      558 |      669
----------------------------------------------+---------+----------+----------
  TOTAL OPERATING PROFIT/ LOSS              0 |    (35) |     (19) |    (343)
----------------------------------------------+---------+----------+----------
  Net financial costs                (1,231)* |      39 | (1,093)* |    784**
----------------------------------------------+---------+----------+----------
  Income tax                                0 |       0 |        0 |        0
----------------------------------------------+---------+----------+----------
  NET PROFIT/ LOSS                      1,231 |    (75)      1,074 |  (1,127)
                                              |                    |

----------------------------------------------+---------+----------+----------
  Discontinued operations                   0 |       0 |        0 |    (271)
----------------------------------------------+---------+----------+----------

----------------------------------------------+---------+----------+----------
  TOTAL                                 1,231 |    (75) |    1,074 |  (1,398)
----------------------------------------------+---------+----------+----------

*  Net financial costs in Q4 2020 (also 12M 2020) include extraordinary income EUR
1,237 thousand from loan refinancing.

**  Net financial  costs in  12M 2019 include extraordinary  cost, loss from the
sale of Skano Furniture Factory OÜ of EUR 540 thousand.

NORDIC FIBREBOARD LTD: FIBREBOARD SALES

The  sales revenue of fibreboard decreased by 28% in the Q4 2020 compared to the
same  period  in  2019 (EUR  2.01 million  in  Q4 2020 versus EUR 2.78 million in Q4
2019). We  sold our fibreboard  products to customers  in 17 countries during Q4
2020. Fibreboard  sales for 12 months  2020 were EUR 10.00 million,  which is 15%
decrease  from year 2019 sales of EUR 11.75 million.  The main reason for the drop
in  sales was the  loss of display  board customers, boards  for this sector was
produced  in the Püssi factory, which we closed in March 2020. However, sales to
our  customers within the construction sector  in our main Northern European and
Russian markets have been stable. Finland, our largest market accounted for 26%
of  total fibreboard sales this year (up from being 22% of total sales in 12M in
2019), Denmark  is our second largest market, accounting for 22% of sales in the
12 months of 2020 (it has also increased compared to year 2019 when it accounted
for  14% of sales). Sales in Estonia and  Russia have remained at the same level
as  previous year,  while we  recorded sales  decline in  markets further afield
mainly  due to  the negative  effect in  many such  markets caused by the corona
virus.

The fibreboard EBITDA in Q4 2020 was positive EUR 139 thousand (Q4 2019 negative EUR
119 thousand), the full-year EBITDA of fibreboard 2020 was EUR 597 thousand (EUR 68
thousand  in 2019). The main  reason for the  improvement in EBITDA  were due to
increased  efficiency by achieving full machine utilisation in the Pärnu factory
in  2020. Fibreboard Q4  EBITDA of  EUR 139 thousand  was down  from EBITDA levels
achieved  in  Q2  2020 and  Q3  2020 of  respectively  EUR 347 thousand and EUR 366
thousand  mainly due to the  annual two week maintenance  stops which took place
early  October 2020 and  end of  December 2020, such  two week maintenance stops
normally  takes place every July and  December. This year's October and December
maintenance  stops resulted in less production output during Q4 2020 compared to
the previous two quarters when we did not have such long maintenance stops.

FIBREBOARD SALES BY GEOGRAPHICAL SEGMENTS

                      EUR thousand     |     EUR thousand
                 ----------+---------+----------+----------
                   Q4 2020 | Q4 2019 | 12M 2020 | 12M 2019
---------------------------+---------+----------+----------
  European Union     1,633 |   2,036 |    8,327 |    8,656
---------------------------+---------+----------+----------
  Russia               307 |     376 |    1,240 |    1,545
---------------------------+---------+----------+----------
  Asia                  49 |     115 |      189 |      544
---------------------------+---------+----------+----------
  Africa                 0 |     103 |       96 |      523
---------------------------+---------+----------+----------
  Middle East           10 |      72 |       65 |      232
---------------------------+---------+----------+----------
  Other                  9 |      74 |       85 |      245
---------------------------+---------+----------+----------
  TOTAL              2,007 |   2,775 |   10,001 |   11,745

SKANO FURNITURE: RETAIL SALES

Furniture  retail sales in  Q4 2020 were EUR  1 thousand (2019 Q4 EUR 390 thousand).
However,  this business has been closed down, as earlier informed, and the sales
recorded in 2020 was from some remaining stock.

