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Juhtkonna vaheteadaanne või kvartaalne finantsaruanne

Teate ID

8196

Esitamise kuupäev ja aeg

31.07.2020 08:00:00

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Pealkiri

AS Ekspress Grupp: 2020. aasta II kvartali ja I poolaasta konsolideeritud auditeerimata vahearuanne

Teade

ASi  Ekspress Grupp 2020. aasta  II kvartali müügitulu  oli 13,9 miljonit eurot,
mida  on 20% vähem kui eelmine aasta samal ajal. I poolaasta müügitulu oli 29,6
miljonit,  mis on  10% väikesem võrreldes  2019. aastaga. Kontserni  II kvartali
tulemust  mõjutasid oluliselt koroonaviiruse  levikuga kaasnenud kriisikuud, kus
kontserni  reklaamitulud vähenesid  peamiselt Eestis  ja Lätis  ca 19% võrreldes
eelmise  aastaga. Kõige  enam on  COVID-19-st tingitud  eriolukord mõjutanud aga
Läti piletimüügiplatvormi tegevust ja reklaamimüüki digitaalsetel väliekraanidel
nii  Eestis  kui  ka  Lätis.  Nende  valdkondade  müügitulud  olid  II kvartalis
minimaalsel tasemel.

Kontsern   reageeris   kriisile  kiiresti.  Vähendasime  kulubaasi  (sh  palkade
vähendused   pea   kõikides   ettevõtetes)  ja  taotlesime  erinevaid  riiklikke
abimeetmeid,  et leevendada  olukorda ning  hoida ära  töötajate koondamisi. Kui
reklaamitulud  näitasid  II  kvartalis  juba  taastumise  märke, siis üritustega
seotud  piirangud mõjutavad piletiäri tegevusmahtusid  veel mitmeid kuid, mis ei
luba oodata olukorra kiiret taastumist varasemasele tasemele.

Ekspress  Grupi kasum enne  intresse makse, kulumit  ja amortisatsiooni (EBITDA)
oli  II  kvartalis  1,65 miljonit  eurot,  mis  on  0,01 miljonit  eurot  rohkem
võrreldes 2019. aasta II kvartaliga. EBITDA oli I poolaastal kokku 2,33 miljonit
eurot, olles kasvanud 3% võrdluses eelmise aastaga.

Majanduslanguse   olukorras   juhindusime   kontserni  pikaajalisest  digitulude
kasvatamise  ambitsioonist.  Oleme  digitulude  kasvatamise osas seatud eesmärke
täitmas:   II   kvartali  lõpuks  moodustasid  digitaalsed  tulud  68% kontserni
meediasegmendi  müügituludest  ning  46% kontserni  kogukäibest.  Eelmise  aasta
esimesel poolaastal olid vastavad numbrid 66% ja 42%.

2020. aasta  II  kvartalis  kasvas  tugevalt  Ekspress  Grupi  meediaväljaannete
digitellimuste  hulk ja  jõudis Balti riikides  kokku 63 tuhande  tellijani, mis
26% enam  võrreldes  2019. aasta  lõpu  seisuga.  2020. aasta II kvartali lõpuks
moodustas   Ekspress  Grupi  väljaannete  digitellimuste  arv  Eestis  53% Eesti
Meediaettevõtete  Liidu poolt avaldatavast kogu  turu mahust. Digitellijate kasv
näitab   selgesti,   et   suudame  pakkuda  oma  lugejatele  nii  tava-  kui  ka
kriisiolukorras usaldusväärset ajakirjandust. Trendile ennab hoogu kogu maailmas
toimuv  nn digipööre, kus  tarbijad on järjest  rohkem valmis maksma hea video-,
audio- või tekstisisu eest.

Kontserni  II  kvartali  puhaskasumiks  kujunes  0,58 miljonit  eurot,  mida  on
võrreldes  2019. aasta  sama  perioodiga  0,23 miljonit  eurot enam. I poolaasta
kahjumiks   kujunes  0,16 miljonit  eurot,  mis  on  0,10 miljonit  eurot  vähem
võrreldes eelmise aastaga.

