Börsiteade

AS Trigon Property Development

Kategooria

Majandusaasta aruanne

Kuupäev

30.04.2009 17:16:21

Pealkiri

TPD: AS Trigon Property Development Auditeeritud Majandustulemused, 2008 aasta

Teade

30.04.2009 

2008. aasta lõpuga omas AS Trigon Property Development ühte arendusprojekti,    
milleks on 40 hektari suurune maa-ala Pärnu linnas, Niidu piirkonnas.           
Käesolevas teates esitatud bilanss seisuga 31.12.2008 ja 31.12.2007 kajastab    
täielikult AS Trigon Property Development varasid, kohustusi ja omakapitali, mis
jäid ettevõttesse peale AS Viisnurk eraldumist.                                 
Esitatud 2008. aasta kasumiaruandes on kajastatud AS Trigon Property Development
kasum ning võrdlusandmetes AS Trigon Property Development ja AS Viisnurk kasum, 
kuna raamatupidamislikult eraldati AS Viisnurk varad, kohustused ja omakapital  
AS Trigon Property Development finantsaruannetest seisuga 30.09.2007.           
Vastavalt esitatud kasumiaruandele on AS Trigon Property Development 2008. aasta
puhaskahjum 13 180 tuhat EEK ja puhaskahjum aktsia kohta 2,93 EEK.              
Aruandeperioodi konsolideeritud kahjum on tingitud omandis oleva kinnisvara     
ümberhindlusest kogusummas miinus EEK 13 259 tuhat.                             
Seisuga 31.12.2008 moodustasid AS Trigon Property Development konsolideeritud   
varad kokku EEK 124 474 tuhat. Ühingu konsolideeritud omakapital moodustas EEK  
121 139 tuhat, mis moodustas 97,32% bilansimahust.                              

Lühendatud konsolideeritud bilanss                                              
--------------------------------------------------------------------------------
|                      |    tuh EEK |      tuh EEK |    tuh EUR |      tuh EUR |
--------------------------------------------------------------------------------
|                      | 31.12.2008 |   31.12.2007 | 31.12.2008 |   31.12.2007 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Raha                 |         69 |          372 |          4 |           24 |
--------------------------------------------------------------------------------
| Nõuded ja ettemaksud |        125 |           84 |          8 |            5 |
--------------------------------------------------------------------------------
| Käibevara kokku      |        194 |          456 |         12 |           29 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Kinnisvarainvesteeri |    124 280 |      137 251 |      7 943 |        8 772 |
| ngud                 |            |              |            |              |
--------------------------------------------------------------------------------
| Põhivara kokku       |    124 280 |      137 251 |      7 943 |        8 772 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| AKTIVA KOKKU         |    124 474 |      137 707 |      7 955 |        8 801 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Laenukohustused      |      1 026 |          392 |         65 |           25 |
--------------------------------------------------------------------------------
| Võlad ja ettemaksed  |        155 |          450 |         10 |           29 |
--------------------------------------------------------------------------------
| Lühiajalised         |      1 181 |          842 |         75 |           54 |
| kohustused kokku     |            |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Pikaajalised         |      2 154 |        2 546 |        138 |          163 |
| laenukohustused      |            |              |            |              |
--------------------------------------------------------------------------------
| Pikaajalised         |      2 154 |        2 546 |        138 |          163 |
| kohustused kokku     |            |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Kohustused kokku     |      3 335 |        3 388 |        213 |          217 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Aktsiakapital        |     44 991 |       44 991 |      2 875 |        2 875 |
| nimiväärtuses        |            |              |            |              |
--------------------------------------------------------------------------------
| Ülekurss             |      3 537 |        3 537 |        226 |          226 |
--------------------------------------------------------------------------------
| Kohustuslik          |      4 499 |        4 499 |        288 |          288 |
| reservkapital        |            |              |            |              |
--------------------------------------------------------------------------------
| Jaotamata kasum      |     68 112 |       81 292 |     4 353  |       5 195  |
--------------------------------------------------------------------------------
| Omakapital kokku     |    121 139 |      134 319 |      7 742 |        8 584 |
|                      |            |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| PASSIVA KOKKU        |    124 474 |      137 707 |      7 955 |        8 801 |
--------------------------------------------------------------------------------


