Market announcement

AS PRFoods

LEI code

529900PFXFO2ZDCRNK93

Size of the entity

Medium group

Economic activities

Financial and Insurance Activities

Country of registered office

Estonia

General information

Categories

Other corporate action

Unique data record identifier

9331

Submission date and time

16.02.2022 09:17:30

Content of announcement in Estonian

Title

AS-i PRFoods 2021/2022 majandusaasta 2. kvartali ja 6. kuu konsolideeritud auditeerimata vahearuanne

Message

2021 kalendriaasta  on  läbi  saanud  ning  sellega  on lõppenud ka Soome saaga.
Vastavalt  avalikustatud  teabele  on  sõlmitud  Heimon  Kala  Oy  100% aktsiate
müügileping.  Isegi arvestades  mõningast paranemist  äritegevuse EBITDAs  , oli
selge,  et ilma  konsolideerimiseta olnuks  Heimon Kala  Oy-l väga rakse jätkate
iseseisva  ettevõttena ning Heimon  Kala Oy on  kontserni mõistes kasulikum müüa
kui  jätkata  tema  restruktureerimist  ning rekapitaliseerimist.Soome kahjumite
põhjused  on  2020 ja  2021 Soome  selle  hetke johtona  ebakompetentsus toodete
hinnatamisel  ja kulubaasi juhtimisel. Private label toodete hinnad, mida pakuti
klientidele 2020 lõpus ja 2021 alguses (Soomes on hinnastamistsükkle miinimum 6
kuud),  ei  vastanud  tooraine  hindadele.  Suvel  2021 tõstis  sealne  juhtkond
tootmismahtu,  mis alla omahinna müümisel suurendas veelgi kahjumit 2021 vältel.
Peale  juhtkonna väljavahetamist sügisel ,  võttis ettevõtte uue kursi (tooraine
hinnad  tegid  rekordilise  tõusu  2021 lõpus)  ja  need muutused on ellu viidud
tänaseks.

1.3 alustame  uue  struktuuriga,  ning  PRFoods omandusse jäävad kalakasvatusega
tegelevad  üksused Överumans Fisk AB  ja Redstrom OÜ (Saaremere  Kala AS on uute
Eesti   kasvatuslubade   taotleja,   tulevikus  antakse  lubade  kasutamine  üle
vastavatele  üksustele), töötlemisega tegelevad üksused Heimon Kala OÜ Eestis ja
John Ross Jr /Coln Valley Shotimaal.

  * Redstorm OÜ käive 1.493 tuhat eurot, käibekasv võrreldes eelmise
    majandusaasta sama perioodiga 504 tuhat eurot;
  * Redstorm OÜ EBITDA 165 tuhat eurot, EBITDA paranemine 142 tuhat eurot
    võrreldes eelmise majandusaasta sama perioodiga 504 tuhat eurot;
  * Överumans Fisk AB käive 5 tuhat eurot, käibelangus -1.474 tuhat eurot,
    käibelangus tuleneb kalade realiseerimise edasilükkamisest 2022 kevadele.
    Seoses kasvatuslubade muutusega oli kevadel vähem kala ning üritasime
    kasvatada neid kuni hooaja lõpuni;
  * Överumans Fisk AB EBITDA tegevusest -70 tuhat eurot, paranemine võrreldes
    eelmise aasta sama perioodiga 57 tuhat eurot;
  * Överumans Fisk AB EBITDA koos biomassi õiglases väärtuses ümberhindlusega
    588 tuhat eurot, paranemine võrreldes eelmise aasta sama perioodiga 542
    tuhat eurot;
  *  Õverumans Fisk AB maksueelset kasumit mõjutas laenukohustuste valuutakursi
    ümberhindlus summas -36 tuhat eurot, eelmise majandusaasta samal perioodil
    oli mõju positiivne 165 tuhat eurot.
  * John Ross Jr /Coln Valley käive oli 9,04 meur, kasvades aastaga 12,5%
  * John Ross Jr /Coln Valley EBITDA oli 802 keur, vähendes aastaga 8,6% .
    Erakorralised kulud seoses refinantseerimisega olid ca 45 keur
  * Heimon Kala OÜ müük oli 6,134 meur, vähenes 17% (peatasime toorkala
    vahendamise)
  * Heimon Kala EBITDA oli -433 keur (-415keur eelmine aasta) , kahjumi
    põhjusena on Soome müük .
  * Heimon Kala Oy tulemused on välja toodud aruande lisas ja tehingu teates
    lisas 2.

