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Admirals Group AS

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549300906IGR87BLLY36

Emitendi suuruskategooria

Keskmise suurusega kontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Muud korporatiivtoimingud

Teate ID

10574

Esitamise kuupäev ja aeg

31.08.2023 18:00:12

Teate sisu eesti keeles

Pealkiri

Admirals Group AS 2023. aasta 6 kuu auditeerimata majandustulemused

Teade

Admirals registreeris märkimisväärse arvu uusi klienditaotlusi

Vaatamata finantsturgude madalale volatiilsusele 2023. aasta esimesel poolel,
saavutas Admirals Group AS uute ja aktiivsete klientide kaasamisel silmapaistvad
tulemused.

? Kauplemistegevuse netotulu 21,1 miljonit eurot (6 kuud 2022: 43 miljonit eurot
ja 6 kuud 2021: 17,3 miljonit eurot)

?  EBITDA -2,9 miljonit  eurot (6 kuud  2022: 26 miljonit eurot ja 6 kuud 2021:
-0,7 miljonit eurot)
?  Uute taotluste arv grupis  suurenes  222% 143 414 taotluseni võrreldes 2022.
aasta sama perioodiga (6 kuud 2022:  44 508 ja 6 kuud 2021: 75 759 taotlust)
?  Aktiivsete klientide  arv grupis  suurenes 65 636 kliendini  võrreldes 2022.
aasta sama perioodiga 96% (6 kuud  2022: 33 493 ja 6 kuud 2021: 40 235 aktiivset
klienti)

"Oleme  alati  rõhutanud  pikaajalise  strateegia  olulisust.  Laienemine  uutes
piirkondades,  kasutades  olemasolevaid  litsentse  ja  ülemaailmset  kaubamärgi
kohalolekut  on sama oluline ja selge kui meie pühendumus. Meid juhib soov edasi
liikuda  ja  innovatsiooni  teha,"  ütles  Admirals  Group  ASi tegevjuht Sergei
Bogatenkov.

"Meie  visioon on  tugevdada rahalist  kaasatust, pakkudes Admiralsi ökosüsteemi
kaudu    lihtsasti    kasutatavat,    taskukohast   ja   turvalist   juurdepääsu
finantstoodetele."

"Olen   uhke,   et   oleme  mitmekesistamise  kaudu  avanud  olulisi  kasvu-  ja
laienemisvõimalusi.  Admirals on positsioneerinud end kiiresti arenevas FinTechi
kogukonnas  paindliku  ja  operatiivse  tehnoloogia pakkujana ning hariduspõhise
strateegilise partnerina."

