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Nordic Fibreboard AS

LEI kood

54930002HOIXBD15OM06

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Väikekontsern

Majandustegevusalad

Finants- ja kindlustustegevus

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Kategooriad

Poolaastaaruanne

Teate ID

7462

Esitamise kuupäev ja aeg

30.08.2019 14:05:46

Teate sisu eesti keeles

Pealkiri

Skano Group AS auditeerimata 2019. majandusaasta teise kvartali tulemused, Nõukogu ostsued ja kontsernisisene ümberstruktureerumine

Teade

Skano Group AS auditeerimata 2019. majandusaasta teise kvartali tulemused

Skano  Group  AS  konsolideeritud  müügitulu  oli 2019. aasta 2. kvartalis 3,88
miljonit  eurot,  mis  on  2% langust  2018. aasta  sama  perioodiga  võrreldes.
Puitkiudplaadi  müügitulu  2% tõusu  tingisid  uued  kliendid Euroopas ja suurem
müügitulu arengumaade klientide juures. Mööbli hulgimüügi müügitulu langes 19%,
mille  peamiseks  põhjuseks  oli  vähenenud  nõudlus  Venemaal, Soomes ja Lääne-
Euroopas.  Languse põhjuseks  Venemaal on  endiselt geopoliitilistest põhjustest
tulenevalt   kohalike  tarbijate  nõrgenenud  kindlustunne,  mis  mõjutab  nende
ostuotsuseid.  Mööbli  jaemüügi  müügitulu  suurenes 9%, peamiselt tänu kõikides
Baltikumi kaupluses tehtud aktiivsele turustustegevusele.

Skano  Group EBITDA oli 2019. aasta 2. kvartalis negatiivne 67 tuhat eurot (2018
2. kv:   positiivne  237 tuhat  eurot).   Kiudplaadi  brutomarginaali  mõjutasid
negatiivselt  uute  klientide  tootemiksist  tulenevad  tootmise probleemid ning
varude  vähendamine. Tulemuseks  brutomarginaal 15% 2. kvartalis  2019 (2018 2.
kvartalis  23%). Mööbli hulgimüügi kasumlikkust mõjutas 2019. aasta 2. kvartalis
2018. aasta  2. kvartaliga võrreldes  samuti negatiivselt  valmistoodangu varude
mahu  vähenemine.  Mööbli  jaekaubanduse  brutomarginaal  oli 2019. aasta teises
kvartalis 32%, mis on pisut madalam võrreldes 2018. aasta teise kvartali 37%-ga.
Puhaskahjum  2019. aasta 2. kvartalis  300 tuhat eurot  (2018 2. kv: puhaskahjum
14 tuhat eurot).

Ärivaldkondade ülevaade

Müügitulu ärisegmentide lõikes

                                        tuh EUR         |      tuh EUR      |
                              -------------+------------+---------+---------+
                                II kv 2019 | II kv 2018   6k 2019 | 6k 2018
-------------------------------------------+------------+---------+---------+
  Kiudplaadi tootmine ja müük        3 013 |      2 957 |   5 906 |   5 679 |
-------------------------------------------+------------+---------+---------+
  Mööbli tootmine ja müük              632 |        778 |   1 350 |   1 578 |
-------------------------------------------+------------+---------+---------+
  Mööbli jaemüük                       468 |        430 |     861 |     762 |
-------------------------------------------+------------+---------+---------+
  Elimineerimine                     (225) |      (215) |   (400) |   (359) |
-------------------------------------------+------------+---------+---------+
  Kokku                              3 888 |      3 949 |   7 717 |   7 660 |

 Kasum ärisegmentide lõikes

                                 -----------+          --------+
 tuh EUR                          II kv 2019|II kv 2018 6k 2019|6k 2018
--------------------------------------------+------------------+-------
 EBITDA ärisegmentide lõikes                |                  |
--------------------------------------------+------------------+-------
 Kiudplaadi tootmine ja müük            (10)|       170     (8)|    206
--------------------------------------------+------------------+-------
 Mööbli tootmine ja müük                (96)|        78   (164)|     45
--------------------------------------------+------------------+-------
 Mööbli jaemüük                         (16)|      (11)    (38)|   (30)
--------------------------------------------+------------------+-------
 Elimineerimine                           38|       (0)      67|    (8)
--------------------------------------------+------------------+-------
 Kokku EBITDA                           (67)|       237   (143)|    213
--------------------------------------------+------------------+-------
 Põhivara kulum ja amortisatsioon        162|       182     339|    373
--------------------------------------------+------------------+-------
 Kokku ÄRIKASUM/-KAHJUM                (230)|        55   (482)|  (160)
--------------------------------------------+------------------+-------
 Neto finantskulud                        70|        69     141|    135
--------------------------------------------+------------------+-------
 Tulumaksukulu                             0|         0       0|      0
--------------------------------------------+------------------+-------
 PUHASKASUM/-KAHJUM                    (300)|      (14)   (623)|  (295)

Skano Fibreboard

Puitkiudplaadi  müügitulu oli 2019. aasta  2. kvartalis 3,01 miljonit eurot, mis
on  2%  kasvu 2018. aasta  sama perioodiga  võrreldes (2018 2. kv: 2,96 miljonit
eurot).  2019. aasta  2. kvartalis  müüsime  oma  tooteid  29 riigi klientidele.
Müügitulu  kasvas  arengumaade  turgudel  Aasias  ja  Aafrikas  ning tänu uutele
klientidele  Euroopas.  Meie  suurimal  turul,  Soomes,  jätkub müügitulu langus
vaatamata  stabiilsele  turuosale  pehme  tihedusega puitkiudplaatide segmendis,
viidates  seega  muude  materjalide  suuremat  kasutamist ehitussektoris. Lisaks
Soomele    vähenes   müügitulu   ka   Rootsis,   Lähis-Idas   ning   Portugalis.
Brutomarginaali  mõjutasid  negatiivselt  uute  klientide tootemiksist tulenevad
tootmise  probleemid ning varude  vähendamine. Tulemuseks brutomarginaal 15% 2.
kvartalis 2019 (2018 2. kvartalis 23%). . Samas oli püsikulud 2019. 2. kvartalis
44 tuhat  eurot madalamad 2018. aasta 2. kvartaliga võrreldes. EBITDA tulemuseks
2019. aasta   2. kvartalis   negatiivne   10 tuhat  eurot  (2018  2. kv:  EBITDA
positiivne 170 tuhat eurot).