RETAIL SALES BY COUNTRIES

              EUR thousand       EUR thousand    |  Number of stores
-----------+-------+-------+--------+--------+----------+----------
           |Q4 2020|Q4 2019|12M 2020|12M 2019|31.12.2020|31.12.2019
-----------+-------+-------+--------+--------+----------+----------
 Estonia   |      1|    370|      56|   1,152|         0|         2
-----------+-------+-------+--------+--------+----------+----------
 Latvia*   |      0|     13|       0|     137|         0|         0
-----------+-------+-------+--------+--------+----------+----------
 Lithuania*|      0|      7|       0|     226|         0|         0
-----------+-------+-------+--------+--------+----------+----------
 TOTAL     |      1|    390|      56|   1,515|         0|         2

*  Estonian stores were  closed on 31.01.2020 and  Latvian and Lithuanian stores
were closed on 30.09.2019.

PÄRNU RIVERSIDE DEVELOPMENT: REAL ESTATE MANAGEMENT

Rental  income, including the resale of utilities, was EUR 64 thousand in Q4 2020
(2019  Q4 EUR 63 thousand).  The company's expenses  consist of operating expenses
and  expenses  related  to  the  ongoing  detail plan project, which resulted in
positive EBITDA of EUR 3 thousand for Q4 2020. EBITDA in Q4 2019 of EUR 322 thousand
were  heavily influenced by the increased revaluation  of the property of EUR 327
thousand.  Net  profit  in  Q4  2020 were  EUR  3 thousand (2019 Q4: profit EUR 300
thousand).

The  reason for the revaluation of  the Pärnu Riverside development property was
due  to the change in the  accounting policies for investment properties adopted
at  the end of  2019, where instead of  the measured cost, investment properties
were recognized in the balance sheet at fair value.

Consolidated statement of financial position and cash-flow

As  of 31.12.2020 the  total assets  of Nordic  Fibreboard AS were EUR 7.7 million
(31.12.2019:  EUR 9.1 million). The  liabilities of the  company as of 31.12.2020
were  EUR  5.0 million  (31.12.2019:  EUR  7.5 million),  of  which  the company has
borrowings of EUR 3.2 million as at 31.12.2020 (31.12.2019: EUR 4.6 million).

Receivables  and  prepayments  amounted  to  EUR  0.8 million  as  at  31.12.2020
(31.12.2019:  EUR 1.4 million). Inventories  were EUR 0.5 million  as of 31.12.2020
(31.12.2019:  EUR  0.9 million).  The  fair  value  of financial assets (ie Trigon
Property Development shares) increased from EUR 397 thousand as of 31.12.2019 to EUR
450 thousand as of 31.12.2020. Property, plant, equipment and intangibles were EUR
4.7 million  as of 31.12.2020 (EUR 5.2 million  as of 31.12.2019). The decrease in
the  balance  sheet  volume  in  2020 was  affected  by the closure of the Püssi
factory.

During  2020 twelve  months,  the  Group's  cash flows from operating activities
totalled  EUR  165 thousand  (2019  twelve  months:  EUR  516 thousand).  Investment
activities  resulted in  cash outflows  in amount  of EUR 89 thousand during 2020
twelve  months,  compared  to  outflows  in  amount EUR 153 thousand during twelve
months  2019. Financing  activities  also  resulted  in  cash  outflows of EUR 58
thousand  during twelve  months 2020 (2019  twelve months:  cash outflow  EUR 410
thousand).  Net  cash  effect  during  2020 twelve  months cash inflows of EUR 19
thousand, which compares to 2019 twelve months cash outflows of EUR 47 thousand.

OUTLOOK

NORDIC FIBREBOARD LTD

The order book from our traditional customers in our largest markets in northern
Europe  remains strong, with  increased demand from  many of these markets. This
has  had  the  effect  of  us  having  to postpone orders from customers further
afield.  As  a  result  of  this  improved  demand  picture,  management  is now
considering  measures for  a possible  reopening of  Püssi factory during second
half  of this  year. On  the other  hand, we  are much  aware of  the continuing
uncertainty  surrounding the COVID-19 pandemic.  We expect to  have a more clear
picture of the demand situation and the pandemic within the next few months.

REAL ESTATE MANAGEMENT

We  will continue  to manage  and develop  the property  on Suur-Jõe Street 48,
Pärnu.

PEOPLE

On  the 31st of  December 2020, the  Group employed  97 people (compared to 126
people  as of 31.12.2019). The average number of personnel in Q4 2020 was 96 (Q4
2019: 125).

For  twelve months  of 2020, wages  and salaries  with taxes  amounted to EUR 2.0
million  from  continuing  operations  (twelve  months  2019: EUR 2.5 million from
continuing  operations). Payments made to management  board members of all group
companies  including all subsidiaries with relevant taxes were EUR 217 thousand in
twelve months 2020 and EUR 173 thousand in twelve months 2019.

