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
Management interim statement or quarterly financial report
Unique data record identifier
9958
Attachments
Submission date and time
21.11.2022 23:27:52
Content of announcement in Estonian
Title
AS-i PRFoods 2022/2023 majandusaasta 1. kvartali ja 3. kuu konsolideeritud auditeerimata vahearuanne
Message
AS-i PRFoods 2022/2023 majandusaasta 1. kvartali ja 3. kuu konsolideeritud
auditeerimata vahearuanne
JUHTKONNA KOMMENTAAR
2022. kalendriaastal on võõrandatud Soome ja Rootsi äriüksused. Esimene
tingituna jätkuvast kahjumlikkusest ning Rootsi eesmärgiga vähendada ettevõtte
võlakoormust. Eelmise aasta sama perioodiga võrreldes on suurim muutus biovarade
vähenemine tingituna Soome ja Rootsi kasvatuste müügist. Kalakasvastuse
tulemustes tuleb arvestada, et kalade müügi lükkasime II kvartalisse ning
võrreldav on ainult biovarade muutus. Kalatoodete tootmine oli kogu turu
üleüldise nõudluse olulisest vähenemisest tingituna madalam ning see väljendub
ka tulemustes. I kv nägime tooraine odavnemist, nõudlus toodete järgi on
taastumas, kuid kogu tarbmine on riigiti vähem 30-50%. Suurbritannia üksus
toimib taas vastavalt plaanidele, kuid Soome allhanke vähenemine mõjutas
negatiivselt Saare Kala Tootmine OÜ tulemusi. Rootsi kalakasvatuse müük toimus I
kvartali lõpus, vastavalt lepingutingimustele toimub ostuhinna osaline tasumine
2023. aasta jooksul. I kvartali erakordne kasum on tingitud Rootsi äriüksuse
müügist.
VÕTMENÄITAJAD
KASUMIARUANNE
+----------------------------+---------+---------+---------+---------+---------+
| |1kv | | 1kv| | 1kv|
|mln EUR |2022/2023|2021/2022|2021/2022|2020/2021|2020/2021|
+----------------------------+---------+---------+---------+---------+---------+
|Müügitulu | 4,6| 42,1| 14,2| 58,7| 18,5|
+----------------------------+---------+---------+---------+---------+---------+
|Brutokasum | 0,5| 3,1| 0,8| 5| 2|
+----------------------------+---------+---------+---------+---------+---------+
|EBITDA äritegevusest | -0,3| -1,7| -0,8| -1,2| 0|
+----------------------------+---------+---------+---------+---------+---------+
|EBITDA | -0,5| -2,1| 0,0| -1,3| -0,9|
+----------------------------+---------+---------+---------+---------+---------+
|EBIT | -0,8| -4,2| -0,7| -3,9| -1,4|
+----------------------------+---------+---------+---------+---------+---------+
|EBT | 0,9| -8,2| -0,6| -5| -1,8|
+----------------------------+---------+---------+---------+---------+---------+
|Puhaskasum (-kahjum) | 0,9| -8,2| -0,7| -5,2| -1,7|
+----------------------------+---------+---------+---------+---------+---------+
|Brutomarginaal | 11,1%| 7,44%| 5,4%| 8,50%| 10,80%|
+----------------------------+---------+---------+---------+---------+---------+
|Äritegevuse EBITDA marginaal| -6,9%| -4,06%| -5,5%| -2,10%| 0,10%|
+----------------------------+---------+---------+---------+---------+---------+
|EBITDA marginaal | -10,6%| -5,05%| -0,1%| -2,10%| -4,6%|
+----------------------------+---------+---------+---------+---------+---------+
|EBIT marginaal | -17,7%| -9,93%| -4,7%| -6,60%| -7,8%|
+----------------------------+---------+---------+---------+---------+---------+
|EBT marginaal | -19,0%| -19,52%| -4,6%| -8,50%| -9,80%|
+----------------------------+---------+---------+---------+---------+---------+
|Puhaskasumi marginaal | 18,8%| -19,37%| -5,2%| -8,80%| -9,20%|
+----------------------------+---------+---------+---------+---------+---------+
|Tegevuskulude suhtarv | -24,2%| -17,11%| 16,3%| 16,10%| 14,30%|
+----------------------------+---------+---------+---------+---------+---------+
BILANSS
+-------------+----------+----------+----------+----------+----------+
|mln EUR |30.09.2022|30.06.2022|30.09.2021|30.06.2021|30.09.2020|
+-------------+----------+----------+----------+----------+----------+
|Netovõlgnevus| 18,8| 24,7| 24,2| 20,9| 21,5|
+-------------+----------+----------+----------+----------+----------+
|Omakapital | 8,0| 8,1| 14,9| 15,8| 18,5|
+-------------+----------+----------+----------+----------+----------+
|Käibekapital | 0,7| -3,2| -2,6| -2,9| -4,4|
+-------------+----------+----------+----------+----------+----------+
|Varad | 33,1| 38,9| 56,0| 55,3| 57,4|
+-------------+----------+----------+----------+----------+----------+
Likviidsuskordaja 1,1x 0,7x 0,9x 0,9x 0,8x
+--------------------------+--------+--------+--------+--------+-------+
