Börsiteade
AS Ekspress Grupp
LEI kood
529900B52V1TUMW7FS54
Emitendi suuruskategooria
Suur kontsern
Majandustegevusalad
Kutse-, teadus- ja tehnikaalane tegevus
Emitendi registreeritud asukoht
Eesti
Üldandmed
Kategooriad
Poolaastaaruanne
Teate ID
10506
Manused
Esitamise kuupäev ja aeg
28.07.2023 08:00:00
Teate sisu eesti keeles
Pealkiri
AS Ekspress Grupp: 2023. aasta II kvartali ja 6 kuu konsolideeritud auditeerimata vahearuanne
Teade
ASi Ekspress Grupp 2023. aasta II kvartali müügitulu kasvas 13%, ulatudes 18,5
miljoni euroni ja EBITDA 8% 2,4 miljoni euroni. 2023. aasta 6 kuu müügitulu
kasvas 18% võrdluses eelmise aastaga 35,3 miljoni euroni ning EBITDA 25% 3,6
miljoni euroni. Kontserni II kvartali puhaskasum oli 0,6 miljonit eurot ja I
poolaasta vaates kokku 0,2 miljonit eurot, mis kahanes võrreldes eelmise aasta
sama perioodiga 71%. Juuni lõpus moodustas digitaalsete tulude osakaal 82%
kontserni kogukäibest. Digitaalsed tulud kasvasid 28% võrreldes eelmise aasta
sama perioodiga.
Kontsern oli jätkuvalt edukas müügimahtude kasvatamisel nii reklaamis kui
digitellimustes. II kvartal oli edukas nii turuosa suurenemisel reklaamis kui ka
keskmise hinna kasvatamisel digitellimustes. Kontserni II kvartali müügitulu
tegi tugeva kasvu ja suurenes 13% võrreldes eelmise aasta sama perioodiga. I
poolaasta vaates kasvasid müügitulud kokku 18%. Kui poolaasta müügitulust jätta
välja 2022. aasta II poolaastal Leedus tehtud ostud (uudisteportaal Lrytas ja
uudisteagentuur ELTA), kujunes I poolaastal müügitulu kasvuks 12%. Reklaamimüügi
tulu oli tugev Eestis ja Leedus, kus turg on siiani olnud stabiilne ning jäänud
vähemalt eelmise aasta mahtude tasemele.
Lätis vähenes turu kogumaht ja ka Ekspress Grupi Lätist teenitud reklaamitulu
jääb eelmisele aastale ca 4% alla. Antud vähenemist on kompenseerinud
piletiplatvormi ja digiekraanide müügitulu kasv. Grupi opereeritav
piletiplatvorm vahendas edukalt Riias toimunud juubelilaulupeo pileteid, mis
suurendasid nii müüdud piletite arvu kui ettevõtte käivet.
Inflatsiooniline keskkond ja kõrge intressitase suurendavad riske 2023. aasta II
poolaasta reklaamitulude suhtes kõigis Balti riikides.
ASi Ekspress Grupp digitaalsete tellimuste hulk kasvas võrreldes eelmise aasta
sama perioodiga Balti riikides kokku 24% (II kvartalis 9%, I poolaastas 20%) ja
ulatus juuni lõpus 175,4 tuhande tellimuseni. Kontserni digitellimuste arv
jätkas I poolaastal kiiret kasvu ja moodustab järjest olulisema osa kontserni
tulubaasist. Viimase aastaga on kontsern Balti riikides juurde saanud ligi
34 000 digitellimusega lugejat ehk 24% rohkem kui eelmise aasta juuni lõpus.
Kontserni digitaalne tulubaas põhineb üha enam digitellimuste müügitulul. Oleme
tugevdanud grupi meediaettevõtete poolt pakutava sisu kvaliteeti ja mahtu, et
olla kõigis Balti riikides liider digitellimuste valdkonnas. Kontsern liigub oma
strateegiliste finantseesmärkide suunas ja soovib aastaks 2026 pakkuda
digitaalset tasulist sisu vähemalt 340 000 tellijale.
Ekspress Grupi kasum enne intresse makse, kulumit ja amortisatsiooni (EBITDA)
oli II kvartalis 2,4 miljonit eurot, kasvades 8%. I poolaasta EBITDA oli 3,6
miljonit eurot, kavades 25%. Kasumlikkust on peamiselt aidanud tõsta
veebireklaami ja digitellimuste edukas müük Eestis ja Leedus ning
piletimüügiplatvormide ja digitaalsete väliekraanide mahtude kasv.
2023. aasta I poolaasta puhaskasumiks kujunes 0,2 miljonit eurot, olles 71%
madalam võrreldes eelmise aastaga. Koos ühekordsete erakorraliste kuludega
teenis kontsern I poolaasta tulemusena kahjumit summas -0,1 miljonit eurot.
Puhaskasumi vähenemist mõjutavad peamiselt Express Postiga seotud ühekordsed
sulgemiskulud ja I poolaasta kahjumlik äritegevus kokku summas -0,6 miljonit
eurot. I poolaastaga on kojukandeteenus Express Postis lõpetatud ning
ühekordseid likvideerimiskulusid ja kahjumlikku tegevust kontserni järgmistes
kvartalites enam ei kajastu. Lisaks on puhaskasumi taset mõjutanud Euribori
tõusuga kasvanud intressimäärad ja kontserni investeeringutest tulenev
amortisatsioonikulu kasv. Intressikulude negatiivne mõju on kahekordne ja
avaldas I poolaasta tulemustes mõju 0,3 miljoni eurose lisakuluna.
Kontserni likviidsus on hea ja peame oluliseks likviidsusreservide hoidmist nii
võimalike uute ostude tarbeks, kui ka majanduse võimaliku jahtumise olukorraks.