Kontsern  suutis vaatamata kriisikuudele parandada  likviidsust. Kontsernil on I
poolaasta  lõpuks rahalisi vahendeid 6,3 miljonit eurot (30.06.2019 1,5 miljonit
eurot),  mida  on  positiivselt  mõjutanud  pankade  poolt  antud maksepuhkused,
maksukohustuste  ajatamine  ning  Eesti  Töötuskassalt  saadud  töötasu hüvitis.
Likviidsuspositsiooni  hoidmine on meile  oluline, kuna koroonamõjudest tingitud
kriisi edasine ulatus on veel teadmata.

Balti    riikides    prognoositakse    käesolevaks   aastaks   keskmiselt   10%
majanduslangust.  Näeme,  et  viirusega  kaasneva majanduskriisi mõjud avaldavad
kontsernile   olulist  mõju  ka  kolmandas  ja  neljandas  kvartalis.  Tulevaste
võimalike  piirangute suhtes  on kõige  haavatavamad kontserni meediaettevõtted,
eriti välimeedia, ning piletimüügi platvorm Lätis.



KOKKUVÕTE II KVARTALI JA I POOLAASTA TULEMUSTEST

Rahvusvaheliste   finantsaruandluse   standardite  (IFRS)  kohaselt  tuleb  50%
ühisettevõtted     kajastada    konsolideeritud    raamatupidamise    aruannetes
kapitaliosaluse meetodil. Selleks, et aruandetarbijale tagada selgem ühtne vaade
raamatupidamise  aruannetega, on alates 2020. aasta I kvartalist tegevusaruandes
esitatud  ainult näitajaid, milles  ühisettevõtted on kajastatud kapitaliosaluse
meetodil ning nende tulemus kajastub ühe reana finantstuludes.

MÜÜGITULU

2020. aasta  II kvartali  konsolideeritud müügitulu  oli 13,9 miljonit eurot (II
kvartal  2019: 17,5 miljonit eurot). II kvartali müügitulu vähenes 20% võrreldes
eelmise   aastaga.   Müügitulu   langus   tuleneb  peamiselt  reklaamitulude  ja
trükiteenuste  müügitulude langusest  tulenevalt COVID-19 eriolukorrast tingitud
ärikeskkonna  halvenemisest. 2020. aasta  I poolaasta  konsolideeritud müügitulu
oli  29,6 miljonit  eurot  (I  poolaasta  2019: 32,8 miljonit  eurot). Kontserni
digitaalsete  tulude osakaal  moodustas II  kvartali lõpus  46% kogukäibest ning
68% meedia  segmendi käibest (2019 II  kvartal vastavalt 42% kogukäibest ja 66%
meedia  segmendi  käibest).  2020. aasta  II kvartali konsolideeritud müügitulu,
milles ühisettevõtted on 50% rida-realt konsolideeritud, oli 15,7 miljonit eurot
(II    kvartal   2019: 19,5 miljonit   eurot)   ja   2020. aasta   I   poolaasta
konsolideeritud  müügitulu 33,3 miljonit eurot  (I poolaasta 2019: 36,8 miljonit
eurot).

KASUMLIKKUS

2020. aasta  II  kvartali  konsolideeritud  EBITDA  oli  1,65 miljonit eurot (II
kvartal  2019: 1,64 miljonit eurot)  ja 2020. aasta  I poolaasta konsolideeritud
EBITDA  oli 2,33 miljonit eurot (I  poolaasta 2019: 2,26 miljonit eurot). 2020.
aasta II kv EBITDA kasvas 1% võrreldes eelmise aastaga ning EBITDA marginaal oli
11,9% (II  kvartal 2019: 9,4%). Kasumlikkust mõjutas positiivselt 2020. aasta II
kvartalis  väga olulised  kontserniülesed kulude  kokkuhoiud (sh palgakärped) ja
saadud  töötasu hüvitis Eesti Töötukassalt kokku summas 1,14 miljonit eurot, mis
periodiseeritakse  tulusse  II  -  IV  kvartali jooksul. 2020. aasta II kvartali
EBITDA-s  moodustas töötasu hüvitis 0,32 miljonit eurot. 2020. aasta II kvartali
puhaskasum   oli   0,58 miljonit  eurot,  mida  on  võrreldes  2019. aasta  sama
perioodiga 0,23 miljonit eurot ehk 63 protsenti enam.

