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24.04.2009 09:00:00

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AS-i Eesti Telekom 2009. aasta I kvartali konsolideeritud vahearuanne, EUR

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TEGEVUSE VAHEARUANNE                                                            

ÜLDINFO                                                                         

Eesti Telekom Grupi, mille emaettevõtja on AS Eesti Telekom                     
(registreerimisnumber 10234957; aadress:                                        
Valge 16, 19095 Tallinn), peamiseks                                             
tegevusalaks on telekommunikatsiooniteenuste osutamine.                         

AS-i Eesti Telekom aktsiad on alates 1999. aastast noteeritud Tallinna ja       
Londoni väärtpaberibörsidel (OMX: ETLAT / LSE: EETD).                           


Muudatused Eesti Telekom Grupi struktuuris                                      
AS-i Eesti Telekom nõukogu on andnud heakskiidu ühinemise alustamiseks ja       
ühinemislepingute sõlmimiseks juhatuste poolt eesmärgiga  Eesti Telekom Grupi   
struktuuri lihtsustada ning ühendada AS-iga  EMT viimase 100% tütarettevõtjad   
EMT Esindused AS ja AS Mobile Wholesale ning Elion Ettevõtted AS-iga viimase    
100% tütarettevõtja Elion Esindus AS. Ühendamiste eesmärk on saavutada suuremat 
efektiivsust äriprotsessides. Ühendamised loodetakse lõpule viia hiljemalt 2009.
aasta augustis. Finantsaruandluses plaanitav ühendamine muutusi kaasa ei too,   
kuna EMT Grupi ja Elion Grupi tulemused on esitatud konsolideerituna ka praegu. 

Seisuga 11.02.2009 on BiTA Service Management ühendatud IT Koolituskeskuse      
OÜ-ga.                                                                          


AS-i Eesti Telekom omanike struktuur                                            
2009. aasta esimese kvartali jooksul ei ole olulisi muudatusi AS-i Eesti Telekom
suuraktsionäride struktuuris aset leidnud. AS-i Eesti Telekom enamusosanik,     
TeliaSonera AB (läbi Baltic Tele AB), omab jätkuvalt 60,12% ettevõtte           
aktsiatest.                                                                     

Esimese kvartali lõpu seisuga oli vabalt kaubeldavate aktsiate osakaal 12,71%   
aktsiate koguarvust. Neist 12,81% oli konverteeritud Londoni Börsil             
kaubeldavateks GDR-ideks.                                                       

AS-i Eesti Telekom 10 suuremat aktsionäri 31. märtsi 2009. aasta seisuga olid:  

--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
|                                           |          31. märts 2009          |
--------------------------------------------------------------------------------
|                                           | Väärtpaberite arv  |   Osalus    |
--------------------------------------------------------------------------------
|                                                             |     Muutus     |
|                                                             | võrreldes 31.  |
|                                                             | detsember 2008 |
--------------------------------------------------------------------------------
| Baltic Tele AB                  |    82 936 299 |    60,12% |              0 |
--------------------------------------------------------------------------------
| Rahandusministeerium            |    33 346 464 |    24,17% |              0 |
--------------------------------------------------------------------------------
| Eesti Arengufond                |     4 138 636 |     3,00% |              0 |
--------------------------------------------------------------------------------
| SEB kliendid                    |     2 818 746 |     2,04% |       (45 988) |
--------------------------------------------------------------------------------
| Deutsche Bank (GDR-ide kontod)  |     2 246 838 |     1,63% |       (17 382) |
--------------------------------------------------------------------------------
| ING Luxembourg S.A.             |     2 055 783 |     1,49% |              0 |
--------------------------------------------------------------------------------
| Clearstream Banking Luxembourg  |       578 301 |     0,42% |        (6 675) |
| S.A. kliendid                   |               |           |                |
--------------------------------------------------------------------------------
| UniCredit Bank Austria AG       |       472 148 |     0,34% |       (24 238) |
--------------------------------------------------------------------------------
| Mellon Treaty Omnibus           |       363 473 |     0,26% |       (28 679) |
--------------------------------------------------------------------------------
| State Street Bank and Trust     |       335 945 |     0,24% |              0 |
| Omnibus Account                 |               |           |                |
--------------------------------------------------------------------------------







AS-i Eesti Telekom aktsia                                                       
AS-i Eesti Telekom aktsia hind tõusis 2009. aasta esimeses kvartalis 18,97%.    
Aktsia hind kvartali alguses oli  4,10 eurot ning kvartali lõpus 4,64 eurot.    
Kõrgeim ja madalaim aktsia hind aruandeperioodi jooksul olid vastavalt 5,25     
eurot ning 4,10 eurot. Aruandeperioodi käibeks kujunes 13,5 miljonit eurot.     

AS-i Eesti Telekom aktsia hind on 2009. aasta esimeses kvartalis liikunud       
kõrgematel tasemetel kui OMX Tallinn indeks ja OMX Baltic 10 kaubeldavama aktsia
indeks.                                                                         

ÄRITEGEVUS                                                                      

Juhatuse kommentaar: Grupi müügitulu esimeses kvartalis oli peamiselt mõjutatud 
regulatsioonidest (mobiilsektorile Euroopa Liidust) ning majanduse jahenemisest 
(kauba müügi vähenemine ja tarbijakäitumise muutumine).   Samas jätkus          
juurdekasv mobiilside lepinguliste klientide, mobiilse ja fikseeritud lairiba   
klientide ning TV klientide hulgas. Tänu varem käivitatud                       
efektiivsusprogrammidele õnnestus tulude langus kompenseerida samas             
proportsioonis kulude langusega ning säilitada kulumieelne ärikasumi marginaal. 

Olulisemad finantsnäitajad                                                      

Eesti Telekom grupp                                                             
--------------------------------------------------------------------------------
|                                      | I kv. 2009 | I kv. 2008 |   Muutus, % |
--------------------------------------------------------------------------------
| Müügitulu, mln EUR                   |       85,4 |       94,9 |      (10,0) |
--------------------------------------------------------------------------------
| Ärikasum enne kulumit, mln EUR       |       33,0 |       36,8 |      (10,3) |
--------------------------------------------------------------------------------
| Marginaal, %                         |       38,7 |       38,8 |             |
--------------------------------------------------------------------------------
| Ärikasum, mln EUR                    |       23,0 |       27,9 |      (17,6) |
--------------------------------------------------------------------------------
| Marginaal, %                         |       26,9 |       29,4 |             |
--------------------------------------------------------------------------------
| Kasum enne tulumaksustamist, mln EUR |       24,0 |       28,9 |      (16,8) |
--------------------------------------------------------------------------------
| Perioodi kasum, mln EUR              |       24,0 |       28,9 |      (16,8) |
--------------------------------------------------------------------------------
| Tava kasum aktsia kohta, EUR         |       0,17 |       0,21 |      (16,7) |
--------------------------------------------------------------------------------
| Perioodi koondkasum, mln EUR         |       24,0 |       28,9 |      (16,8) |
--------------------------------------------------------------------------------
| Kapitalimahutused, mln EUR           |        7,8 |        7,6 |         3,2 |
--------------------------------------------------------------------------------
| Netovõla suhe omakapitali, %         |     (25,9) |     (29,5) |             |
--------------------------------------------------------------------------------
| ROA, %                               |        7,4 |        8,7 |             |
--------------------------------------------------------------------------------
| ROE, %                               |        8,4 |       10,0 |             |
--------------------------------------------------------------------------------



Mobiilside teenuste segment                                                     
--------------------------------------------------------------------------------
|                                      |     I kv. |  I kv. 2008 |   Muutus, % |
|                                      |      2009 |             |             |
--------------------------------------------------------------------------------
| Müügitulu, mln EUR                   |      47,3 |        55,9 |      (15,4) |
--------------------------------------------------------------------------------
| Ärikasum enne kulumit, mln EUR       |      17,5 |        21,0 |      (16,8) |
--------------------------------------------------------------------------------
| Marginaal, %                         |      37,0 |        37,6 |             |
--------------------------------------------------------------------------------
| Ärikasum, mln EUR                    |      13,2 |        17,0 |      (22,6) |
--------------------------------------------------------------------------------
| Marginaal, %                         |      27,9 |        30,4 |             |
--------------------------------------------------------------------------------
| Kasum enne tulumaksustamist, mln EUR |      13,8 |        17,4 |      (20,6) |
--------------------------------------------------------------------------------
| Perioodi kasum, mln EUR              |      13,8 |        17,4 |      (20,6) |
--------------------------------------------------------------------------------
| Perioodi koondkasum, mln EUR         |      13,8 |        17,4 |      (20,6) |
--------------------------------------------------------------------------------
| Kapitalimahutused, mln EUR           |       4,8 |         3,6 |        30,8 |
--------------------------------------------------------------------------------
| ROA, %                               |       9,3 |        12,1 |             |
--------------------------------------------------------------------------------
| ROE, %                               |      11,6 |        15,6 |             |
--------------------------------------------------------------------------------




Lairiba teenuste segment                                                        
--------------------------------------------------------------------------------
|                                      | I kv. 2009 | I kv. 2008 |   Muutus, % |
--------------------------------------------------------------------------------
| Müügitulu, mln EUR                   |       46,5 |       48,8 |       (4,8) |
--------------------------------------------------------------------------------
| Ärikasum enne kulumit, mln EUR       |       15,8 |       15,8 |         1,0 |
--------------------------------------------------------------------------------
| Marginaal, %                         |       34,1 |       32,3 |             |
--------------------------------------------------------------------------------
| Ärikasum, mln EUR                    |       11,0 |       11,3 |       (2,7) |
--------------------------------------------------------------------------------
| Marginaal, %                         |       23,6 |       23,1 |             |
--------------------------------------------------------------------------------
| Kasum enne tulumaksustamist, mln EUR |       10,9 |       11,3 |       (3,6) |
--------------------------------------------------------------------------------
| Perioodi kasum, mln EUR              |       10,9 |       11,3 |       (3,6) |
--------------------------------------------------------------------------------
| Perioodi koondkasum, mln EUR         |       10,9 |       11,3 |       (3,6) |
--------------------------------------------------------------------------------
| Kapitalimahutused, mln EUR           |        2,8 |        3,6 |      (20,5) |
--------------------------------------------------------------------------------
| ROA, %                               |        6,3 |        6,3 |             |
--------------------------------------------------------------------------------
| ROE, %                               |        8,0 |        8,3 |             |
--------------------------------------------------------------------------------