30. juuni 2023 seisuga oli kontsernil rahalisi vahendeid 6,1 miljonit eurot
(31.12.2022: 7,4 miljonit eurot). I poolaasta jooksul on kontsern ostnud tagasi
aktsiad kokku 1 miljoni euro eest ning maksnud aktsionäridele dividende summas
1,5 miljonit eurot. Seega on kontsern 2023. aasta I poolaasta jooksul teinud
aktsionäridele väljamakseid kokku 2,5 miljoni euro ulatuses.
II KVARTALI JA 6 KUU TULEMUSED
MÜÜGITULU
2023. aasta II kvartali konsolideeritud müügitulu oli 18,5 miljonit eurot (II
kvartal 2022: 16,4 miljonit eurot). II kvartali müügitulu suurenes 13% võrreldes
eelmise aastaga. 2023. aasta I poolaasta konsolideeritud müügitulu oli 35,3
miljonit eurot (I poolaasta 2022: 29,8 miljonit eurot). I poolaasta müügitulu
suurenes 18% võrreldes eelmise aastaga. Kasvu taga on nii veebi reklaamitulud
kui digitellimuste tulud. Kontserni digitaalsete tulude osakaal moodustas 2023.
aasta I poolaasta lõpus 82% kogukäibes (2022. aasta I poolaasta lõpp: 76%
kogukäibes). 2023. aasta I poolaasta digitaalsed tulud suurenesid 28% võrreldes
eelmise aasta sama perioodiga.
KASUMLIKKUS
2023. aasta II kvartali konsolideeritud EBITDA oli 2,4 miljonit eurot (II
kvartal 2022: 2,2 miljonit eurot). EBITDA kasvas 8% võrreldes eelmise aastaga
ning EBITDA marginaal oli 13% (II kvartal 2022: 14%). 2023. aasta I poolaasta
konsolideeritud EBITDA oli 3,6 miljonit eurot (I poolaasta 2022: 2,8 miljonit
eurot). EBITDA kasvas 25% võrreldes eelmise aastaga ning EBITDA marginaal oli
10% (I poolaasta 2022: 9%). Kasumlikkust on aidanud tõsta veebireklaami ja
digitellimuste edukas müük Eestis ja Leedus ning piletimüügiplatvormide ja
digitaalsete väliekraanide mahtude kasvud.
2023. aasta II kvartali konsolideeritud puhaskasum oli 0,6 miljonit eurot (II
kvartal 2022: 1,3 miljonit eurot). 2023. aasta I poolaasta konsolideeritud
puhaskasum ilma erakorraliste kuludeta oli 0,2 miljonit eurot (I poolaasta
2022: 0,8 miljonit eurot). 2023. aasta I poolaasta puhaskasum vähenes 71%
võrreldes eelmise aastaga. Koos erakorraliste kuludega oli 2023. aasta I
poolaasta konsolideeritud puhaskahjum -0,1 miljonit eurot. Puhaskasumi
vähenemist mõjutavad peamiselt Euribori tõusuga kasvanud intressimäärad ja
kontserni investeeringutest tulenev amortisatsioonikulu kasv. Intressikulude
negatiivne mõju on kahekordne ja avaldab I poolaasta tulemustes mõju 0,3 miljoni
eurose lisakuluna. I poolaasta tulemusi mõjutasid ka ASi Express Post
kojukandeteenuste sulgemisega seotud ühekordsed kulud summas 0,3 miljonit eurot
ja ühisettevõtte I poolaasta tulemustelt teenitud 0,3 miljoni euro võrra kõrgem
tegevuskahjum. Seega Express Posti kahjumliku tegevuse ja likvideerimise
negatiivne mõju kontserni puhakasumile on 0,6 miljoni euro võrra kõrgem kui
eelmise aasta samal perioodil. I poolaastaga on kojukandeteenus Express Postis
lõpetatud ning kontsern täiendavat kahjumit antud valdkonnast II poolaastal ei
teeni.
2022. aasta I poolaasta puhaskasumile avaldas ühekordset positiivset mõju summas
0,2 miljonit eurot Bi?eshu Parad?ze ostuga seotud lõpposamakse ümberhindlusest
tekkinud kasum.
KULUD
2023. aasta I poolaasta müüdud kaupade kulu, turundus- ja üldhalduskulud kokku
moodustasid 34,0 miljonit eurot (I poolaasta 2022: 29,2 miljonit eurot).
Tegevuskulud suurenesid 4,8 miljonit eurot (+17%) võrreldes eelmise aasta sama
perioodiga. Suurima kasvu moodustab tööjõukulude kasv summas 2,9 miljonit eurot
(+18%).
2023. aasta I poolaastas oli kontsernis keskmiselt 974 töötajat, mis on 112
töötajat rohkem võrreldes eelmise aasta sama perioodiga (I poolaasta 2022: 862
töötajat). Kasvu taga olevad 88 töötajat on lisandunud läbi ettevõtete ostude,
sh 2022. aasta mais omandatud ELTA uudiste agentuur Leedus ja 2022. aasta
detsembris omandatud uudisteportaali lrytas.lt arvelt. 24 töötajat lisandus
teistes ettevõtetes Eestis, Lätis ja Leedus.
RAHAPOSITSIOON
Aruandeperioodi lõpus oli kontsernil vabu rahalisi vahendeid 6,1 miljonit eurot
ja omakapitali 53,1 miljonit eurot (51% bilansimahust). Võrreldavad andmed
2022. aasta 30. juuni seisuga olid vastavalt 6,8 miljonit eurot ja 52,1 miljonit
eurot (56% bilansimahust). Seisuga 30. juuni 2023 oli kontserni netovõlg 14,7
miljonit eurot (30. juuni 2022: 10,5 miljonit eurot).
2023. aasta I poolaasta kontserni rahavood äritegevusest olid 4,4 miljonit eurot
(I poolaasta 2022: 2,6 miljonit eurot), mida mõjutasid positiivselt nii Eestis
kui Lätis piletimüügi platvormid. Läti piletimüügiplatvormi müügiaktiivsus on
taastunud ning tulenevalt kõrgematest piletihindadest parem võrreldes koroona
eelsele perioodile.