Oleme järginud oma varasemalt kinnitatud  tegevuskava kriisist väljumisel:

 1. Vähedada ettevõtte laenukoormust - Soome üksuse müük võimaldab oluliselt
    vähendada ettevõtte võlakoormust
 2. Restruktureerida täielikult Soome üksus, sealhulgas võimalusel kas müüa või
    sulgeda kahjumlikud tegevused: Heimon Kala OY aktsiate müügileping on
    sõlmitud ning tehing toimub 1.3
 3. Suurendada jaekaubanduse osakaalu UK, EL turgudel, sh koduturul Eestis:
    eesmärk saavutatud kõikides riikides
 4. Kontserni strateegiline fookus on kalakasvatusel, kui valdkonnal, mis on
    suutnud igal aastal olla kasumlik. Kontserni eesmärk on saavutada aastaks
    2023 kalakasvatuse maht 10 000 tonni, mis peaks andma käivet ca 45-50
    miljonit eurot aastas: Rootsi kasvatustest eeldame täiendavat biomassi 2022
    sügiseks 1500-1700 tonni. Eesti kasvatuslubade väljastamine 2022 on
    realistlikum. Juhul kui lubade väljastamine Eestis jääb 2022 II
    poolaastasse, liigub täismahus rakendamine 2024 aastasse

Ettevõtete    finantskulud   on   kasvanud   tingituna   võõrkapitali   osakaalu
suurenemisest,  samas peab märkima, et  märkimisväärne osa võõrkapitalist on kas
konverteeritav  või antud seotud osapoolte poolt ning mis võidakse konverteerida
koos  intressiga,  toetamaks  ettevõtte  omakapitali.  Suuromanikud on avanud ka
täiendavad  käibekapitali  limiiidi  ettevõttele.  Me  usume,  et peale seda kui
PRFoods  on  näidanud,  et  ta  suudab  kasumlikult tegutseda pelae Soome müüki,
kapitali kulu ettevõttele väheneb.

Heimon  Kala  Oy  aktsiate  mõju  avaldatakse  1 kv  raportis peale müügitehingu
jõustumist 1.3.

VÕTMENÄITAJAD

KASUMIARUANNE

+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|mln EUR       |4kv 2021 |3kv 2021 |2kv 2021 |1kv 2021 |4kv 2020|3kv 2020|2kv 2020|1kv 2020|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Müügitulu     |     15,3|     14,2|     14,7|     14,2|      17|    12,7|    15,1|    18,5|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Brutokasum    |      2,2|      0,8|      0,3|      0,9|     2,5|     1,2|     0,7|       2|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBITDA        |         |         |         |         |        |        |        |        |
|äritegevusest |      0,8|     -0,8|       -1|     -0,5|     0,6|    -0,3|    -0,1|       0|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBITDA        |     -0,3|        0|     -0,7|     -0,7|     0,7|    -0,5|    -0,1|    -0,9|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBIT          |       -1|     -0,7|     -1,4|     -1,4|       0|    -1,1|      -1|    -1,4|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBT           |     -1,4|     -0,6|     -1,6|     -1,8|    -0,1|    -1,4|    -1,2|    -1,8|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Puhaskasum (- |         |         |         |         |        |        |        |        |
|kahjum)       |     -1,4|     -0,7|     -1,7|     -1,8|    -0,2|    -1,4|    -1,3|    -1,7|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Brutomarginaal|   14,10%|    5,40%|    2,10%|    6,60%|  14,90%|   9,40%|   4,40%|  10,80%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Äritegev.     |         |         |         |         |        |        |        |        |
|EBITDA        |         |         |         |         |        |        |        |        |
|marginaal     |    5,20%|   -5,50%|   -7,00%|   -3,50%|   3,40%|  -2,60%|  -0,90%|   0,10%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBITDA        |         |         |         |         |        |        |        |        |
|marginaal     |   -2,10%|   -0,10%|   -4,80%|   -5,30%|   4,10%|  -3,80%|  -0,50%|  -4,60%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBIT marginaal|   -6,40%|   -4,70%|   -9,30%|   -9,90%|   0,20%|  -8,80%|  -6,40%|  -7,80%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|EBT marginaal |   -8,90%|   -4,60%|  -10,80%|  -12,50%|  -0,60%| -11,30%|  -8,30%|  -9,80%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Puhaskasumi   |         |         |         |         |        |        |        |        |
|marginaal     |   -9,10%|   -5,20%|  -11,60%|  -12,50%|  -1,20%| -11,30%|  -8,40%|  -9,20%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+
|Tegevuskulude |         |         |         |         |        |        |        |        |
|suhtarv       |   15,10%|   16,30%|   15,40%|   15,60%|  15,60%|  18,20%|  14,00%|  14,30%|
+--------------+---------+---------+---------+---------+--------+--------+--------+--------+

