Börsiteade
TKM Grupp AS
LEI kood
529900785KF1K0EEW940
Emitendi suuruskategooria
Suur kontsern
Majandustegevusalad
Finants- ja kindlustustegevus
Emitendi registreeritud asukoht
Eesti
Üldandmed
Kategooriad
Poolaastaaruanne
Teate ID
6771
Manused
Esitamise kuupäev ja aeg
12.07.2018 16:30:00
Teate sisu eesti keeles
Pealkiri
2018. aasta II kvartali ja 6 kuu auditeerimata majandustulemused
Teade
Segmendid (EURm) Q2/18 Q2/17 yoy 6m/18 6m/17 yoy
----------------------------------------------------------------------------
Supermarketid 112,3 109,0 3,1% 217,9 208,5 4,5%
Kaubamaja 23,8 25,0 -5,0% 46,6 48,1 -3,1%
Autokaubandus 34,9 26,6 31,1% 62,5 50,9 23,0%
Jalatsikaubandus 2,5 2,8 -9,0% 4,7 5,4 -12,6%
Kinnisvara 1,4 1,2 9,6% 2,7 2,5 8,6%
----------------------------------------------------------------------------
Müügitulud kokku 174,9 164,6 6,2% 334,4 315,3 6,1%
----------------------------------------------------------------------------
Supermarketid 3,7 3,4 8,5% 6,9 6,2 10,4%
Kaubamaja 1,1 1,3 -9,9% 0,7 1,3 -46,8%
Autokaubandus 1,7 1,0 70,6% 2,6 2,3 14,7%
Jalatsikaubandus 0,1 0,0 -453,3% -0,2 -0,9 -74,1%
Kinnisvara 2,5 2,9 -16,0% 5,3 5,8 -8,3%
----------------------------------------------------------------------------
Maksueelne kasum kokku 9,2 8,7 6,4% 15,3 14,8 3,6%
----------------------------------------------------------------------------
Tallinna Kaubamaja Grupi 2018. aasta teise kvartali konsolideeritud
auditeerimata müügitulu oli 174,9 miljonit eurot, ületades sellega aasta
varasemat 6,2%. I poolaasta müügitulu oli 334,4 miljonit eurot, kasvades
võrreldes 2017. aasta I poolaasta tulemusega, mil müügitulu oli 315,3 miljonit
eurot, 6,1%. Kontserni 2018. aasta teise kvartali konsolideeritud auditeerimata
puhaskasum oli 9,2 miljonit eurot, mis on 6,6% enam, kui eelmise aasta
võrreldava perioodi kasum. Kontserni 2018. aasta 6 kuu puhaskasum oli 9,0
miljonit eurot, mis on eelmise võrreldava perioodi tulemusest 7,9% parem.
Maksueelne kasum oli I poolaastal 15,3 miljonit eurot, kasvades aasta varasemaga
võrreldes 3,6%. Puhaskasumit mõjutas dividendimakse, millelt 2018. aasta I
kvartalis arvestati tulumaksu 6,2 miljonit eurot, aasta varem arvestati
tulumaksu summas 6,4 miljonit eurot.
2018. aasta teises kvartalis kasvatas Grupp müügitulu ja kasumit. Kõrgeima
müügitulu kasvu ning kasumi lisandumisega jätkas Grupi autosegment.
Jalatsisegmendi kauplusepindade optimeerimine vähendas võrreldavate perioodide
müügitulu, kuid viis teise kvartali kasumisse. Tallinnas tehtavad mitmed
suuremahulised teetööd raskendasid klientide ligipääsu Grupi erinevate
segmentide olulistele jaekauplustele, mis omakorda viis nende kaupluste
vähenenud külastatavuse ja müügitulu kasvu pidurdumiseni. Brutorentaablus
võrreldes varasemaga veidi langes seoses Grupi keskmisest pisut madalama
brutorentaablusega autokaubanduse segmendi osakaalu kasvuga ning Selveri
segmendi rohkemate müügikampaaniatega. Tööjõukulude kasv teises kvartalis
mõnevõrra pidurdus, kuna palkade korrigeerimine ei ole toimunud võrreldavates
perioodides samas ajakavas, kuid kindlasti on tööjõukulude kontrolli all
hoidmiseks tähtis roll iseteeninduskassade kasutuse suurendamisel ning
kaubandusprotsesside töökorralduse parandamisel. Käimasolevatest
arendusprojektidest tähtsamateks on e-poodide kasutajamugavuse ja tarnekiiruse
parandamine, samuti kolmes Balti riigis autosalongide, Kaubamaja segmendi
Tallinna müügimaja, Kulinaaria uue tootmishoone ning ühe Selveri kaupluse
arendused.