Kiudplaadi müügitulu geograafiliselt

                         tuh EUR         |      tuh EUR      |
               -------------+            +---------+         |
                 II kv 2019 | II kv 2018   6k 2019 | 6k 2018
----------------------------+------------+---------+---------+
  Euroopa Liit        2 236 |      2 165 |   4 329 |   4 363 |
----------------------------+------------+---------+---------+
  Venemaa               425 |        423 |     753 |     721 |
----------------------------+------------+---------+---------+
  Aafrika               156 |         33 |     298 |      75 |
----------------------------+------------+---------+---------+
  Aasia                  80 |        120 |     243 |     157 |
----------------------------+------------+---------+---------+
  Teised                 77 |        116 |     157 |     190 |
----------------------------+------------+---------+---------+
  Lähis-Ida              40 |        100 |     126 |     173 |
----------------------------+------------+---------+---------+
  Kokku               3 013 |      2 957 |   5 906 |   5 680 |

 Skano Furniture Factory: mööbli tootmine ja hulgimüük

Mööbli hulgimüügi müügitulu oli 2019. aasta 2. kvartalis 632 tuhat eurot, mis on
19% langust  eelmise aasta sama perioodiga  võrreldes (2018 2. kvartal 778 tuhat
eurot).  Müügitulu  languse  peamiseks  põhjuseks  on endiselt Venemaa klientide
nõudluse  langus,  kus  meie  edasimüüjad  kogevad  jätkuvalt kohalike tarbijate
ebakindlust,  mis  tuleneb  geopoliitilisest  olukorrast. Meie edasimüüja Soomes
vähendab  oma  tegevushaaret.  Ühtlasi  omandas  Skano  käesoleva  aasta alguses
müügiõiguse  Soome edasimüüja klientide juures  väljaspool Soomet, mis tõi kaasa
müügitulu  kasvu mitmes Euroopa Liidu riigis.  Müük meie oma Balti jaeketile oli
sarnane eelmise aasta tasemega.

Tootmise  otsekulud olid  2019. aasta 2. kvartalis  563 tuhat eurot (moodustades
89% müügist),  mis on 146 tuhat eurot vähem võrreldes 2. kvartaliga 2018 (otsene
tootmiskulu  2018. aasta  teises  kvartalis  708 tuhat  eurot,  moodustades 91%
müügist).   Jätkasime   2019. aasta   teises   kvartalis  tegevusplaaniga  leida
allhankijad mõnedele tootmise esmafaasi tegevustele, mis annab seeläbi võimaluse
vähendada  tootmise isikkooseisu  ja pooltoodangu  kulusid. Tegemist  on jätkuva
protsessiga,  mis  peaks  viima  tootmiskulude  jätkuva  vähenemiseni, samas kui
optimeerime  pooltoodangut,  ning  mis  omakorda  peaks  parandama kasumlikkust.
Mööbli  hulgimüügi  kasumlikkust  mõjutas  negatiivselt ka valmistoodangu varude
taseme  vähenemine  2019. aasta  teises  kvartalis  võrreldes  2018. aasta teise
kvartaliga.

Samas  viis  madalam  müügitulu  ning  valmistoodangu  varude  mahu  vähendamine
negatiivse  EBITDA  tulemuseni  2019. aasta  2. kvartalis,  olles 96 tuhat eurot
(2018 2. kv: EBITDA positiivne 78 tuhat eurot).

Mööbli hulgimüügitulu geograafiliselt

  tuh EUR                 tuh EUR         |      tuh EUR      |
                -------------+------------+---------+---------+
                  II kv 2019 | II kv 2018   6k 2019 | 6k 2018
----------------+------------+------------+---------+---------+
  Venemaa       |        204 |        277 |     457 |     638 |
----------------+------------+------------+---------+---------+
  Soome         |         97 |        213 |     298 |     448 |
----------------+------------+------------+---------+---------+
  Skano jae     |        211 |        213 |     384 |     354 |
----------------+------------+------------+---------+---------+
  Teised riigid          120 |         75 |     211 |     139 |
----------------+------------+------------+---------+---------+
  Kokku         |        632 |        778 |   1 350 |   1 578 |

Skano Furniture: mööbli jaemüük

Mööbli  jaemüügi müügitulu oli 2019. aasta  2. kvartalis 468 tuhat eurot, mis on
9% kõrgem  võrreldes sama perioodiga aastal  2018 (2018. aasta 2. kvartalis 430
tuhat  eurot). Peamiselt tingis müügitulu kasvu kõigis Baltikumi kauplustes väga
hästi  toiminud turunduskampaania. Samas  viis turunduskampaania brutomarginaali
vähenemiseni,   mistõttu   jaekaubanduse  EBITDA  oli  2019. aasta  2. kvartalis
negatiivne 16 tuhat eurot (2018. 2. kv: negatiivne 10 tuhat eurot).

Kogu  mööbliäri (tootmine ja hulgimüük ning jaekaubandus) EBITDA 2019. aasta 2.
kvartalis oli negatiivne 112 tuhat eurot (2. kv 2018: EBITDA positiivne 67 tuhat
eurot).