BILANSS

+-----------------+----------+----------+----------+----------+----------+----------+----------+
|mln EUR          |31.12.2021|30.09.2021|30.06.2021|31.03.2021|31.12.2020|30.09.2020|30.06.2020|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Netovõlgnevus    |      24,2|      24,2|      20,9|      21,4|      21,9|      21,5|      20,7|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Omakapital       |      14,9|      14,9|      15,8|      17,6|      18,6|      18,5|      19,8|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Käibekapital     |      -2,6|      -2,6|      -2,9|        -5|      -3,9|      -4,4|        -4|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Varad            |        56|        56|      55,3|      54,5|      57,5|      57,4|      57,1|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Likviidsuskordaja|      0,9x|      0,9x|      0,9x|      0,8x|      0,8x|      0,8x|      0,8x|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Omakapitali      |          |          |          |          |          |          |          |
|suhtarv          |    26,70%|    26,70%|    28,60%|    32,40%|    32,40%|    32,30%|    34,70%|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Finantsvõimendus |    61,80%|    61,80%|    56,90%|    54,90%|    54,00%|    53,70%|    51,10%|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Võlakordaja      |      0,7x|      0,7x|      0,7x|      0,7x|      0,7x|      0,7x|      0,7x|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Netovõlg / EBITDA|          |          |          |          |          |          |          |
|äriteg           |    -14,3x|    -14,3x|    -16,9x|    -55,3x|    160,0x|     12,8x|      7,5x|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Omakapitali      |          |          |          |          |          |          |          |
|tootlus          |   -26,70%|   -26,70%|   -28,70%|   -23,80%|   -21,90%|    -7,00%|    -9,10%|
+-----------------+----------+----------+----------+----------+----------+----------+----------+
|Varade tootlus   |    -7,90%|    -7,90%|    -9,10%|    -8,40%|    -7,80%|    -2,40%|    -3,20%|
+-----------------+----------+----------+----------+----------+----------+----------+----------+

Konsolideeritud finantsseisundi aruanne

+-------------------------------------+------------+------------+------------+
| Tuhandetes eurodes                  | 31.12.2021 | 31.12.2020 | 30.06.2021 |
+-------------------------------------+------------+------------+------------+
| VARAD                               |            |            |            |
+-------------------------------------+------------+------------+------------+
| Raha ja ekvivalendid                |        498 |        962 |      2 500 |
+-------------------------------------+------------+------------+------------+
| Nõuded ja ettemaksed                |      4 463 |      4 153 |      3 512 |
+-------------------------------------+------------+------------+------------+
| Varud                               |      4 596 |      9 627 |      5 691 |
+-------------------------------------+------------+------------+------------+
| Bioloogilised varad                 |      4 523 |      3 702 |      4 795 |
+-------------------------------------+------------+------------+------------+
| Käibevara kokku                     |     14 080 |     18 444 |     16 498 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksuvara         |         38 |         21 |         38 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised finantsinvesteeringud  |        300 |        232 |        302 |
+-------------------------------------+------------+------------+------------+
| Materiaalne põhivara                |     14 655 |     15 968 |     15 300 |
+-------------------------------------+------------+------------+------------+
| Immateriaalne vara                  |     23 715 |     22 841 |     23 460 |
+-------------------------------------+------------+------------+------------+
| Põhivara kokku                      |     38 708 |     39 062 |     39 100 |
+-------------------------------------+------------+------------+------------+
| VARAD KOKKU                         |     52 788 |     57 506 |     55 598 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED JA OMAKAPITAL            |            |            |            |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused          |      6 275 |      9 634 |      7 325 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed                 |     11 666 |     12 469 |     12 124 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine                 |        207 |        212 |        207 |
+-------------------------------------+------------+------------+------------+
| Lühiajalised kohustused kokku       |     18 148 |     22 315 |     19 656 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused          |     18 180 |     13 254 |     17 561 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed                 |          0 |        596 |          0 |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksukohustus     |      1 877 |      1 912 |      1 861 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine                 |        662 |        785 |        746 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised kohustused kokku       |     20 719 |     16 547 |     20 168 |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED KOKKU                    |     38 867 |     38 862 |     39 824 |
+-------------------------------------+------------+------------+------------+
|                                     |            |            |            |
+-------------------------------------+------------+------------+------------+
| Aktsiakapital                       |      7 737 |      7 737 |      7 737 |
+-------------------------------------+------------+------------+------------+
| Ülekurss                            |     14 007 |     14 198 |     14 007 |
+-------------------------------------+------------+------------+------------+
| Oma aktsiad                         |       -390 |       -390 |       -390 |
+-------------------------------------+------------+------------+------------+
| Kohustuslik reservkapital           |         51 |         51 |         51 |
+-------------------------------------+------------+------------+------------+
| Realiseerimata kursivahed           |        831 |        -98 |        559 |
+-------------------------------------+------------+------------+------------+
| Jaotamata kasum (kahjum)            |     -8 883 |     -3 246 |     -6 723 |
+-------------------------------------+------------+------------+------------+
| Ettevõtte aktsionäridele kuuluv osa |     13 353 |     18 252 |     15 241 |
+-------------------------------------+------------+------------+------------+
| Mittekontrolliv osalus              |        568 |        392 |        533 |
+-------------------------------------+------------+------------+------------+
| OMAKAPITAL KOKKU                    |     13 921 |     18 644 |     15 774 |
+-------------------------------------+------------+------------+------------+
| OMAKAPITAL JA KOHUSTUSED KOKKU      |     52 788 |     57 506 |     55 598 |
+-------------------------------------+------------+------------+------------+