IT-teenuste segment                                                             
--------------------------------------------------------------------------------
|                                      | I kv. 2009 | I kv. 2008 |   Muutus, % |
--------------------------------------------------------------------------------
| Müügitulu, mln EUR                   |        3,9 |        5,1 |      (22,1) |
--------------------------------------------------------------------------------
| Ärikasum enne kulumit, mln EUR       |      (0,2) |        0,2 |         N/A |
--------------------------------------------------------------------------------
| Marginaal, %                         |      (5,3) |        4,9 |             |
--------------------------------------------------------------------------------
| Ärikasum, mln EUR                    |      (1,0) |      (0,1) |         N/A |
--------------------------------------------------------------------------------
| Marginaal, %                         |     (25,3) |      (2,9) |             |
--------------------------------------------------------------------------------
| Kasum enne tulumaksustamist, mln EUR |      (1,0) |      (0,2) |         N/A |
--------------------------------------------------------------------------------
| Perioodi kasum, mln EUR              |      (1,0) |      (0,2) |         N/A |
--------------------------------------------------------------------------------
| Perioodi koondkasum, mln EUR         |      (1,0) |      (0,2) |             |
--------------------------------------------------------------------------------
| Kapitalimahutused, mln EUR           |        0,2 |        0,3 |      (42,9) |
--------------------------------------------------------------------------------
| ROA, %                               |      (8,9) |      (1,7) |             |
--------------------------------------------------------------------------------
| ROE, %                               |     (14,0) |      (3,3) |             |
--------------------------------------------------------------------------------


Müügitulud, tegevuskulud ja kasum                                               
Grupi müügitulu ulatus 2009. aasta esimeses kvartalis 85,4 miljoni euroni (1.   
kvartal 2008: 94,9 miljonit eurot), ning oli peamiselt mõjutatud                
regulatsioonidest, mis tulevad mobiilisektorile Euroopa Liidust ning majanduse  
jahenemisest.                                                                   

Mobiilside teenuste segmendi 2009. aasta esimese kvartali konsolideeritud käive 
ulatus 47,3 miljoni euroni, kahanedes 2008. aasta esimese kvartaliga võrreldes  
15% (1. kvartal 2008: 55,9 miljonit eurot). Kogutulude languse taga oli jae- ja 
sidumishindade langusest tingitud kõneteenuste tulude vähenemine, mida          
kompenseeris osaliselt mobiilse andmeside kasv ja allhanketeenuste mahu kasv.   
Samuti on esimeses kvartalis võrreldes aastataguse ajaga vähenenud              
telekommunikatsioonikaupade jae- ja hulgimüügist saadavad tulud, mis on tingitud
muutunud tarbijakäitumisest. Lisaks jäi nii klientide poolt algatatud           
kõneminutite, kui ka EMT võrku sisenevate vastuvõetavate kõneminutite arv 2%    
võrra väiksemaks võrreldes 2008. aasta esimese kvartaliga, mis tuleneb klientide
kokkuhoiusoovist tarbimist piirata.                                             

AS-i EMT kliendibaas oli 2009. aasta esimese kvartali lõpuks 14 tuhande võrra   
suurem võrreldes aasta varasema ajaga, ulatudes 766 tuhande aktiivse            
SIM-kaardini (31. märts 2008: 751 tuhat kaarti). Võrreldes aastatagusega on     
lepinguliste klientide arv kasvanud 15 tuhande võrra, ulatudes 2009. aasta      
esimese kvartali lõpu seisuga 488 tuhandeni, samal ajal kui aktiivsete          
ettemaksega kaartide kasutajate arv on jäänud samale                            
278 tuhande tasemele. EMT                                                       
hindab oma turuosa aktiivsete SIM-kaartide põhjal stabiilselt 47%-le.           
Hinnanguline aktiivsete kaartide penetratsioon Eestis on 120%.                  

Märtsis tõi EMT turule mobiilportaali SurfPort lisavõimaluse, mis võimaldab     
kaasaegsetel mobiiltelefonidel avada enamikke tavapäraseid veebilehti tervest   
internetist. Seniajani oli telefoni ekraanil võimalik avada üksnes spetsiaalselt
mobiiltelefonidele loodud WAP lehti. Uus omadus laiendab tunduvalt infovalikut  
liikuvatele kasutajatele, ilma vajaduseta arvuti või uue telefoni järgi.        

Vastavalt Sideameti otsustele oli fikseeritud AS EMT-le, Elisa Eesti AS-ile ja  
Tele2 Eesti AS-ile perioodiks 01.07.2007-30.06.2008 sidumistasuks 0,11 eurot.   
Perioodiks 01.07.2008-30.06.2009 on kehtestanud Sideameti õigusjärglane         
Konkurentsiamet AS-ile EMT, Elisa Eesti AS-ile ja Tele2 Eesti AS-ile oma        
mobiiltelefoni-võrkudes häälkõne lõpetamise tasuks 0,09 eurot minut.            

Konkurentsiamet tegi 26.03.2009 otsuse alusel teatavaks uue turuanalüüsi        
tulemused, mille kohaselt tunnistati olulise turujõuga ettevõtjaks oma          
mobiiltelefonivõrgus häälkõne lõpetamise turul lisaks AS-ile EMT, Elisa Eesti   
AS-ile ja Tele2 Eesti AS-ile ka ProGroup Holding OÜ. Otsuse kohaselt            
kohustatakse viidatud ettevõtjaid hinnakontrolli kohustuse raames rakendama kuni
30.06.2012 benchmark´il põhinevat Euroopa riikide keskmist sidumistasu, mis teeb
alates 01.07.2009 rakendatavaks maksimaalseks tariifiks 0,09 eurot minut.       
Perioodideks 01.07.2010-30.06.2011 ja 01.07.2011-30.06.2012 kehtestatavad       
sidumistasu maksimaalmäärad teeb Konkurentsiamet teatavaks hiljemalt 2 kuud enne
vastavate perioodide algust, kuid otsuse kohaselt ei tohi rakendatava           
sidumistasu langus või tõus olla suurem kui 10%.                                

Lairiba teenuste segmendi müügitulud ulatusid esimeses kvartalis 46,5 miljoni   
euroni (1. kvartal 2008:                                                        
48,8 miljonit eurot).  Võrreldes 2008. aasta sama                               
perioodiga kasvasid tulud enim rahvusvaheliste sidumisteenuste ja               
terviklahenduste müügist, mis suurenesid vastavalt 27% ja 16%. Rahvusvaheliste  
sidumisteenuste tulude kasv tulenes peamiselt rahvusvaheliste sisenevate kõnede 
minutimahu suurenemisest. Samas langesid lõpp-klientidelt teenitavad            
kõneteenuste tulud minutimahu vähenemise tõttu 16%. Tulenevalt terviklahenduste 
mahu ja tulude osakaalu olulisest kasvust langesid lõppenud kvartalis tulud     
kõnesideühenduste ja internetiühenduste kuutasudest vastavalt 10% ja 14%. Siiski
ületab terviklahenduste müügist teenitud tulu nimetatud languse                 
märkimisväärselt. Võrreldes eelmise aasta sama perioodiga vähenes lairiba       
teenuste segmendi käive kokku 5%. Käibe langus oli eelkõige seotud              
telekommunikatsiooni- ja IT-kaupade müügimahtude vähenemisega.                  

Elioni interneti püsiühenduse klientide koguarv kasvas 2009. aasta esimeses     
kvartalis võrreldes aasta varasema ajaga 9000 ühenduse võrra, ulatudes märtsi   
lõpuks 176,5 tuhandeni (31. märts 2008: 167,5 tuhat). Ettevõtja hinnangul Elioni
turuosa eraklientide püsiühendusest ei muutunud, olles jätkuvalt 54%.           

Märtsis alustas Elion erakliendi terviklahenduste tooteportfelli ühtlustamisega,
tuues turule kaks uuendatud Kodulahenduse toodet ning alustades olemasolevate   
Kodulahenduse klientide järk-järgulist üleviimist uutele toodetele. Mõlema toote
puhul on tegemist kolmikpaketiga, mis erinevad üksteisest internetiühenduse     
allalaadimiskiiruse ning televisioonikanalite arvu poolest. Uued Kodulahenduse  
tooted sisaldavad tasuta täiendavat televisiooni vaatamiskohta ning WiFi        
kasutusvõimalust Elioni WiFi võrkudes üle Eesti.                                

Märtsi lõpus lansseeris Elion ka kolmikpaketi baasvajadustele vastava 16,30     
eurose kuutasuga Stardipaketi, sisenedes uue tootega odavteenuste turule.       
Stardipakett toodi turule inimeste internetti kaasamise projekti "Ole kaasas!"  
raames, mis algatati märtsis Sihtasutuse Vaata maailma! ning Eesti Telekomi     
poolt.                                                                          

Elioni kolmikpakettide kasutajate arv suurenes esimeses kvartalis võrreldes     
aasta varasema ajaga 23,5 tuhande võrra, ulatudes 31. märtsi seisuga 82,1       
tuhandeni (31. märts 2008: 58,6 tuhat). Esimese kvartali lõpuks oli Elionil 86,9
tuhat IP- ja kaabeltelevisiooni klienti (31. märts 2008: 63,2 tuhat). Elioni    
hinnangul on ettevõtja turuosa Eesti kaabelleviturul aastaga suurenenud 6%,     
ulatudes esimese kvartali lõpuks 28%-ni (31. märts 2008: 22%).                  

Märtsis alustas Elion veebiaadressil http://leiunurk.elion.ee kasutatud IT      
seadmete müüki, mis täidab ettevõtja jaoks kahte eesmärki - säästa keskkonda,   
suunates kvaliteetseid seadmeid taaskasutusse ning võimaldada arvuti ostu ka    
keerulises majandussituatsioonis.                                               

Esimese kvartali lõpuks ulatus Elioni aktiivsete kõneliideste arv 461 tuhandeni 
(31. märts 2008: 473 tuhat liidest). Kõneliideste vähenemine tuleneb            
telefoniühenduste arvu oodatud kahanemisest erasegmendis ning taksofonide arvu  
vähendamisest üle Eesti.                                                        

Elion hindab oma turuosa fikseeritud võrgus algatatud kõneminutitest 80%-liseks 
(31. märts 2008: 81%). Turuosa kohalike kõnede minutitest on 82% (31. märts     
2008: 83%), rahvusvaheliste kõnede minutitest 68%                               
(31. märts 2008: 66%) ning                                                      
mobiiltelefonidele tehtavate kõnede minutitest 70% (31. märts 2008: 71%).       
Rahvusvaheliste kõnede turuosa tõus on seletatav arvestusmetoodika muutusega.   
Ettevõtja hinnangul on nimetatud turuosa püsinud viimase aasta jooksul samal    
tasemel.                                                                        

Märtsi lõpus teavitas Elion teisi operaatoreid iga-aastasest sidumisteenuste ja 
juurdepääsuteenuste hinnakirja muudatustest, mis jõustuvad alates 1. maist 2009.
Tegemist on valdkonnapõhisest regulatsioonist tulenevate nõuetega, mis          
kohustavad Elioni hindu üle vaatama vähemalt kord aastas ning mis põhinevad     
eelmise perioodi kuluaruannetel. Teenuste lõikes tulenevad hinnamuudatused on   
eelkõige seotud mahtude vähenemise või suurenemisega. Näiteks vaskpaari rendi   
kuutasud ning telefonivõrgu sidumistasud suurenevad keskmiselt 20% ja 12%. Samas
alanevad lairiba juurdepääsu hinnad olenevalt kiirusest 9-20%.                  

IT-teenuste segmendi 2009. aasta esimese kvartali andmed sisaldavad oktoobris   
2008 omandatud                                                                  
IT Koolituskeskuse OÜ grupi ettevõtete konsolideeritud andmeid.                 