Finantsseisundi aruanne

+--------------------------------------------------------+----------+----------+
|(tuhandetes eurodes)                                    |30.06.2023|31.12.2022|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Varad                                                   |          |          |
+--------------------------------------------------------+----------+----------+
|Raha                                                    |        20|        12|
+--------------------------------------------------------+----------+----------+
|Nõuded krediidiasutustele                               |    45 725|    55 477|
+--------------------------------------------------------+----------+----------+
|Nõuded investeerimisühingutele                          |    23 282|    16 528|
+--------------------------------------------------------+----------+----------+
|Finantsvarad õiglases väärtuses muutustega läbi         |          |          |
|kasumiaruande                                           |     6 577|     7 011|
+--------------------------------------------------------+----------+----------+
|Laenud ja nõuded                                        |     4 666|     4 643|
+--------------------------------------------------------+----------+----------+
|Varud                                                   |       170|        48|
+--------------------------------------------------------+----------+----------+
|Muud varad                                              |     2 497|     3 162|
+--------------------------------------------------------+----------+----------+
|Materiaalne põhivara                                    |     2 191|     2 296|
+--------------------------------------------------------+----------+----------+
|Kasutusõigusega vara                                    |     2 888|     3 160|
+--------------------------------------------------------+----------+----------+
|Immateriaalne põhivara                                  |     5 539|     5 841|
+--------------------------------------------------------+----------+----------+
|Varad kokku                                             |    93 555|    98 178|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Kohustused                                              |          |          |
+--------------------------------------------------------+----------+----------+
|Finantskohustused õiglases väärtuses muutustega läbi    |          |          |
|kasumiaruande                                           |       100|       294|
+--------------------------------------------------------+----------+----------+
|Võlad ja ettemaksed                                     |    10 633|     6 982|
+--------------------------------------------------------+----------+----------+
|Allutatud võlakirjad                                    |     4 098|     4 570|
+--------------------------------------------------------+----------+----------+
|Rendikohustised                                         |     3 173|     3 435|
+--------------------------------------------------------+----------+----------+
|Kohustused kokku                                        |    18 004|    15 281|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Omakapital                                              |          |          |
+--------------------------------------------------------+----------+----------+
|Aktsiakapital                                           |       250|       250|
+--------------------------------------------------------+----------+----------+
|Omaaktsiad                                              |      -315|      -315|
+--------------------------------------------------------+----------+----------+
|Kohustuslik reservkapital                               |        25|        25|
+--------------------------------------------------------+----------+----------+
|Realiseerimata kursivahed                               |      -603|      -669|
+--------------------------------------------------------+----------+----------+
|Jaotamata kasum                                         |    76 163|    83 600|
+--------------------------------------------------------+----------+----------+
|Emaettevõtte aktsionäridele kuuluv omakapital kokku     |    75 520|    82 891|
+--------------------------------------------------------+----------+----------+
|Mittekontrolliv osalus                                  |        31|         6|
+--------------------------------------------------------+----------+----------+
|Omakapital kokku                                        |    75 551|    82 897|
+--------------------------------------------------------+----------+----------+
|Kohustused ja omakapital kokku                          |    93 555|    98 178|
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|                                                        |          |          |
+--------------------------------------------------------+----------+----------+
|Koondkasumiaruanne                                      |          |          |
+--------------------------------------------------------+----------+----------+
|(tuhandetes eurodes)                                    |          |          |
+--------------------------------------------------------+----------+----------+
|                                                        |6M 2023   | 6M 2022  |
+--------------------------------------------------------+----------+----------+
|Netokasum klientidega ja likviidsuspakkujatega          |          |          |
|kaubeldavatelt finantsvaradelt õiglases väärtuses       |          |          |
|muutustega läbi kasumiaruande                           |    22 906|    43 899|
+--------------------------------------------------------+----------+----------+
|Komisjoni- ja vahendustasu tulu                         |       814|     1 078|
+--------------------------------------------------------+----------+----------+
|Komisjoni- ja vahendustasu kulu                         |    -2 561|    -1 728|
+--------------------------------------------------------+----------+----------+
|Muud kauplemistegevusega seotud tulud                   |       243|       267|
+--------------------------------------------------------+----------+----------+
|Muud kauplemistegevusega seotud kulud                   |      -342|      -523|
+--------------------------------------------------------+----------+----------+
|Kauplemistegevuse netotulu                              |    21 060|    42 993|
+--------------------------------------------------------+----------+----------+
|Muud samalaadsed intressitulud                          |       118|        57|
+--------------------------------------------------------+----------+----------+
|Intressitulu kasutades efektiivse intressimäära meetodil|       287|        98|
+--------------------------------------------------------+----------+----------+
|Intressikulu                                            |      -217|      -220|
+--------------------------------------------------------+----------+----------+
|Muud tulud                                              |       236|     1 239|
+--------------------------------------------------------+----------+----------+
|Muud kulud                                              |      -159|       -73|
+--------------------------------------------------------+----------+----------+
|Netokahjum valuutakursi muutustest                      |      -300|       346|
+--------------------------------------------------------+----------+----------+
|Netokahjum õiglases väärtuses muutustega läbi           |          |          |
|kasumiaruande                                           |       -78|         0|
+--------------------------------------------------------+----------+----------+
|Tööjõukulud                                             |    -7 479|    -6 603|
+--------------------------------------------------------+----------+----------+
|Tegevuskulud                                            |   -16 216|   -12 378|
+--------------------------------------------------------+----------+----------+
|Materiaalse ja immateriaalse põhivara kulum             |    -1 150|      -961|
+--------------------------------------------------------+----------+----------+
|Kasutusõigusega vara kulum                              |      -378|      -466|
+--------------------------------------------------------+----------+----------+
|Kasum enne tulumaksu                                    |    -4 276|    24 032|
+--------------------------------------------------------+----------+----------+
|Tulumaks                                                |      -546|       -19|
+--------------------------------------------------------+----------+----------+
|Aruandeperioodi kasum                                   |    -4 822|    24 013|
+--------------------------------------------------------+----------+----------+
|Muu koondkasum:                                         |          |          |
+--------------------------------------------------------+----------+----------+
|Kirjed, mida võib edaspidi klassifitseerida             |          |          |
|kasumiaruandesse:                                       |          |          |
+--------------------------------------------------------+----------+----------+
|Realiseerimata kursivahed                               |        66|       233|
+--------------------------------------------------------+----------+----------+
|Aruandeperioodi muu koondkasum (-kahjum)                |        66|       233|
+--------------------------------------------------------+----------+----------+
|Aruandeaasta koondkasum                                 |    -4 756|    24 246|
+--------------------------------------------------------+----------+----------+
|Emaettevõtte aktsionäridele kuuluv puhaskasum           |    -4 859|    24 023|
+--------------------------------------------------------+----------+----------+
|Mittekontrollivale osalusele kuuluv puhaskasum          |        25|       -10|
+--------------------------------------------------------+----------+----------+
|Aruandeaasta puhaskasum                                 |    -4 834|    24 013|
+--------------------------------------------------------+----------+----------+
|Emaettevõtte aktsionäridele kuuluv koondkasum           |    -4 793|    24 256|
+--------------------------------------------------------+----------+----------+
|Mittekontrollivale osalusele kuuluv koondkasum          |        25|       -10|
+--------------------------------------------------------+----------+----------+
|Aruandeaasta koondkasum                                 |    -4 768|    24 246|
+--------------------------------------------------------+----------+----------+