Lühendatud konsolideeritud kasumiaruanne                                        
--------------------------------------------------------------------------------
|                         | tuh EEK |      tuh EEK |    tuh EUR |      tuh EUR |
--------------------------------------------------------------------------------
|                         |    2008 |         2007 |       2008 |         2007 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Jätkuvad                |         |              |            |              |
| tegevusvaldkonnad       |         |              |            |              |
--------------------------------------------------------------------------------
| Renditulu               |     468 |          342 |         30 |           22 |
--------------------------------------------------------------------------------
| Kinnisvarainvesteeringu |   (180) |        (180) |       (12) |         (12) |
| tega seotud kulud       |         |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Brutokasum              |     288 |          162 |         18 |           10 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Üldhalduskulud          |   (378) |        (631) |       (24) |         (40) |
--------------------------------------------------------------------------------
| Kinnisvarainvesteeringu |     (13 |       26 332 |      (847) |        1 683 |
| õiglase väärtuse muutus |    259) |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Ärikahjum (-kasum)      |     (13 |       25 863 |      (838) |        1 653 |
|                         |    123) |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Neto finantskulu        |    (57) |         (38) |        (4) |          (2) |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Kahjum (kasum)          |     (13 |       25 825 |      (842) |        1 651 |
| jätkuvatest             |    180) |              |            |              |
| tegevusvaldkondadest    |         |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Kasum lõpetatud         |       0 |       11 875 |          0 |          758 |
| tegevusvaldkondadest    |         |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Kahjum (kasum) enne     |     (13 |       37 700 |      (842) |        2 409 |
| tulumaksu               |    180) |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Tulumaks                |       0 |        (475) |          0 |         (30) |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| PERIOODI PUHASKAHJUM    |     (13 |       37 225 |      (842) |        2 379 |
| (-KASUM)                |    180) |              |            |              |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Tava puhaskahjum        |   -2,93 |         8,27 |      -0,19 |         0,53 |
| (-kasum) aktsia kohta   |         |              |            |              |
--------------------------------------------------------------------------------
| Lahustatud puhaskahjum  |   -2,93 |         8,27 |      -0,19 |         0,53 |
| (-kasum) aktsia kohta   |         |              |            |              |
--------------------------------------------------------------------------------




Ülo Adamson                                                                     
Nõukogu esimees                                                                 
Investorsuhted                                                                  
+372 51 39 424

Pealkiri

TPD: audited Financial results of Trigon Property Development, 2008

Teade

30.04.2009                                                                   

As at the end of year 2008, AS Trigon Property Development owned one property   
development project involving 40-hectare land plot in the City of Pärnu, Niidu  
area.                                                                           

The balance sheet as of 31.12.2008 and 31.12.2007 delivered by the present      
announcement completely reflects the assets, liabilities and equity capital of  
AS Trigon Property Development, which remained in the company after separation  
of AS Viisnurk.                                                                 
The current income statement for year 2008 reflects the profit of AS Trigon     
Property Development and the comparative information reflects the profit of AS  
Trigon Property Development and AS Viisnurk because the assets, liabilities and 
equity capital of AS Viisnurk were separated from the financial reports of AS   
Trigon Property development as of 30.09.2007.                                   
According to the presented income statement the net loss for 2008 of AS Trigon  
Property Development is 13 180 thousand EEK and the earnings per share is -2.93 
EEK. Consolidated loss for the accounting period results from revaluation of the
real estate in the total amount of minus EEK 13 259 thousand.                   
As of 31.12.2008 the consolidated assets of AS Trigon Property Development was  
EEK 124 474 thousand. The consolidated equity of the company was EEK 121 139    
thousand, corresponding to 97.32 % of the total balance sheet.                  