IT-teenuste segmendi müügitulu ulatus 2009. aasta esimeses kvartalis 3,9 miljoni
euroni (1. kvartal 2008:                                                        
5,1 miljonit eurot). Võrreldes eelmise aasta sama                               
perioodiga vähenes konsolideeritud müügitulu 22%, seejuures IT-kaupade osas     
langes müügitulu 53% ja  püsiteenuste osas langes müügitulu 6% võrra ning       
projektipõhiste teenuste müügitulu suurenes 30%. Eesti Telekom Grupi siseselt   
osutatud teenuste müügitulu vähenes eelmise aasta esimese kvartaliga võrreldes  
27%, samas grupivälistele klientidele osutatud teenuste müügitulu suurenes 13%. 

2009. aasta riigieelarve vähendamine 0,5 miljardi euro võrra avaldas olulist    
mõju Eesti IT-sektorile. Paljud hanked on edasi lükatud või juba toimunud       
hangete tulemused tühistatakse.                                                 

Infrastruktuurilahenduste müügikäive oli esimeses kvartalis oluliselt väiksem   
kui eelmisel aasta samal perioodil (1,0 miljonit eurot vs 2,1 miljonit eurot).  
Põhjuseks on üldine langus IT-turul. Samasugust langustrendi täheldavad hetkel  
kõik IT-haru ettevõtted, kes tegelevad kaubamüügiga.                            

Projektiäris oli esimeses kvartalis oluliseks projektiks dokumendihalduse       
juurutamine Eesti Postis ning erinevate infosüsteemide edasiarendused           
Piletilevis, Töötukassas ning Ragn-Sells's.                                     

Püsiteenuste valdkonnas võitis AS MicroLink Eesti esimeses kvartalis Tallina    
Linnakantselei poolt korraldatud arvutitööjaamade halduse hanke. Lisaks hakkas  
MicroLink Eesti esimeses kvartalis osutama serverihalduse teenuseid Ida-Tallinna
Keskhaiglale, Harku Vallavalitsusele ja Eesti Raudteele.                        

Eesti Telekom Grupi tegevuskulud vähenesid 2009. aasta esimeses kvartalis 2008. 
aasta sama perioodiga võrreldes 10%, ulatudes 52,7 miljoni euroni (1. kvartal   
2008: 58,3 miljonit eurot).                                                     

Mobiilside teenuste segmendi tegevuskulud vähenesid 2008. aasta esimese         
kvartaliga võrreldes 14%, jäädes  29,9 miljoni euro tasemele (1. kvartal 2008:  
34,9 miljonit eurot). Enim on vähenenud jae- ja hulgikaubandusega seotud        
tegevuskulud, mis on kooskõlas kaubanduse müügikäibe langusega. Samuti on       
vähenenud sidumishindade langusest tingitud sidumiskulud. Tegevuskulude         
langusele avaldasid mõju ka efektiivsusprogrammid, mis olid seotud töötajate    
arvu ning turundus, IT- ja võrgukulude vähendamisega.                           

Lairiba teenuste segmendi tegevuskulud kahanesid lõppenud kvartalis 2008. aasta 
sama perioodiga võrreldes 7%, ulatudes 30,8 miljoni euroni (1. kvartal 2008:    
33,2 miljonit eurot). Põhiosa tegevuskulude vähenemisest tulenes kaupade        
jaemüügimahtude kahanemisega seotud otsemüügikulude langusest. Olulist mõju     
tegevuskulude langusele avaldasid ka eelmisel aastal algatatud                  
efektiivsusprojektid, mis olid seotud võrguressursi hoolduskulude, IT-  ja      
transpordikulude ning töötajate arvu vähendamisega.                             

IT-teenuste segmendi tegevuskulud kahanesid esimeses kvartalis võrreldes eelmise
aasta sama perioodiga 14%, ulatudes 4,2 miljoni euroni (1. kvartal 2008: 4,8    
miljonit eurot). Kvartali tegevuskulusid mõjutas                                
IT Koolituskeskuse                                                              
konsolideerimisega kaasnenud kulude lisandumine, eraldiseisva ettevõttena       
kasvasid                                                                        
AS MicroLink Eesti tegevuskulud 3%.                                             

Eesti Telekom Grupi ärikasum enne kulumit kahanes 2009. aasta esimeses kvartalis
eelmise aasta sama perioodiga võrreldes 10%, ulatudes 33,0 miljoni euroni (1.   
kvartal 2008: 36,8 miljonit eurot). Mobiilside teenuste segmendi ärikasum enne  
kulumit vähenes esimeses kvartalis võrreldes eelmise aasta sama perioodiga 17%  
võrra. Kuna tegevuskulude langus on olnud peaaegu samas proportsioonis käibe    
vähenemisega, siis mobiilside segmendi tegevuskasumi marginaal on langenud vähem
kui ühe protsendi võrra. Lairiba teenuste segmendi ärikasum enne kulumit        
suurenes esimeses kvartalis eelmise aasta sama perioodiga võrreldes 1%, ulatudes
15,8 miljoni euroni (1. kvartal 2008: 15,8 miljonit eurot). IT-teenuste segmendi
ärikahjum enne kulumit oli 2009. aasta esimeses kvartalis 0,2 miljonit eurot (1.
kvartal 2008: kasum 0,2 miljonit eurot). Grupi ärikasumi enne kulumit marginaal 
oli 2009. aasta esimeses kvartalis 39%, jäädes samale tasemele eelmise aasta    
sama perioodi vastava marginaaliga.                                             

Grupi amortisatsioonikulu ulatus 2009. aasta esimeses kvartalis 10,0 miljoni    
euroni, suurenedes                                                              
2008. aasta sama perioodiga võrreldes 12% (1. kvartal 2008:                     
8,9 miljonit eurot). Suurim kasv amortisatsioonikulus tulenes IT-teenuste       
segmendist kus amortisatsioonikulu ulatus 2009. aasta esimeses kvartalis 0,8    
miljoni euroni (1. kvartal 2008: 0,4 miljonit eurot). See oli tingitud          
tütarettevõtte IT Koolituskeskuse OÜ omandamise järgselt bilansis kajastatud    
firmaväärtuse allahindamisest 0,4 miljoni euro ulatuses käesoleva aasta         
veebruaris.                                                                     

Eesti Telekom Grupp teenis esimeses kvartalis ärikasumit 23,0 miljonit eurot,   
kahanedes eelmise aasta sama perioodiga võrreldes 18% (1. kvartal 2008: 27,9    
miljonit eurot).                                                                

Eesti Telekom Grupi 2009. aasta esimese kvartali kasum oli 24,0 miljonit eurot  
(1. kvartal 2008:                                                               
28,9 miljonit eurot). Tulu aktsia kohta teeniti 0,17 eurot                      
(1. kvartal 2008: 0,21 eurot). Grupi 2009. aasta esimese kvartali koondkasum oli
24,0 miljonit eurot (1. kvartal 2008: 28,9 miljonit eurot).                     

Finantsseisundi aruanne ja rahavood                                             
Eesti Telekom Grupi bilansimaht oli 31. märtsi 2009. aasta seisuga 332,8        
miljonit eurot (31. detsember 2008: 319,5 miljonit eurot). Aasta algusega       
võrreldes on 1,3 miljoni euro võrra kahanenud põhivara, mille jääk esimese      
kvartali lõpus ulatus 185,7 miljoni euroni. Grupi käibevara on kolme kuuga      
kasvanud                                                                        
14,5 miljoni euro võrra, ulatudes märtsikuu lõpus 147,1 miljoni euroni          
(31. detsember 2008:                                                            
132,6 miljonit eurot). Raha ja raha ekvivalentide ning                          
lühiajaliste finantsinvesteeringute jääk on kasvanud                            
22,9 miljoni euro võrra,                                                        
ulatudes perioodi lõpuks 78,0 miljoni euroni.                                   

Eesti Telekom Grupi omakapital oli 31. märtsi 2009. aasta seisuga 298,5 miljonit
eurot, mis on                                                                   
24,0 miljonit eurot enam kui 2008. aasta lõpus (31. detsember                   
2008: 274,5 miljonit eurot). Omakapitali kasv on tulenenud esimese kvartali     
kasumist. Grupil oli märtsi lõpu seisuga pikaajalisi kohustusi                  
2,1 miljonit                                                                    
eurot (31. detsember 2008: 2,1 miljonit eurot) ja lühiajalisi võlakohustusi 32,2
miljonit eurot (31. detsember 2008: 42,9 miljonit eurot). Eesti Telekom Grupi   
netovõlg oli esimese kvartali lõpus -                                           
77,5 miljonit eurot ja netovõla suhe                                            
omakapitali -25,9% (31. detsember 2008: -54,5 miljonit eurot ja -20%).          

Eesti Telekom Grupi äritegevuse rahavoog oli 2009. aasta kolme kuuga 29,0       
miljonit eurot (3 kuud 2008:                                                    
28,6 miljonit eurot). Grupi investeerimistegevuse                               
rahavoog oli 25,9 miljonit eurot (3 kuud 2008:                                  
35,2 miljonit eurot). Rahavoog                                                  
materiaalse ja immateriaalse põhivara soetamisse oli esimesel kolmel kuul       
7,8                                                                             
miljonit eurot (3 kuud 2008: 7,6 miljonit eurot). Mobiilside teenuste segment on
2009. aasta esimeses kvartalis investeerinud 4,8 miljonit eurot (1. kvartal     
2008: 3,6 miljonit eurot). Mobiilsides oli lisaks pidevale GSM-võrgu arendusele 
arenguprioriteediks kiiret mobiilset andmesidet toetavate tehnoloogiate         
rakendamine. Enamus EMT klientide andmeside kasutusest tehakse 3G võrgus, mis   
võimaldab kasutada kvaliteetset ja kiiret ADSLi lähedase kiirusega              
internetiühendust mugavalt kontrollitavate kuludega. Kuna EMT-l töötab ainsana  
Eestis EDGE andmeside kogu GSM levialas, siis uued tugijaamade investeeringud on
suunatud põhiliselt 3G välis- ja siselevi laiendamiseks linnades ja asulates.   
Samas jätkus endiselt pidev GSM võrgu täiustamine. Lairiba teenuste segmendi    
investeeringud põhivarasse ulatusid 2,8 miljoni euroni (1. kvartal 2008: 3,6    
miljonit eurot). Põhiosa kapitalimahutustest olid seotud võrguressursi          
arendamisega, tooteportfelli muudatustega ning kolmikteenuse kvaliteedi         
parandamise ja kättesaadavuse laiendamisega. IT-teenuste segment investeeris    
2009. aasta esimeses kvartalis põhivarasse 0,2 miljonit eurot (1. kvartal 2008: 
0,3 miljonit eurot).                                                            

Eesti Telekom Grupi rahavoog finantseerimistegevusse jäi 2009. aasta esimese    
kolme kuuga sarnaselt eelmise aasta esimesele kvartalile alla 0,1 miljon euro.  