 Konsolideeritud koondkasumiaruanne

+------------------------+-------------+-------------+------------+------------+
|Tuhandetes eurodes      |2kv 2021/2022|2kv 2020/2021|6k 2021/2022|6k 2020/2021|
+------------------------+-------------+-------------+------------+------------+
|Müügitulud              |       15 292|       17 029|      29 499|      29 766|
+------------------------+-------------+-------------+------------+------------+
|Müüdud kaupade kulu     |      -13 139|      -14 496|     -26 572|     -26 033|
+------------------------+-------------+-------------+------------+------------+
|Brutokasum              |        2 153|        2 533|       2 927|       3 733|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Tegevuskulud            |       -2 395|       -2 663|      -4 704|      -4 985|
+------------------------+-------------+-------------+------------+------------+
|Müügi- ja turustuskulud |       -1 668|       -1 809|      -3 249|      -3 367|
+------------------------+-------------+-------------+------------+------------+
|Üldhalduskulud          |         -727|         -854|      -1 455|      -1 618|
+------------------------+-------------+-------------+------------+------------+
|Muud äritulud/-kulud    |           11|           46|          62|         137|
+------------------------+-------------+-------------+------------+------------+
|Bioloogiliste varade    |             |             |            |            |
|ümberhindlus            |         -752|          118|          68|          24|
+------------------------+-------------+-------------+------------+------------+
|Ärikasum (-kahjum)      |         -983|           34|      -1 647|      -1 091|
+------------------------+-------------+-------------+------------+------------+
|Finantstulud/-kulud     |         -384|         -129|        -368|        -438|
+------------------------+-------------+-------------+------------+------------+
|Maksustamiseelne kasum  |             |             |            |            |
|(kahjum)                |       -1 367|          -95|      -2 015|      -1 529|
+------------------------+-------------+-------------+------------+------------+
|Tulumaks                |          -17|         -101|        -109|        -105|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasum (-kahjum)    |       -1 384|         -196|      -2 124|      -1 634|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasumi (-kahjumi)  |             |             |            |            |
|jaotus:                 |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Emaettevõtte            |             |             |            |            |
|aktsionäridele kuuluv   |             |             |            |            |
|osa                     |       -1 242|         -190|      -2 160|      -1 592|
+------------------------+-------------+-------------+------------+------------+
|Mittekontrolliv osalus  |         -142|           -6|          36|         -42|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|puhaskasum (-kahjum)    |             |             |            |            |
|kokku                   |       -1 384|         -196|      -2 124|      -1 634|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Muu koondkasum (-       |             |             |            |            |
|kahjum), mida võib      |             |             |            |            |
|hiljem klassifitseerida |             |             |            |            |
|kasumiaruandesse:       |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Valuutakursi vahed      |          384|          299|         272|         268|
+------------------------+-------------+-------------+------------+------------+
|Kokku koondkasum (-     |             |             |            |            |
|kahjum)                 |       -1 000|          103|      -1 852|      -1 366|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|koondkasumi (-kahjumi)  |             |             |            |            |
|jaotus:                 |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Emaettevõtte            |             |             |            |            |
|aktsionäridele kuuluv   |             |             |            |            |
|osa                     |         -858|          109|      -1 888|      -1 324|
+------------------------+-------------+-------------+------------+------------+
|Väikeaktsionäridele     |             |             |            |            |
|kuuluv osa              |         -142|           -6|          36|         -42|
+------------------------+-------------+-------------+------------+------------+
|Aruandeperioodi         |             |             |            |            |
|koondkasum (-kahjum)    |             |             |            |            |
|kokku                   |       -1 000|          103|      -1 852|      -1 366|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Tava puhaskasum (-      |             |             |            |            |
|kahjum) aktsia kohta    |             |             |            |            |
|(EUR)                   |        -0,03|         0,00|       -0,06|       -0,04|
+------------------------+-------------+-------------+------------+------------+
|                        |             |             |            |            |
+------------------------+-------------+-------------+------------+------------+
|Lahustatud puhaskasum (-|             |             |            |            |
|kahjum) aktsia kohta    |             |             |            |            |
|(EUR)                   |        -0,03|         0,00|       -0,06|       -0,04|
+------------------------+-------------+-------------+------------+------------+