Mööbli jaemüügitulu geograafiliselt

 tuh EUR                   tuh EUR       |    tuh EUR    |    Kaupluste arv    |
                   -----------+----------+-------+-------+----------+----------+
                    II kv 2019|II kv 2018|6k 2019|6k 2018 30.06.2019|30.06.2018
-------------------+----------+----------+-------+-------+----------+-----------
 Eesti             |       364|       263|    621|    467|         3|         3
-------------------+----------+----------+-------+-------+----------+-----------
 Läti              |        45|        65|     85|    139|         1|         1
-------------------+----------+----------+-------+-------+----------+-----------
 Leedu             |        59|       102|    155|    155|         1|         1
-------------------+----------+----------+-------+-------+----------+-----------
 Kokku (toimivad   |          |          |       |       |          |
 kauplused)        |       468|       430|    861|    762|         5|         5

Bilanss ja rahavoogude aruanne

Seisuga   30.06.2019 olid   Skano  Group  AS  varad  kokku  10,1 miljonit  eurot
(30.06.2018:  11,3 miljonit  eurot).  Kontserni  kohustised  kokku  olid seisuga
30.06.2019 7,8 miljonit eurot (30.06.2018: 7,9 miljonit eurot), milledest Skanol
oli  laenukohustisi  4,7 miljonit  eurot  seisuga  30.06.2019 (30.06.2018:  5,1
miljonit).

Nõuded   ja   ettemaksed  olid  kokku  1,8 miljonit  eurot  seisuga  30.06.2019
(30.06.2018:  1,7 miljonit eurot).  Varud seisuga  30.06.2019 1,7 miljonit eurot
(30.06.2018  2,6 miljonit  eurot).  Investeeringud  finantsvaradess  (ehk Trigon
Property   Development   aktsiad)   suurenesid   177 tuhandelt   eurolt  seisuga
30.06.2018 summale    400 tuhat   eurot   seisuga   30.06.2019. Materiaalne   ja
immateriaalne põhivara kokku seisuga 30.06.2019 5,9 miljonit eurot (6,6 miljonit
seisuga of 30.06.2018).

Kontserni  äritegevuse tulemuseks 6 kuu jooksul  2019. aastal oli raha sissevool
summas  150 tuhat  eurot  (2018  6 kuud:  raha väljavool summas 61 tuhat eurot).
Investeerimistegevusest  tulenevalt  toimus  2019. aasta  6 kuu  raha  väljavool
summas 31 tuhat eurot, võrreldes raha väljavooluga 18 tuhat eurot 2018. aasta 6
kuud.  Finantseerimistegevuse  tulemuseks  oli  2019. aasta 6 kuu raha väljavool
summas 104 tuhat eurot (2018 6 kuud: raha sissevool 59 tuhat eurot). Netorahavoo
tulemuseks oli 2019. aasta 6 kuu raha sissevool summas 16 tuhat eurot, võrreldes
6 kuu raha väljavooluga summas 20 tuhat eurot 2018. aastal.

Tuleviku väljavaade

Skano Fibreboard

Puitkiudplaadi    segmendis    jätkame    müügitegevuse    suunamist   erinevate
kasutusvõimaluste  põhiseks,  millel  on  suurem  rahvusvaheline haare võrreldes
traditsioonilise   tuuletõkkeplaadi   ja  isolatsiooniplaadi  müügiga  senistele
traditsioonilistele    turgudele    nagu   Soome,   Venemaa   ja   Eesti.   Meie
turundustegevused   keskenduvad   meie   toodetud   puitkiudplaatide  kasutamise
positiivsetele  omadustele, mis on toodetud värske kuuse puiduhakkest, võrreldes
konkurentide  sünteetiliste  materjalidega.  Lisaks  suunatakse  enam tähelepanu
tänase tooteportfelli kasumlikkuse suurendamisele.

Skano Furniture Factory

Aasta  alguses  sõlmitud  kokkulepe  Soome  edasimüüjaga,  võtta  üle tema poolt
hallatud  Euroopa  kliendid  on  suurendanud  meie kliendibaasi ning viitab meie
poolt  toodetud  mööbli  müügitulu  kasvu  potentsiaalile. Lisaks sellele ootame
toodete    kasumlikkuse    paranemist   tulenevalt   tootmise   allhankeprojekti
käivitamisest,  mis  ühtlasi  vähendaks  ka tootmiskulusid. Nende initsiatiivide
kombinatsioonina    peaks    tooma    paranemise    müügitulu   arengusse   ning
kasumlikkusesse.

Skano Furniture jaemüük

Mööbli  jaekaubanduses  näeme,  et  tihe  konkurents on avaldamas mõju müügitulu
jätkuvusele.  Juhtkond on otsustanud  lõpetada Läti ja  Leedu kaupluste tegevuse
läbi  vastavate kaupluste  sulgemise lähikuudel,  lisaks millele rakendatakse ka
kulude  kärpe  meedet  Eesti  jaekaubanduse  administratsioonis.  Need tegevused
peaksid viima kasumlikkuse paranemiseni.

Töötajad

Seisuga   30.06.2019 töötas   Kontsernis  195 inimest  (võrreldes  214 inimesega
seisuga   30.06.2018). Töötajate  keskmine  arv  oli  2019 2. kvartalis  196 (2.
kvartalis 2018: 210).

2019. aasta  esimese kuue kuu jooksul  olid tööjõukulud koos maksukuludega kokku
1,8 miljonit  eurot (2018  esimese kuue  kuu jooksul  1,8 miljonit eurot). Kõigi
kontserni  ettevõtete s.h. tütarettevõtted  juhatuse liikmetele arvestatud tasud
koos  maksukuludega  olid  kokku  110 tuhat  eurot  2019. aasta esimese kuue kuu
jooksul ning võrreldes 187 tuhat eurot 2018. aasta esimese kuue kuu jooksul.


Finantssuhtarvud

 tuh EUR
                                   +----------+          -----------+
 Kasumiaruanne                     |II kv 2019|II kv 2018    6k 2019|   6k 2018
-----------------------------------+----------+----------+----------+----------
 Müügitulu                         |     3 888|     3 949|     7 717|     7 660
-----------------------------------+----------+----------+----------+----------
 EBITDA                            |      (67)|       237|     (143)|       213
-----------------------------------+----------+----------+----------+----------
 EBITDA rentaablus                 |      (2%)|        6%|      (2%)|        3%
-----------------------------------+----------+----------+----------+----------
 Ärikasum/-kahjum                  |     (230)|        55|     (482)|     (160)
-----------------------------------+----------+----------+----------+----------
 Ärirentaablus                     |      (6%)|        1%|      (6%)|      (2%)
-----------------------------------+----------+----------+----------+----------
 Puhaskasum/-kahjum                |     (300)|      (14)|     (623)|     (295)
-----------------------------------+----------+----------+----------+----------
 Puhasrentaablus                   |      (8%)|      (0%)|      (8%)|      (4%)
                                   |          |          |          |