| Omakapitali suhtarv | 24,1% | 20,7% | 26,7% | 28,6% | 32,3% |
+--------------------------+--------+--------+--------+--------+-------+
| Finantsvõimendus | 70,2% | 75,4% | 61,8% | 56,9% | 53,7% |
+--------------------------+--------+--------+--------+--------+-------+
| Võlakordaja | 0,8x | 0,8x | 0,7x | 0,7x | 0,7x |
+--------------------------+--------+--------+--------+--------+-------+
| Netovõlg / EBITDA äriteg | -59,3x | -14,5x | -14,3x | -16,9x | 12,8x |
+--------------------------+--------+--------+--------+--------+-------+
| Omakapitali tootlus | 7,6% | -68,5% | -26,7% | -28,7% | -7,0% |
+--------------------------+--------+--------+--------+--------+-------+
| Varade tootlus | 2,0% | -17,3% | -7,9% | -9,1% | -2,4% |
+--------------------------+--------+--------+--------+--------+-------+
Konsolideeritud finantsseisundi aruanne
+-------------------------------------+------------+------------+------------+
| Tuhandetes eurodes | 30.09.2022 | 30.09.2021 | 30.06.2022 |
+-------------------------------------+------------+------------+------------+
| VARAD | | | |
+-------------------------------------+------------+------------+------------+
| Raha ja ekvivalendid | 345 | 748 | 110 |
+-------------------------------------+------------+------------+------------+
| Nõuded ja ettemaksed | 4 811 | 3 231 | 2 567 |
+-------------------------------------+------------+------------+------------+
| Varud | 2 102 | 5 638 | 2 196 |
+-------------------------------------+------------+------------+------------+
| Bioloogilised varad | 955 | 7 746 | 3 003 |
+-------------------------------------+------------+------------+------------+
| Käibevara kokku | 8 213 | 17 363 | 7 876 |
+-------------------------------------+------------+------------+------------+
| | | | |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksuvara | - | 38 | 93 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised finantsinvesteeringud | 304 | 305 | 229 |
+-------------------------------------+------------+------------+------------+
| Materiaalne põhivara | 7 169 | 14 897 | 8 882 |
+-------------------------------------+------------+------------+------------+
| Immateriaalne vara | 17 400 | 23 368 | 21 837 |
+-------------------------------------+------------+------------+------------+
| Põhivara kokku | 24 873 | 38 608 | 31 041 |
+-------------------------------------+------------+------------+------------+
| VARAD KOKKU | 33 086 | 55 971 | 38 917 |
+-------------------------------------+------------+------------+------------+
| | | | |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED JA OMAKAPITAL | | | |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused | 3 562 | 6 521 | 7 094 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed | 3 965 | 13 219 | 3 978 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine | - | 207 | 0 |
+-------------------------------------+------------+------------+------------+
| Lühiajalised kohustused kokku | 7 527 | 19 947 | 11 072 |
+-------------------------------------+------------+------------+------------+
| | | | |
+-------------------------------------+------------+------------+------------+
| Intressikandvad kohustused | 15 592 | 18 411 | 17 725 |
+-------------------------------------+------------+------------+------------+
| Võlad ja ettemaksed | - | 0 | 204 |
+-------------------------------------+------------+------------+------------+
| Edasilükkunud tulumaksukohustus | 1 644 | 1 996 | 1 599 |
+-------------------------------------+------------+------------+------------+
| Sihtfinantseerimine | 342 | 695 | 265 |
+-------------------------------------+------------+------------+------------+
| Pikaajalised kohustused kokku | 17 578 | 21 102 | 19 792 |
+-------------------------------------+------------+------------+------------+
| KOHUSTUSED KOKKU | 25 105 | 41 049 | 30 865 |
+-------------------------------------+------------+------------+------------+
| | | | |
+-------------------------------------+------------+------------+------------+
| Aktsiakapital | 7 737 | 7 737 | 7 737 |
+-------------------------------------+------------+------------+------------+
| Ülekurss | 14 007 | 14 007 | 14 007 |
+-------------------------------------+------------+------------+------------+
| Oma aktsiad | - 390 | -390 | -390 |