Selverid
Supermarketite ärisegmendi 2018. aasta esimese poolaasta konsolideeritud
müügitulu oli 217,9 miljonit eurot, kasvades aasta varasema perioodiga 4,5%.
Teise kvartali konsolideeritud müügitulu oli 112,3 miljonit eurot, kasvades
aasta varasema perioodiga võrrelduna 3,1%. Selveritest tehti 2018. aasta
esimesel poolaastal 18,9 miljonit ostu, mis ületas aasta varasemat 2,7%. 2018.
aasta esimese poolaasta supermarketite segmendi konsolideeritud maksueelne kasum
oli 6,9 miljonit eurot, kasvades võrrelduna eelmise aastaga 0,6 miljonit.
Puhaskasum oli esimesel poolaastal 2,8 miljonit eurot, kasvades võrrelduna
eelmise aastaga 0,2 miljonit eurot. Eestis teenitud maksueelne kasum oli 7,0
miljonit eurot ja puhaskasum 3,0 miljonit eurot. Puhaskasumi ja tulumaksueelse
kasumi erinevus tuleneb dividendidelt makstud tulumaksult - 2018. aastal oli
dividendide tulumaks 0,4 miljoni euro võrra suurem aasta varasemast. Teises
kvartalis olid maksueelne kasum ja puhaskasum 3,7 miljonit eurot, millest Eestis
teenitud kasum moodustas 3,8 miljonit eurot. Teise kvartali kasum ületas eelmise
aasta vaadeldava perioodi tulemust 0,3 miljoni euro võrra. Lätis teenitud kahjum
oli esimesel poolaastal 0,2 miljonit eurot, millest teise kvartali osa oli 0,1
miljonit eurot, moodustades mõlemal perioodil 20% eelmise aasta tasemest.
Selveri teise kvartali müügitulu kasv püsis turusegmendi kasvutempos.
Võrreldavate kaupluste vaates müügitulu vähenes 0,4% võrra. Müügitulu mõjutasid
aktiivne teedeehitus, mis on käesoleval aastal mõjutanud ja mõjutamas mitme
ketis olulise kaaluga kauplusele ligipääsu; alkoholi müügi pidurdumine,
jaanipühade kontsentreerumine lühemale ajaperioodile ning ühe Selveri sulgemine.
Teises kvartalis kasvas nii ostude arv kui keskmine ost. Jätkuvalt edukad
tulemused olid e-Selveril, kus läbimüük II kvartalis suurenes võrrelduna eelmise
aasta teise kvartaliga kolmandiku võrra. Eestis teenitud kasumi kujunemisele on
mõju avaldanud eelkõige müügitulu kasv. Brutomarginaal müügist on kõrgemast
inflatsioonist ja suuremast kampaaniate osakaalust tingituna 0,1 protsendipunkti
võrra madalam. Tegevuskulude osas on suudetud parandada eelmise aasta
kuluefektiivset taset. Oodatult on positiivset mõju avaldanud investeeringud,
mis on võimaldanud kokku hoida halduskulusid ning tugevas palgasurves
võimaldanud efektiivselt juhtida tööjõukulusid. Teise kvartali tegevuskulud
sisaldavad 151 tuhande euro ulatuses ühekordseid kulusid seoses kaupluse
sulgemisega. Lätis teenitud kahjum vähenes seoses grupisiseste lepingute
lõppemisega. 2018. aasta võrdlusbaasis ei sisaldu eelmisel aastal Tallinnas
avatud viite uut supermarketit ning Hiiumaa rändpoodi. 2018. aasta võrdlusbaas
on suurem Tallinnas suletud supermarketi võrra.