Indrek Kasela

AS PRFoods

Juhatuse liige

T: +372 452 1470

[email protected]

www.prfoods.ee

Content of announcement in English

Title

Consolidated Unaudited Interim Report of AS PRFoods for the 2nd quarter and 6 months of 2021/2022 financial year

Message

MANAGEMENT COMMENTARY

2021 is  over and with it  also marks the end  of Finnish saga. As disclosed, we
have sale agreement of 100% shares of Heimon Kala Oy. Even if to consider slight
improvement in group operational EBITDA, it was clear that without consolidation
it  would have  been challenging  for Heimon  Kala Oy  to remain  an independent
company.  Multiple  management  mistakes  and  constant  sale  of  private label
products  below  cost  price,  led  to  decision  that selling Heimon Kala Oy is
rational  decision  rather  than  to  keep  restructuring and recapitalizing the
business.  The  origin  of  losses  in  Finland  is  the incompetence of Finnish
management  in 2020 and  2021 to price  products and  manage cost  base. Private
label prices offered at the end of 2020 and beginning to 2021 (the pricing cycle
in Finland is 6 months forward), didn´t not match raw material prices. In summer
2021 then  current  management  decided  to  increase  production,  that  caused
additional  losses, as sales  were below cost.  After changing the management in
fall,  company took new  direction that took  into account real market situation
(raw  material price increases  were record high  end of 2021) and these changes
have taken effect by now.

Even  as we managed to  improve group operational EBITDA  by 25%, as again whole
loss  in Q2 and H1 originated from Finland. H1 2021 results per company compared
to H1 2020

  * Redstorm OÜ  sales 1.493 keur, sales increased 504 keur yoy
  * Redstorm OÜ EBITDA 165 keur , EBITDA improved by 142 keur
  * Överumans Fisk AB sales 5 keur, sales decreased by  -1.474 keur. Sales
    decreased because we moved harvesting of fish to Q1 2022 from end of 2021 to
    getter better price for biomass
  * Överumans Fisk AB operational EBITDA  -70 keur, improved by  57 keur
  * Överumans Fisk AB EBITDA incl biomass revaluation was 588 keur, improved by
    542 keur
  * Õverumans Fisk AB EBT was affected by SEK/EUR exhcange rate on inter-company
    loans, effect in 2021 - 36 keur, last year + 165keur
  * John Ross Jr /Coln Valley sales 6
  * Heimon Kala OÜ sales were 6,134 meur, decreasing 17% yoy ( we stopped fresh
    fish trading in Q2)
  * Heimon Kala OÜ EBITDA was -433 keur (-415 keur yoy) , negative result was
    attributable to Finnish sales
  * Heimon Kala Oy sales and results are presented in appendix of the report and
    also as appendix 2 in announcement of sale of Heimon Kala Oy.

1.3. We  continue with new structure and PRFoods keeps owning fish farming units
Överumans  Fisk AB  and Redstorm  OÜ (Saaremere  Kala AS  is holding new farming
permit  applications, in future the licences  will be transferred to operational
units)  and processing  units Heimon  Kala OÜ  in Estonia  and John Ross Jr/Coln
Valley in Scotland.

We have followed previously agreed action plans to emerge from crisis:

 1. Reduce debt level - Sale of Finnish unit allows significantly to reduce
    group debt.
 2. Restructure completely, potentially sell or close units in Finland: Heimon
    Kala Oy share sale agreement has been signed and deal will close on 1.3
 3. Increase sales in retail in UK, EU and Estonia : mission accomplished.
 4. Strategic goal of group is on fish farming , as units that have been
    constantly profitable. The target is to achieve licence volume of 10,000 by
    2023, that should give additional revenue of 45-50 million euros in future.
    From Swedish farms we estimate full 2022 harvest to be ca 1500 tons.
    Estonian farming licenses are realistic to be issued in 2022. If the permits
    will be issued only n second half of 2022, the full prodcttion volumes will
    be reached in 2024 not in 2023.