Admirals Group AS-i aruanded on kättesaadavad
aadressil: https://admiralmarketsgroup.com/et/reports-group/
(https://www.globenewswire.com/Tracker?data=JLSmgKLmV8CG0caMWGs-
d4muMpyx3_uSIY1Ds5KN_FRcpfEL9zOV7w5N2j-kxvkgv5EAaaeRUTvSvB_e_9-
VctLfGclvh1u6lrHaHhjkqwT8TnBu07wEV29BWRrLVgMZZiI8r8pJCNorxMPfyz4PsuJoSCQFuUjHG1U
jKNcyPNM=)

Admirals on rahvusvaheline finantstehnoloogia- ja investeerimisühing, mille
reguleeritud tütarettevõtted pakuvad nutikaid lahendusi erinevate finantstoodete
jaoks. Alates asutamisest 2001. aastal, on Admirals oma haaret pidevalt
laiendanud, olles täna reguleeritud kauplemisettevõtete kaudu esindatud kogu
maailmas.

Eestis asutatud investeerimisühing Admiral Markets AS on Admirals Group AS-i
tütarettevõte, millel on õigus osutada investeerimisteenuseid Eesti
Finantsinspektsiooni tegevusloa alusel Euroopa Liidus ning Euroopa
Majanduspiirkonna riikides.

Admirals hoolib oma partnerite edust, seetõttu pakuvad nad arvukalt läbi
proovitud turundustööriistu, tipptasemel tarkvara ja kvaliteeti.

Täna asuvad Admiralsi kontorid 18 riigis üle maailma, mis teeb sellest tõeliselt
globaalse organisatsiooni.

Lisainfo:

Kaia Gil
Admirals Group AS-i kommunikatsioonijuht
[email protected]
 (https://www.globenewswire.com/Tracker?data=Hg8_cvQfKzN6RUht8IXLXtZ-n0qig-
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aDX)+372 53 413 764

Teate sisu inglise keeles

Pealkiri

Admirals Group AS 2023 Unaudited 6 Months Financial Results

Teade

Admirals witnesses a significant rise in new applications

Despite  the low volatility in the financial markets in the first half of 2023,
Admirals  Group AS delivered  outstanding numbers in  onboarding new clients and
those of active.

  * Net trading income was EUR 21.1 million (6M 2022: EUR 43 million and
    6M 2021: EUR 17.3 million)
  * EBITDA  was EUR -2.9 million (6M 2022: EUR 26 million and 6M 2021: EUR -0.7
    million)
  * Number of new applications in Group went up by 222% to 143,414 applications
    compared to same period of 2022 (6M 2022: 44,508 and 6M 2021: 75, 759)
  * Number of active clients in Group went up by 96% to 65,636 clients compared
    to same period of 2022 (6M 2022: 33,493 and 6M 2021: 40,235 active clients)

?Admirals  has always  emphasized the  importance of  a long-term  strategy. The
expansion  in new  regions, leveraging  the existing  licenses and  global brand
presence,  is as  remarkable as  our commitment  is clear.  We are driven by the
desire  to pursue progress and  innovation," said the CEO  of Admirals Group AS,
Sergei Bogatenkov.