Kaubamajad
Kaubamajade ärisegmendi 2018. aasta 6 kuu müügitulu oli 46,6 miljonit eurot, mis
oli eelmise aastaga võrreldes madalam 3,1%. Sellest teises kvartalis oli
müügitulu 23,8 miljonit eurot, mis jäi 2017.aasta II kvartali tuludele alla
5,0%. Kaubamajade 2018. aasta esimese poolaasta maksueelne kasum oli 0,7
miljonit eurot, mis oli aastatagusest tulemusest madalam 46,8%. Teises kvartalis
oli maksueelne kasum 1,1 miljonit eurot, mis jäi 2017. aasta tulemusele alla
9,9% võrra. Kaubamajade müügitulu mõjutas teises kvartalis Gonsiori tänava
remont, mis häiris kogu kesklinna liiklust ja mõjutas negatiivselt kliendivooge.
I.L.U. kosmeetikakauplusi opereeriva OÜ TKM Beauty Eesti 2018. aasta esimese
poolaasta müügitulu oli 2,0 miljonit eurot, vähenedes 2017. aasta sama
perioodiga võrreldes 2,7%. 2018. aasta esimese poolaasta kahjum oli 0,2 miljonit
eurot, kahjum vähenes 2017. aasta esimese poolaastaga võrreldes 0,03 miljoni
euro võrra. 2018. aasta teise kvartali müügitulu oli 1,0 miljonit eurot,
vähenedes 2017. aasta sama perioodiga võrreldes 8,4%. 2018. aasta teises
kvartalis oli kahjum 0,05 miljonit eurot, mis oli 2017. aasta võrreldava
perioodi kahjumist väiksem 0,04 miljoni euro võrra. Teise kvartali müügitulu
mõjutasid negatiivselt Rocca al Mare liiklussõlme ehitustöödega seoses halb
ligipääs Rocca al Mare keskusele, samuti ehitusööd Kristiine keskuses.
Autokaubandus
Autokaubandussegmendi 2018. aasta esimese poolaasta müügitulu oli 62,5 miljonit
eurot. Müügitulu ületas 23,0% eelmise aasta sama perioodi tulusid, sealhulgas
kasvas KIAde müügitulu 7,2%. Teise kvartali 34,9 miljoni euro suurune müügitulu
ületas aasta varasemat 31,1%, sealhulgas kasvas KIAde müügitulu 19,3%. Esimesel
poolaastal müüdi kokku 2 879 uut sõidukit, sellest teises kvartalis 1 650
sõidukit. Segmendi 2018. aasta esimese poolaasta puhaskasum oli 1,9 miljonit
eurot, olles 4,4% aasta varasemast sama perioodi kasumist suurem. Segmendi
2018. aasta esimese poolaasta maksueelne kasum oli 2,6 miljonit eurot, ületades
2017. aasta esimese poolaasta kasumit 14,7%. 2018. aasta teise kvartali
maksueelne kasum oli 1,7 miljonit eurot, mis ületas aasta varasema sama perioodi
kasumit 70,6%. Müügitulu ja kasumikasvu põhjusteks saab lugeda
autokaubandussegmenti lisandunud Peugeot sõidukite müüki ja teenindust alates
2018. aasta algusest ja autoturu üldist hoogsat kasvutrendi. Kõigi Grupi
autobrändide müük ja teenindus läks edukalt kõigis kolmes Balti riigis. Teises
kvartalis realiseerusid eelnevalt sõlmitud automüügitehingud autorendi
firmadega, mis andsid hüppelise kasvu uute autode müügis.