2023. aasta I poolaasta kontserni rahavood investeerimistegevusest olid -1,5
miljonit eurot (I poolaasta 2022: -3,6 miljonit eurot), millest -1,2 miljonit
eurot oli seotud materiaalse ja immateriaalse põhivara arendamise ja
soetamisega, mis näitab suurenenud investeeringud toodetesse ja tehnoloogiasse.
I poolaastas investeeris kontsern uutesse LED ekraanidesse -0,9 miljonit eurot,
mis on finantseeritud kapitalirendiga.
2023. aasta I poolaasta kontserni rahavood finantseerimistegevusest olid -4,3
miljonit eurot (I poolaasta 2022: -3,1 miljonit eurot), millest -1,0 miljonit
eurot moodustab omaaktsiate tagasiostmine ja -1,5 miljonit eurot dividendimakse
ASi Ekspress Grupp aktsionäridele. Finantseerimistegevused sisaldavad samuti
netomuutust laenukohustustes -0,8 miljonit eurot ja rendikohustustes -0,9
miljonit eurot.
AKTSIATE TAGASIOST JA DIVIDENDID
Aktsiate tagasiostuprogrammi raames ostis AS Ekspress Grupp 9.märtsil 2023
tagasi 588 235 aktsiat hinnaga 1,70 eurot aktsia kohta kogusummas 1,0 miljonit
eurot.
4. mail 2023. aastal toimunud ASi Ekspress Grupp aktsionäride korralisel
üldkoosolekul otsustati maksta dividendi 5 eurosenti aktsia kohta kogusummas
1,49 miljonit eurot. Dividendid maksti aktsionäridele välja 24. mail 2023.
aastal.
SEGMENTIDE ÜLEVAADE
Segmentide peamised finantsnäitajad
(tuhandetes EUR) Müügitulu
II kv II kv Muutus I pa I pa Muutus 12 kuud
2023 2022 % 2023 2022 % 2022
Meediasegment 18 766 16 062 17% 35 634 29 144 22% 62 690
reklaam 11 124 9 562 16% 20 805 17 402 20% 37 613
tellimused (sh
üksikmüük) 4 658 4 050 15% 9 219 7 936 16% 16 819
turuplatsid 603 475 27% 1 239 828 50% 2 232
väliekraanid 837 637 31% 1 526 1 039 47% 2 396
muud müügitulud 1 543 1 338 15% 2 845 1 938 47% 3 630
Kesksed tegevused 1 081 1 090 -1% 2 308 2 182 6% 4 500
Segmentidevahelised
elimineerimised (1 320) (743) (2 658) (1 490) (3 050)
KONTSERN KOKKU 18 528 16 409 13% 35 283 29 836 18% 64 141
sh tulu kõikidest
digitaalsetest
kanalitest 15 412 12 494 23% 28 796 22 580 28% 49 928
% tulu kõikidest
digitaalsetest
kanalitest 83% 76% 82% 76% 78%
(tuhandetes EUR) EBITDA
II kv II kv I pa I pa Muutus 12 kuud
2023 2022 Muutus % 2023 2022 % 2022
Meediasegment 2 643 2 501 6% 4 121 3 394 21% 10 183
Kesksed tegevused (240) (261) 8% (561) (491) -14% (1 122)
Segmentidevahelised
elimineerimised (4) (24) (8) (70) (171)
KONTSERN KOKKU 2 399 2 216 8% 3 552 2 832 25% 8 891
EBITDA marginaal II kv 2023 II kv 2022 I pa 2023 I pa 2022 12 kuud 2022
Meediasegment 14% 16% 12% 12% 16%
KONTSERN KOKKU 13% 14% 10% 9% 14%
Konsolideeritud bilanss (auditeerimata)
(tuhandetes EUR) 30.06.2023 31.12.2022
------------------------------------------------------------------------------
VARAD
------------------------------------------------------------------------------
Käibevara
------------------------------------------------------------------------------
Raha ja raha ekvivalendid 6 111 7 448
------------------------------------------------------------------------------
Nõuded ostjatele ja muud nõuded 17 298 11 661
------------------------------------------------------------------------------
Ettevõtte tulumaksu nõuded 144 49
------------------------------------------------------------------------------
Varud 259 286
------------------------------------------------------------------------------
Käibevara kokku 23 813 19 444
------------------------------------------------------------------------------
Põhivara
------------------------------------------------------------------------------
Muud nõuded ja investeeringud 1 580 1 580
------------------------------------------------------------------------------
Edasilükkunud tulumaksu vara 69 60
------------------------------------------------------------------------------
Investeeringud ühisettevõtetesse 690 1 017
------------------------------------------------------------------------------
Investeeringud sidusettevõtetesse 2 030 2 279
------------------------------------------------------------------------------
Materiaalne põhivara 9 165 8 736
------------------------------------------------------------------------------
Immateriaalne põhivara 66 982 66 720
------------------------------------------------------------------------------
Põhivara kokku 80 517 80 392
------------------------------------------------------------------------------
VARAD KOKKU 104 330 99 836
------------------------------------------------------------------------------
KOHUSTUSED
------------------------------------------------------------------------------
Lühiajalised kohustused
------------------------------------------------------------------------------
Võlakohustused 2 558 3 393
------------------------------------------------------------------------------
Võlad tarnijatele ja muud võlad 25 734 19 004
------------------------------------------------------------------------------
Ettevõtte tulumaksu kohustused 82 25
------------------------------------------------------------------------------
Lühiajalised kohustused kokku 28 375 22 422
------------------------------------------------------------------------------
Pikaajalised kohustused
------------------------------------------------------------------------------
Pikaajalised võlakohustused 22 852 21 948
------------------------------------------------------------------------------
Muud pikaajalised kohustused 41 43
------------------------------------------------------------------------------
Pikaajalised kohustused kokku 22 893 21 991
------------------------------------------------------------------------------
KOHUSTUSED KOKKU 51 268 44 413
------------------------------------------------------------------------------
OMAKAPITAL
------------------------------------------------------------------------------
Vähemusosalus 0 147
------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv kapital ja reservid:
------------------------------------------------------------------------------
Aktsiakapital 18 478 18 478
------------------------------------------------------------------------------
Ülekurss 14 277 14 277
------------------------------------------------------------------------------
Omaaktsiad (1 057) (334)
------------------------------------------------------------------------------
Reservid 2 275 2 059
------------------------------------------------------------------------------
Jaotamata kasum 19 089 20 796
------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv kapital ja reservid kokku 53 062 55 276
------------------------------------------------------------------------------
OMAKAPITAL KOKKU 53 062 55 423