?Admirals'  vision is to  empower financial inclusion  by providing easy-to-use,
affordable,  and  secure  access  to  financial  products  through the Admirals'
ecosystem."

?I  am proud that we have unlocked  significant possibilities for growth and the
expansion through diversification. Admirals has positioned itself in the rapidly
developing FinTech community as a flexible and operative technology provider, as
well as an education-driven strategic partner."

Statement of Financial Position

+-------------------------------------------------------+-----------+----------+
|(in thousands of euros)                                | 30.06.2023|31.12.2022|
+-------------------------------------------------------+-----------+----------+
|                                                       |           |          |
+-------------------------------------------------------+-----------+----------+
|Assets                                                 |           |          |
+-------------------------------------------------------+-----------+----------+
|Cash                                                   |         20|        12|
+-------------------------------------------------------+-----------+----------+
|Due from credit institutions                           |     45,725|    55,477|
+-------------------------------------------------------+-----------+----------+
|Due from investment companies                          |     23,282|    16,528|
+-------------------------------------------------------+-----------+----------+
|Financial assets at fair value through profit or loss  |      6,577|     7,011|
+-------------------------------------------------------+-----------+----------+
|Loans and receivables                                  |      4,666|     4,643|
+-------------------------------------------------------+-----------+----------+
|Inventories                                            |        170|        48|
+-------------------------------------------------------+-----------+----------+
|Other assets                                           |      2,497|     3,162|
+-------------------------------------------------------+-----------+----------+
|Tangible fixed assets                                  |      2,191|     2,296|
+-------------------------------------------------------+-----------+----------+
|Right-of-use assets                                    |      2,888|     3,160|
+-------------------------------------------------------+-----------+----------+
|Intangible fixed assets                                |      5,539|     5,841|
+-------------------------------------------------------+-----------+----------+
|Total assets                                           |     93,555|    98,178|
+-------------------------------------------------------+-----------+----------+
|                                                       |           |          |
+-------------------------------------------------------+-----------+----------+
|Liabilities                                            |           |          |
+-------------------------------------------------------+-----------+----------+
|Financial liabilities at fair value through profit or  |           |          |
|loss                                                   |        100|       294|
+-------------------------------------------------------+-----------+----------+
|Liabilities and prepayments                            |     10,633|     6,982|
+-------------------------------------------------------+-----------+----------+
|Subordinated debt securities                           |      4,098|     4,570|
+-------------------------------------------------------+-----------+----------+
|Lease liabilities                                      |      3,173|     3,435|
+-------------------------------------------------------+-----------+----------+
|Total liabilities                                      |     18,004|    15,281|
+-------------------------------------------------------+-----------+----------+
|                                                       |           |          |
+-------------------------------------------------------+-----------+----------+
|Equity                                                 |           |          |
+-------------------------------------------------------+-----------+----------+
|Share capital                                          |        250|       250|
+-------------------------------------------------------+-----------+----------+
|Own shares                                             |       -315|      -315|
+-------------------------------------------------------+-----------+----------+
|Statutory reserve capital                              |         25|        25|
+-------------------------------------------------------+-----------+----------+
|Currency translation reserve                           |       -603|      -669|
+-------------------------------------------------------+-----------+----------+
|Retained earnings                                      |     76,163|    83,600|
+-------------------------------------------------------+-----------+----------+
|Total equity attributable to owners of the parent      |     75,520|    82,891|
+-------------------------------------------------------+-----------+----------+
|Non-controlling interest                               |         31|         6|
+-------------------------------------------------------+-----------+----------+
|Total equity                                           |     75,551|    82,897|
+-------------------------------------------------------+-----------+----------+
|Total liabilities and equity                           |     93,555|    98,178|
+-------------------------------------------------------+-----------+----------+
|                                                       |           |          |
+-------------------------------------------------------+-----------+----------+
|                                                       |           |          |
+-------------------------------------------------------+-----------+----------+
| Statement of Comprehensive Income                     |           |          |
+-------------------------------------------------------+-----------+----------+
|(in thousands of euros)                                |           |          |
+-------------------------------------------------------+-----------+----------+
|                                                       |  6M 2023  | 6M 2022  |
+-------------------------------------------------------+-----------+----------+
|Net gains from trading of financial assets at fair     |           |          |