Companies  financial costs have risen due to higher debt capital, while one must
note  that  significant  portion  of  debt  is convertible or related to related
parties,  that  can  be  converted  together  with interest, in order to support
company's  equity. Majority shareholders have  opened additional credit limit to
the  company. We believe that after PRFoods has demonstrated that it can operate
with  profit  after  sale  of  Finland,  cost  of  capital for company will also
decrease.

The  effect of sale of Heimon Kala Oy  will be published in Q1 2022 report after
the sale on 1.3.

KEY RATIOS

INCOME STATEMENT

+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|mln EUR       |4Q 2021|3Q 2021|2Q 2021|1Q 2021|4Q 2020|3Q 2020|2Q 2020|1Q 2020|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Sales         |   15,3|   14,2|   14,7|   14,2|     17|   12,7|   15,1|   18,5|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Gross profit  |    2,2|    0,8|    0,3|    0,9|    2,5|    1,2|    0,7|      2|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBITDA from   |       |       |       |       |       |       |       |       |
|operations    |    0,8|   -0,8|     -1|   -0,5|    0,6|   -0,3|   -0,1|      0|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBITDA        |   -0,3|      0|   -0,7|   -0,7|    0,7|   -0,5|   -0,1|   -0,9|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBIT          |     -1|   -0,7|   -1,4|   -1,4|      0|   -1,1|     -1|   -1,4|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBT           |   -1,4|   -0,6|   -1,6|   -1,8|   -0,1|   -1,4|   -1,2|   -1,8|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Net profit (- |       |       |       |       |       |       |       |       |
|loss)         |   -1,4|   -0,7|   -1,7|   -1,8|   -0,2|   -1,4|   -1,3|   -1,7|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Gross margin  | 14,10%|  5,40%|  2,10%|  6,60%| 14,90%|  9,40%|  4,40%| 10,80%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Operational   |       |       |       |       |       |       |       |       |
|EBITDA margin |  5,20%| -5,50%| -7,00%| -3,50%|  3,40%| -2,60%| -0,90%|  0,10%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBITDA margin | -2,10%| -0,10%| -4,80%| -5,30%|  4,10%| -3,80%| -0,50%| -4,60%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBIT margin   | -6,40%| -4,70%| -9,30%| -9,90%|  0,20%| -8,80%| -6,40%| -7,80%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|EBT margin    | -8,90%| -4,60%|-10,80%|-12,50%| -0,60%|-11,30%| -8,30%| -9,80%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Net margin    | -9,10%| -5,20%|-11,60%|-12,50%| -1,20%|-11,30%| -8,40%| -9,20%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+
|Operating     |       |       |       |       |       |       |       |       |
|expense ratio | 15,10%| 16,30%| 15,40%| 15,60%| 15,60%| 18,20%| 14,00%| 14,30%|
+--------------+-------+-------+-------+-------+-------+-------+-------+-------+

BALANCE SHEET

+---------+----------+----------+----------+----------+----------+----------+----------+
|mln EUR  |31.12.2021|30.09.2021|30.06.2021|31.03.2021|31.12.2020|30.09.2020|30.06.2020|
+---------+----------+----------+----------+----------+----------+----------+----------+
|Net debt |      24,2|      24,2|      20,9       21,4|      21,9|      21,5|      20,7|
+---------+----------+----------+---------------------+----------+----------+----------+
|Equity   |      14,9|      14,9|      15,8       17,6|      18,6|      18,5|      19,8|
+---------+----------+----------+---------------------+----------+----------+----------+
|Working  |          |          |                     |          |          |          |
|capital  |      -2,6|      -2,6|      -2,9         -5|      -3,9|      -4,4|        -4|
+---------+----------+----------+---------------------+----------+----------+----------+
|Assets   |        56|        56|      55,3       54,5|      57,5|      57,4|      57,1|
+---------+----------+----------+---------------------+----------+----------+----------+
|Liquidity|          |          |                     |          |          |          |
|ratio    |      0,9x|      0,9x|      0,9x       0,8x|      0,8x|      0,8x|      0,8x|
+---------+----------+----------+---------------------+----------+----------+----------+
|Equity   |          |          |                     |          |          |          |
|ratio    |    26,70%|    26,70%|    28,60%     32,40%|    32,40%|    32,30%|    34,70%|
+---------+----------+----------+---------------------+----------+----------+----------+
|Gearing  |          |          |                     |          |          |          |
|ratio    |    61,80%|    61,80%|    56,90%     54,90%|    54,00%|    53,70%|    51,10%|
+---------+----------+----------+---------------------+----------+----------+----------+
|Debt to  |          |          |                     |          |          |          |
|total    |          |          |                     |          |          |          |
|assets   |      0,7x|      0,7x|      0,7x       0,7x|      0,7x|      0,7x|      0,7x|
+---------+----------+----------+---------------------+----------+----------+----------+
|Net debt |          |          |                     |          |          |          |
|to EBITDA|          |          |                     |          |          |          |
|op       |    -14,3x|    -14,3x|    -16,9x     -55,3x|    160,0x|     12,8x|      7,5x|
+---------+----------+----------+---------------------+----------+----------+----------+
|ROE      |   -26,70%|   -26,70%|   -28,70%    -23,80%|   -21,90%|    -7,00%|    -9,10%|
+---------+----------+----------+---------------------+----------+----------+----------+
|ROA      |    -7,90%|    -7,90%|    -9,10%     -8,40%|    -7,80%|    -2,40%|    -3,20%|
+---------+----------+----------+---------------------+----------+----------+----------+