Aktsionäride üldkoosolek                                                        
AS-i Eesti Telekom aktsionäride korraline üldkoosolek toimub 20. mail 2009.     
aastal algusega kell 12.00  aadressil Valge 16, Tallinn. 2008. aasta            
majandusaasta aruande ja üldkoosoleku otsuseprojektidega saab tutvuda alates 27.
aprillist 2009. aastal internetiaadressil: http://www.telekom.ee ja Eesti       
Telekomis aadressil Valge 16, Tallinn tööpäeviti kell 10.00 - 14.00.            
Üldkoosolekuga seonduvaid küsimusi võib esitada AS-i Eesti Telekom kodulehel,   
telefonil 6 311 212 või meilida aadressil mailbox@telekom.ee.                   
                                                                                


Dividendid                                                                      
AS-i Eesti Telekom juhatus teeb aktsionäride üldkoosolekule ettepaneku jaotada  
aktsionäride vahel ning maksta aktsionäridele dividendidena välja 92,6 miljonit 
eurot ehk 0,67 eurot aktsia kohta,  lähtudes dividendi-õiguslike aktsiate       
arvust, ehk 137 954 528 aktsiast.                                               

2008. aastal jaotati aktsionäride vahel dividendidena 92,6 miljonit eurot ehk   
0,67 eurot aktsia kohta.                                                        



Definitsioonid                                                                  

Kulumieelse ärikasumi marginaal = põhivara kulumieelne ärikasum / müügitulu x   
100%                                                                            
Ärikasumi marginaal = ärikasum / müügitulu x 100%                               
Netovõlg = pika- ja lühiajalised intressikandvad laenud ja võlakohustused - raha
ja raha ekvivalendid -lühiajalised investeeringud                               
Netovõla suhe omakapitali = netovõlg / omakapital x 100%                        
ROA = aruandeperioodi kasum / keskmine varade väärtus x 100%                    
ROE = kasum enne maksustamist /keskmine omakapital x 100%                       
Tava kasum aktsia kohta = aruandeperioodi kasum / keskmine aktsiate arv         

KONSOLIDEERITUD  KOONDKASUMIARUANNE                                             

--------------------------------------------------------------------------------
|                            |  Lisad   |  I kvartal |  I kvartal |      2008  |
|                            |          |       2009 |      2008  |            |
--------------------------------------------------------------------------------
| Müügitulu                  | 2.1, 2.3 |    85 417  |    94 857  |   395 588  |
--------------------------------------------------------------------------------
| Müüdud toodangu kulud      |   2.1    |   (48 658) |   (53 078) |  (225 777) |
--------------------------------------------------------------------------------
| Brutokasum                 |   2.1    |    36 759  |    41 779  |   169 811  |
--------------------------------------------------------------------------------
| Turustus-, üldhalduskulud  |   2.1    |   (14 095) |   (14 187) |   (57 972) |
| ning uurimis- ja           |          |            |            |            |
| arendusväljaminekud        |          |            |            |            |
--------------------------------------------------------------------------------
| Muud äritulud              |   2.1    |       483  |       402  |     2 001  |
--------------------------------------------------------------------------------
| Muud ärikulud              |   2.1    |      (164) |       (99) |      (543) |
--------------------------------------------------------------------------------
| Ärikasum                   |   2.1    |    22 983  |    27 895  |   113 297  |
--------------------------------------------------------------------------------
| Finantstulud               |          |     1 112  |     1 134  |     3 527  |
--------------------------------------------------------------------------------
| Finantskulud               |          |       (22) |       (37) |       (56) |
--------------------------------------------------------------------------------
| Finantstulud, neto         |   2.1    |     1 090  |     1 097  |     3 471  |
--------------------------------------------------------------------------------
| Finantstulud / (-kulud)    |   2.1    |       (53) |      (107) |      (182) |
| sidusettevõtjate           |          |            |            |            |
| aktsiatelt ja osadelt,     |          |            |            |            |
| neto                       |          |            |            |            |
--------------------------------------------------------------------------------
| Kasum enne                 |   2.1    |    24 020  |    28 885  |   116 586  |
| tulumaksustamist           |          |            |            |            |
--------------------------------------------------------------------------------
| Dividendide tulumaks       |   2.1    |         -  |         -  |   (24 664) |
--------------------------------------------------------------------------------
| Perioodi kasum             |   2.1    |    24 020  |    28 885  |    91 922  |
--------------------------------------------------------------------------------
| Muu koondkasum             |          |            |            |            |
--------------------------------------------------------------------------------
| Valuutakursi vahed         |   2.1    |        (1) |         -  |         1  |
| välisettevõtete            |          |            |            |            |
| ümberarvestusel            |          |            |            |            |
--------------------------------------------------------------------------------
| Perioodi muu koondkasum    |   2.1    |        (1) |         -  |         1  |
--------------------------------------------------------------------------------
| Perioodi koondkasum kokku  |   2.1    |    24 019  |    28 885  |    91 923  |
--------------------------------------------------------------------------------
| Perioodi kasumi jaotus:    |          |            |            |            |
--------------------------------------------------------------------------------
| Emaettevõtja osalus        |   2.1    |    23 993  |    28 803  |    91 703  |
| kasumis                    |          |            |            |            |
--------------------------------------------------------------------------------
|  Vähemusosa osalus kasumis |   2.1    |        27  |        82  |       219  |
--------------------------------------------------------------------------------
|                            |          |    24 020  |    28 885  |    91 922  |
--------------------------------------------------------------------------------
| Perioodi koondkasumi       |          |            |            |            |
| jaotus:                    |          |            |            |            |
--------------------------------------------------------------------------------
| Emaettevõtja osalus        |   2.1    |    23 992  |    28 803  |    91 704  |
| koondkasumis               |          |            |            |            |
--------------------------------------------------------------------------------
| Vähemusosa osalus          |   2.1    |        27  |        82  |       219  |
| koondkasumis               |          |            |            |            |
--------------------------------------------------------------------------------
|                            |          |    24 019  |    28 885  |    91 923  |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Aktsia puhaskasum,         |  7 (e)   |            |            |            |
| arvestatud emaettevõtja    |          |            |            |            |
| osalusest aruandeperioodi  |          |            |            |            |
| kasumis (eurodes)          |          |            |            |            |
--------------------------------------------------------------------------------
|    Tava kasum aktsia kohta |          |      0,17  |      0,21  |      0,66  |
--------------------------------------------------------------------------------
| Lahustatud kasum aktsia    |          |      0,17  |      0,21  |      0,66  |
| kohta                      |          |            |            |            |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Ärikasum enne kulumit      |   2.1    |    33 026  |    36 837  |   150 088  |
--------------------------------------------------------------------------------
| Kulum ja väärtuse langus   |  2.1, 3  |   (10 043) |    (8 942) |   (36 791) |
--------------------------------------------------------------------------------









KONSOLIDEERITUD  FINANTSSEISUNDI  ARUANNE                                       

--------------------------------------------------------------------------------
|                            | Lisad  |   31. märts |   31. dets. |   31.märts |
|                            |        |        2009 |        2008 |      2008  |
--------------------------------------------------------------------------------
| AKTIVA                     |        |             |             |            |
--------------------------------------------------------------------------------
| Põhivara                   |        |             |             |            |
--------------------------------------------------------------------------------
| Materiaalne põhivara       |   3    |    164 193  |    165 542  |   152 879  |
--------------------------------------------------------------------------------
| Immateriaalne põhivara     |   3    |     13 713  |     14 592  |    13 179  |
--------------------------------------------------------------------------------
| Investeeringud             | 2.2, 5 |        623  |        676  |       750  |
| sidusettevõtjatesse        |        |             |             |            |
--------------------------------------------------------------------------------
| Mitmesugused pikaajalised  |        |      7 143  |      6 115  |     7 418  |
| nõuded                     |        |             |             |            |
--------------------------------------------------------------------------------
| Põhivara kokku             |  2.2   |    185 672  |    186 925  |   174 226  |
--------------------------------------------------------------------------------
| Käbevara                   |        |             |             |            |
--------------------------------------------------------------------------------
| Müügiootel põhivara        |        |          -  |          -  |       208  |
--------------------------------------------------------------------------------
| Varud                      |   6    |     11 045  |     10 861  |    11 811  |
--------------------------------------------------------------------------------
| Nõuded ostjate vastu ja    |        |     58 054  |     66 576  |    64 983  |
| muud lühiajalised nõuded   |        |             |             |            |
--------------------------------------------------------------------------------
| Lühiajalised               |        |          -  |     31 956  |     1 101  |
| finantsinvesteeringud      |        |             |             |            |
--------------------------------------------------------------------------------
| Raha ja raha ekvivalendid  |        |     78 013  |     23 206  |    89 085  |
--------------------------------------------------------------------------------
| Käibevara kokku            |  2.2   |    147 112  |    132 599  |   167 188  |
--------------------------------------------------------------------------------
| AKTIVA KOKKU               |  2.2   |    332 784  |    319 524  |   341 414  |
--------------------------------------------------------------------------------
| OMAKAPITAL JA KOHUSTUSED   |        |             |             |            |
--------------------------------------------------------------------------------
| Omakapital                 |        |             |             |            |
--------------------------------------------------------------------------------
| Emaettevõtja osalus        |   7    |             |             |            |
| omakapitalis               |        |             |             |            |
--------------------------------------------------------------------------------
| Aktsiakapital              |        |     88 169  |     88 169  |    88 169  |
--------------------------------------------------------------------------------
| Ülekurss                   |        |     22 753  |     22 753  |    22 753  |
--------------------------------------------------------------------------------
| Kohustuslik reserv         |        |      8 817  |      8 817  |     8 817  |
--------------------------------------------------------------------------------
| Realiseerimata kursivahed  |        |          -  |          1  |         -  |
--------------------------------------------------------------------------------
| Eelmiste perioodide        |        |    178 267  |    154 274  |   184 068  |
| jaotamata kasum            |        |             |             |            |
--------------------------------------------------------------------------------
| Emaettevõtja osalus        |        |    298 006  |    274 014  |   303 807  |
| omakapitalis kokku         |        |             |             |            |
--------------------------------------------------------------------------------
| Vähemusosa                 | 2.2, 7 |        540  |        513  |       815  |
--------------------------------------------------------------------------------
| Omakapital kokku           |        |    298 546  |    274 527  |   304 622  |
--------------------------------------------------------------------------------
| Pikaajalised kohustused    |        |             |             |            |
--------------------------------------------------------------------------------
| Intressikandvad laenud ja  |   8    |        375  |        375  |        48  |
| võlakohustused             |        |             |             |            |
--------------------------------------------------------------------------------
| Pensionikohustused         |   9    |        122  |        138  |       192  |
--------------------------------------------------------------------------------
| Eraldised                  |   10   |      1 443  |      1 443  |     1 338  |
--------------------------------------------------------------------------------
| Intressi mittekandvad      |        |        127  |        127  |         -  |
| võlakohustused             |        |             |             |            |
--------------------------------------------------------------------------------
| Pikaajalised kohustused    |  2.2   |      2 067  |      2 083  |     1 578  |
| kokku                      |        |             |             |            |
--------------------------------------------------------------------------------
| Lühiajalised kohustused    |        |             |             |            |
--------------------------------------------------------------------------------
| Võlad tarnijatele ja muud  |        |     31 902  |     42 399  |    34 571  |
| lühiajalised kohustused    |        |             |             |            |
--------------------------------------------------------------------------------
| Intressikandvad laenud ja  |   8    |        174  |        259  |       164  |
| võlakohustused             |        |             |             |            |
--------------------------------------------------------------------------------
| Pensionikohustused         |   9    |         66  |         66  |       310  |
--------------------------------------------------------------------------------
| Eraldised                  |   10   |         29  |        190  |       169  |
--------------------------------------------------------------------------------
| Lühiajalised kohustused    |  2.2   |     32 171  |     42 914  |    35 214  |
| kokku                      |        |             |             |            |
--------------------------------------------------------------------------------
| Kohustused kokku           |        |     34 238  |     44 997  |    36 792  |
--------------------------------------------------------------------------------
| OMAKAPITAL JA KOHUSTUSED   |  2.2   |    332 784  |    319 524  |   341 414  |
| KOKKU                      |        |             |             |            |
--------------------------------------------------------------------------------