Jalatsikaubandus
Jalatsikaubanduse segmendi müügitulu oli 2018. aasta esimesel poolaastal 4,7
miljoni eurot. Võrreldes eelmise aastaga kahanes esimese poolaasta müügitulu
12,6%. Teises kvartalis oli segmendi müügitulu 2,5 miljonit eurot, kahanedes
eelmise aasta sama perioodiga võrreldes 9,0%. Müügimahud on vähenenud, sest
võrreldes aasta varasemaga on suletud mitmed jalatsikaubanduse segmendi
ootustele mittevastavad kaupluseid. Esimese poolaasta kahjum oli 0,2 miljonit
eurot. Aasta varasema võrreldava perioodi kahjum oli 0,9 miljon eurot. Teise
kvartali kasumiks kujunes 0,1 miljonit eurot, mis võrreldes eelmise aasta sama
perioodiga on 0,1 miljoni euro võrra parem tulemus. Teise kvartali parem tulemus
baseerub varasemast sobivamate hankekanalite kasutamisel ning kauplusepindade
mahu korrastamisel. 2018. aasta teises pooles jätkab segment tööd ABC Kinga
kaupluste müügipindade optimeerimisega.
Kinnisvarad
Kinnisvarade segmendi 2018. aasta esimese poolaasta grupiväline müügitulu oli
2,7 miljonit eurot. Müügitulu kasvas möödunud aastaga võrreldes 8,6%. Segmendi
teise kvartali grupiväline müügitulu oli 1,4 miljonit eurot. Müügitulu kasvas
9,6% võrreldes möödunud aasta sama perioodiga. Kinnisvarade segmendi 2018. aasta
esimese poolaasta maksueelseks kasumiks kujunes 5,3 miljonit eurot, jäädes
eelmise aasta sama perioodi tulemusele alla 8,3%. Segmendi 2018. aasta teise
kvartali maksueelseks kasumiks kujunes 2,5 miljonit eurot, jäädes eelmise aasta
sama perioodi tulemusele alla 16,0%. Segmendi müügitulu kasvu toetas käesoleva
aasta algul valminud grupivälisele partnerile ehitatud tankla ja tanklakauplus,
mis asub Rae vallas Peetri Selveri vahetus naabruses. Segmendi müügikasvule
annavad märkimisväärset lisa Tartu Kaubamaja Keskus ja Viimsi Keskus, mis on
vaatamata tihedale konkurentsile üürnikega kaetud ja külastajate seas endiselt
populaarsed. Kasumi vähemist mõjutasid varasemad grupisisesed Läti kinnisvaraga
seotud lepingud, mis on praeguseks lõppenud.
KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE
Tuhandetes eurodes
-------------------------------------------------------------------------------
30.06.2018 31.12.2017
-------------------------------------------------------------------------------
VARAD
Käibevara
Raha ja pangakontod 16 872 33 662
Nõuded ja ettemaksed 12 949 16 127
Varud 72 422 75 816
-------------------------------------------------------------------------------
Käibevara kokku 102 243 125 605
-------------------------------------------------------------------------------
Põhivara
Pikaajalised nõuded ja ettemaksed 115 114
Sidusettevõtjad 1 700 1 724
Kinnisvarainvesteeringud 50 477 49 902
Materiaalne põhivara 203 208 214 475
Immateriaalne põhivara 5 398 5 675
-------------------------------------------------------------------------------
Põhivara kokku 260 898 271 890
-------------------------------------------------------------------------------
VARAD KOKKU 363 141 397 495
-------------------------------------------------------------------------------
-------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL
-------------------------------------------------------------------------------
Lühiajalised kohustused
Võlakohustused 21 682 54 818
Võlad ja ettemaksed 78 896 85 569
-------------------------------------------------------------------------------
Lühiajalised kohustused kokku 100 578 140 387
-------------------------------------------------------------------------------
Pikaajalised kohustused
Võlakohustused 73 184 48 732
Pikaajalised eraldised ja ettemakstud tulevaste
perioodide tulud 420 360
-------------------------------------------------------------------------------
Pikaajalised kohustused kokku 73 604 49 092
-------------------------------------------------------------------------------
KOHUSTUSED KOKKU 174 182 189 479
-------------------------------------------------------------------------------
Omakapital
Aktsiakapital 16 292 16 292
Kohustuslik reservkapital 2 603 2 603
Ümberhindluse reserv 81 220 82 124
Konverteerimiserinevused -255 -255
Jaotamata kasum 89 099 107 252
-------------------------------------------------------------------------------
OMAKAPITAL KOKKU 188 959 208 016
-------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 363 141 397 495