                                   +----------+----------+----------+----------
 Bilanss                           |30.06.2019|31.12.2018|30.06.2019|31.12.2017
-----------------------------------+----------+----------+----------+----------
 Koguvarad                         |    10 051|    10 307|    11 331|    10 937
-----------------------------------+----------+----------+----------+----------
 Koguvarade puhasrentaablus        |      (3%)|      (0%)|      (5%)|      (3%)
-----------------------------------+----------+----------+----------+----------
 Omakapital                        |     2 297|     2 901|     3 475|     3 753
-----------------------------------+----------+----------+----------+----------
 Omakapitali puhasrentaablus       |     (13%)|      (0%)|     (18%)|      (8%)
-----------------------------------+----------+----------+----------+----------
 Võlakordaja                       |       77%|       72%|       69%|       66%
                                   |          |          |          |

                                   +----------+----------+----------+----------
 Aktsia                            |30.06.2019|31.12.2018|30.06.2018|31.12.2017
-----------------------------------+----------+----------+----------+----------
 Aktsia viimane hind (EUR)*        |      0,41|      0,36|      0,49|      0,62
-----------------------------------+----------+----------+----------+----------
 Puhaskasum aktsia kohta (EUR)     |    (0,07)|    (0,20)|    (0,00)|    (0,03)
-----------------------------------+----------+----------+----------+----------
 Hind-tulu (PE) suhtarv            |    (6,18)|    (1,81)|  (160,15)|   (21,83)
-----------------------------------+----------+----------+----------+----------
 Aktsia raamatupidamisväärtus (EUR)|      0,51|      0,64|      0,77|      0,83
-----------------------------------+----------+----------+----------+----------
 Turuhinna                       ja|          |          |          |
 raamatupidamisväärtuse suhe       |      0,81|      0,56|      0,63|      0,74
-----------------------------------+----------+----------+----------+----------
 Turukapitalisatsioon tuh EUR      |     1 854|     1 611|     2 205|     2 771
-----------------------------------+----------+----------+----------+----------
 Aktsiate arv tk                   | 4 499 061| 4 499 061| 4 499 061| 4 499 061
-----------------------------------+----------+----------+----------+----------

Konsolideeritud finantsseisundi aruanne

 tuh EUR                           |30.06.2019|31.12.2018|30.06.2018|31.12.2017
-----------------------------------+----------+----------+----------+----------
 Raha ja raha ekvivalendid (Lisa 2)|        70|        54|        54|        74
-----------------------------------+----------+----------+----------+----------
 Nõuded ja ettemaksed (Lisa 3)     |     1 764|     1 142|     1 736|     1 215
-----------------------------------+----------+----------+----------+----------
 Varud (Lisa 4)                    |     1 679|     2 255|     2 595|     2 336
-----------------------------------+----------+----------+----------+----------
 Kokku käibevarad                  |     3 513|     3 452|     4 385|     3 624
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Kinnisvarainvesteeringud (Lisa 5) |       187|       175|       170|       170
-----------------------------------+----------+----------+----------+----------
 Müügiootel finantsvarad (Lisa 8)  |         0|         0|       177|       182
-----------------------------------+----------+----------+----------+----------
 Finantsvara õiglases väärtuses    |          |          |          |
 muutustega läbi kasumiaruande     |          |          |          |
 (Lisa 8)                          |       399|       422|         0|         0
-----------------------------------+----------+----------+----------+----------
 Muud aktsiad ja osad              |         0|         0|         0|         6
-----------------------------------+----------+----------+----------+----------
 Materiaalne põhivara (Lisa 6)     |     5 925|     6 223|     6 560|     6 908
-----------------------------------+----------+----------+----------+----------
 Immateriaalne põhivara (Lisa 7)   |        27|        34|        39|        47
-----------------------------------+----------+----------+----------+----------
 Kokku põhivarad                   |     6 538|     6 855|     6 946|     7 313
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Kokku varad                       |    10 051|    10 307|    11 331|    10 937
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Võlakohustised (Lisas 9)          |       550|       652|       653|       593
-----------------------------------+----------+----------+----------+----------
 Võlad ja ettemaksed (Lisas 10)    |     2 874|     2 418|     2 576|     1 956
-----------------------------------+----------+----------+----------+----------
 Lühiajalised eraldised (Lisa 11)  |        10|        15|         6|        13
-----------------------------------+----------+----------+----------+----------
 Kokku lühiajalised kohustised     |     3 435|     3 085|     3 235|     2 562
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Pikaajalised võlakohustised (Lisas|          |          |          |
 9)                                |     4 109|     4 112|     4 421|     4 422
-----------------------------------+----------+----------+----------+----------
 Pikaajalised eraldised (Lisa 11)  |       210|       210|       200|       200
-----------------------------------+----------+----------+----------+----------
 Kokku pikaajalised kohustised     |     4 319|     4 321|     4 621|     4 622
-----------------------------------+----------+----------+----------+----------
 Kokku kohustised                  |     7 753|     7 406|     7 856|     7 184
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Aktsiakapital (nominaalväärtuses) |          |          |          |
 (Lisa 12)                         |     2 699|     2 699|     2 699|     2 699
-----------------------------------+----------+----------+----------+----------
 Ülekurss                          |       364|       364|       364|       364
-----------------------------------+----------+----------+----------+----------
 kohustuslik reservkapital         |       288|       288|       284|       288
-----------------------------------+----------+----------+----------+----------
 Muud reservid                     |        65|        45|        28|         9
-----------------------------------+----------+----------+----------+----------
 Jaotamata kasum (kahjum)          |   (1 119)|     (496)|        99|       393
-----------------------------------+----------+----------+----------+----------
 Kokku omakapital                  |     2 297|     2 901|     3 475|     3 753
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Kokku kohustised ja omakapital    |    10 051|    10 307|    11 331|    10 937