KONSOLIDEERITUD RAHAVOOGUDE ARUANNE                                             

--------------------------------------------------------------------------------
|                                      | Lisad  |     I kvartal |    I kvartal |
|                                      |        |          2009 |         2008 |
--------------------------------------------------------------------------------
| Rahavoog äritegevusest               |        |               |              |
--------------------------------------------------------------------------------
| Aruandeperioodi puhaskasum           |        |       24 020  |      28 885  |
--------------------------------------------------------------------------------
| Korrigeerimised:                     |        |               |              |
--------------------------------------------------------------------------------
| Põhivara kulum ja väärtuse langus    | 2.1, 3 |       10 043  |       8 942  |
--------------------------------------------------------------------------------
| (Kasum) / kahjum  põhivara müügist   |        |         (184) |        (189) |
--------------------------------------------------------------------------------
| Neto (tulud) / kulud                 |        |           53  |         107  |
| sidusettevõtjatelt                   |        |               |              |
--------------------------------------------------------------------------------
| Eraldised                            |        |         (161) |        (117) |
--------------------------------------------------------------------------------
| (Finantstulud) / kulud               |        |       (1 616) |      (1 633) |
--------------------------------------------------------------------------------
| Muud mitterahalised korrigeerimised  |        |          (20) |           4  |
--------------------------------------------------------------------------------
| Rahavoog äritegevusest enne          |        |       32 135  |      35 999  |
| käibekapitali muutusi                |        |               |              |
--------------------------------------------------------------------------------
| Äritegevusega seotud nõuete ja       |        |        6 683  |         297  |
| ettemaksete muutus                   |        |               |              |
--------------------------------------------------------------------------------
| Varude muutus                        |        |         (184) |        (262) |
--------------------------------------------------------------------------------
| Äritegevusega seotud kohustuste ja   |        |      (10 449) |      (8 406) |
| ettemaksete muutus                   |        |               |              |
--------------------------------------------------------------------------------
| Käibekapitali muutus                 |        |       (3 950) |      (8 371) |
--------------------------------------------------------------------------------
| Rahavood äritegevusest peale         |        |       28 185  |      27 628  |
| käibekapitali muutusi                |        |               |              |
--------------------------------------------------------------------------------
| Saadud intressid                     |        |          781  |       1 052  |
--------------------------------------------------------------------------------
| Makstud intressid                    |        |          (11) |         (94) |
--------------------------------------------------------------------------------
| Rahavoog äritegevusest kokku         |  2.2   |       28 955  |      28 586  |
--------------------------------------------------------------------------------
| Rahavood investeerimistegevusest     |        |               |              |
--------------------------------------------------------------------------------
| Materiaalse ning immateriaalse       | 2.2, 3 |       (7 835) |      (7 593) |
| põhivara soetamine                   |        |               |              |
--------------------------------------------------------------------------------
| Materiaalse ja immateriaalse         |        |          206  |         207  |
| põhivara müük                        |        |               |              |
--------------------------------------------------------------------------------
| Lühiajaliste finantsinvesteeringute  |        |       31 956  |      43 257  |
| muutus, neto                         |        |               |              |
--------------------------------------------------------------------------------
| Muude pikaajaliste nõuete muutus,    |        |        1 593  |        (703) |
| neto                                 |        |               |              |
--------------------------------------------------------------------------------
| Rahavoog investeerimistegevusest     |  2.2   |       25 920  |      35 168  |
| kokku                                |        |               |              |
--------------------------------------------------------------------------------
| Rahavood enne finantseerimistegevust |        |       54 875  |      63 754  |
--------------------------------------------------------------------------------
| Rahavood finantseerimistegevusest    |        |               |              |
--------------------------------------------------------------------------------
| Kapitalirendi põhiosa tagasimaksed   |   8    |          (77) |         (38) |
--------------------------------------------------------------------------------
| Rahavood finantseerimistegevusest    |  2.2   |          (77) |         (38) |
| kokku                                |        |               |              |
--------------------------------------------------------------------------------
| Raha ja raha ekvivalentide muutus    |  2.2   |       54 798  |      63 716  |
--------------------------------------------------------------------------------
|                                      |        |               |              |
--------------------------------------------------------------------------------
| Raha ja raha ekvivalendid aasta      |  2.2   |       23 206  |      25 359  |
| alguses                              |        |               |              |
--------------------------------------------------------------------------------
| Raha ja rahaekvivalentide muutus     |  2.2   |       54 798  |      63 716  |
--------------------------------------------------------------------------------
| Valuutakursi muutuste mõju           |  2.2   |            9  |          10  |
--------------------------------------------------------------------------------
| Raha ja raha ekvivalendid perioodi   |  2.2   |       78 013  |      89 085  |
| lõpus                                |        |               |              |
--------------------------------------------------------------------------------

Pealkiri

Consolidated Interim Report of AS Eesti Telekom I Quarter 2009, EUR

Teade

(Translation of the Estonian original)                                          

MANAGEMENT REPORT                                                               

GENERAL INFORMATION                                                             

The principal activity of Eesti Telekom Group, the parent company of which is AS
Eesti Telekom (registration number 10234957; address: Valge 16, 19095 Tallinn), 
is the provision of telecommunications services.                                

Since 1999, the shares of AS Eesti Telekom have been listed on the Tallinn and  
London securities markets (OMX: ETLAT / LSE: EETD).                             


Changes in the Eesti Telekom Group structure                                    
AS Eesti Telekom Council has given the Board approval to initiate mergers and   
enter into relevant agreements with the goal to simplify Eesti Telekom Group    
structure, by merging AS EMT with its 100% subsidiaries EMT Esindused AS and AS 
Mobile Wholesale, and Elion Ettevõtted AS with its 100% subsidiary Elion Esindus
AS. The aim is to achieve greater efficiency in business processes. The mergers 
are planned to be concluded by August 2009 at the latest. The planned merger    
will not cause any changes in financial reporting as the results of EMT Group   
and Elion Group are already consolidated.                                       

As of 11 February 2009, BiTA Service Management has merged with IT              
Koolituskeskuse OÜ.                                                             


Ownership structure of AS Eesti Telekom                                         
During the first quarter of 2009, there were no significant changes in the      
structure of the AS Eesti Telekom shareholders. The Eesti Telekom majority      
shareholder TeliaSonera AB (through Baltic Tele AB) continues to own 60.12% of  
the company's shares.                                                           

As of the end of the first quarter, the ratio of freely traded shares converted 
to GDRs was 12.71%. Of these, 12.81% were converted into GDRs traded on the     
London Stock Exchange.                                                          
As of 31 March 2009, the 10 largest shareholders in AS Eesti Telekom were:      

--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
|                                             |         31 March 2009          |
--------------------------------------------------------------------------------
|                                             | No of shares  | Participation  |
--------------------------------------------------------------------------------
|                                                            | Changes since   |
|                                                            |   31 December   |
|                                                            |      2008       |
--------------------------------------------------------------------------------
| Baltic Tele AB                   | 82,936,29 |      60.12% |               0 |
|                                  |         9 |             |                 |
--------------------------------------------------------------------------------
| Ministry of Finance              | 33,346,46 |      24.17% |               0 |
|                                  |         4 |             |                 |
--------------------------------------------------------------------------------
| Development Fund                 | 4,138,636 |       3.00% |               0 |
--------------------------------------------------------------------------------
| SEB clients                      | 2,818,746 |       2.04% |        (45,988) |
--------------------------------------------------------------------------------
| Deutsche Bank (GDR accounts)     | 2,246,838 |       1.63% |        (17,382) |
--------------------------------------------------------------------------------
| ING Luxembourg S.A.              | 2,055,783 |       1.49% |               0 |
--------------------------------------------------------------------------------
| Clearstream Banking Luxembourg   |   578,301 |       0.42% |         (6,675) |
| S.A. clients                     |           |             |                 |
--------------------------------------------------------------------------------
| UniCredit Bank Austria AG        |   472,148 |       0.34% |        (24,238) |
--------------------------------------------------------------------------------
| Mellon Treaty Omnibus            |   363,473 |       0.26% |        (28,679) |
--------------------------------------------------------------------------------
| State Street Bank and Trust      |   335,945 |       0.24% |               0 |
| Omnibus Account                  |           |             |                 |
--------------------------------------------------------------------------------

AS Eesti Telekom shares                                                         
In the first quarter of 2009, the price of AS Eesti Telekom shares increased by 
18.97%. The share price at the beginning of the quarter was 4.10 EUR and 4.64   
EUR at the end of the quarter. The highest and lowest share prices during the   
reporting period were 5.25 EUR and 4.10 EUR respectively. The turnover for the  
reporting period was 13.5 million EUR.                                          

The price of AS Eesti Telekom shares in the first quarter of 2009 has moved on  
higher levels than the indexes of OMX Tallinn and OMX Tallinn 10 tradeable      
shares.                                                                         



BUSINESS ACTIVITIES                                                             

Management commentary: The Group's sales revenues in the first quarter were     
primarily impacted by regulations (European Union regulations applied on the    
mobile sector) and the economic downturn (reduction of sales of goods and       
changes in consumer behavior). At the same time, there is a continuing growth of
mobile postpaid, mobile and fixed broadband and TV customers. Thanks to         
efficiency programs that were previously implemented it was possible to         
compensate the loss of revenues by a proportional decrease of expenses and to   
maintain the EBITDA margin.                                                     