------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 104 330 99 836
------------------------------------------------------------------------------
Konsolideeritud koondkasumiaruanne (auditeerimata)
12 kuud
(tuhandetes EUR) II kv 2023 II kv 2022 I pa 2023 I pa 2022 2022
-------------------------------------------------------------------------------
Müügitulu 18 528 16 409 35 283 29 836 64 141
-------------------------------------------------------------------------------
Müüdud toodangu kulu (14 107) (12 407) (27 748) (23 441) (48 185)
-------------------------------------------------------------------------------
Brutokasum 4 422 4 002 7 535 6 395 15 956
-------------------------------------------------------------------------------
Muud äritulud 110 198 181 317 789
-------------------------------------------------------------------------------
Turunduskulud (791) (783) (1 362) (1 437) (2 979)
-------------------------------------------------------------------------------
Üldhalduskulud (2 376) (2 170) (4 927) (4 317) (8 823)
-------------------------------------------------------------------------------
Muud ärikulud (120) (43) (140) (85) (146)
-------------------------------------------------------------------------------
Ärikasum /(-kahjum) 1 245 1 205 1 287 873 4 797
-------------------------------------------------------------------------------
Intressitulud 10 9 19 19 36
-------------------------------------------------------------------------------
Intressikulud (347) (178) (677) (347) (738)
-------------------------------------------------------------------------------
Muud finantstulud/(kulud) (11) 210 (21) 197 179
-------------------------------------------------------------------------------
Kokku finantstulud/(-
kulud) (347) 41 (679) (131) (523)
-------------------------------------------------------------------------------
Kasum/(kahjum)
ühisettevõtete aktsiatelt
ja osadelt (242) (87) (795) (220) (242)
-------------------------------------------------------------------------------
Kasum/(kahjum)
sidusettevõtete
aktsiatelt ja osadelt 2 143 130 273 325
-------------------------------------------------------------------------------
Kasum /(kahjum) enne
tulumaksustamist 658 1 302 (57) 794 4 357
-------------------------------------------------------------------------------
Tulumaks (46) (31) (62) (36) (302)
-------------------------------------------------------------------------------
Aruandeperioodi kasum
/(kahjum) 612 1 271 (118) 759 4 055
-------------------------------------------------------------------------------
Aruandeperioodi kasum /(kahjum), mis on omistatav
-------------------------------------------------------------------------------
Emaettevõtte
aktsionäridele 613 1 272 (120) 761 4 048
-------------------------------------------------------------------------------
Vähemusosalusele (1) (1) 2 (2) 7
-------------------------------------------------------------------------------
Koondkasum /(-kahjum)
kokku 612 1 271 (118) 759 4 055
-------------------------------------------------------------------------------
Aruandeperioodi koondkasum /(kahjum), mis on omistatav
-------------------------------------------------------------------------------
Emaettevõtte
aktsionäridele 613 1 272 (120) 761 4 048
-------------------------------------------------------------------------------
Vähemusosalusele (1) (1) 2 (2) 7
-------------------------------------------------------------------------------
Puhaskasum (-kahjum) aktsia kohta (eurodes)
-------------------------------------------------------------------------------
Tavakasum /(-kahjum)
aktsia kohta 0,0205 0,0419 (0,0040) 0,0251 0,1335
-------------------------------------------------------------------------------
Lahustunud kasum
/(kahjum)
aktsia kohta 0,0199 0,0405 (0,0039) 0,0242 0,1294
-------------------------------------------------------------------------------
Konsolideeritud rahavoogude aruanne (auditeerimata)
12 kuud
(tuhandetes EUR) I pa 2023 I pa 2022 2022
-------------------------------------------------------------------------------
Rahavood äritegevusest
-------------------------------------------------------------------------------
Aruandeperioodi ärikasum /(-kahjum) 1 287 873 4 797
-------------------------------------------------------------------------------
Korrigeerimised (mitterahalised):
-------------------------------------------------------------------------------
Põhivara kulum 2 265 1 959 4 084
-------------------------------------------------------------------------------
(Kasum)/ kahjum põhivara müügist, mahakandmisest
ja väärtuse langusest (4) 2 29
-------------------------------------------------------------------------------
Aktsiaoptsiooni väärtuse muutus 16 18 29
-------------------------------------------------------------------------------
Äritegevuse rahavood:
-------------------------------------------------------------------------------
Äritegevusega seotud nõuete ja ettemaksete muutus (5 409) (1 385) (1 939)
-------------------------------------------------------------------------------
Varude muutus 26 (27) (9)
-------------------------------------------------------------------------------
Äritegevusega seotud kohustuste ja ettemaksete
muutus 6 885 1 572 2 188
-------------------------------------------------------------------------------
Makstud ettevõtte tulumaks (108) (262) (401)
-------------------------------------------------------------------------------
Makstud intressid (540) (181) (767)
-------------------------------------------------------------------------------
Rahavood äritegevusest kokku 4 420 2 569 8 011
-------------------------------------------------------------------------------
Rahavood investeerimistegevusest
-------------------------------------------------------------------------------
Tütar- ja sidusettevõtete ning muude
investeeringute ost (miinus omandatud sularaha)/
sissemaksed kapitaliosaluse meetodil arvestatud
investeeringutesse (949) (1 971) (7 632)
-------------------------------------------------------------------------------
Laekumised muudest investeeringutest 13 10 10
-------------------------------------------------------------------------------
Saadud intressid 2 1 2
-------------------------------------------------------------------------------
Materiaalse ja immateriaalse põhivara soetamine (1 232) (2 335) (3 748)
-------------------------------------------------------------------------------
Materiaalse ja immateriaalse põhivara müük 3 40 66
-------------------------------------------------------------------------------
Antud laenud 0 (30) (30)