Konsolideeritud kasumi- ja muu koondkasumiaruanne

                                         +----------+          --------+
 tuh EUR                                 |II kv 2019|II kv 2018 6k 2019|6k 2018
-----------------------------------------+----------+----------+-------+-------
 Müügitulu (Lisa 14)                     |     3 888|     3 949|  7 717|  7 660
-----------------------------------------+----------+----------+-------+-------
 Müüdud toodangu kulu (Lisa 15)          |     3 428|     3 183|  6 909|  6 474
-----------------------------------------+----------+----------+-------+-------
 Brutokasum                              |       460|       766|    808|  1 186
-----------------------------------------+----------+----------+-------+-------
                                         |          |          |       |
-----------------------------------------+----------+----------+-------+-------
 Turustuskulud (Lisa 16)                 |       488|       528|    916|    982
-----------------------------------------+----------+----------+-------+-------
 Üldhalduskulud (Lisa 17)                |       160|       144|    320|    298
-----------------------------------------+----------+----------+-------+-------
 Muud äritulud (Lisa 19)                 |         4|         9|     26|     12
-----------------------------------------+----------+----------+-------+-------
 Muud ärikulud (Lisa 19)                 |        46|        49|     81|     78
-----------------------------------------+----------+----------+-------+-------
 Ärikasum (-kahjum)  (Lisa 11)           |     (230)|        55|  (482)|  (160)
-----------------------------------------+----------+----------+-------+-------
                                         |          |          |       |
-----------------------------------------+----------+----------+-------+-------
 Finantstulud (Lisa 20)                  |       (0)|         0|      0|      1
-----------------------------------------+----------+----------+-------+-------
 Finantskulud (Lisa 20)                  |        70|        69|    141|    135
-----------------------------------------+----------+----------+-------+-------
 KASUM ENNE TULUMAKSUSTAMIST             |     (300)|      (14)|  (623)|  (295)
-----------------------------------------+----------+----------+-------+-------
                                         |          |          |       |
-----------------------------------------+----------+----------+-------+-------
 ARUANDEAASTA PUHASKAHJUM                |     (300)|      (14)|  (623)|  (295)
-----------------------------------------+----------+----------+-------+-------
                                         |          |          |       |
-----------------------------------------+----------+----------+-------+-------
 Kokku aruandeaasta koondkahjum          |     (300)|      (14)|  (623)|  (295)
-----------------------------------------+----------+----------+-------+-------
                                         |          |          |       |
-----------------------------------------+----------+----------+-------+-------
 Tava perioodi puhaskahjum aktsia kohta  |          |          |       |
 (Lisa 13)                               |    (0,07)|    (0,00)| (0,14)| (0,07)
-----------------------------------------+----------+----------+-------+-------
 Lahustatud perioodi puhaskahjum aktsia  |          |          |       |
 kohta (Lisa 13)                         |    (0,07)|    (0,00)| (0,14)| (0,07)
                                         +----------+----------+-------+-------


Nõukogu otsused ja kontsernisisene ümberstruktureerumineSkano Furniture OÜ
omandi kontsernisisene ülekandmine

Skano Group AS nõukogu otsuse alusel kandis Skano Furniture Factory OÜ
30.08.2019 tehinguga Skano Group ASile üle 100% osaluse tütarettevõttes Skano
Furniture OÜ. Osaluse ülekandmine toimus ilma makseta ning ei oma Skano Groupile
ja selle tütarettevõtetele majanduslikku mõju. Omaniku vahetus tehti grupisisese
restruktureerimise eesmärgil, osapoolte tegevuses muudatusi ei toimu.

Skano Furniture OÜ juhtkond on otsustanud lõpetada Läti ja Leedu kaupluste
tegevuse läbi vastavate kaupluste sulgemise lähikuudel, lisaks millele
rakendatakse ka kulude kärpe meedet Eesti jaekaubanduse administratsioonis. Need
tegevused peaksid viima kasumlikkuse paranemiseni.


Torfinn Losvik

Juhatuse esimees

+372 569 90 988

[email protected]

Teate sisu inglise keeles

Pealkiri

SKANO GROUP AS unaudited results for second quarter of 2019, Supervisory Board resolutions and Group Internal Restructuring

Teade

SKANO GROUP AS unaudited results for second quarter of 2019

Consolidated  net sales  for Q2  2019 were EUR  3.88 million, being  a 2% decrease
compared  to the same period in 2018. Fibreboard sales increased with 2%, driven
mainly  by new customers in EU and  increased sales to existing customers in the
emerging  markets. Furniture wholesale  sales dropped by  19%, of which the main
reason was the reduced demand experienced in Russia, Finland and Western Europe.
The  reduced demand in Russia is  still caused by declining consumer confidence,
affecting  purchasing behaviour  due to  geopolitical reasons.  Furniture retail
sales were up 9%, mainly due to more active marketing campaign activities in all
Baltic shops.

Skano Group recorded EBITDA of negative EUR 67 thousand for Q2 2019 (vs positive EUR
237 thousand  Q2  2018). Fibreboard  gross  margin  was negatively influenced by
production  problems caused by change in the  product portfolio mix from our new
customers,  as well as reduction  of inventory, which led  to gross margin being
15% in  Q2 (2018 Q2: 23%). Furniture wholesale profitability was also negatively
influenced  by the reduction  of finished goods  inventory level during Q2 2019
compared  to Q2  2018. Furniture retail  gross margin  was 32% for Q2 2019 being
slightly  lower compared  to 37% for  Q2 2018. Net  loss for  Q2 2019 was EUR 300
thousand (Q2 2018: loss of EUR 14 thousand).