Significant financial indicators                                                

Eesti Telekom Group                                                             
--------------------------------------------------------------------------------
|                                      |    Q1 2009 |    Q1 2008 |   Change, % |
--------------------------------------------------------------------------------
| Total revenues, million EUR          |       85.4 |       94.9 |      (10.0) |
--------------------------------------------------------------------------------
| EBITDA, million EUR                  |       33.0 |       36.8 |      (10.3) |
--------------------------------------------------------------------------------
| Margin, %                            |       38.7 |       38.8 |             |
--------------------------------------------------------------------------------
| EBIT, million EUR                    |       23.0 |       27.9 |      (17.6) |
--------------------------------------------------------------------------------
| Margin, %                            |       26.9 |       29.4 |             |
--------------------------------------------------------------------------------
| EBT, million EUR                     |       24.0 |       28.9 |      (16.8) |
--------------------------------------------------------------------------------
| Profit for the period, million EUR   |       24.0 |       28.9 |      (16.8) |
--------------------------------------------------------------------------------
| Basic earnings per share, EUR        |       0.17 |       0.21 |      (16.7) |
--------------------------------------------------------------------------------
| Comprehensive income for the period, |       24.0 |       28.9 |      (16.8) |
| million EUR                          |            |            |             |
--------------------------------------------------------------------------------
| CAPEX, million EUR                   |        7.8 |        7.6 |         3.2 |
--------------------------------------------------------------------------------
| Net gearing, %                       |     (25.9) |     (29.5) |             |
--------------------------------------------------------------------------------
| ROA, %                               |        7.4 |        8.7 |             |
--------------------------------------------------------------------------------
| ROE, %                               |        8.4 |       10.0 |             |
--------------------------------------------------------------------------------



Mobile communications segment                                                   
--------------------------------------------------------------------------------
|                                        |  Q1 2009 |   Q1 2008 |    Change, % |
--------------------------------------------------------------------------------
| Total revenues, million EUR            |     47.3 |      55.9 |       (15.4) |
--------------------------------------------------------------------------------
| EBITDA, million EUR                    |     17.5 |      21.0 |       (16.8) |
--------------------------------------------------------------------------------
| Margin, %                              |     37.0 |      37.6 |              |
--------------------------------------------------------------------------------
| EBIT, million EUR                      |     13.2 |      17.0 |       (22.6) |
--------------------------------------------------------------------------------
| Margin, %                              |     27.9 |      30.4 |              |
--------------------------------------------------------------------------------
| EBT, million EUR                       |     13.8 |      17.4 |       (20.6) |
--------------------------------------------------------------------------------
| Profit for the period, million EUR     |     13.8 |      17.4 |       (20.6) |
--------------------------------------------------------------------------------
| Comprehensive income for the period,   |     13.8 |      17.4 |       (20.6) |
| million EUR                            |          |           |              |
--------------------------------------------------------------------------------
| CAPEX, million EUR                     |      4.8 |       3.6 |         30.8 |
--------------------------------------------------------------------------------
| ROA, %                                 |      9.3 |      12.1 |              |
--------------------------------------------------------------------------------
| ROE, %                                 |     11.6 |      15.6 |              |
--------------------------------------------------------------------------------


Broadband services segment                                                      
--------------------------------------------------------------------------------
|                                      |    Q1 2009 |   Q1 2008 |    Change, % |
--------------------------------------------------------------------------------
| Total revenues, million EUR          |       46.5 |      48.8 |        (4.8) |
--------------------------------------------------------------------------------
| EBITDA, million EUR                  |       15.8 |      15.8 |          1.0 |
--------------------------------------------------------------------------------
| Margin, %                            |       34.1 |      32.3 |              |
--------------------------------------------------------------------------------
| EBIT, million EUR                    |       11.0 |      11.3 |        (2.7) |
--------------------------------------------------------------------------------
| Margin, %                            |       23.6 |      23.1 |              |
--------------------------------------------------------------------------------
| EBT, million EUR                     |       10.9 |      11.3 |        (3.6) |
--------------------------------------------------------------------------------
| Profit for the period, million EUR   |       10.9 |      11.3 |        (3.6) |
--------------------------------------------------------------------------------
| Comprehensive income for the period, |       10.9 |      11.3 |        (3.6) |
| million EUR                          |            |           |              |
--------------------------------------------------------------------------------
| CAPEX, million EUR                   |        2.8 |       3.6 |       (20.5) |
--------------------------------------------------------------------------------
| ROA, %                               |        6.3 |       6.3 |              |
--------------------------------------------------------------------------------
| ROE, %                               |        8.0 |       8.3 |              |
--------------------------------------------------------------------------------

IT services segment                                                             
--------------------------------------------------------------------------------
|                                      |    Q1 2009 |   Q1 2008 |    Change, % |
--------------------------------------------------------------------------------
| Total revenues, million EUR          |        3.9 |       5.1 |       (22.1) |
--------------------------------------------------------------------------------
| EBITDA, million EUR                  |      (0.2) |       0.2 |          N/A |
--------------------------------------------------------------------------------
| Margin, %                            |      (5.3) |       4.9 |              |
--------------------------------------------------------------------------------
| EBIT, million EUR                    |      (1.0) |     (0.1) |          N/A |
--------------------------------------------------------------------------------
| Margin, %                            |     (25.3) |     (2.9) |              |
--------------------------------------------------------------------------------
| EBT, million EUR                     |      (1.0) |     (0.2) |          N/A |
--------------------------------------------------------------------------------
| Profit for the period, million EUR   |      (1.0) |     (0.2) |          N/A |
--------------------------------------------------------------------------------
| Comprehensive income for the period, |      (1.0) |     (0.2) |          N/A |
| million EUR                          |            |           |              |
--------------------------------------------------------------------------------
| CAPEX, million EUR                   |        0.2 |       0.3 |       (42.9) |
--------------------------------------------------------------------------------
| ROA, %                               |      (8.9) |     (1.7) |              |
--------------------------------------------------------------------------------
| ROE, %                               |     (14.0) |     (3.3) |              |
--------------------------------------------------------------------------------

Sales revenues, operating costs, and profit                                     
The Group's sales revenues reached 85.4 million EUR in the first quarter of 2009
(1st quarter 2008:                                                              
94.9 million EUR), and were primarily impacted by                               
regulations that the European Union applies to the mobile sector and by the     
economic downturn.                                                              

Mobile communications segment The consolidated turnover for the first quarter of
2009 reached                                                                    
47.3 million EUR, decreasing by 15% compared to the first quarter               
of 2008 (1st quarter 2008: 55.9 million EUR). The reason for the decrease in    
total revenues was a reduction in revenues from call services caused by a drop  
in retail and interconnection prices, which was partially compensated by the    
growth of volumes for mobile data communications and subcontracting services.   
Compared to a year ago, a decrease was also experienced in revenues received    
from retailing and wholesaling during the first quarter, which was caused by    
changes in consumer behavior. In addition, call minutes initiated by the        
customers, as well as the number of call minutes entering the EMT network       
decreased by 2% compared to the first quarter of 2008, which resulted from the  
customers' wish to limit consumption.                                           

As of the end of the first quarter of 2009, the EMT customer base was larger by 
14 thousand compared to the previous year, reaching 766 thousand active SIM     
cards (31 March 2008: 751 thousand cards). Compared to the previous year, the   
number of contractual customers increased by 15 thousand, thereby reaching 488  
thousand by the end of the first quarter of 2009 and the number of active users 
of pre-paid cards remained unchanged at 278 thousand. EMT assesses its market   
share of active SIM cards to be 47%. The estimated penetration of active cards  
in Estonia is 120%.                                                             

In March EMT introduced an additional feature for the SurfPort mobile portal,   
which enables modern mobile phones to access the majority of common websites    
from the Internet. To date, only WAP sites that were especially created for     
mobile phones could be accessed on phone screens. The new feature significantly 
expands the choice of information available to mobile users, without the need   
for a computer or new phone.                                                    
Pursuant to the resolution of the Communications Board, the interconnection fee 
for AS EMT, Elisa Eesti AS and Tele2 Eesti AS was fixed at 0.11 EUR for the     
period 1 July 2007 to 30 June 2008. For the period 1 July 2008 to 30 June 2009, 
the Competition Board that is the legal successor to the Communications Board   
established a fee of 0.09 EUR per minute for the termination of voice calls in  
the mobile phone networks of AS EMT, Elisa Eesti AS and Tele2 Eesti AS.         

Based on a decision dated 26 March 2009, the Competition Board announced new    
market analysis results, based on which ProGroup Holding OÜ was declared an     
undertaking with significant market power in the market for the termination of  
voice calls in its mobile phone network, in addition to AS EMT, Elisa Eesti AS  
and Tele2 Eesti AS. According to the resolution, within the framework of the    
price control obligation, the given companies will be obligated to apply        
benchmark-based interconnection fees that correspond to the average in the      
European countries until 30 June 2012, which makes 0.09 EUR per minute the      
maximum tariff to be applicable as of 1 July 2009. The maximum rate for         
interconnection fees to be established for the periods 1 July 2010 to 30 June   
2011 and 1 July 2011 to 30 June 2012 will be announced by the Competition Board 
at least 2 months before the beginning of the corresponding period, but pursuant
to the decision, the decrease or increase in the interconnection fees to be     
applied shall not be more than 10%.                                             

The sales revenues for the broadband services segment reached 46.5 million EUR  
in the first quarter                                                            
(1st quarter 2008: 48.8 million EUR). Compared to the same                      
period in 2008, the greatest increase in revenues resulted from the sale of     
international interconnection services and triple-play solutions, which         
increased by 27% and 16% respectively. The increase in revenues from            
international interconnection services resulted primarily from increased minute 
volumes. At the same time, the revenues for call services earned from end       
consumers decreased by 16% due to a decrease in minute volumes. Based on a      
significant increase in the relative importance of the volume and revenues of   
triple-play solutions, the revenues from monthly fees for call connections and  
Internet connections decreased in the last quarter by 10% and 14% respectively. 
However, the revenues earned from the sale of triple-play solutions considerably
exceeded the given decrease. The revenues from the broadband services segment   
decreased by 5% compared to the same period last year. The decrease in revenues 
was primarily related to a reduction in the sales volumes of telecommunications 
and IT goods.                                                                   

In the first quarter, the total number of Elion customers with permanent        
Internet connections increased during a year by 9,000 connections, reaching     
176.5 thousand by the end of March (31 March 2008: 167.5 thousand). The company 
assesses that Elion's market share based on the permanent connections of private
customers has not changed and continues to be 54%.                              

In March, Elion started to standardize the product portfolio provided by        
triple-play solutions to Elion's private customers, by introducing two updated  
Kodulahendus products and gradually transferring existing Kodulahendus customers
to the new products. Both products are triple-packages that differ based on the 
downloading speeds of the Internet connections and the number of television     
channels. The new Kodulahendus products include supplementary free television   
viewing locations and free WiFi use in the Elion WiFi network throughout        
Estonia.                                                                        

At the end of the March, Elion also launched a Start package with a 16.30-EUR   
monthly fee that fulfills basic triple package needs and thereby entered the    
discount service market with the new product. The Start package was introduced  
within the framework of the “Join us!” project designed to introduce people to  
the Internet, which was initiated in March by the Behold the World! Foundation  
and Eesti Telekom.                                                              
The number of Elion triple-package users increased during a year by 23,500,     
reaching 82.1 thousand as of                                                    
31 March (31 March 2008: 58.6 thousand). By the                                 
end of the first quarter, Elion had 86.9 thousand IP and cable television       
customers (31 March 2008: 63.2 thousand). Elion assesses that the company's     
market share in the cable coverage market increased by 6% during the year,      
reaching 28% by the end of the first quarter                                    
(31 March 2008: 22%).                                                           

In March, Elion started the sale of used IT equipment on the                    
http://leiunurk.elion.ee website, which fulfills two goals for the company -    
preserves the environment by recycling high-quality equipment and enables       
computers to be purchased in a complicated economic situation.                  