-------------------------------------------------------------------------------
Antud laenude tagasimaksed 0 86 86
-------------------------------------------------------------------------------
Saadud dividendid 674 601 601
-------------------------------------------------------------------------------
Rahavood investeerimistegevusest kokku (1 489) (3 598) (10 645)
-------------------------------------------------------------------------------
Rahavood finantseerimistegevusest
-------------------------------------------------------------------------------
Makstud dividendid (1 488) (2 425) (2 425)
-------------------------------------------------------------------------------
Rendikohustuse põhiosa tagasimaksed (940) (851) (1 751)
-------------------------------------------------------------------------------
Saadud laenud / Laenude tagasimaksed (840) 136 3 296
-------------------------------------------------------------------------------
Tasutud omaaktsiate tagasiostmisel (1 000) 0 0
-------------------------------------------------------------------------------
Rahavood finantseerimistegevusest kokku (4 268) (3 140) (880)
-------------------------------------------------------------------------------
RAHA JA RAHA EKVIVALENTIDE MUUTUS (1 337) (4 169) (3 514)
-------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi alguses 7 448 10 962 10 962
-------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi lõpus 6 111 6 793 7 448
-------------------------------------------------------------------------------
Signe Kukin
Kontserni finantsjuht
AS Ekspress Grupp
Tel: +372 669 8381
E-kiri: [email protected] (mailto:[email protected])
AS Ekspress Grupp on Baltimaade juhtiv meediakontsern, mille tegevus hõlmab
veebimeedia sisutootmist ning ajalehtede, ajakirjade ja raamatute kirjastamist.
Samuti haldab kontsern elektroonilist piletimüügiplatvormi ja
piletimüügikohtasid ning pakub väliekraanide teenust Eestis ja Lätis. Ekspress
Grupp alustas oma tegevust 1989. aastal ja annab tööd ligi 1100 inimesele.
Teate sisu inglise keeles
Pealkiri
AS Ekspress Grupp: Consolidated unaudited interim report for Q2 and 6 months of 2023
Teade
The revenue of AS Ekspress Grupp for the 2(nd) quarter of 2023 increased by 13%
to EUR 18.5 million and EBITDA increased by 8% to EUR 2.4 million. The revenue
for the first 6 months of 2023 increased by 18% to EUR 35.3 million and EBITDA
increased by 25% to EUR 3.6 million as compared to last year. The Group's net
profit for the 2(nd) quarter totalled EUR 0.6 million and for the first 6 months
it totalled EUR 0.2 million, decreasing by 71% as compared to the same period
last year. At the end of June, the share of digital revenue was 82% of the
Group's total revenue. Digital revenue increased by 28% as compared to the same
period last year.
The Group continued to be successful in increasing its sales volumes in both
advertising and digital subscriptions. The 2(nd) quarter was successful in terms
of increasing the market share in advertising as well as increasing the average
price of digital subscriptions. The Group's 2(nd) quarter's revenue grew
strongly and increased by 13% as compared to the same period last year. In terms
of the first 6 months of the year, the total revenue increased by 18%. Excluding
from revenue the acquisitions made in Lithuania (news portal Lrytas and news
agency ELTA) in the second half of 2022, revenue growth was 12% in the first 6
months of the year. Advertising revenue was strong in Estonia and Lithuania
where the market has been stable so far and the volumes have remained at the
same level as last year.
In Latvia, the total market volume decreased, and the advertising revenue earned
by Ekspress Group in Latvia is about 4% less than last year. This decrease has
been offset by the increase in sales revenue of the ticket platform and digital
screens. The ticket platform operated by the Group successfully sold the tickets
for the Jubilee Song and Dance Festival held in Riga, which increased both the
number of tickets sold as well as the company's sales.
The inflationary environment and high-interest rates will increase the risks to
advertising revenue in all Baltic States in the second half of the year.
The number of digital subscriptions of AS Ekspress Grupp increased by 24% year-
over-year (Q2: 9%, 6 months: 20%) and totalled 175.4 thousand subscriptions. The
number of the Group's digital subscriptions continued their fast growth in the
first 6 months of the year, making up an increasingly higher share of the
Group's revenue base. The Group has added nearly 34 000 readers with digital
subscriptions in the Baltic States over the last year or 24% more as compared to
the end of June last year. The Group's digital revenue base is increasingly
based on the sales revenue from digital subscriptions. We have strengthened the
quality and volume of content offered by the Group's media companies so as to be
the leader in the field of digital subscriptions in all Baltic States. The Group
is moving towards its strategic financial goals and aims to offer digital paid
content to at least 340 000 subscribers by the year 2026.
The earnings before interest, tax, depreciation and amortisation (EBITDA) of
Ekspress Grupp totalled EUR 2.4 million in the 2(nd) quarter, growing by 8%. The
EBITDA in the first 6 months of the year totalled EUR 3.6 million, increasing by
25%. Profitability was positively impacted by successful sales of online
advertising and digital subscriptions in Estonia and Lithuania, and the volume
growth of ticket sales platforms and digital outdoor screens.
The net profit in the first 6 months of 2023 totalled EUR 0.2 million, which is
71% lower as compared to the previous year. Including one-off extraordinary
expenses, the net loss for the first 6 months of the year totalled EUR -0.1
million. The decrease in net profit is mainly due to the one-off costs related
to the liquidation of the home delivery services of Express Post and its
unprofitable operations in the first 6 months of the year in the total amount of
EUR -0.6 million. The home delivery services of Express Post were liquidated in
the first 6 months of the year and one-off liquidation expenses and unprofitable
operations will no longer incur in the next quarters of the Group. In addition,
the level of net profit has been impacted by higher interest rates resulting
from the increase in the Euribor and higher depreciation expenses resulting from
the Group's investments. The negative impact of interest is twofold and
manifested itself as an additional expense of EUR 0.3 million in the results for
the first 6 months of the year.