-------------------------------------------------------------------------------
KONSOLIDEERITUD KOONDKASUMIARUANNE
Tuhandetes eurodes
-------------------------------------------------------------------------------
II kvartal II kvartal
2018 2017 6 kuud 2018 6 kuud 2017
-------------------------------------------------------------------------------
Müügitulu 174 891 164 645 334 438 315 333
Muud äritulud 352 259 1 065 741
Müüdud kaubad, kasutatud
materjalid ja teenused -131 873 -123 213 -252 560 -236 879
Mitmesugused
tegevuskulud -13 744 -13 585 -27 581 -27 079
Tööjõukulud -16 529 -15 747 -32 317 -29 902
Põhivara kulum ja
väärtuse langus -3 390 -3 306 -6 827 -6 587
Muud ärikulud -335 -228 -643 -557
-------------------------------------------------------------------------------
Ärikasum 9 372 8 825 15 575 15 070
-------------------------------------------------------------------------------
Finantstulud 0 0 0 0
Finantskulud -187 -200 -357 -383
Kasum sidusettevõtja
aktsiatelt 24 27 76 78
-------------------------------------------------------------------------------
Kasum enne
tulumaksustamist 9 209 8 652 15 294 14 765
-------------------------------------------------------------------------------
Tulumaks 0 -15 -6 249 -6 386
-------------------------------------------------------------------------------
Aruandeperioodi
puhaskasum 9 209 8 637 9 045 8 379
-------------------------------------------------------------------------------
Muu koondkasum
-------------------------------------------------------------------------------
Kirjed, mida ei
klassifitseerita
edaspidi ümber
kasumiaruandesse
-------------------------------------------------------------------------------
Aruandeperioodi muu
koondkasum /(-kahjum)
kokku 0 0 0 0
-------------------------------------------------------------------------------
ARUANDEPERIOODI
KOONDKASUM 9 209 8 637 9 045 8 379
-------------------------------------------------------------------------------
Raul Puusepp
Juhatuse esimees
Tel 731 5000
Manus
* Börs_Kaubamaja_2Q2018_est (https://prlibrary-
eu.nasdaq.com/Resource/Download/f29faf2d-ae0d-4c2f-b3d6-11167265fd22)
Teate sisu inglise keeles
Pealkiri
Unaudited consolidated interim accounts for the second quarter and first six months of 2018
Teade
Segments (EURm) Q2/18 Q2/17 yoy 6m/18 6m/17 yoy
-----------------------------------------------------------------------------
Supermarkets 112.3 109.0 3.1% 217.9 208.5 4.5%
Department stores 23.8 25.0 -5.0% 46.6 48.1 -3.1%
Cars 34.9 26.6 31.1% 62.5 50.9 23.0%
Footwear 2.5 2.8 -9.0% 4.7 5.4 -12.6%
Real Estate 1.4 1.2 9.6% 2.7 2.5 8.6%
-----------------------------------------------------------------------------
Total sales 174.9 164.6 6.2% 334.4 315.3 6.1%
-----------------------------------------------------------------------------
Supermarkets 3.7 3.4 8.5% 6.9 6.2 10.4%
Department stores 1.1 1.3 -9.9% 0.7 1.3 -46.8%
Cars 1.7 1.0 70.6% 2.6 2.3 14.7%
Footwear 0.1 0.0 -453.3% -0.2 -0.9 -74.1%
Real Estate 2.5 2.9 -16.0% 5.3 5.8 -8.3%
-----------------------------------------------------------------------------
Total profit before tax 9.2 8.7 6.4% 15.3 14.8 3.6%
-----------------------------------------------------------------------------
In the second quarter of 2018, the unaudited sales revenue of the Tallinna
Kaubamaja Group was 174.9 million euros, exceeding the year-on-year result by
6.2%. The sales revenue generated in the first half of the year was 334.4
million euros, growing by 6.1% compared to the result of the first half of
2017, when the sales revenue was 315.3 million euros. In the second quarter of
2018, the unaudited consolidated net profit of the Group was 9.2 million euros,
which is 6.6% higher compared to the profit of the same period of the previous
year. The net profit of the Group in six months of 2018 was 9.0 million euros,
which is 7.9% higher than the previous comparable result. The pre-tax profit in
the first half of the year was 15.3 million euros, showing a growth of 3.6%
compared to the previous year. The size of the net profit was influenced by the
dividend payment, on which income tax of 6.2 million euros was accrued in the
first quarter of 2018, whereas a year earlier, income tax was accrued in the
amount of 6.4 million euros.