Condensed consolidated balance sheet                                            
--------------------------------------------------------------------------------
|                          |  EEK thous |  EEK thous |  EUR thous |  EUR thous |
--------------------------------------------------------------------------------
|                          | 31.12.2008 | 31.12.2007 | 31.12.2008 | 31.12.2007 |
--------------------------------------------------------------------------------
| Cash                     |         69 |        372 |          4 |         24 |
--------------------------------------------------------------------------------
| Receivables and          |        125 |         84 |          8 |          5 |
| prepayments              |            |            |            |            |
--------------------------------------------------------------------------------
| Total current assets     |        194 |        456 |         12 |         29 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Investment property      |    124 280 |    137 251 |      7 943 |      8 772 |
--------------------------------------------------------------------------------
| Total non-current assets |    124 280 |    137 251 |      7 943 |      8 772 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| TOTAL ASSETS             |    124 474 |    137 707 |      7 955 |      8 801 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Borrowings               |      1 026 |        392 |         65 |         25 |
--------------------------------------------------------------------------------
| Payables and prepayments |        155 |        450 |         10 |         29 |
--------------------------------------------------------------------------------
| Total current            |      1 181 |        842 |         75 |         54 |
| liabilities              |            |            |            |            |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Long-term borrowings     |      2 154 |      2 546 |        138 |        163 |
--------------------------------------------------------------------------------
| Total non-current        |      2 154 |      2 546 |        138 |        163 |
| liabilities              |            |            |            |            |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Total liabilities        |      3 335 |      3 388 |        213 |        217 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Share capital at nominal |     44 991 |     44 991 |      2 875 |      2 875 |
| value                    |            |            |            |            |
--------------------------------------------------------------------------------
| Share premium            |      3 537 |      3 537 |        226 |        226 |
--------------------------------------------------------------------------------
| Statutory reserve        |      4 499 |      4 499 |        288 |        288 |
| capital                  |            |            |            |            |
--------------------------------------------------------------------------------
| Retained earnings        |     68 112 |     81 292 |     4 353  |     5 195  |
--------------------------------------------------------------------------------
| Total equity             |    121 139 |    134 319 |      7 742 |      8 584 |
|                          |            |            |            |            |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| TOTAL LIABILITIES AND    |    124 474 |    137 707 |      7 955 |      8 801 |
| EQUITY                   |            |            |            |            |
--------------------------------------------------------------------------------











Condensed consolidated income statement                                         
--------------------------------------------------------------------------------
|                           |      EEK |  EEK thous |  EUR thous |   EUR thous |
|                           |    thous |            |            |             |
--------------------------------------------------------------------------------
|                           |     2008 |       2007 |       2008 |        2007 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Continuing operations     |          |            |            |             |
--------------------------------------------------------------------------------
| Rental income             |      468 |        342 |         30 |          22 |
--------------------------------------------------------------------------------
| Expenses related to       |    (180) |      (180) |       (12) |        (12) |
| investment property       |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Gross profit              |      288 |        162 |         18 |          10 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Administrative and        |    (378) |      (631) |       (24) |        (40) |
| general expenses          |          |            |            |             |
--------------------------------------------------------------------------------
| Change in value of        | (13 259) |     26 332 |      (847) |       1 683 |
| investment property       |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Operating loss (profit)   | (13 123) |     25 863 |      (838) |       1 653 |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Net financial income      |     (57) |       (38) |        (4) |         (2) |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Loss (profit) from        | (13 180) |     25 825 |      (842) |       1 651 |
| continuing operations     |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Profit from discontinued  |        0 |     11 875 |          0 |         758 |
| operations                |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Loss (profit) before      | (13 180) |     37 700 |      (842) |       2 409 |
| income tax                |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Corporate income tax      |        0 |      (475) |          0 |        (30) |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| NET LOSS (PROFIT) FOR THE | (13 180) |     37 225 |      (842) |       2 379 |
| PERIOD                    |          |            |            |             |
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
| Basic earnings per share  |    -2.93 |       8.27 |      -0.19 |        0.53 |
--------------------------------------------------------------------------------
| Diluted earnings per      |    -2.93 |       8.27 |      -0.19 |        0.53 |
| share                     |          |            |            |             |
--------------------------------------------------------------------------------




Ülo Adamson                                                                     
Chairman of the Supervisory Board                                               
Investor Relations                                                              
+372 51 39 424