FINANCIAL HIGHLIGHTS

 EUR thousand
                                  |          |          |          |
 Income statement                 |   Q4 2020|   Q4 2019|  12M 2020|  12M 2019
----------------------------------+----------+----------+----------+-----------
 Revenue                          |     2,072|     3,226|    10,269|    13,333
----------------------------------+----------+----------+----------+-----------
 EBITDA                           |       137|       141|       540|       325
----------------------------------+----------+----------+----------+-----------
 EBITDA margin                    |        7%|        4%|        5%|        2%
----------------------------------+----------+----------+----------+-----------
 Operating profit                 |         0|      (35)|      (19)|     (343)
----------------------------------+----------+----------+----------+-----------
 Operating margin                 |        0%|      (1%)|      (0%)|      (3%)
----------------------------------+----------+----------+----------+-----------
 Net profit                       |     1,231|      (75)|     1,074|   (1,127)
----------------------------------+----------+----------+----------+-----------
 Net margin                       |       59%|      (2%)|       10%|      (8%)
                                  |          |          |          |

----------------------------------+----------+----------+----------+-----------
 Discontinued operations          |         0|         0|         0|     (271)
----------------------------------+----------+----------+----------+-----------

----------------------------------+----------+----------+----------+-----------
 TOTAL NET PROFIT                 |     1,231|      (75)|     1,074|   (1,398)
----------------------------------+----------+----------+----------+-----------



                                  |          |          |          |
 Statement of financial position  |31.12.2020|31.12.2019|31.12.2020|31.12.2019
----------------------------------+----------+----------+----------+-----------
 Total assets                     |     7,650|     9,045|     7,650|     9,045
----------------------------------+----------+----------+----------+-----------
 Return on assets                 |       14%|     (12%)|       14%|     (12%)
----------------------------------+----------+----------+----------+-----------
 Equity                           |     2,648|     1,542|     2,648|     1,542
----------------------------------+----------+----------+----------+-----------
 Return on equity                 |       41%|     (73%)|       41%|     (73%)
----------------------------------+----------+----------+----------+-----------
 Debt-to-equity ratio             |       65%|       83%|       65%|       83%
                                  |          |          |          |

                                  |          |          |          |
 Share                            |31.12.2020|31.12.2019|31.12.2020|31.12.2019
----------------------------------+----------+----------+----------+-----------
 Last Price*                      |      0.45|      0.41|      0.45|      0.41
----------------------------------+----------+----------+----------+----------+
 Earnings per share               |      0.24|    (0.31)|      0.24|    (0.31)|
----------------------------------+----------+----------+----------+----------+
 Price-earnings ratio             |      1.89|    (1.32)|      1.89|    (1.32)
----------------------------------+----------+----------+----------+-----------
 Book value of a share            |      0.59|      0.34|      0.59|      0.34
----------------------------------+----------+----------+----------+-----------
 Market to book ratio             |      0.76|      1.20|      0.76|      1.20
----------------------------------+----------+----------+----------+-----------
 Market capitalization, EUR thousand|     2,025|     1,845|     2,025|     1,845
----------------------------------+----------+----------+----------+-----------
 Number of shares, piece          | 4,499,061| 4,499,061| 4,499,061| 4,499,061

EBITDA = Earnings before interest, taxes, depreciation and amortization
EBITDA margin = EBITDA / Revenue
Operating margin = Operating profit / Revenue
Net margin = Net profit / Revenue
Return on assets = Net profit / Total assets
Return on equity = Net profit / Equity
Debt-to-equity ratio = Liabilities / Total assets
Earnings per share = Net profit / Total shares
Price-earnings ratio = Last price / Earnings per share
Book value of a share = Equity / Total shares
Market to book ratio = Last price / Book value of a share
Market capitalization = Last price * Total shares
*http://www.nasdaqbaltic.com/