Consolidated Statement of Financial Position

+----------------------------------+------------+------------+------------+
| Thousand euros                   | 31.12.2021 | 31.12.2020 | 30.06.2021 |
+----------------------------------+------------+------------+------------+
| ASSETS                           |            |            |            |
+----------------------------------+------------+------------+------------+
| Cash and cash equivalents        |        498 |        962 |      2 500 |
+----------------------------------+------------+------------+------------+
| Receivables and prepayments      |      4 463 |      4 153 |      3 512 |
+----------------------------------+------------+------------+------------+
| Inventories                      |      4 596 |      9 627 |      5 691 |
+----------------------------------+------------+------------+------------+
| Biological assets                |      4 523 |      3 702 |      4 795 |
+----------------------------------+------------+------------+------------+
| Total current assets             |     14 080 |     18 444 |     16 498 |
+----------------------------------+------------+------------+------------+
|                                  |            |            |            |
+----------------------------------+------------+------------+------------+
| Deferred tax assets              |         38 |         21 |         38 |
+----------------------------------+------------+------------+------------+
| Long-term financial investments  |        300 |        232 |        302 |
+----------------------------------+------------+------------+------------+
| Tangible assets                  |     14 655 |     15 968 |     15 300 |
+----------------------------------+------------+------------+------------+
| Intangible assets                |     23 715 |     22 841 |     23 460 |
+----------------------------------+------------+------------+------------+
| Total non-current assets         |     38 708 |     39 062 |     39 100 |
+----------------------------------+------------+------------+------------+
| TOTAL ASSETS                     |     52 788 |     57 506 |     55 598 |
+----------------------------------+------------+------------+------------+
|                                  |            |            |            |
+----------------------------------+------------+------------+------------+
| EQUITY AND LIABILITIES           |            |            |            |
+----------------------------------+------------+------------+------------+
| Interest-bearing liabilities     |      6 275 |      9 634 |      7 325 |
+----------------------------------+------------+------------+------------+
| Payables and prepayments         |     11 666 |     12 469 |     12 124 |
+----------------------------------+------------+------------+------------+
| Government grants                |        207 |        212 |        207 |
+----------------------------------+------------+------------+------------+
| Total current liabilities        |     18 148 |     22 315 |     19 656 |
+----------------------------------+------------+------------+------------+
|                                  |            |            |            |
+----------------------------------+------------+------------+------------+
| Interest-bearing liabilities     |     18 180 |     13 254 |     17 561 |
+----------------------------------+------------+------------+------------+
| Payables and prepayments         |          0 |        596 |          0 |
+----------------------------------+------------+------------+------------+
| Deferred tax liabilities         |      1 877 |      1 912 |      1 861 |
+----------------------------------+------------+------------+------------+
| Government grants                |        662 |        785 |        746 |
+----------------------------------+------------+------------+------------+
| Total non-current liabilities    |     20 719 |     16 547 |     20 168 |
+----------------------------------+------------+------------+------------+
| TOTAL LIABILITIES                |     38 867 |     38 862 |     39 824 |
+----------------------------------+------------+------------+------------+
|                                  |            |            |            |
+----------------------------------+------------+------------+------------+
| Share capital                    |      7 737 |      7 737 |      7 737 |
+----------------------------------+------------+------------+------------+
| Share premium                    |     14 007 |     14 198 |     14 007 |
+----------------------------------+------------+------------+------------+
| Treasury shares                  |       -390 |       -390 |       -390 |
+----------------------------------+------------+------------+------------+
| Statutory capital reserve        |         51 |         51 |         51 |
+----------------------------------+------------+------------+------------+
| Currency translation differences |        831 |        -98 |        559 |
+----------------------------------+------------+------------+------------+
| Retained profit (loss)           |     -8 883 |     -3 246 |     -6 723 |
+----------------------------------+------------+------------+------------+
| Equity attributable to parent    |     13 353 |     18 252 |     15 241 |
+----------------------------------+------------+------------+------------+
| Non-controlling interest         |        568 |        392 |        533 |
+----------------------------------+------------+------------+------------+
| TOTAL EQUITY                     |     13 921 |     18 644 |     15 774 |
+----------------------------------+------------+------------+------------+
| TOTAL EQUITY AND LIABILITIES     |     52 788 |     57 506 |     55 598 |
+----------------------------------+------------+------------+------------+