The Group's liquidity is solid, and we consider it important to keep liquidity
reserves for possible new acquisitions as well as for the possible economic
cooldown. As of 30 June 2023, the Group's monetary funds totalled EUR 6.1
million (31.12.2022: EUR 7.4 million). In the first 6 months of the year, the
Group repurchased shares in the amount of EUR 1 million and paid dividends to
the shareholders in the amount of EUR 1.5 million. Thus, in the first 6 months
of 2023 the Group made payments to the shareholders in the total amount of EUR
2.5 million.
Q2 AND 6 MONTHS RESULTS
REVENUE
In the 2(nd) quarter of 2023, the consolidated revenue totalled EUR 18.5 million
(Q2 2022: EUR 16.4 million). The revenue for the 2(nd) quarter increased by 13%
year-over-year. The consolidated revenue for the first 6 months of 2023 totalled
EUR 35.3 million (6 months 2022: EUR 29.8 million). The revenue for the first 6
months of the year increased by 18% as compared to the previous year. This
growth was attributable to both online advertising revenue as well as digital
subscription revenue. The share of the Group's digital revenue in total revenue
was 82% in the first 6 months of 2023 (6 months 2022: 76% of total revenue).
Digital revenue for the first 6 months of 2023 increased by 28% as compared to
the same period last year.
PROFITABILITY
In the 2(nd) quarter of 2023, the consolidated EBITDA totalled EUR 2.4 million
(Q2 2022: EUR 2.2 million). EBITDA increased by 8% as compared to last year and
the EBITDA margin was 13% (Q2 2022: 14%). In the first 6 months of 2023, the
consolidated EBITDA totalled EUR 3.6 million (6 months 2022: EUR 2.8 million).
EBITDA increased by 25% as compared to last year and the EBITDA margin was 10%
(6 months 2022: 9%). Profitability has been driven by successful sales of online
advertising and digital subscriptions in Estonia and Lithuania, and the volume
growth or ticket sales platforms and digital outdoor screens.
In the 2(nd) quarter of 2023, the consolidated net profit totalled 0.6 million
(Q2 2022: EUR 1.3 million). In the first 6 months of 2023, the consolidated net
profit, excluding extraordinary expenses, totalled EUR 0.2 million (6 months
2022: EUR 0.8 million). In the first 6 months of 2023, the net profit decreased
by 71% as compared to last year. Including one-off extraordinary expenses, the
net loss for the first 6 months of the year totalled EUR -0.1 million. The
decrease in net profit is mainly due to higher interest rates resulting from the
increase in the Euribor and higher depreciation expenses resulting from the
Group's investments. The negative impact of interest is twofold and manifests
itself as an additional expense of EUR 0.3 million in the results for the first
6 months of the year. The results for the first 6 months of the year were also
impacted by the one-off costs in the amount of EUR 0.3 million related to the
liquidation of the home delivery services of AS Express Post and the higher
operating loss in the amount of EUR 0.3 million earned by the joint venture in
the first 6 months of the year. Thus, the negative effect of the liquidation and
the unprofitable operations of Express Post on the Group's net profit was EUR
0.6 million higher than in the same period last year. The home delivery services
of Express Post were liquidated in the first 6 months of the year and the Group
will no longer incur any additional losses on this business in the second half
of the year.
In the first 6 months of 2022, the positive one-off impact on the net profit in
the amount of EUR 0.2 million was attributable to the profit which arose on the
revaluation of the final payment related to the acquisition of Bi?eshu Parad?ze.
EXPENSES
In the first 6 months of 2023, the cost of goods sold, marketing, and general
and administrative costs totalled EUR 34.0 million (6 months 2022: EUR 29.2
million). Operating expenses increased by EUR 4.8 million (+17%) as compared to
the same period last year. Labour costs increased the most, by EUR 2.9 million
(+18%).
In the first 6 months of 2023, the Group employed 974 employees on average which
is 112 employees more as compared to the same period last year (6 months
2022: 862 employees). This growth is attributable to 88 employees who were
transferred from the acquired companies, incl. ELTA news agency in Lithuania
acquired in May 2022 and the news portal lrytas.lt acquired in December
2022. 24 employees were hired from other companies in Estonia, Latvia and
Lithuania.
CASH POSITION
At the end of the reporting period, the Group had available cash in the amount
of EUR 6.1 million and equity in the amount of EUR 53.1 million (51% of total
assets). The comparable data as of 30 June 2022 were EUR 6.8 million and 52.1
million (56% of total assets), respectively. As of 30 June 2023, the Group's net
debt totalled EUR 14.7 million (30 June 2022: EUR 10.5 million).
In the first 6 months of 2023, the Group's cash flows from operating activities
totalled EUR 4.4 million (6 months 2022: EUR 2.6 million), that were positively
impacted by the ticket sales platforms in Estonia and Latvia. The sales activity
of the Latvian ticket sales platform has recovered and is in a better position
due to higher ticket prices as compared to the pre-Covid-19 period.
In the first 6 months of 2023, the Group's cash flows from investing activities
totalled EUR -1.5 million (6 months 2022: EUR -3.6 million), of which EUR -1.2
million was related to the development and acquisition of tangible and
intangible assets, demonstrating higher investments in products and
technologies. In the first 6 months of the year, the Group invested EUR -0.9
million in new LED screens using a finance lease.
In the first 6 months of 2023, the Group's cash flows from financing activities
totalled EUR -4.3 million (6 months 2022: EUR -3.1 million), of which EUR -1.0
million is the share buy-back and EUR -1.5 million is the dividend payment to
the shareholders of AS Ekspress Grupp. The financing activities also include the
net change in borrowings in the amount of EUR -0.8 million and lease liabilities
in the amount of EUR -0.9 million.