DIVISIONAL REVIEW

Revenue by business segments

                                        EUR thousand     |    EUR thousand     |
                                   ----------+---------+---------+---------+
                                     Q2 2019 | Q2 2018   6M 2019 | 6M 2018
---------------------------------------------+---------+---------+---------+
  Fibreboards production and sales     3,013 |   2,957 |   5,906 |   5,679 |
---------------------------------------------+---------+---------+---------+
  Furniture production and sales         632 |     778 |   1,350 |   1,578 |
---------------------------------------------+---------+---------+---------+
  Furniture retail                       468 |     430 |     861 |     762 |
---------------------------------------------+---------+---------+---------+
  Group transactions                   (225) |   (215) |   (400) |   (359) |
---------------------------------------------+---------+---------+---------+
  TOTAL                                3,888 |   3,949 |   7,717 |   7,660 |



Profit by business segments

                                     ----------+         ----------+
  EUR thousand                           Q2 2019 | Q2 2018   6M 2019 | 6M 2018
-----------------------------------------------+-------------------+---------
  EBITDA by business units:                    |                   |
-----------------------------------------------+-------------------+---------
  Fibreboards production and sales        (10) |     170       (8) |     206
-----------------------------------------------+-------------------+---------
  Furniture production and wholesale      (96) |      78     (164) |      45
-----------------------------------------------+-------------------+---------
  Furniture retail                        (16) |    (11)      (38) |    (30)
-----------------------------------------------+-------------------+---------
  Group transactions                        38 |     (0)        67 |     (8)
-----------------------------------------------+-------------------+---------
  TOTAL EBITDA                            (67) |     237     (143) |     213
-----------------------------------------------+-------------------+---------
  Depreciation                             162 |     182       339 |     373
-----------------------------------------------+-------------------+---------
  TOTAL OPERATING PROFIT/ LOSS           (230) |      55     (482) |   (160)
-----------------------------------------------+-------------------+---------
  Net financial costs                       70 |      69       141 |     135
-----------------------------------------------+-------------------+---------
  Income tax                                 0 |       0         0 |       0
-----------------------------------------------+-------------------+---------
  NET PROFIT/ LOSS                       (300) |    (14)     (623) |   (295)



SKANO FIBREBOARD

Fibreboard  sales in  Q2 2019 were  EUR 3.01 million,  which is  2% more than same
period  in 2018 (2018: EUR 2.96 million). We sold our products to customers in 29
countries during Q2 2019. We recorded sales increase in emerging markets in Asia
and  Africa  while  also  continuing  sales  to  recently found customers in EU.
Finland, our largest market, continued to experience sales decline despite Skano
keeping  its market  share within  soft density  fibreboard, thus reflecting the
growth  of other materials for use in the construction sector.  Gross margin was
negatively  influenced by  production problems  caused by  change in the product
portfolio  mix from our new customers, as  well as reduction of inventory, which
led  to gross margin being 15% in Q2  (2018 Q2: 23%). Fixed costs were however EUR
44 thousand less in 2019 Q2 compared to 2018 Q2. EBITDA ending up being negative
EUR -10 thousand for Q2 2019 (Q2 2018 EBITDA was positive EUR 170 thousand).

Fibreboard sales by geographical segment

                      EUR thousand     |    EUR thousand     |
                 ----------+         +---------+         |
                   Q2 2019 | Q2 2018   6M 2019 | 6M 2018
---------------------------+---------+---------+---------+
  European Union     2,236 |   2,165 |   4,329 |   4,363 |
---------------------------+---------+---------+---------+
  Russia               425 |     423 |     753 |     721 |
---------------------------+---------+---------+---------+
  Africa               156 |      33 |     298 |      75 |
---------------------------+---------+---------+---------+
  Asia                  80 |     120 |     243 |     157 |
---------------------------+---------+---------+---------+
  Other                 77 |     116 |     157 |     190 |
---------------------------+---------+---------+---------+
  Middle East           40 |     100 |     126 |     173 |
---------------------------+---------+---------+---------+
  TOTAL              3,013 |   2,957 |   5,906 |   5,680 |

Skano Furniture Factory: furniture production & wholesale

Furniture  wholesale  sales  in  Q2  2019 were  EUR 632 thousand, 19% down on same
period  last year (Q2 2018: EUR 778 thousand). The main reason for this decline in
sales  was  due  to  the  reduced  demand  experienced  in Russia, where our two
distributors  still  face  declining  consumer  confidence  due  to geopolitical
reasons. Also our Finnish distributor continued his downsizing of his operations
in Finland. Skano assumed the Finnish distributor's EU customers at the start of
this  year, which has resulted in somewhat neutralizing sales decline from other
regions. Sales to our own Baltic retail chain was similar to last year's level.

Direct  production cost  in Q2  2019 were EUR  563 thousand (being  89% of sales),
which  is EUR 146 thousand less compared to  Q2 2018 (Direct production cost in Q2
2018 EUR708 thousand, being 91% of sales). We continued during Q2 2019 to look for
subcontractors  for  some  of  our  early  stage production, thus enabling us to
reduce  our  production  staffing  and  costing  for  furniture components. This
process is ongoing and should result in us reducing our production cost further,
while  optimising the buying in of  semi-finished products, which should improve
profitability.  Furniture wholesale profitability was also negatively influenced
by the reduction of finished goods inventory level during Q2 2019 compared to Q2
2018.

However,  the reduced sales and reduction of  inventory levels led to EBITDA for
furniture wholesale for Q2 2019 being negative EUR 96 thousand (Q2 2018 EBITDA was
positive EUR 78 thousand).

Furniture wholesale sales by country

                       EUR thousand     |    EUR thousand     |
                  ----------+---------+---------+---------+
                    Q2 2019 | Q2 2018   6M 2019 | 6M 2018
------------------+---------+---------+---------+---------+
  Russia          |     204 |     277 |     457 |     638 |
------------------+---------+---------+---------+---------+
  Finland         |      97 |     213 |     298 |     448 |
------------------+---------+---------+---------+---------+
  Skano Retail    |     211 |     213 |     384 |     354 |
------------------+---------+---------+---------+---------+
  Other countries       120 |      75 |     211 |     139 |
------------------+---------+---------+---------+---------+
  TOTAL           |     632 |     778 |   1,350 |   1,578 |

Skano Furniture: retail sales

Furniture  retail sales in  Q2 2019 were EUR  468 thousand, up 9% (2018  Q2 EUR 430
thousand)  from same period last year. The  sales increase was driven mainly due
to  well  performing  marketing  campaign  in  all  Baltic  shops.  However, the
marketing  campaign had  decreasing effect  on Gross  Margin, leaving EBITDA for
furniture  retail for Q2  2019 to be negative  EUR 16 thousand (Q2 2018 EBITDA was
negative EUR 10 thousand).