In the second quarter of 2018, the Group increased their sales revenue and
profit. The car segment of the Group continued to produce the highest sales
revenue and profit. Optimisation of the footwear segment selling spaces reduced
the sales revenues of comparable periods, but led to profit in the second
quarter. Several ongoing extensive road works in Tallinn made it harder for
customers to access the Group's important retail stores of different segments,
which, in turn, led to reduced visiting frequency and slowdown of the sales
revenue growth in these stores. The gross profitability compared to the earlier
results decreased slightly because of the growth of the proportion of the car
trade segment, a segment with a lower-than-average gross profitability in the
Group, and more sales campaigns in the Selver segment. In the second quarter,
the growth of labour costs slowed down somewhat, because the correction of wages
has not occurred at the same pace in the comparable periods. However, the
introduction of more self-checkout stations and improving the workflow of the
commercial processes has an important role to play in controlling labour costs.
The most important current development projects are improving the convenience of
use and delivery speed of e-stores as well as the developments of car showrooms
in all three Baltic States, a sales building of the department store segment in
Tallinn, a new production building of Kulinaaria, and one Selver store.
Selver supermarkets
In the first half of 2018, the consolidated sales revenue of the supermarkets
business segment was 217.9 million euros - an increase of 4.5% compared to the
same period of the previous year. The consolidated sales revenue was 112.3
million euros in the second quarter, growing by 3.1% year-on-year. In Selver
stores, 18.9 million purchases were made in the first half of 2018, which
exceeded the year-on-year results by 2.7%. In the first half of 2018, the
consolidated pre-tax profit of the supermarket segment was 6.9 million euros - a
growth of 0.6 million euros compared to the previous year. The net profit was
2.8 million euros in the first half of the year - a growth of 0.2 million euros
compared to the previous year. The pre-tax profit earned in Estonia was 7.0
million euros and the net profit was 3.0 million euros. The difference in the
net profit and pre-tax profit is due to the income tax paid on dividends: in
2018, the income tax on dividends was higher by 0.4 million euros compared to
the previous year. In the second quarter, the pre-tax profit and net profit was
3.7 million euros, of which the profit earned in Estonia accounted for 3.8
million euros. The profit of the second quarter exceeded the result of the
comparable period in the previous year by 0.3 million euros. In the first half
of the year, the loss earned in Latvia was 0.2 million euros, of which the
second quarter accounted for 0.1 million euros, being 20% of the level of the
previous year in both periods.
The sales revenue growth of Selver stores retained the rate of growth in the
relevant market segment in the second quarter. The sales revenue of comparable
stores reduced by 0.4%. The sales revenue was influenced by several factors:
active road construction works, which affected and are still affecting access to
several important stores of the chain this year, slowdown of the sale of
alcohol, concentration of the celebrations of Midsummer Day on a shorter period,
and the closing of one Selver store. The number of purchases as well as the
average purchase have grown in the second quarter. E-Selver is still doing well:
its sales increased by one third in the second quarter compared to the second
quarter of the previous year. The growth of the sales revenue is the primary
reason for the profit amount earned in Estonia. Gross margin on the sale is 0.1
percentage point lower due to higher inflation and a larger number of campaigns.
In terms of operating costs, the cost efficiency level has improved compared to
the previous year. As expected, investments have had a positive impact and
allowed cutting administrative costs and managing labour costs efficiently in
the context of a strong pressure to increase wages. The operating costs in the
second quarter include one-time expenditure in the amount of 151,000 euros
incurred in relation to closing of a store. The loss earned in Latvia decreased
because some contracts within the Group ended. The comparison basis of 2018 does
not include five new supermarkets opened in Tallinn last year and a mobile store
in Hiiumaa. The comparison basis of 2018 is higher because of a supermarket
closed in Tallinn.