Consolidated Statement of Profit or Loss And Other Comprehensive Income

+--------------------------+------------+------------+------------+------------+
|Thousand euros            |2Q 2021/2022|2Q 2020/2021|6m 2021/2022|6m 2020/2021|
+--------------------------+------------+------------+------------+------------+
|Revenue                   |      15 292|      17 029|      29 499|      29 766|
+--------------------------+------------+------------+------------+------------+
|Cost of goods sold        |     -13 139|     -14 496|     -26 572|     -26 033|
+--------------------------+------------+------------+------------+------------+
|Gross profit              |       2 153|       2 533|       2 927|       3 733|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Operating expenses        |      -2 395|      -2 663|      -4 704|      -4 985|
+--------------------------+------------+------------+------------+------------+
|Selling and distribution  |            |            |            |            |
|expenses                  |      -1 668|      -1 809|      -3 249|      -3 367|
+--------------------------+------------+------------+------------+------------+
|Administrative expenses   |        -727|        -854|      -1 455|      -1 618|
+--------------------------+------------+------------+------------+------------+
|Other income / expense    |          11|          46|          62|         137|
+--------------------------+------------+------------+------------+------------+
|Fair value adjustment on  |            |            |            |            |
|biological assets         |        -752|         118|          68|          24|
+--------------------------+------------+------------+------------+------------+
|Operating profit (loss)   |        -983|          34|      -1 647|      -1 091|
+--------------------------+------------+------------+------------+------------+
|Financial income /        |            |            |            |            |
|expenses                  |        -384|        -129|        -368|        -438|
+--------------------------+------------+------------+------------+------------+
|Profit (Loss) before tax  |      -1 367|         -95|      -2 015|      -1 529|
+--------------------------+------------+------------+------------+------------+
|Income tax                |         -17|        -101|        -109|        -105|
+--------------------------+------------+------------+------------+------------+
|Net profit (loss) for the |            |            |            |            |
|period                    |      -1 384|        -196|      -2 124|      -1 634|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Net profit (loss)         |            |            |            |            |
|attributable to:          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Owners of the Parent      |            |            |            |            |
|Company                   |      -1 242|        -190|      -2 160|      -1 592|
+--------------------------+------------+------------+------------+------------+
|Non-controlling interests |        -142|          -6|          36|         -42|
+--------------------------+------------+------------+------------+------------+
|Total net profit (loss)   |            |            |            |            |
|for the period            |      -1 384|        -196|      -2 124|      -1 634|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Other comprehensive income|            |            |            |            |
|(loss) that may           |            |            |            |            |
|subsequently be classified|            |            |            |            |
|to profit or loss:        |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Foreign currency          |            |            |            |            |
|translation differences   |         384|         299|         272|         268|
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense)                 |      -1 000|         103|      -1 852|      -1 366|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense) attributable to:|            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Owners of the Parent      |            |            |            |            |
|Company                   |        -858|         109|      -1 888|      -1 324|
+--------------------------+------------+------------+------------+------------+
|Non-controlling interests |        -142|          -6|          36|         -42|
+--------------------------+------------+------------+------------+------------+
|Total comprehensive income|            |            |            |            |
|(expense) for the period  |      -1 000|         103|      -1 852|      -1 366|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Profit (Loss) per share   |            |            |            |            |
|(EUR)                     |       -0,03|        0,00|       -0,06|       -0,04|
+--------------------------+------------+------------+------------+------------+
|                          |            |            |            |            |
+--------------------------+------------+------------+------------+------------+
|Diluted profit (loss) per |            |            |            |            |
|share (EUR)               |       -0,03|        0,00|       -0,06|       -0,04|
+--------------------------+------------+------------+------------+------------+

Indrek Kasela

AS PRFoods

Member of the Management Board

Phone:+372 452 1470

[email protected]

www.prfoods.ee