By the end of first quarter, the number of Elion's active call interfaces       
totaled 461 thousand (31 March 2008: 473 thousand interfaces). The reduction in 
number of call interfaces resulted from an expected reduction in the number of  
telephone connections in the private segment and a reduction in the number of   
pay phones throughout Estonia.                                                  

Elion assesses its market share for call minutes initiated in the fixed network 
to be 80% (31 March 2008: 81%). The market share for local call minutes is 82%  
(31 March 2008: 83%), 68% for international call minutes (31 March 2008: 66%)   
and 70% for call minutes made to mobile phones (31 March 2008: 71%). The        
increase of the international call market share is explained by a change in     
accounting methods. The company assesses that the given market share has        
remained at the same level for the last few years.                              

At the end of the March, Elion notified the other operators of price changes    
that will come into force on                                                    
1 May 2009 for interconnection services and access                              
services. This is related to requirements based on domain-specific regulations  
that obligate Elion to review its prices at least once a year and are based on  
the expenditure statements for the previous period. The price changes according 
to service are primarily related to the reduction or increase of volumes. For   
instance, the monthly fee for copper pairs and the telephone network            
interconnection fees increased on average by 20% and 12% respectively. At the   
same time, the broadband access fees decreased by 9-20% depending on speed.     

The 2009 first quarter results for the IT services segment include the          
consolidated data from the companies of the IT Koolituskeskuse OÜ Group that was
acquired in October 2008.                                                       

In the first quarter of 2009, the sales revenues for the IT services segment    
reached 3.9 million EUR                                                         
(1st quarter 2008: 5.1 million EUR). Compared to the                            
same period in the previous year, the consolidated sales revenues decreased by  
22%, whereas the sales revenues for IT goods decreased by 53% and the sales     
revenues for permanent services decreased by 6%, and the sales revenues for     
project-based services increased by 30%. The sales revenues for services        
provided within the Eesti Telekom Group decreased by 27% compared to the first  
quarter of the previous year, while the sales revenues for services provided to 
customers outside the Group increased by 13%.                                   

The reduction of the national budget by 0.5 billion EUR in 2009 had a           
significant impact on the Estonian                                              
IT sector. A number of procurements have                                        
been postponed or the results of completed procurements cancelled.              

The sales turnover for infrastructure solutions in the first quarter was        
significantly smaller than in the same period last year (1.0 million EUR vs. 2.1
million EUR). The reason is the general decline in the IT market. Currently, the
same recessionary trend is being experienced by all IT companies that deal with 
merchandise sales.                                                              

In the project business, important projects in the first quarter included the   
introduction of document management at Estonian Post and the continued          
development of various information systems at Piletilevi, the Unemployment      
Insurance Fund and Ragn-Sells.                                                  

In the field of permanent services, AS MicroLink Eesti won the procurement for  
the maintenance of computer workstations organized by the Tallinn City Office in
the first quarter. In addition, during the first quarter, MicroLink Eesti       
started to provide server hosting services to the East-Tallinn Central Hospital,
the Harku Rural Municipality Government and Estonian Railways.                  

The operating costs of the Eesti Telekom Group decreased by 10% in the first    
quarter of 2009 compared to the same period of 2008, reaching 52.7 million EUR  
(1st quarter 2008: 58.3 million EUR).                                           

The operating costs in the mobile communications segment decreased by 14%       
compared to the first quarter of 2008 to 29.9 million EUR (1st quarter 2008:    
34.9 million EUR). The greatest decrease was in the operating costs related to  
retailing and wholesaling, which corresponds to the drop in merchandise sales   
turnovers.                                                                      
A decrease was also experienced by interconnection costs based on a             
drop in interconnection prices. The efficiency programs also had an impact on   
the decrease of the operating costs that were related to a reduction in the     
number of workers, as well as marketing, IT and network costs.                  

The operating costs in the broadband services segment decreased during the last 
quarter by 7% compared to the same period in 2008, reaching 30.8 million EUR    
(1st quarter 2008: 33.2 million EUR). The principal part of the decrease in     
operating costs resulted from a decrease in direct sales costs related to a     
decline in retail volumes. A significant impact on the decrease in operating    
costs also resulted from the efficiency projects initiated last year, which are 
related to a reduction in maintenance costs for network resources, IT and       
transport costs and also to a reduction in the number of workers in the group.  

The operating costs in the IT services segment decreased in the first quarter by
14% compared to the same period last year, reaching 4.2 million EUR (1st quarter
2008: 4.8 million EUR). The operating costs for the quarter were affected by    
increased costs accompanying the consolidation of the IT Koolituskeskus, as an  
independent company, whereby the operating costs of AS MicroLink Eesti increased
by 3%.                                                                          

The Eesti Telekom Group EBITDA decreased in the first quarter of 2009 by 10%    
compared to the same period in the previous year, reaching 33.0 million EUR (1st
quarter 2008: 36.8 million EUR). The EBITDA in the mobile communications        
services segment decreased by 17% in the first quarter compared to the same     
period last year. Since the decrease in the operating costs were almost         
proportional to the reduction in turnover, the EBITDA margin for the mobile     
communications services segment has decreased by less than one percent. In the  
first quarter, the EBITDA for the broadband services segment increased by 1%    
compared to the same period in the previous year, reaching 15.8 million EUR (1st
quarter 2008: 15.8 million EUR). The EBITDA for the IT services segment in the  
first quarter of 2009 was -0.2 million EUR (1st quarter 2008: profit of 0.2     
million EUR). The Group's EBITDA margin in the first quarter of 2009 was 39%,   
which remained at the same level as the margin for the same period in the       
previous year.                                                                  

The Group's depreciation costs reached 10.0 million EUR in the first quarter of 
2009, by increasing 12% compared to the same period in 2008 (1st quarter 2008:  
8.9 million EUR). The greatest increase in depreciation costs resulted from the 
IT services segment where depreciation costs reached 0.8 million EUR in the     
first quarter of 2009 (1st quarter 2008: 0.4 million EUR). This was caused by a 
discount of 0.4 million EUR in February of this year on the goodwill recognized 
on the balance sheet after the acquisition of                                   
IT Koolituskeskuse OÜ.                                                          

In the first quarter, the Eesti Telekom Group earned EBIT of 23.0 million EUR,  
which was a decrease of 18% compared to the same period in the previous year    
(1st quarter 2008: 27.9 million EUR).                                           

The profit for the Eesti Telekom Group in the first quarter of 2009 was 24.0    
million EUR (1st quarter 2008: 28.9 million EUR). The basic earnings per share  
were 0.17 EUR (1st quarter 2008: 0.21 EUR). The Group's comprehensive income in 
first quarter of 2009 was 24.0 million EUR (1st quarter 2008: 28.9 million EUR).

Statement of financial position and cash flows                                  
As of 31 March 2009, the Eesti Telekom Group balance sheet totaled 332.8 million
EUR (31 December 2008: 319.5 million EUR). Compared to the beginning of the     
year, the non-current assets have decreased by                                  
1.3 million EUR, the balance of                                                 
which reached 185.7 million EUR by the end of the quarter. During first three   
months of the year, the Group's current assets have increased by 14.5 million   
EUR, reaching                                                                   
147.1 million EUR by the end of March (31 December 2008: 132.6                  
million EUR). Cash and cash equivalents,                                        
as well as short-term financial                                                 
investments have increased by 22.9 million EUR, reaching 78.0 million EUR by the
end of the period.                                                              

As of 31 March 2009, the Eesti Telekom Group equity was 298.5 million EUR, which
is 24.0 million EUR more than at the end of 2008 (31 December 2008: 274.5       
million EUR). The increase in equity resulted from a first-quarter profit. As of
the end of March, non-current liabilities totaled 2.1 million EUR (31 December  
2008: 2.1 million EUR) and current liabilities totaled 32.2 million EUR (31     
December 2008: 42.9 million EUR). The net debt of the Eesti Telekom Group at the
end of the first quarter was -77.5 million EUR and the net gearing ratio was    
-25.9% (31 December 2008: -54.5 million EUR and -20%).                          

The Eesti Telekom Group cash flow from operating activities during the first    
three months of 2009 was                                                        
29.0 million EUR (3 months of 2008: 28.6 million EUR).                          
The Group's cash flow from investment activities was 25.9 million EUR (3 months 
of 2008: 35.2 million EUR). The cash flow into the acquisition of tangible and  
intangible fixed assets during the first three months was 7.8 million EUR (3    
months of 2008:                                                                 
7.6 million EUR). In the first quarter of 2009, the mobile                      
communications segment invested 4.8 million EUR (1st quarter 2008: 3.6 million  
EUR). In mobile communications, in addition to the constant development of the  
GSM network, a developmental priority was the implementation of technologies to 
support high-speed mobile data communications. The majority of data             
communications usage by EMT customers occurs in the 3G network, which enables   
the use of high-quality and rapid Internet connections at speeds approaching    
those of ADSL at conveniently manageable prices. Since EMT is the only operator 
in Estonia that provides EDGE data communications throughout its GSM coverage   
area, then investments in new base stations is primarily directed at expanding  
external and internal 3G coverage in cities and town. At the same time, the     
constant improvement of the GSM network continued. Investments into the         
broadband services segment totaled 2.8 million EUR (1st quarter 2008: 3.6       
million EUR). The principal part of the capital volumes were related to the     
development of network resources, changes in the product portfolio and the      
improvement of and expansion of the availability of the triple-service packages.
In the first quarter of 2009, the IT services segment invested 0.2 million EUR  
into fixed assets (1st quarter 2008: 0.3 million EUR).                          