Department stores
In the first six months of 2018, the department store business segment earned a
sales revenue of 46.6 million euros, which is 3.1% less than last year. Of this,
the sales revenue generated in the second quarter was 23.8 million euros, which
was 5.0% lower than the revenue earned in the second quarter of 2017. The pre-
tax profit of department stores in the first half of 2018 was 0.7 million euros
- 46.8% lower than the year-on-year result. The pre-tax profit was 1.1 million
euros in the second quarter, which was 9.9% less than the result achieved in
2017. The repair works in Gonsiori Street, which disturbed the entire traffic in
downtown Tallinn and had a negative impact on the flow of customers, influenced
the sales revenue in the department store segment in the second quarter. In the
first half of 2018, the sales revenue of OÜ TKM Beauty Eesti, which operates the
I.L.U. cosmetics stores, was 2.0 million euros, showing a decrease of 2.7%
compared to the same period in 2017. The loss earned in the first half of 2018
was 0.2 million euros, the loss was smaller by 0.03 million euros compared to
the first half of 2017. In the second quarter of 2018, the sales revenue was
1.0 million euros, decreasing by 8.4% compared to the same period in 2017. The
loss in the second quarter of 2018 was 0.05 million euros, which is 0.04 million
euros less than the loss earned in the comparable period in 2017. Poor access to
the Rocca al Mare Centre due to construction works at the Rocca al Mare junction
had a negative impact in the second quarter; construction works at Kristiine
Centre had a similar effect.
Car trade
In the first half of 2018, the sales revenue of the car trade segment was 62.5
million euros. The sales revenue exceeded the year-on-year revenue by 23.0% and
the sales revenue of KIAs increased by 7.2%. The sales revenue earned in the
second quarter, 34.9 million euros, exceeded the year-on-year result by 31.1%
and the sales revenue of KIAs increased by 19.3%. Altogether, 2,879 new vehicles
were sold in the first half of the year, of which 1,650 cars were sold in the
second quarter. The net profit of the segment earned in the first half of 2018
was 1.9 million euros, which is 4.4% higher than the profit earned in the same
period in previous year. The pre-tax profit of the segment earned in the first
half of 2018 was 2.6 million euros, exceeding the profit of the first half of
2017 by 14.7%. The pre-tax profit of the second quarter of 2018 was 1.7 million
euros, which exceeded the year-on-year profit by 70.6%. The driver of the growth
of the sales revenue and profit was selling and servicing Peugeot vehicles that
was added to the car trade segment in the beginning of 2018 and the overall high
growth trend in the car market. Selling and servicing of all car brands of the
Group was successful in all Baltic States. In the second quarter, the earlier
car sale transactions with car rental companies were realised, resulting in a
steep jump in the sales numbers of new cars.
Footwear trade
The sales revenue of the footwear trade segment was 4.7 million euros in the
first half of 2018. Compared to the previous year, the sales revenue decreased
by 12.6% in the first half of the year. In the second quarter, the sales revenue
generated by the segment was 2.5 million euros, showing a year-on-year decrease
of 9.0%. The sales volumes have decreased because compared to the results of the
previous year, as several footwear stores, belonging to the footwear trade
segment, that did not meet the expectations have been closed. The loss was 0.2
million euros in the first half of the year. The loss earned in the comparable
period a year earlier was 0.9 million euros. The profit in the second quarter
was 0.1 million euros, which compared to the year-on-year results is higher by
0.1 million euros. This better result generated in the second quarter is the
result of using better supply channels than previously and reorganisation of the
volume of selling spaces. In the second half of 2018, the segment continues its
work to optimise the selling spaces at ABC King stores.
Real estate
In the first half of 2018, the sales revenue earned in the real estate segment
outside the Group was 2.7 million euros. The sales revenue grew by 8.6% compared
to last year. The sales revenue of the segment earned outside the Group was 1.4
million euros in the second quarter. The sales revenue increased by 9.6% year-
on-year. The pre-tax profit of the real estate segment in the first half of
2018 was 5.3 million euros, which is 8.3% lower than the result earned in the
same period last year. The pre-tax profit of the segment in the second quarter
of 2018 was 2.5 million euros, which is 16.0% lower compared to the results of
the same period last year. The growth in the segment's sales revenue was
positively affected by the gas station and store, completed in the beginning of
this year for a partner outside the Group, which is located in Rae rural
municipality, in close proximity to the Selver store in Peetri. The growth of
the segment is driven significantly also by Tartu Kaubamaja Centre and Viimsi
Centre that, despite strong competition, are occupied by tenants and still
popular among visitors. The decrease in profit was affected by previous
contracts concluded inside the Group, related to Latvian real estate, which have
ended by now.
