Börsiteade

EfTEN United Property Fund / EFTEN Capital AS

LEI kood

984500E070A0V4E8CO64

Emitendi suuruskategooria

Väikekontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Sektor(id)

Fondivalitseja

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Juhtkonna vaheteadaanne või kvartaalne finantsaruanne

Teate ID

10317

Esitamise kuupäev ja aeg

04.05.2023 10:34:31

Teate sisu eesti keeles

Pealkiri

Parandusteade: EfTEN United Property Fund 2023. aasta I kvartali auditeerimata majandustulemused

Teade

Parandus: Teatele on lisatud EfTEN United Property Fund 2023. aasta I kvartali
auditeerimata aruande dokument

Järgneb parandatud teave:

EfTEN  United  Property  Fund  teenis  2023. aasta  I  kvartalis  34 tuhat eurot
puhaskahjumit  (2022 I  kvartal: 121 tuhat  eurot puhaskasumit).  Kahjum tuleneb
muudatusest  investeeringute  hindamispõhimõtetes  -  EfTEN  Kinnisvarafond AS-i
ühinemise  järgselt börsil  noteeritud fondiga  EfTEN Real  Estate Fund  III AS,
kajastatakse  ühendfondi EfTEN Real  Estate Fund AS  aktsiate väärtus börsihinna
järgi  (varasemalt  kajastati  väärtus  aktsia bilansilise puhasväärtuse järgi).
Eelneva  hindamismeetodi kasutamisel oleks EfTEN United Property Fund teeninud I
kvartalis 270 tuhat eurot puhaskasumit.

EfTEN  United  Property  Fund  varade  maht  oli  2023.a I kvartali lõpu seisuga
26 855 tuhat eurot (31.12.2022: 27 472 tuhat eurot), millest märtsi lõpu seisuga
72% moodustavad pikaajalised investeeringud (31.12.2022: 67%).

2023. aasta I kvartalis tegi EfTEN United Property Fund investoritele väljamakse
summas  584 tuhat eurot ehk 23,495 senti ühe osaku kohta. Väljamakse aluseks oli
usaldusfondi  EfTEN  Real  Estate  Fund  5 poolt  EfTEN  United Property Fund'le
makstud  kapitali  tagastus  seoses  Vilniuse  endise  Danske  büroohoone  laenu
refinantseerimisega. Bilansipäeva järgselt kuulutas fond välja 2023. aasta teise
rahalise  väljamakse summas  452 tuhat eurot  ehk 18,179 senti  ühe osaku kohta.
Seega  teeb  fond  2023. aasta  I  poolaastal  investoritele  väljamakseid kokku
ligikaudu 4,5% fondi osaku turuhinnast.

2023. aasta  I  kvartalis  EfTEN  United  Property  Fund uusi investeeringuid ei
teinud.   Fond   suurendas  Uus-Järveküla  arenduse  rahastamiseks  antud  laenu
ligikaudu miljoni euro võrra. See on seotud arenduse osade infrastruktuuri tööde
ajas  ettepoole  toomisega.  Koos  Uus-Järveküla  OÜ poolt bilansipäeva järgselt
võetud  pangalaenuga on  arenduse esimese  etapi kodude  ja infrastruktuuri ning
osaliselt ka järgnevate etappide infrastruktuuri arendus rahastatud.