?Consolidated statement of financial positions

 EUR thousand                                   |31.12.2020|31.12.2019|31.12.2018
----------------------------------------------+----------+----------+----------
 Cash and cash equivalents (Note 2)           |        26|         7|        54
----------------------------------------------+----------+----------+----------
 Receivables and prepayments (Note 3)         |       794|     1,394|     1,142
----------------------------------------------+----------+----------+----------
 Inventories (Note 4)                         |       544|       894|     2,255
----------------------------------------------+----------+----------+----------
 Total current assets                         |     1,364|     2,296|     3,452
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Investment property (Note 5)                 |     1,134|     1,121|       175
----------------------------------------------+----------+----------+----------
 Financial assets at fair value through profit|          |          |
 or loss (Note 8)                             |       451|       397|       422
----------------------------------------------+----------+----------+----------
 Property, plant, equipment and right-of-use  |          |          |
 assets (Note 6)                              |     4,695|     5,212|     6,223
----------------------------------------------+----------+----------+----------
 Intangible assets (Note 7)                   |         6|        19|        34
----------------------------------------------+----------+----------+----------
 Total non-current assets                     |     6,286|     6,749|     6,855
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 TOTAL ASSETS                                 |     7,650|     9,045|    10,307
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Borrowings (Notes 9)                         |       256|     4,547|       662
----------------------------------------------+----------+----------+----------
 Payables and prepayments (Notes 10)          |     1,574|     2,665|     2,418
----------------------------------------------+----------+----------+----------
 Short-term provisions (Note 11)              |        18|        20|        15
----------------------------------------------+----------+----------+----------
 Total current liabilities                    |     1,848|     7,232|     3,095
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Long-term borrowings (Notes 9)               |     2,993|        92|     4,102
----------------------------------------------+----------+----------+----------
 Long-term provisions (Note 11)               |       161|       179|       210
----------------------------------------------+----------+----------+----------
 Total non-current liabilities                |     3,154|       271|     4,311
----------------------------------------------+----------+----------+----------
 Total liabilities                            |     5,002|     7,503|     7,406
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Share capital (at nominal value) (Note 12)   |       450|     2,699|     2,699
----------------------------------------------+----------+----------+----------
 Share premium                                |         0|       364|       364
----------------------------------------------+----------+----------+----------
 Statutory reserve capital                    |         0|       288|       288
----------------------------------------------+----------+----------+----------
 Other reserves                               |         0|        84|        45
----------------------------------------------+----------+----------+----------
 Retained earnings (loss)                     |     2,198|   (1,894)|     (496)
----------------------------------------------+----------+----------+----------
 Total equity                                 |     2,648|     1,542|     2,901
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 TOTAL LIABILITIES AND EQUITY                 |     7,650|     9,045|    10,307

*The  notes  to  the  financial  statements  presented  on pages 15 to 32 are an
integral part of these consolidated financial statements.

Consolidated statement of profit or loss and other comprehensive income

 EUR thousand                                  |Q4 2020|Q4 2019 12M 2020|12M 2019
---------------------------------------------+-------+-------+--------+--------
 Continued operations                        |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 Revenue (Note 14)                           |  2,072|  3,226|  10,269|  13,333
---------------------------------------------+-------+-------+--------+--------
 Cost of goods sold (Note 15)                |  1,591|  2,928|   8,099|  11,538
---------------------------------------------+-------+-------+--------+--------
 Gross profit                                |    481|    298|   2,170|   1,796
---------------------------------------------+-------+-------+--------+--------
                                             |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 Distribution costs (Note 16)                |    268|    381|   1,283|   1,698
---------------------------------------------+-------+-------+--------+--------
 Administrative expenses (Note 17)           |    176|    248|     605|     658
---------------------------------------------+-------+-------+--------+--------
 Other operating income (Note 19)            |     18|    327|      42|     351
---------------------------------------------+-------+-------+--------+--------
 Other operating expenses (Note 19)          |     55|     31|     342|     134
---------------------------------------------+-------+-------+--------+--------
 Operating profit (loss)                     |      0|   (35)|    (19)|   (343)
---------------------------------------------+-------+-------+--------+--------
                                             |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 Finance income (Note 20)                    |  1,269|     19|   1,310|      19
---------------------------------------------+-------+-------+--------+--------
 Finance costs (Note 20)                     |     38|     59|     218|     803
---------------------------------------------+-------+-------+--------+--------
 PROFIT (LOSS) BEFORE INCOME TAX             |  1,231|   (75)|   1,074| (1,127)
---------------------------------------------+-------+-------+--------+--------
 Corporate income tax                        |      0|      0|       0|       0
---------------------------------------------+-------+-------+--------+--------
                                             |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 NET PROFIT (LOSS) FOR THE FINANCIAL PERIOD  |       |       |        |
 FROM CONTINUING OPERATIONS                  |  1,231|   (75)|   1,074| (1,127)
---------------------------------------------+-------+-------+--------+--------
                                             |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 NET PROFIT (LOSS) FOR THE PERIOD FROM       |       |       |        |
 DISCONTINUING OPERATIONS                    |      0|      0|       0|   (271)
---------------------------------------------+-------+-------+--------+--------
 NET PROFIT (LOSS) FOR THE  FINANCIAL PERIOD |  1,231|   (75)|   1,074| (1,398)
---------------------------------------------+-------+-------+--------+--------
                                             |       |       |        |
---------------------------------------------+-------+-------+--------+--------
 Basic earnings per share (Note 13)          |   0.27| (0.02)|    0.24|  (0.31)
---------------------------------------------+-------+-------+--------+--------
 Diluted earnings per share (Note 13)        |   0.27| (0.02)|    0.24|  (0.31)
                                             +-------+-------+--------+--------

*The  notes  to  the  financial  statements  presented  on pages 15 to 32 are an
integral part of these consolidated financial statements.



TORFINN LOSVIK
Chairman of the board
Phone: +372 56 99 0988
[email protected] (mailto:[email protected])