|value through profit or loss with clients and liquidity|           |          |
|providers                                              |     22,906|    43,899|
+-------------------------------------------------------+-----------+----------+
|Brokerage and commission fee revenue                   |        814|     1,078|
+-------------------------------------------------------+-----------+----------+
|Brokerage and commission fee expense                   |     -2,561|    -1,728|
+-------------------------------------------------------+-----------+----------+
|Other trading activity related income                  |        243|       267|
+-------------------------------------------------------+-----------+----------+
|Other trading activity related expense                 |       -342|      -523|
+-------------------------------------------------------+-----------+----------+
|Net income from trading                                |     21,060|    42,993|
+-------------------------------------------------------+-----------+----------+
|Other income similar to interest                       |        118|        57|
+-------------------------------------------------------+-----------+----------+
|Interest income calculated using the effective interest|           |          |
|method                                                 |        287|        98|
+-------------------------------------------------------+-----------+----------+
|Interest expense                                       |       -217|      -220|
+-------------------------------------------------------+-----------+----------+
|Other income                                           |        236|     1,239|
+-------------------------------------------------------+-----------+----------+
|Other expenses                                         |       -159|       -73|
+-------------------------------------------------------+-----------+----------+
|Net losses on exchange rate changes                    |       -300|       346|
+-------------------------------------------------------+-----------+----------+
|Net loss at fair value through profit or loss          |        -78|         0|
+-------------------------------------------------------+-----------+----------+
|Personnel expenses                                     |     -7,479|    -6,603|
+-------------------------------------------------------+-----------+----------+
|Operating expenses                                     |    -16,216|   -12,378|
+-------------------------------------------------------+-----------+----------+
|Depreciation of tangible and intangible assets         |     -1,150|      -961|
+-------------------------------------------------------+-----------+----------+
|Depreciation of right-of-use assets                    |       -378|      -466|
+-------------------------------------------------------+-----------+----------+
|Profit before income tax                               |     -4,276|    24,032|
+-------------------------------------------------------+-----------+----------+
|Income tax                                             |       -546|       -19|
+-------------------------------------------------------+-----------+----------+
|Profit for the reporting period                        |     -4,822|    24,013|
+-------------------------------------------------------+-----------+----------+
|Other comprehensive income:                            |           |          |
+-------------------------------------------------------+-----------+----------+
|Items that subsequently may be reclassified to profit  |           |          |
|or loss:                                               |           |          |
+-------------------------------------------------------+-----------+----------+
|Unrealized exchange rate differences                   |         66|       233|
+-------------------------------------------------------+-----------+----------+
|Total other comprehensive income/(loss) for the        |           |          |
|reporting period                                       |         66|       233|
+-------------------------------------------------------+-----------+----------+
|Total comprehensive income for the reporting period    |     -4,756|    24,246|
+-------------------------------------------------------+-----------+----------+
|Net profit attributable to the owners of the parent    |     -4,859|    24,023|
+-------------------------------------------------------+-----------+----------+
|Net profit attributable to non-controlling interest    |         25|       -10|
+-------------------------------------------------------+-----------+----------+
|Profit for the reporting period                        |     -4,834|    24,013|
+-------------------------------------------------------+-----------+----------+
|Total comprehensive income attributable to the owners  |           |          |
|of the parent                                          |     -4,793|    24,256|
+-------------------------------------------------------+-----------+----------+
|Total comprehensive income attributable non-controlling|           |          |
|interest                                               |         25|       -10|
+-------------------------------------------------------+-----------+----------+
|Comprehensive income for the reporting period          |     -4,768|    24,246|
+-------------------------------------------------------+-----------+----------+

The reports of Admirals Group AS are available on the following
website: https://admiralmarketsgroup.com/reports-group/

Admirals is a global FinTech and investment firm whose regulated subsidiaries
offer smart solutions for multiple financial products. Since the foundation in
2001, Admirals has continuosly expanded its reach, and today it services
worldwide through regulated trading companies.

Investment company Admiral Markets AS, established in Estonia, is a branch of
Admirals Group AS, which has the right to
provide investment services under the operating license of the
Estonian Financial Supervision Authority in the European Union and the European
Economic Area countries. Admirals cares about the success of their partners,
therefore offering numerous tried-and-tested marketing tools, state-of-the-art
software, and quality assurance.

Today, Admirals is located in 18 offices worldwide, making it a truly global
organization.

Additional information:
Kaia Gil
Communication manager of Admirals Group AS
[email protected]

(https://www.globenewswire.com/Tracker?data=6MbdV08fzR8UCjGneI_x_6QmjuACWZ2dP8LL
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