Koondkasumiaruanne

                                                                    +----------+
                                                                    |I kvartal |
                                                                    +-----+----+
                                                                    |2023 |2022|
+-------------------------------------------------------------------+-----+----+
|EUR tuhandetes                                                       |     |    |
+-------------------------------------------------------------------+-----+----+
|Tulud                                                              |     |    |
+-------------------------------------------------------------------+-----+----+
|Intressitulu                                                       |  106|  61|
+-------------------------------------------------------------------+-----+----+
|Dividenditulud                                                     |   23|   0|
+-------------------------------------------------------------------+-----+----+
|Neto kasum / kahjum õiglases väärtuses muutusega läbi              |     |    |
|koondkasumiaruande kajastatud varadelt                             |  -73|  95|
+-------------------------------------------------------------------+-----+----+
|   Tütarettevõtetelt                                               |   28| -21|
+-------------------------------------------------------------------+-----+----+
|   Alusfondidelt                                                   | -101| 115|
+-------------------------------------------------------------------+-----+----+
|Tulud kokku                                                        |   56| 156|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Kulud                                                              |     |    |
+-------------------------------------------------------------------+-----+----+
|Tegevuskulud                                                       |     |    |
+-------------------------------------------------------------------+-----+----+
|Valitsemistasud                                                    |  -27| -17|
+-------------------------------------------------------------------+-----+----+
|Fondi administreerimise kulud                                      |  -63|  -8|
+-------------------------------------------------------------------+-----+----+
|Muud tegevuskulud                                                  |    0| -11|
+-------------------------------------------------------------------+-----+----+
|Tegevuskulud kokku                                                 |  -90| -35|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Ärikasum                                                           |  -34| 121|
+-------------------------------------------------------------------+-----+----+
|ARUANDEAASTA KOONDKASUM KOKKU                                      |  -34| 121|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Tava- ja lahustatud kasum / -kahjum osaku kohta (eurodes)          |-0,01|0,07|
+-------------------------------------------------------------------+-----+----+



Finantsseisundi aruanne

                                                         +----------+----------+
                                                         |31.03.2023|31.03.2022|
+--------------------------------------------------------+----------+----------+
|EUR tuhandetes                                            |          |          |
+--------------------------------------------------------+----------+----------+
|VARAD                                                   |          |          |
+--------------------------------------------------------+----------+----------+
|Käibevarad                                              |          |          |
+--------------------------------------------------------+----------+----------+
|Raha ja raha ekvivalendid                               |     5 306|     8 769|
+--------------------------------------------------------+----------+----------+
|Muud nõuded ja viitlaekumised                           |       489|       385|
+--------------------------------------------------------+----------+----------+
|Käibevarad kokku                                        |     5 795|     9 154|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Põhivarad                                               |          |          |
+--------------------------------------------------------+----------+----------+
|Finantsvarad õiglases väärtuses muutusega läbi tulude ja|          |          |
|kulude aruande                                          |    12 870|    12 942|
+--------------------------------------------------------+----------+----------+
|   Tütarettevõtted                                      |     1 180|     1 152|
+--------------------------------------------------------+----------+----------+
|   Kinnisvarafondid                                     |    11 690|    11 790|
+--------------------------------------------------------+----------+----------+
|Antud laenud                                            |     6 395|     5 376|
+--------------------------------------------------------+----------+----------+
|Pikaajaline nõue                                        |     1 795|         0|
+--------------------------------------------------------+----------+----------+
|Põhivarad kokku                                         |    21 060|    18 318|
+--------------------------------------------------------+----------+----------+
|VARAD KOKKU                                             |    26 855|    27 472|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|KOHUSTUSED                                              |          |          |
+--------------------------------------------------------+----------+----------+
|Lühiajalised kohustused                                 |         2|       586|
+--------------------------------------------------------+----------+----------+
|Kohustused kokku, v.a osakuomanikele kuuluv fondi vara  |          |          |
|puhasväärtus                                            |         2|       586|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|FONDI VARA PUHASVÄÄRTUS                                 |          |          |
+--------------------------------------------------------+----------+----------+
|Osakuomanikele kuuluv fondi vara puhasväärtus           |    26 853|    26 886|
+--------------------------------------------------------+----------+----------+
|Kohustused ja osakuomanikele kuuluv fondi vara          |          |          |
|puhasväärtus kokku                                      |    26 855|    27 472|
+--------------------------------------------------------+----------+----------+


EfTEN    United    Property    Fund   2023. aasta   I   kvartali   auditeerimata
majandustulemused   on   lisatud   käesolevate   teatele   ja   leitavad   fondi
kodulehel: https://eftenunitedpropertyfund.ee/aruanded-ja-dokumendid/
(https://www.globenewswire.com/Tracker?data=OvU2fwoN4R14CJUyXBaeWXmM7gW23UtDouWC
5GRgnsjcFSzlG8xHnufJP1xUC8kbA2iexZe5hRbo-
8C6ShC4fMgl2bMDn_rZ0glG32zrqKXLrC5Dr87VCYBC9K6orYABNHhhyxslESkG66UHjXaaA0qyGb84H
unJGfkRLfamzkaovhkIMMCLLR7RqV8lpSJK)