+-------------------------------------+------------+------------+------------+
| Kohustuslik reservkapital | 51 | 51 | 51 |
+-------------------------------------+------------+------------+------------+
| Realiseerimata kursivahed | 394 | 447 | 839 |
+-------------------------------------+------------+------------+------------+
| Jaotamata kasum (kahjum) | - 14 043 | -7 641 | -14 391 |
+-------------------------------------+------------+------------+------------+
| Ettevõtte aktsionäridele kuuluv osa | 7 756 | 14 211 | 7 853 |
+-------------------------------------+------------+------------+------------+
| Mittekontrolliv osalus | 224 | 711 | 199 |
+-------------------------------------+------------+------------+------------+
OMAKAPITAL KOKKU 7 980 14 922 8 052
+--------------------------------+--------+--------+--------+
| OMAKAPITAL JA KOHUSTUSED KOKKU | 33 086 | 55 971 | 38 917 |
+--------------------------------+--------+--------+--------+
Konsolideeritud koondkasumiaruanne
+----------------------------------------------------+------------+------------+
|Tuhandetes eurodes |3k 2022/2023|3k 2021/2022|
+----------------------------------------------------+------------+------------+
|Müügitulud | 4 610| 14 207|
+----------------------------------------------------+------------+------------+
|Müüdud kaupade kulu | -4 097| -13 433|
+----------------------------------------------------+------------+------------+
|Brutokasum | 514| 774|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Tegevuskulud | -1 114| -2 309|
+----------------------------------------------------+------------+------------+
|Turundus- ja müügikulud | -643| -1 581|
+----------------------------------------------------+------------+------------+
|Üldhalduskulud | -471| -728|
+----------------------------------------------------+------------+------------+
|Muud äritulud/-kulud | -47| 51|
+----------------------------------------------------+------------+------------+
|Bioloogiliste varade ümberhindlus | -170| 820|
+----------------------------------------------------+------------+------------+
|Ärikasum (-kahjum) | -817| -664|
+----------------------------------------------------+------------+------------+
|Finantstulud/-kulud | 1 692| 16|
+----------------------------------------------------+------------+------------+
|Maksustamiseelne kasum (-kahjum) | 874| -648|
+----------------------------------------------------+------------+------------+
|Tulumaks | -6| -92|
+----------------------------------------------------+------------+------------+
|Aruandeperioodi puhaskasum (-kahjum) | 868| -740|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Aruandeperioodi puhaskasumi (-kahjum) jaotus: | | |
+----------------------------------------------------+------------+------------+
|emaettevõtte aktsionäridele kuuluv osa | 878| -918|
+----------------------------------------------------+------------+------------+
|Väikeaktsionäridele kuuluv osa | -8| 178|
+----------------------------------------------------+------------+------------+
|Aruandeperioodi puhaskasumi (-kahjum) kokku | 869| -740|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Muu koondkasum (-kahjum), mida võib hiljem | | |
|klassifitseerida kasumiaruandesse: | | |
+----------------------------------------------------+------------+------------+
|Valuutakursi vahed | -445| -112|
+----------------------------------------------------+------------+------------+
|Kokku koondkasum (-kahjum) | 424| -852|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Aruandeperioodi koondkasumi (-kahjum) jaotus: | | |
+----------------------------------------------------+------------+------------+
|emaettevõtte aktsionäridele kuuluv osa | 433| -842|
+----------------------------------------------------+------------+------------+
|Väikeaktsionäridele kuuluv osa | - 8| -10|
+----------------------------------------------------+------------+------------+
|Aruandeperioodi koondkasum (-kahjum) kokku | 424| -852|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Tava puhaskasum (-kahjum) aktsia kohta (EUR) | 0,02| -0,02|
+----------------------------------------------------+------------+------------+
| | | |
+----------------------------------------------------+------------+------------+
|Lahustatud puhaskasum (-kahjum) aktsia kohta (EUR) | 0,02| -0,02|
+----------------------------------------------------+------------+------------+