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
In thousands of euros
-------------------------------------------------------------------------
30.06.2018 31.12.2017
-------------------------------------------------------------------------
ASSETS
-------------------------------------------------------------------------
Current assets
Cash and cash equivalents 16,872 33,662
Trade and other receivables 12,949 16,127
Inventories 72,422 75,816
-------------------------------------------------------------------------
Total current assets 102,243 125,605
-------------------------------------------------------------------------
Non-current assets
Long-term trade and other receivables 115 114
Investments in associates 1,7 1,724
Investment property 50,477 49,902
Property, plant and equipment 203,208 214,475
Intangible assets 5,398 5,675
-------------------------------------------------------------------------
Total non-current assets 260,898 271,89
-------------------------------------------------------------------------
TOTAL ASSETS 363,141 397,495
-------------------------------------------------------------------------
-------------------------------------------------------------------------
LIABILITIES AND EQUITY
-------------------------------------------------------------------------
Current liabilities
Borrowings 21,682 54,818
Trade and other payables 78,896 85,569
-------------------------------------------------------------------------
Total current liabilities 100,578 140,387
-------------------------------------------------------------------------
Non-current liabilities
Borrowings 73,184 48,732
Provisions for other liabilities and charges 420 360
-------------------------------------------------------------------------
Total non-current liabilities 73,604 49,092
-------------------------------------------------------------------------
TOTAL LIABILITIES 174,182 189,479
-------------------------------------------------------------------------
Equity
Share capital 16,292 16,292
Statutory reserve capital 2,603 2,603
Revaluation reserve 81,22 82,124
Currency translation differences -255 -255
Retained earnings 89,099 107,252
-------------------------------------------------------------------------
TOTAL EQUITY 188,959 208,016
-------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 363,141 397,495
-------------------------------------------------------------------------
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
In thousands of euros
-------------------------------------------------------------------------------
II quarter II quarter
2018 2017 6 months 2018 6 months 2017
-------------------------------------------------------------------------------
Revenue 174,891 164,645 334,438 315,333
Other operating
income 352 259 1,065 741
Cost of sales -131,873 -123,213 -252,56 -236,879
Other operating
expenses -13,744 -13,585 -27,581 -27,079
Staff costs -16,529 -15,747 -32,317 -29,902
Depreciation,
amortisation and
impairment losses -3,39 -3,306 -6,827 -6,587
Other expenses -335 -228 -643 -557
-------------------------------------------------------------------------------
Operating profit 9,372 8,825 15,575 15,07
-------------------------------------------------------------------------------
Finance income 0 0 0 0
Finance costs -187 -200 -357 -383
Finance income on
shares of associates 24 27 76 78
-------------------------------------------------------------------------------
Profit before tax 9,209 8,652 15,294 14,765
-------------------------------------------------------------------------------
Income tax expense 0 -15 -6,249 -6,386
-------------------------------------------------------------------------------
NET PROFIT FOR THE
FINANCIAL YEAR 9,209 8,637 9,045 8,379
-------------------------------------------------------------------------------
Other comprehensive
income:
Items that will not
be subsequently
reclassified to
profit or loss
-------------------------------------------------------------------------------
Other comprehensive
income for the
financial year 0 0 0 0
-------------------------------------------------------------------------------
TOTAL COMPREHENSIVE
INCOME FOR THE
FINANCIAL YEAR 9,209 8,637 9,045 8,379
-------------------------------------------------------------------------------
Raul Puusepp
Chairman of the Board
Phone +372 731 5000
Attachment
* Börs_Kaubamaja_2Q2018_eng (https://prlibrary-
eu.nasdaq.com/Resource/Download/b6edcd93-c7f7-43c3-aeb1-d8cea1ceff1e)