Kristjan Tamla
Tegevjuht
Tel: 655 9515
E-post: [email protected]
(https://www.globenewswire.com/Tracker?data=C5MOsBMr1QyTc8M3I44z6ZZJjv0wR-
DxDOCekRFO9_ScaQpXDNnSUp3hbHVGdvZm_ivMt2X62bHVJt35fpdyvFPiME7Ow-rZxPXzL5hzyvc=)

Teate sisu inglise keeles

Pealkiri

Correction: EfTEN United Property Fund unaudited financial results for 1st quarter of 2023

Teade

Correction:  The unaudited  financial report  of EfTEN  United Property Fund for
1st quarter 2023 has been added to the release

The corrected notice reads as following:

EfTEN  United Property Fund earned a net  loss of 34 thousand euros in the first
quarter of 2023 (2022 first quarter: 121 thousand euros of net profit). The loss
results  from a change in investment valuation principles - following the merger
of  EfTEN Kinnisvarafond AS with the listed  fund EfTEN Real Estate Fund III AS,
the  value of the shares of the joint fund EfTEN Real Estate Fund AS is recorded
according  to  the  stock  market  price  (previously,  the  value  was recorded
according to the net asset value of the share). If the previous valuation method
was  used, EfTEN United Property  Fund would have made  a profit of 270 thousand
euros in the 1st quarter.

As of the end of the first quarter of 2023, the volume of assets of EfTEN United
Property  Fund was 26,855 thousand euros (31.12.2022: 27,472 thousand euros), of
which 72% are long-term investments as of the end of March (31.12.2022: 67%).

In  the first quarter of 2023, EfTEN United Property Fund made a distribution to
investors  in the  amount of  584 thousand euros,  or 23.495 cents per unit. The
distribution  was based on the return of capital paid by the limited partnership
fund  of EfTEN Real  Estate Fund 5 to  EfTEN United Property  Fund in connection
with  the  refinancing  of  the  loan  of  the  former Danske office building in
Vilnius.  After the  balance sheet  date, the  fund announced  the second income
distribution  for 2023 in the  amount of 452 thousand  euros or 18.179 cents per
unit.  Thus, in  the first  half of  2023, the fund  will pay out to investors a
total of approximately 4.5% of the market price of the fund's unit.

In  the first quarter of  2023, EfTEN United Property Fund  did not make any new
investments.  The fund  increased the  loan granted  to finance  the residential
development  at  Uus-Järveküla  by  approximately  one  million  euros. This was
related  to infrastructure construction works at Uus-Järveküla development which
are  being carried out  earlier than previously  planned. Together with the bank
loan  taken by Uus-Järveküla OÜ after the balance sheet date, the development of
the  homes  and  infrastructure  of  the  first  stage  of  the development, and
partially  also  the  infrastructure  of  the  subsequent stages, has been fully
financed.


Statement of the comprehensive income

                                                                    +----------+
                                                                    |    q1    |
                                                                    +-----+----+
                                                                    |2023 |2022|
+-------------------------------------------------------------------+-----+----+
|EUR thousand                                                         |     |    |
+-------------------------------------------------------------------+-----+----+
|Income                                                             |     |    |
+-------------------------------------------------------------------+-----+----+
|Interest income                                                    |  106|  61|
+-------------------------------------------------------------------+-----+----+
|Dividend income                                                    |   23|   0|
+-------------------------------------------------------------------+-----+----+
|Net profit / loss from assets recognised in fair value through     |     |    |
|profit or loss                                                     |  -73|  95|
+-------------------------------------------------------------------+-----+----+
|   Investments in subsidiaries                                     |   28| -21|
+-------------------------------------------------------------------+-----+----+
|   Underlying Funds                                                | -101| 115|
+-------------------------------------------------------------------+-----+----+
|Total income                                                       |   56| 156|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Costs                                                              |     |    |
+-------------------------------------------------------------------+-----+----+
|Operating expenses                                                 |     |    |
+-------------------------------------------------------------------+-----+----+
|Management fee                                                     |  -27| -17|
+-------------------------------------------------------------------+-----+----+
|Costs of administering the Fund                                    |  -63|  -8|
+-------------------------------------------------------------------+-----+----+
|Other operating expenses                                           |    0| -11|
+-------------------------------------------------------------------+-----+----+
|Total operating expenses                                           |  -90| -35|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Operating profit                                                   |  -34| 121|
+-------------------------------------------------------------------+-----+----+
|TOTAL CONSOLIDATED PROFIT FOR THE REPORTING YEAR                   |  -34| 121|
+-------------------------------------------------------------------+-----+----+
|                                                                   |     |    |
+-------------------------------------------------------------------+-----+----+
|Ordinary and diluted profit / loss per share (EUR)                 |-0,01|0,07|
+-------------------------------------------------------------------+-----+----+