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 1nd quarter and 3 months of 2022/2023 financial year
Message
Consolidated Unaudited Interim Report of AS PRFoods for the 1nd quarter and 3 months of 2022/2023 financial year MANAGEMENT COMMENTARY In 2022 we have sold both Finnish and Swedish business units. First was sold because of continued losses and Sweden was sold to reduce overall debt level. As compared to last year, the biggest difference is that we no longer have sales from Finnish production units, in fish farming we no longer hold Finnish and Swedish assets and also fish harvesting was postponed until Q2. In fish farming as said, harvesting was postponed until Q2. Fish products saw significant decline to overall market in demand for smoked fish products due to historically highest raw material prices and this is reflected in results. In Q2 we see decline in fish prices, and recovery of demand, but overall consumption per country is lower by 30-50%. UK unit performs according to expectations, but decline in private label demand in Finland, has negative impact on results of Saare Kala Tootmine OÜ. Swedish fish farming was sold at the end of Q1 and as per agreement, final payment for the shares will take place in 2023. Extraordinary profit in Q1 was result of sale of Swedish unit. KEY RATIOS INCOME STATEMENT +-------------------------+---------+---------+---------+---------+---------+ | | 1Q| | 1Q| | 1Q| |mln EUR |2022/2023|2021/2022|2021/2022|2020/2021|2020/2021| +-------------------------+---------+---------+---------+---------+---------+ |Sales | 4,6| 42,1| 14,2| 58,7| 18,5| +-------------------------+---------+---------+---------+---------+---------+ |Gross profit | 0,5| 3,1| 0,8| 5| 2| +-------------------------+---------+---------+---------+---------+---------+ |EBITDA from operations | -0,3| -1,7| -0,8| -1,2| 0| +-------------------------+---------+---------+---------+---------+---------+ |EBITDA | -0,5| -2,1| 0,0| -1,3| -0,9| +-------------------------+---------+---------+---------+---------+---------+ |EBIT | -0,8| -4,2| -0,7| -3,9| -1,4| +-------------------------+---------+---------+---------+---------+---------+ |EBT | 0,9| -8,2| -0,6| -5| -1,8| +-------------------------+---------+---------+---------+---------+---------+ |Net profit (-loss) | 0,9| -8,2| -0,7| -5,2| -1,7| +-------------------------+---------+---------+---------+---------+---------+ |Gross margin | 11,1%| 7,44%| 5,4%| 8,50%| 10,80%| +-------------------------+---------+---------+---------+---------+---------+ |Operational EBITDA margin| -6,9%| -4,06%| -5,5%| -2,10%| 0,10%| +-------------------------+---------+---------+---------+---------+---------+ |EBITDA margin | -10,6%| -5,05%| -0,1%| -2,10%| -4,6%| +-------------------------+---------+---------+---------+---------+---------+ |EBIT margin | -17,7%| -9,93%| -4,7%| -6,60%| -7,8%| +-------------------------+---------+---------+---------+---------+---------+ |EBT margin | -19,0%| -19,52%| -4,6%| -8,50%| -9,80%| +-------------------------+---------+---------+---------+---------+---------+ |Net margin | 18,8%| -19,37%| -5,2%| -8,80%| -9,20%| +-------------------------+---------+---------+---------+---------+---------+ |Operating expense ratio | -24,2%| -17,11%| 16,3%| 16,10%| 14,30%| +-------------------------+---------+---------+---------+---------+---------+ BALANCE SHEET +---------------+----------+----------+----------+----------+----------+ |mln EUR |30.09.2022|30.06.2022|30.09.2021|30.06.2021|30.09.2020| +---------------+----------+----------+----------+----------+----------+ |Net debt | 18,8| 24,7| 24,2| 20,9| 21,5| +---------------+----------+----------+----------+----------+----------+ |Equity | 8,0| 8,1| 14,9| 15,8| 18,5| +---------------+----------+----------+----------+----------+----------+ |Working capital| 0,7| -3,2| -2,6| -2,9| -4,4| +---------------+----------+----------+----------+----------+----------+ +-----------------------+--------+--------+-------+-------+-------+ | Assets | 33,1 | 38,9 | 56,0 | 55,3 | 57,4 | +-----------------------+--------+--------+-------+-------+-------+ | Liquidity ratio | 1,1x | 0,7x | 0,9x | 0,9x | 0,8x | +-----------------------+--------+--------+-------+-------+-------+ | Equity ratio | 24,1% | 20,7% | 26,7% | 28,6% | 32,3% | +-----------------------+--------+--------+-------+-------+-------+ | Gearing ratio | 70,2% | 75,4% | 61,8% | 56,9% | 53,7% | +-----------------------+--------+--------+-------+-------+-------+ | Debt to total assets | 0,8x | 0,8x | 0,7x | 0,7x | 0,7x | +-----------------------+--------+--------+-------+-------+-------+ | Net debt to EBITDA op | -59,3x | -14,5x | -14,3x -16,9x | 12,8x | +-----------------------+--------+--------+---------------+-------+ | ROE | 7,6% | -68,5% | -26,7% -28,7% | -7,0% | +-----------------------+--------+--------+---------------+-------+ | ROA | 2,0% | -17,3% | -7,9% -9,1% | -2,4% | +-----------------------+--------+--------+---------------+-------+ Consolidated Statement of Financial Position +---------------------------------+------------+------------+------------+ | Thousand euros | 30.09.2022 | 30.09.2021 | 30.06.2022 | +---------------------------------+------------+------------+------------+ | ASSETS | | | | +---------------------------------+------------+------------+------------+ | Cash and cash equivalents | 345 | 748 | 110 | +---------------------------------+------------+------------+------------+ | Receivables and prepayments | 4 811 | 3 231 | 2 567 | +---------------------------------+------------+------------+------------+ | Inventories | 2 102 | 5 638 | 2 196 | +---------------------------------+------------+------------+------------+ | Biological assets | 955 | 7 746 | 3 003 | +---------------------------------+------------+------------+------------+ | Total current assets | 8 213 | 17 363 | 7 876 | +---------------------------------+------------+------------+------------+ | | | | | +---------------------------------+------------+------------+------------+ | Deferred income tax | - | 38 | 93 | +---------------------------------+------------+------------+------------+ | Long-term financial investments | 304 | 305 | 229 | +---------------------------------+------------+------------+------------+ | Tangible fixed assets | 7 169 | 14 897 | 8 882 | +---------------------------------+------------+------------+------------+ | Intangible assets | 17 400 | 23 368 | 21 837 | +---------------------------------+------------+------------+------------+ | Total non-current assets | 24 873 | 38 608 | 31 041 | +---------------------------------+------------+------------+------------+ | TOTAL ASSETS | 33 086 | 55 971 | 38 917 | +---------------------------------+------------+------------+------------+ | | | | | +---------------------------------+------------+------------+------------+ | EQUITY AND LIABILITIES | | | | +---------------------------------+------------+------------+------------+ | Loans and borrowings | 3 562 | 6 521 | 7 094 | +---------------------------------+------------+------------+------------+ | Payables | 3 965 | 13 219 | 3 978 | +---------------------------------+------------+------------+------------+ | Government grants | - | 207 | 0 | +---------------------------------+------------+------------+------------+ | Total current liabilities | 7 527 | 19 947 | 11 072 | +---------------------------------+------------+------------+------------+ | | | | | +---------------------------------+------------+------------+------------+ | Loans and borrowings | 15 592 | 18 411 | 17 725 | +---------------------------------+------------+------------+------------+ | Payables | - | 0 | 204 | +---------------------------------+------------+------------+------------+ | Deferred tax liabilities | 1 644 | 1 996 | 1 599 | +---------------------------------+------------+------------+------------+ | Government grants | 342 | 695 | 265 | +---------------------------------+------------+------------+------------+ | Total non-current liabilities | 17 578 | 21 102 | 19 792 | +---------------------------------+------------+------------+------------+ | TOTAL LIABILITIES | 25 105 | 41 049 | 30 865 | +---------------------------------+------------+------------+------------+ | | | | | +---------------------------------+------------+------------+------------+ | Share capital | 7 737 | 7 737 | 7 737 | +---------------------------------+------------+------------+------------+ | Share premium | 14 007 | 14 007 | 14 007 | +---------------------------------+------------+------------+------------+ | Treasury shares | - 390 | -390 | -390 | +---------------------------------+------------+------------+------------+ | Statutory capital reserve | 51 | 51 | 51 | +---------------------------------+------------+------------+------------+ | Currency translation reserve | 394 | 447 | 839 | +---------------------------------+------------+------------+------------+ | Retained profit (-loss) | - 14 043 | -7 641 | -14 391 | +---------------------------------+------------+------------+------------+ Equity attributable to parent 7 756 14 211 7 853 +------------------------------+--------+--------+--------+ | Non-controlling interest | 224 | 711 | 199 | +------------------------------+--------+--------+--------+ | TOTAL EQUITY | 7 980 | 14 922 | 8 052 | +------------------------------+--------+--------+--------+ | TOTAL EQUITY AND LIABILITIES | 33 086 | 55 971 | 38 917 | +------------------------------+--------+--------+--------+ Consolidated Statement of Profit or Loss And Other Comprehensive Income +----------------------------------------------------+------------+------------+ |Thousand euros |3k 2022/2023|3k 2021/2022| +----------------------------------------------------+------------+------------+ |Sales | 4 610| 14 207| +----------------------------------------------------+------------+------------+ |Cost of goods sold | -4 097| -13 433| +----------------------------------------------------+------------+------------+ |Gross profit | 514| 774| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Operating expenses | -1 114| -2 309| +----------------------------------------------------+------------+------------+ |Selling and distribution expenses | -643| -1 581| +----------------------------------------------------+------------+------------+ |Administrative expenses | -471| -728| +----------------------------------------------------+------------+------------+ |Other income / expense | -47| 51| +----------------------------------------------------+------------+------------+ |Fair value adjustment on biological assets | -170| 820| +----------------------------------------------------+------------+------------+ |Operating profit (loss) | -817| -664| +----------------------------------------------------+------------+------------+ |Financial income/-expenses | 1 692| 16| +----------------------------------------------------+------------+------------+ |Profit (loss) before tax | 874| -648| +----------------------------------------------------+------------+------------+ |Income tax | -6| -92| +----------------------------------------------------+------------+------------+ |Net profit (loss) for the period | 868| -740| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Net profit (loss) attributable to: | | | +----------------------------------------------------+------------+------------+ |Owners of the company | 878| -918| +----------------------------------------------------+------------+------------+ |Non-controlling interests | -8| 178| +----------------------------------------------------+------------+------------+ |Total net profit (loss) | 869| -740| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Other omprehensive income (loss) that may | | | |subsequently be classified to profit or loss: | | | +----------------------------------------------------+------------+------------+ |Foreign currency translation differences | -445| -112| +----------------------------------------------------+------------+------------+ |Total comprehensive income (expense) | 424| -852| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Total comprehensive income (expense) attributable | | | |to: | | | +----------------------------------------------------+------------+------------+ |Owners of the Company | 433| -842| +----------------------------------------------------+------------+------------+ |Non-controlling interests | - 8| -10| +----------------------------------------------------+------------+------------+ |Total comprehensive income (expense) for the period | 424| -852| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Profit (loss) per share (EUR) | 0,02| -0,02| +----------------------------------------------------+------------+------------+ | | | | +----------------------------------------------------+------------+------------+ |Diluted profit (loss) per share (EUR) | 0,02| -0,02| +----------------------------------------------------+------------+------------+ Indrek Kasela AS PRFoods Member of the Management Board Phone:+372 452 1470 [email protected] www.prfoods.ee