Total  Furniture operations of  Skano (wholesale and  retail) EBITDA for 2019 Q2
were negative EUR 112 thousand (Q2 2018 EBITDA was positive EUR 67 thousand).

Retail sales by countries

            |    EUR thousand     |    EUR thousand     |    Number of stores     |
------------+---------+---------+---------+---------+------------+------------+
              Q2 2019 | Q2 2018 | 6M 2019 | 6M 2018 | 30.06.2019 | 30.06.2018 |
------------+---------+---------+---------+---------+------------+------------+
  Estonia   |     364 |     263 |     621       467 |          3 |          4 |
------------+---------+---------+-------------------+------------+------------+
  Latvia    |      45 |      65 |      85       139 |          1 |          1 |
------------+---------+---------+-------------------+------------+------------+
  Lithuania |      59 |     102 |     155       155 |          1 |          1 |
------------+---------+---------+-------------------+------------+------------+
  TOTAL     |     468 |     430 |     861       762 |          5 |          6 |


OUTLOOK

SKANO FIBREBOARD

In  Fibreboard, we are continuing to push  for sales of our various applications
which  have  more  global  reach  than  our  traditional sales of windboards and
insulation  boards sold mainly in our traditional markets of Finland, Russia and
Estonia.  Our marketing activities are focusing on the positive aspects of using
our  boards,  made  from  virgin  woodchips  from  spruce, compared to competing
synthetic  materials. In  addition more  focus is  being put  to securing higher
profitability of current product mix.

SKANO FURNITURE FACTORY

The  deal  signed,  with  effect  from  start  of  this  year,  with our Finnish
distributor  to  take  over  their  export  customers in Europe has expanded our
customer base and shows promising sales potential of our furniture. In addition,
we  expect improved  product profitability  as we  continue with  our production
outsourcing  while reducing  our own  production cost.  The combination of these
initiatives should bring improved sales development and improved profitability.

SKANO FURNITURE RETAIL SALES

In  Furniture Retail, we  see high competition  causing some concerns to ongoing
sales  revenue.  Management  decided  to  end  the  Latvian  and Lithuanian shop
operations  by closing during the coming months the respective shops in Riga and
Vilnius,  while also now implementing cost  cuts in the retail administration in
Estonia. These actions should result in improved profitability.

PEOPLE

On  the 30th of June 2019, the Group employed 195 people (compared to 214 people
as  of  30.06.2018). The  average  number  of  personnel  in Q2 2019 was 196 (Q2
2018: 210).

For  six months of 2019, wages and salaries with taxes amounted to EUR 1.8 million
(six  months 2018: EUR 1.8 million). Payments made  to management board members of
all  group companies including all subsidiaries  with relevant taxes were EUR 110
thousand during 6M 2019 and EUR 187 thousand during 6M 2018.


FINANCIAL HIGHLIGHTS

 EUR thousand
                                  +----------+          -----------+
 Income statement                 |   Q2 2019|   Q2 2018    6M 2019|   6M 2018
----------------------------------+----------+----------+----------+----------
 Revenue                          |     3,888|     3,949|     7,717|     7,660
----------------------------------+----------+----------+----------+----------
 EBITDA                           |      (67)|       237|     (143)|       213
----------------------------------+----------+----------+----------+----------
 EBITDA margin                    |      (2%)|        6%|      (2%)|        3%
----------------------------------+----------+----------+----------+----------
 Operating profit                 |     (230)|        55|     (482)|     (160)
----------------------------------+----------+----------+----------+----------
 Operating margin                 |      (6%)|        1%|      (6%)|      (2%)
----------------------------------+----------+----------+----------+----------
 Net profit                       |     (300)|      (14)|     (623)|     (295)
----------------------------------+----------+----------+----------+----------
 Net margin                       |      (8%)|      (0%)|      (8%)|      (4%)
                                  |          |          |          |

                                  +----------+----------+----------+----------
 Statement of financial position  |30.06.2019|31.12.2018|30.06.2018|31.12.2017
----------------------------------+----------+----------+----------+----------
 Total assets                     |    10,051|    10,307|    11,331|    10,937
----------------------------------+----------+----------+----------+----------
 Return on assets                 |      (3%)|      (0%)|      (5%)|      (3%)
----------------------------------+----------+----------+----------+----------
 Equity                           |     2,297|     2,901|     3,475|     3,753
----------------------------------+----------+----------+----------+----------
 Return on equity                 |     (13%)|      (0%)|     (18%)|      (8%)
----------------------------------+----------+----------+----------+----------
 Debt-to-equity ratio             |       77%|       72%|       69%|       66%
                                  |          |          |          |

                                  +----------+----------+----------+----------
 Share                            |30.06.2019|31.12.2018|30.06.2018|31.12.2017
----------------------------------+----------+----------+----------+----------
 Last Price*                      |      0.41|      0.36|      0.49|      0.62
----------------------------------+----------+----------+----------+----------
 Earnings per share               |    (0.14)|    (0.20)|    (0.07)|    (0.03)
----------------------------------+----------+----------+----------+----------
 Price-earnings ratio             |    (2.98)|    (1.81)|    (7.50)|   (21.83)
----------------------------------+----------+----------+----------+----------
 Book value of a share            |      0.51|      0.64|      0.77|      0.83
----------------------------------+----------+----------+----------+----------
 Market to book ratio             |      0.81|      0.56|      0.63|      0.74
----------------------------------+----------+----------+----------+----------
 Market capitalization, EUR thousand|     1,854|     1,611|     2,205|     2,771
----------------------------------+----------+----------+----------+----------
 Number of shares, piece          | 4,499,061| 4,499,061| 4,499,061| 4,499,061