SHARE BUY-BACK AND DIVIDENDS
Within the framework of the share buy-back programme, on 9 March 2023 AS
Ekspress Grupp purchased 588 235 shares at the price of EUR 1.70 per share in
the total amount of EUR 1.0 million.
At the regular general meeting of shareholders of AS Ekspress Grupp held on 4
May 2023, it was decided to pay a dividend of 5 euro cents per share in the
total amount of EUR 1.49 million. Dividends were paid to shareholders on 24 May
2023.
SEGMENT OVERVIEW
Key financial indicators for segments
(EUR thousand) Sales
12 months
Q2 2023 Q2 2022 Change % 6M 2023 6M 2022 Change % 2022
Media segment 18 766 16 062 17% 35 634 29 144 22% 62 690
advertising
revenue 11 124 9 562 16% 20 805 17 402 20% 37 613
subscriptions
(incl. single-
copy sales) 4 658 4 050 15% 9 219 7 936 16% 16 819
marketplaces 603 475 27% 1 239 828 50% 2 232
outdoor screens 837 637 31% 1 526 1 039 47% 2 396
sale of other
goods and
services 1 543 1 338 15% 2 845 1 938 47% 3 630
Corporate
functions 1 081 1 090 -1% 2 308 2 182 6% 4 500
Inter-segment
eliminations (1 320) (743) (2 658) (1 490) (3 050)
TOTAL GROUP 18 528 16 409 13% 35 283 29 836 18% 64 141
incl. revenue
from all digital
channels 15 412 12 494 23% 28 796 22 580 28% 49 928
% of revenue
from all digital
channels 83% 76% 82% 76% 78%
(EUR thousand) EBITDA
12 months
Q2 2023 Q2 2022 Change % 6M 2023 6M 2022 Change % 2022
Media segment 2 643 2 501 6% 4 121 3 394 21% 10 183
Corporate
functions (240) (261) 8% (561) (491) -14% (1 122)
Inter-segment
eliminations (4) (24) (8) (70) (171)
TOTAL GROUP 2 399 2 216 8% 3 552 2 832 25% 8 891
EBITDA margin Q2 2023 Q2 2022 6M 2023 6M 2022 12 months 2022
Media segment 14% 16% 12% 12% 16%
TOTAL GROUP 13% 14% 10% 9% 14%
Consolidated balance sheet (unaudited)
(EUR thousand) 30.06.2023 31.12.2022
-------------------------------------------------------------------------------
ASSETS
-------------------------------------------------------------------------------
Current assets
-------------------------------------------------------------------------------
Cash and cash equivalents 6 111 7 448
-------------------------------------------------------------------------------
Trade and other receivables 17 298 11 661
-------------------------------------------------------------------------------
Corporate income tax prepayment 144 49
-------------------------------------------------------------------------------
Inventories 259 286
-------------------------------------------------------------------------------
Total current assets 23 813 19 444
-------------------------------------------------------------------------------
Non-current assets
-------------------------------------------------------------------------------
Other receivables and investments 1 580 1 580
-------------------------------------------------------------------------------
Deferred tax asset 69 60
-------------------------------------------------------------------------------
Investments in joint ventures 690 1 017
-------------------------------------------------------------------------------
Investments in associates 2 030 2 279
-------------------------------------------------------------------------------
Property, plant and equipment 9 165 8 736
-------------------------------------------------------------------------------
Intangible assets 66 982 66 720
-------------------------------------------------------------------------------
Total non-current assets 80 517 80 392
-------------------------------------------------------------------------------
TOTAL ASSETS 104 330 99 836
-------------------------------------------------------------------------------
LIABILITIES
-------------------------------------------------------------------------------
Current liabilities
-------------------------------------------------------------------------------
Borrowings 2 558 3 393
-------------------------------------------------------------------------------
Trade and other payables 25 734 19 004
-------------------------------------------------------------------------------
Corporate income tax payable 82 25
-------------------------------------------------------------------------------
Total current liabilities 28 375 22 422
-------------------------------------------------------------------------------
Non-current liabilities
-------------------------------------------------------------------------------
Long-term borrowings 22 852 21 948
-------------------------------------------------------------------------------
Other long-term liabilities 41 43
-------------------------------------------------------------------------------
Total non-current liabilities 22 893 21 991
-------------------------------------------------------------------------------
TOTAL LIABILITIES 51 268 44 413
-------------------------------------------------------------------------------
EQUITY
-------------------------------------------------------------------------------
Minority interest 0 147
-------------------------------------------------------------------------------
Capital and reserves attributable to equity holders of
parent company:
-------------------------------------------------------------------------------
Share capital 18 478 18 478
-------------------------------------------------------------------------------
Share premium 14 277 14 277
-------------------------------------------------------------------------------
Treasury shares (1 057) (334)
-------------------------------------------------------------------------------
Reserves 2 275 2 059
-------------------------------------------------------------------------------
Retained earnings 19 089 20 796
-------------------------------------------------------------------------------
Total capital and reserves attributable to equity
holders of parent company 53 062 55 276
-------------------------------------------------------------------------------
TOTAL EQUITY 53 062 55 423
-------------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 104 330 99 836
-------------------------------------------------------------------------------
Consolidated statement of comprehensive income (unaudited)
(EUR thousand) Q2 2023 Q2 2022 6M 2023 6M 2022 12 months 2022
-------------------------------------------------------------------------------
Sales 18 528 16 409 35 283 29 836 64 141
-------------------------------------------------------------------------------
Cost of sales (14 107) (12 407) (27 748) (23 441) (48 185)
-------------------------------------------------------------------------------
Gross profit 4 422 4 002 7 535 6 395 15 956
-------------------------------------------------------------------------------
Other income 110 198 181 317 789
-------------------------------------------------------------------------------
Marketing expenses (791) (783) (1 362) (1 437) (2 979)
-------------------------------------------------------------------------------
Administrative expenses (2 376) (2 170) (4 927) (4 317) (8 823)
-------------------------------------------------------------------------------
Other expenses (120) (43) (140) (85) (146)
-------------------------------------------------------------------------------
Operating profit /(loss) 1 245 1 205 1 287 873 4 797
-------------------------------------------------------------------------------
Interest income 10 9 19 19 36