Statement of financial position

                                                         +----------+----------+
                                                         |31.03.2023|31.03.2022|
+--------------------------------------------------------+----------+----------+
|EUR thousand                                              |          |          |
+--------------------------------------------------------+----------+----------+
|ASSETS                                                  |          |          |
+--------------------------------------------------------+----------+----------+
|Current assets                                          |          |          |
+--------------------------------------------------------+----------+----------+
|Cash and cash equivalents                               |     5 306|     8 769|
+--------------------------------------------------------+----------+----------+
|Other receivables and accrued income                    |       489|       385|
+--------------------------------------------------------+----------+----------+
|Total current assets                                    |     5 795|     9 154|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Non- current assets                                     |          |          |
+--------------------------------------------------------+----------+----------+
|Financial assets at fair value through profit or loss   |    12 870|    12 942|
+--------------------------------------------------------+----------+----------+
|   Investments in subsidiaries                          |     1 180|     1 152|
+--------------------------------------------------------+----------+----------+
|   Investment Funds                                     |    11 690|    11 790|
+--------------------------------------------------------+----------+----------+
|Loans granted                                           |     6 395|     5 376|
+--------------------------------------------------------+----------+----------+
|Long-term receivable                                    |     1 795|         0|
+--------------------------------------------------------+----------+----------+
|Total non-current assets                                |    21 060|    18 318|
+--------------------------------------------------------+----------+----------+
|TOTAL ASSETS                                            |    26 855|    27 472|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|LIABILITIES                                             |          |          |
+--------------------------------------------------------+----------+----------+
|Current liabilities                                     |         2|       586|
+--------------------------------------------------------+----------+----------+
|Total liabilities, excluding net asset value of the Fund|          |          |
|attributable to shareholders                            |         2|       586|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|NET ASSET VALUE OF THE FUND                             |          |          |
+--------------------------------------------------------+----------+----------+
|Net asset value of the Fund attributable to shareholders|    26 853|    26 886|
+--------------------------------------------------------+----------+----------+
|Total liabilities and net asset value of the Fund       |          |          |
|attributable to shareholders                            |    26 855|    27 472|
+--------------------------------------------------------+----------+----------+



The  unaudited 1(st) quarter 2023 report  of the  EfTEN United  Property Fund is
attached    to    the    release    and    can    be   found   on   the   fund's
website: https://eftenunitedpropertyfund.ee/en/reports-documents/
(https://www.globenewswire.com/Tracker?data=OvU2fwoN4R14CJUyXBaeWXmM7gW23UtDouWC
5GRgnshS_i1dUVZ6RLTJeGpXx8oiqGvao7d7gvqJ3-
jsMFqj_ytfZosVPCWsTCdYTr0x4do4ay_ixevoLiaMaF7z5Y4r-
HKawbHTpZQmpgcrPQ3mzMCjbMJgq7HaUDXbh2uf1IV2cBXQEqyKOHtIiIY8RC9g)


Kristjan Tamla
Managing Director
Phone 655 9515
E-mail: [email protected]
(https://www.globenewswire.com/Tracker?data=C5MOsBMr1QyTc8M3I44z6ZZJjv0wR-
DxDOCekRFO9_Q_TYb0-uJhkzdkFIR3fFl3nyOXOJaVmpieXkGx_kLc3k0vTBkSOiUHUrQ0kQbAt4k=)