CONSOLIDATED STATEMENT OF FINANCIAL POSITIONS

 EUR thousand                        |30.06.2019|31.12.2018|30.06.2018|31.12.2017
-----------------------------------+----------+----------+----------+----------
 Cash and cash equivalents (Note 2)|        70|        54|        54|        74
-----------------------------------+----------+----------+----------+----------
 Receivables and prepayments (Note |          |          |          |
 3)                                |     1,764|     1,142|     1,736|     1,215
-----------------------------------+----------+----------+----------+----------
 Inventories (Note 4)              |     1,679|     2,255|     2,595|     2,336
-----------------------------------+----------+----------+----------+----------
 Total current assets              |     3,513|     3,452|     4,385|     3,624
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Investment property (Note 5)      |       187|       175|       170|       170
-----------------------------------+----------+----------+----------+----------
 Available-for-sale financial      |          |          |          |
 assets (Note 8)                   |         0|         0|       177|       182
-----------------------------------+----------+----------+----------+----------
 Financial assets at fair value    |          |          |          |
 through profit or loss (Note 8)   |       399|       422|         0|         0
-----------------------------------+----------+----------+----------+----------
 Other shares and issues           |         0|         0|         0|         6
-----------------------------------+----------+----------+----------+----------
 Property, plant and equipment     |          |          |          |
 (Note 6)                          |     5,925|     6,223|     6,560|     6,908
-----------------------------------+----------+----------+----------+----------
 Intangible assets (Note 7)        |        27|        34|        39|        47
-----------------------------------+----------+----------+----------+----------
 Total non-current assets          |     6,538|     6,855|     6,946|     7,313
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 TOTAL ASSETS                      |    10,051|    10,307|    11,331|    10,937
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Borrowings (Notes 9)              |       550|       652|       653|       593
-----------------------------------+----------+----------+----------+----------
 Payables and prepayments (Notes   |          |          |          |
 10)                               |     2,874|     2,418|     2,576|     1,956
-----------------------------------+----------+----------+----------+----------
 Short-term provisions (Note 11)   |        10|        15|         6|        13
-----------------------------------+----------+----------+----------+----------
 Total current liabilities         |     3,435|     3,085|     3,235|     2,562
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Long-term borrowings (Notes 9)    |     4,109|     4,112|     4,421|     4,422
-----------------------------------+----------+----------+----------+----------
 Long-term provisions (Note 11)    |       210|       210|       200|       200
-----------------------------------+----------+----------+----------+----------
 Total non-current liabilities     |     4,319|     4,321|     4,621|     4,622
-----------------------------------+----------+----------+----------+----------
 Total liabilities                 |     7,753|     7,406|     7,856|     7,184
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 Share capital (at nominal value)  |          |          |          |
 (Note 12)                         |     2,699|     2,699|     2,699|     2,699
-----------------------------------+----------+----------+----------+----------
 Share premium                     |       364|       364|       364|       364
-----------------------------------+----------+----------+----------+----------
 Statutory reserve capital         |       288|       288|       284|       288
-----------------------------------+----------+----------+----------+----------
 Other reserves (Notes 8; 12)      |        65|        45|        28|         9
-----------------------------------+----------+----------+----------+----------
 Retained earnings (loss)          |   (1,119)|     (496)|        99|       393
-----------------------------------+----------+----------+----------+----------
 Total equity (Note 13)            |     2,297|     2,901|     3,475|     3,753
-----------------------------------+----------+----------+----------+----------
                                   |          |          |          |
-----------------------------------+----------+----------+----------+----------
 TOTAL LIABILITIES AND EQUITY      |    10,051|    10,307|    11,331|    10,937

CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

                                               +-------+       --------+
 EUR thousand                                    |Q2 2019|Q2 2018 6M 2019|6M 2018
-----------------------------------------------+-------+-------+-------+-------
 Revenue (Note 14)                             |  3,888|  3,949|  7,717|  7,660
-----------------------------------------------+-------+-------+-------+-------
 Cost of goods sold (Note 15)                  |  3,428|  3,183|  6,909|  6,474
-----------------------------------------------+-------+-------+-------+-------
 Gross profit                                  |    460|    766|    808|  1,186
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Distribution costs (Note 16)                  |    488|    528|    916|    982
-----------------------------------------------+-------+-------+-------+-------
 Administrative expenses (Note 17)             |    160|    144|    320|    298
-----------------------------------------------+-------+-------+-------+-------
 Other operating income (Note 19)              |      4|      9|     26|     12
-----------------------------------------------+-------+-------+-------+-------
 Other operating expenses (Note 19)            |     46|     49|     81|     78
-----------------------------------------------+-------+-------+-------+-------
 Operating profit (loss) (Note 11)             |  (230)|     55|  (482)|  (160)
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Finance income (Note 20)                      |    (0)|      0|      0|      1
-----------------------------------------------+-------+-------+-------+-------
 Finance costs (Note 20)                       |     70|     69|    141|    135
-----------------------------------------------+-------+-------+-------+-------
 LOSS BEFORE INCOME TAX                        |  (300)|   (14)|  (623)|  (295)
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 NET LOSS FOR THE FINANCIAL YEAR               |  (300)|   (14)|  (623)|  (295)
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 TOTAL COMPREHENSIVE LOSS FOR THE FINANCIAL    |       |       |       |
 YEAR                                          |  (300)|   (14)|  (623)|  (295)
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Basic earnings per share (Note 13)            | (0,07)| (0,00)| (0,14)| (0,07)
-----------------------------------------------+-------+-------+-------+-------
 Diluted earnings per share (Note 13)          | (0,07)| (0,00)| (0,14)| (0,07)
                                               +-------+-------+-------+-------


Supervisory Board resolutions and Group Internal Restructuring

Based on the resolution of the supervisory board of Skano Group AS, Skano
Furniture Factory OU has with 30.08.2019 transaction transferred its 100%
ownership of Skano Furniture OU to Skano Group AS. The transfer was done without
any payment taking place and has no effect on the financial performance of Skano
Group and its subsidiaries. The purpose of the ownership change is intra-group
restructuring, activity of the parties is not affected.

Skano Furniture OÜ management decided to end the Latvian and Lithuanian shop
operations by closing during the coming months the respective shops in Riga and
Vilnius, while also now implementing cost cuts in the retail administration in
Estonia. These actions should result in improved profitability.



Torfinn Losvik

Member of Management Board

+372 569 90 988

[email protected]