-------------------------------------------------------------------------------
Interest expenses (347) (178) (677) (347) (738)
-------------------------------------------------------------------------------
Other finance
income/(costs) (11) 210 (21) 197 179
-------------------------------------------------------------------------------
Net finance cost (347) 41 (679) (131) (523)
-------------------------------------------------------------------------------
Profit/(loss) on shares of
joint ventures (242) (87) (795) (220) (242)
-------------------------------------------------------------------------------
Profit/(loss) on shares of
associates 2 143 130 273 325
-------------------------------------------------------------------------------
Profit /(loss) before
income tax 658 1 302 (57) 794 4 357
-------------------------------------------------------------------------------
Income tax expense (46) (31) (62) (36) (302)
-------------------------------------------------------------------------------
Net profit /(loss) for the
reporting period 612 1 271 (118) 759 4 055
-------------------------------------------------------------------------------
Net profit /(loss) for the reporting period
attributable to
-------------------------------------------------------------------------------
Equity holders of the
parent company 613 1 272 (120) 761 4 048
-------------------------------------------------------------------------------
Minority interest (1) (1) 2 (2) 7
-------------------------------------------------------------------------------
Total comprehensive income
/(loss) 612 1 271 (118) 759 4 055
-------------------------------------------------------------------------------
Comprehensive income /(loss) for the reporting period attributable to
-------------------------------------------------------------------------------
Equity holders of the
parent company 613 1 272 (120) 761 4 048
-------------------------------------------------------------------------------
Minority interest (1) (1) 2 (2) 7
-------------------------------------------------------------------------------
Earnings per share (euro)
-------------------------------------------------------------------------------
Basic earnings per share 0.0205 0.0419 (0.0040) 0.0251 0.1335
-------------------------------------------------------------------------------
Diluted earnings per share 0.0199 0.0405 (0.0039) 0.0242 0.1294
-------------------------------------------------------------------------------
Consolidated cash flow statement (unaudited)
12 months
(EUR thousand) 6M 2023 6M 2022 2022
-------------------------------------------------------------------------------
Cash flows from operating activities
-------------------------------------------------------------------------------
Operating profit /(loss) for the reporting year 1 287 873 4 797
-------------------------------------------------------------------------------
Adjustments for (non-cash):
-------------------------------------------------------------------------------
Depreciation and amortisation 2 265 1 959 4 084
-------------------------------------------------------------------------------
(Gain)/loss on sale, write-down and impairment of
property, plant and equipment (4) 2 29
-------------------------------------------------------------------------------
Change in value of share option 16 18 29
-------------------------------------------------------------------------------
Cash flows from operating activities:
-------------------------------------------------------------------------------
Trade and other receivables (5 409) (1 385) (1 939)
-------------------------------------------------------------------------------
Inventories 26 (27) (9)
-------------------------------------------------------------------------------
Trade and other payables 6 885 1 572 2 188
-------------------------------------------------------------------------------
Income tax paid (108) (262) (401)
-------------------------------------------------------------------------------
Interest paid (540) (181) (767)
-------------------------------------------------------------------------------
Net cash generated from operating activities 4 420 2 569 8 011
-------------------------------------------------------------------------------
Cash flows from investing activities
-------------------------------------------------------------------------------
Acquisition of subsidiaries/ associates (less cash
acquired) and other investments /
cash paid-in equity-accounted investees (949) (1 971) (7 632)
-------------------------------------------------------------------------------
Receipts of other investments 13 10 10
-------------------------------------------------------------------------------
Interest received 2 1 2
-------------------------------------------------------------------------------
Purchase of property, plant and equipment and
intangible assets (1 232) (2 335) (3 748)
-------------------------------------------------------------------------------
Proceeds from sale of property, plant and equipment
and intangible assets 3 40 66
-------------------------------------------------------------------------------
Loans granted 0 (30) (30)
-------------------------------------------------------------------------------
Loan repayments received 0 86 86
-------------------------------------------------------------------------------
Dividends received 674 601 601
-------------------------------------------------------------------------------
Net cash used in investing activities (1 489) (3 598) (10 645)
-------------------------------------------------------------------------------
Cash flows from financing activities
-------------------------------------------------------------------------------
Dividends paid (1 488) (2 425) (2 425)
-------------------------------------------------------------------------------
Payment of lease liabilities (940) (851) (1 751)
-------------------------------------------------------------------------------
Loans received / Repayments of bank loans (840) 136 3 296
-------------------------------------------------------------------------------
Purchases of treasury shares (1 000) 0 0
-------------------------------------------------------------------------------
Net cash used in financing activities (4 268) (3 140) (880)
-------------------------------------------------------------------------------
NET (DECREASE)/INCREASE IN CASH AND CASH EQUIVALENTS (1 337) (4 169) (3 514)
-------------------------------------------------------------------------------
Cash and cash equivalents at the beginning of the
period 7 448 10 962 10 962
-------------------------------------------------------------------------------
Cash and cash equivalents at the end of the period 6 111 6 793 7 448
-------------------------------------------------------------------------------
Signe Kukin
Group CFO
AS Ekspress Grupp
Telephone: +372 669 8381
E-mail address: [email protected] (mailto:[email protected])
AS Ekspress Grupp is the leading Baltic media group whose key activities include
web media content production, publishing of newspapers, magazines and books. The
Group also operates an electronic ticket sales platform and ticket sales offices
in Estonia and Latvia. Ekspress Grupp launched its operations in 1989 and
employs almost 1100 people.