During three months, the Eesti Telekom Group cash flow used in financing        
activities was less than 0.1 million EUR, similarly to the first quarter of     
2008.                                                                           

Shareholders' general meeting                                                   
The regular general meeting of AS Eesti Telekom shareholders will take place on 
20 May 2009 at 12 pm in Tallinn at Valge 16. Starting on 27 April 2009, the 2008
annual report and draft resolutions for the general meeting will be available on
the Internet at http://www.telekom.ee and at Eesti Telekom at Valge 16, Tallinn 
on workdays from 10 am to 2 pm. Questions related to the general meeting can be 
submitted through the                                                           
AS Eesti Telekom website, by telephone at 6 311 212, or                         
by e-mail to mailbox@telekom.ee.                                                

Dividends                                                                       
The Management Board of AS Eesti Telekom will make a proposal at the            
shareholders' general meeting to distribute and pay out 92.6 million EUR or 0.67
EUR per share as dividends, based on the number of dividend-paying shares, or   
137,954,528 shares.                                                             

In 2008, 92.6 million EUR was distributed as dividends among the shareholders,  
or 0.67 EUR per share.                                                          

Definitions                                                                     

EBITDA margin = EBITDA / Net sales x 100%                                       
EBIT margin = EBIT / Net sales x 100%                                           
Net debt = Interest bearing liabilities - cash and cash equivalents - short term
investments                                                                     
Net gearing = Net debt / Owner's equity x 100%                                  
ROA = Profit for the period / Average total assets x 100%                       
ROE = Profit before tax / Average equity x 100%                                 
Basic earnings per share = Profit for the period / Average number of shares     





















CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME                                  


--------------------------------------------------------------------------------
|                            | Notes  | I Quarter |      I Quarter |      2008 |
|                            |        |      2009 |           2008 |           |
--------------------------------------------------------------------------------
| Net sales                  |  2.1,  |   85,417  |        94,857  |  395,588  |
|                            |  2.3   |           |                |           |
--------------------------------------------------------------------------------
| Cost of production         |  2.1   |  (48,658) |       (53,078) | (225,777) |
--------------------------------------------------------------------------------
| Gross profit               |  2.1   |   36,759  |        41,779  |  169,811  |
--------------------------------------------------------------------------------
| Sales, administrative, and |  2.1   |  (14,095) |       (14,187) |  (57,972) |
| research & development     |        |           |                |           |
| expenses                   |        |           |                |           |
--------------------------------------------------------------------------------
| Other operating revenues   |  2.1   |      483  |           402  |    2,001  |
--------------------------------------------------------------------------------
| Other operating expenses   |  2.1   |     (164) |           (99) |     (543) |
--------------------------------------------------------------------------------
| Operating profit           |  2.1   |   22,983  |        27,895  |  113,297  |
--------------------------------------------------------------------------------
| Finance income             |        |    1,112  |         1,134  |    3,527  |
--------------------------------------------------------------------------------
| Finance costs              |        |      (22) |           (37) |      (56) |
--------------------------------------------------------------------------------
| Finance income, net        |  2.1   |    1,090  |         1,097  |    3,471  |
--------------------------------------------------------------------------------
| Net income / (expenses)    |  2.1   |      (53) |          (107) |     (182) |
| from associated companies  |        |           |                |           |
--------------------------------------------------------------------------------
| Profit before tax          |  2.1   |   24,020  |        28,885  |  116,586  |
--------------------------------------------------------------------------------
| Income tax on dividends    |  2.1   |        -  |             -  |  (24,664) |
--------------------------------------------------------------------------------
| Profit for the period      |  2.1   |   24,020  |        28,885  |   91,922  |
--------------------------------------------------------------------------------
| Other comprehensive income |        |           |                |           |
--------------------------------------------------------------------------------
| Exchange differences on    |  2.1   |       (1) |             -  |        1  |
| translating foreign        |        |           |                |           |
| subsidiaries               |        |           |                |           |
--------------------------------------------------------------------------------
| Other comprehensive income |  2.1   |       (1) |             -  |        1  |
| for the period             |        |           |                |           |
--------------------------------------------------------------------------------
| Total comprehensive income |  2.1   |   24,019  |        28,885  |   91,923  |
--------------------------------------------------------------------------------
| Profit attributable to:    |        |           |            |               |
--------------------------------------------------------------------------------
| Equity holders of the      |  2.1   |   23,993  |    28,803  |       91,703  |
| parent                     |        |           |            |               |
--------------------------------------------------------------------------------
| Minority interest          |  2.1   |       27  |        82  |          219  |
--------------------------------------------------------------------------------
|                            |        |   24,020  |    28,885  |       91,922  |
--------------------------------------------------------------------------------
| Comprehensive income       |        |           |            |               |
| attributable to:           |        |           |            |               |
--------------------------------------------------------------------------------
| Equity holders of the      |  2.1   |   23,992  |    28,803  |       91,704  |
| parent                     |        |           |            |               |
--------------------------------------------------------------------------------
| Minority interest          |  2.1   |       27  |        82  |          219  |
--------------------------------------------------------------------------------
|                            |        |   24,019  |    28,885  |       91,923  |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Earnings per share for     | 7 (e)  |           |            |               |
| profit attributable to the |        |           |            |               |
| equity holders of the      |        |           |            |               |
| parent during the          |        |           |            |               |
| reporting period           |        |           |            |               |
| (expressed in EUR)         |        |           |            |               |
--------------------------------------------------------------------------------
| Basic earnings per share   |        |     0.17  |      0.21  |         0.66  |
--------------------------------------------------------------------------------
| Diluted earnings per share |        |     0.17  |      0.21  |         0.66  |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| EBITDA                     |  2.1   |   33,026  |    36,837  |      150,088  |
--------------------------------------------------------------------------------
| Depreciation, amortization | 2.1, 3 |  (10,043) |    (8,942) |      (36,791) |
| and write-downs            |        |           |            |               |
--------------------------------------------------------------------------------

CONSOLIDATED STATEMENT OF FINANCIAL POSITION                                    

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|                            |  Notes  | 31  March  | 31 December |   31 March |
|                            |         |       2009 |        2008 |       2008 |
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| ASSETS                     |         |            |             |            |
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| Non-current assets         |         |            |             |            |
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| Property, plant and        |    3    |   164,193  |    165,542  |   152,879  |
| equipment                  |         |            |             |            |
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| Intangible fixed assets    |    3    |    13,713  |     14,592  |    13,179  |
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| Investments in associates  | 2.2, 5  |       623  |        676  |       750  |
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| Other financial fixed      |         |     7,143  |      6,115  |     7,418  |
| assets                     |         |            |             |            |
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| Total non-current assets   |   2.2   |   185,672  |    186,925  |   174,226  |
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| Current assets             |         |            |             |            |
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| Assets classified as       |         |         -  |          -  |       208  |
| held-for-sale              |         |            |             |            |
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| Inventories                |    6    |    11,045  |     10,861  |    11,811  |
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| Trade and other            |         |    58,054  |     66,576  |    64,983  |
| receivables                |         |            |             |            |
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| Short-term investments     |         |         -  |     31,956  |     1,101  |
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| Cash and cash equivalents  |         |    78,013  |     23,206  |    89,085  |
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| Total current assets       |   2.2   |   147,112  |    132,599  |   167,188  |
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| TOTAL ASSETS               |   2.2   |   332,784  |    319,524  |   341,414  |
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| EQUITY AND LIABILITIES     |         |            |             |            |
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| Equity                     |         |            |             |            |
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| Capital and reserves       |    7    |            |             |            |
| attributable to equity     |         |            |             |            |
| holders of the parent      |         |            |             |            |
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| Share capital              |         |    88,169  |     88,169  |    88,169  |
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| Share premium              |         |    22,753  |     22,753  |    22,753  |
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| Statutory legal reserve    |         |     8,817  |      8,817  |     8,817  |
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| Retained earnings          |         |         -  |          1  |         -  |
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| Net profit for the period  |         |   178,267  |    154,274  |   184,068  |
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| Total capital and reserves |         |   298,006  |    274,014  |   303,807  |
| attributable to equity     |         |            |             |            |
| holders of the parent      |         |            |             |            |
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| Minority interest          | 2.2, 7  |       540  |        513  |       815  |
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| Total equity               |         |   298,546  |    274,527  |   304,622  |
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| Non-current liabilities    |         |            |             |            |
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| Interest bearing loans and |    8    |       375  |        375  |        48  |
| borrowings                 |         |            |             |            |
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| Retirement benefit         |    9    |       122  |        138  |       192  |
| obligations                |         |            |             |            |
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| Provisions                 |   10    |     1,443  |      1,443  |     1,338  |
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| Non-interest bearing       |         |       127  |        127  |         -  |
| liabilities                |         |            |             |            |
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| Total non-current          |   2.2   |     2,067  |      2,083  |     1,578  |
| liabilities                |         |            |             |            |
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| Current liabilities        |         |            |             |            |
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| Trade and other payables   |         |    31,902  |     42,399  |    34,571  |
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| Interest bearing loans and |    8    |       174  |        259  |       164  |
| borrowings                 |         |            |             |            |
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| Retirement benefit         |    9    |        66  |         66  |       310  |
| obligations                |         |            |             |            |
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| Provisions                 |   10    |        29  |        190  |       169  |
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| Total current liabilities  |   2.2   |    32,171  |     42,914  |    35,214  |
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| Total liabilities          |         |    34,238  |     44,997  |    36,792  |
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| TOTAL EQUITY AND           |   2.2   |   332,784  |    319,524  |   341,414  |
| LIABILITIES                |         |            |             |            |
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CONSOLIDATED CASH FLOW STATEMENT                                                


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|                                      | Notes  |     I Quarter |    I Quarter |
|                                      |        |          2009 |         2008 |
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| Operating activities                 |        |               |              |
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| Net profit for the period            |        |       24,020  |      28,885  |
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| Adjustments for:                     |        |               |              |
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| Depreciation, amortisation and       | 2.1, 3 |       10,043  |       8,942  |
| impairment of fixed and intangible   |        |               |              |
| assets                               |        |               |              |
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| (Profit) / loss from sales and       |        |         (184) |        (189) |
| discards of fixed assets             |        |               |              |
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| Net (income) / expenses  from        |        |           53  |         107  |
| associated companies                 |        |               |              |
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| Provisions                           |        |         (161) |        (117) |
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| Financial items                      |        |       (1,616) |      (1,633) |
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| Miscellaneous non-cash items         |        |          (20) |           4  |
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| Cash flow before change in working   |        |       32,135  |      35,999  |
| capital                              |        |               |              |
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| Change in current receivables        |        |        6,683  |         297  |
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| Change in inventories                |        |         (184) |        (262) |
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| Change in current liabilities        |        |      (10,449) |      (8,406) |
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| Change in working capital            |        |       (3,950) |      (8,371) |
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| Cash flow after changes in working   |        |       28,185  |      27,628  |
| capital                              |        |               |              |
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| Interest received                    |        |          781  |       1,052  |
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| Interest paid                        |        |          (11) |         (94) |
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| Cash flow from operating activities  |  2.2   |       28,955  |      28,586  |
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| Investing activities                 |        |               |              |
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| Intangible and tangible fixed assets | 2.2, 3 |       (7,835) |      (7,593) |
| acquired                             |        |               |              |
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| Intangible and tangible fixed assets |        |          206  |         207  |
| divested                             |        |               |              |
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| Net change in interest-receivables   |        |       31,956  |      43,257  |
| short maturities                     |        |               |              |
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| Net cash changes of other long-term  |        |        1,593  |        (703) |
| receivables                          |        |               |              |
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| Cash flow from investing activities  |  2.2   |       25,920  |      35,168  |
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| Cash flow before financing           |        |       54,875  |      63,754  |
| activities                           |        |               |              |
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| Financing activities                 |        |               |              |
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| Repayment of finance lease           |   8    |          (77) |         (38) |
| liabilities                          |        |               |              |
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| Cash flow used in financing          |  2.2   |          (77) |         (38) |
| activities                           |        |               |              |
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| Cash flow for the year               |  2.2   |       54,798  |      63,716  |
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|                                      |        |               |              |
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| Cash and cash equivalents at         |  2.2   |       23,206  |      25,359  |
| beginning of year                    |        |               |              |
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| Cash flow for the year               |  2.2   |       54,798  |      63,716  |
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| Effect of foreign exchange rate      |  2.2   |            9  |          10  |
| changes                              |        |               |              |
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| Cash and cash equivalents at end of  |  2.2   |       78,013  |      89,085  |
| period                               |        |               |              |
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