RAHAPOSITSIOON

Aruandeperioodi  lõpus oli kontsernil vabu rahalisi vahendeid 6,3 miljonit eurot
ja  omakapitali  51,5 miljonit  eurot  (54%  bilansimahust).  Võrreldavad andmed
2019. aasta  30. juuni  seisuga  olid  vastavalt  1,5 miljonit  eurot ning 50,0
miljonit   eurot  (55%  bilansimahust).  Seisuga  30. juuni  2020 oli  kontserni
netovõlg  16,3 miljonit eurot (30.  juuni 2019: 19,2 miljonit eurot). Tulenevalt
COVID-19 eriolukorrast  on  kontsernil  kokkulepe  AS-iga  SEB Pank laenumaksete
peatamiseks  perioodil märts-august 2020 (1,2 miljonit eurot) ja AS-iga Citadele
banka  laenumaksete  peatamiseks  perioodil  juuni-november  2020 (0,3  miljonit
eurot).  Täiendavalt  on  kontserni  rahapositsiooni mõjutanud positiivelt Eesti
Töötukassalt  saadud töötasu hüvitis  (1,14 miljonit eurot)  ja eriolukorra ajal
tekkinud maksukohustuse (1,60 miljonit eurot) ajatamine perioodiks 24 kuud.



Segmentide peamised finantsnäitajad

 (tuhandetes EUR)      Müügitulu

                       II kv    II kv   Muutus  I pa    I pa    Muutus  12 kuud
                       2020     2019    %       2020    2019    %       2019

 Meedia segment        9 860    11 512  -14%    19 863  20 869  -5%     44 218

   sh tulu kõikidest
 digitaalsetest ja
 online kanalitest     7 021    7 775   -10%    13 526  13 829  -2%     30 534

   sh % tulu kõikidest
 digitaalsetest ja
 online kanalitest     71%      68%             68%     66%             69%

 Trükiteenuste segment 4 569    6 610   -31%    10 813  13 180  -18%    25 695

 Kesksed tegevused     520      508     2%      1 035   1 046   -1%     2 076

 Segmentidevahelised
 elimineerimised       (1 037)  (1 155)         (2 118) (2 310)         (4 533)

 KONTSERN KOKKU        13 912   17 475  -20%    29 593  32 785  -10%    67 456

 sh % tulu kõikidest
 digitaalsetest ja
 online kanalitest     50%      44%             46%     42%             45%



 (tuhandetes EUR)      EBITDA

                                                                         12
                       II kv   II kv            I pa    I pa             kuud
                       2020    2019    Muutus % 2020    2019    Muutus % 2019

 Meedia segment        1 514   1 364   11%      1 762   1 800   -2%      5 966

 Trükiteenuste segment 248     558     -56%     831     1 108   -25%     2 032

                                                                         (1
 Kesksed tegevused     (92)    (273)   66%      (236)   (636)   63%      150)

 Segmentidevahelised
 elimineerimised       (16)    (7)              (33)    (13)             (75)

 KONTSERN KOKKU        1 654   1 643   1%       2 325   2 259   3%       6 772



 EBITDA marginaal      II kv 2020 II kv 2019 I pa 2020 I pa 2019 12 kuud 2019

 Meedia segment        15%        12%        9%        9%        13%

 Trükiteenuste segment 5%         8%         8%        8%        8%

 KONTSERN KOKKU        12%        9%         8%        7%        10%



Konsolideeritud bilanss (auditeerimata)

 (tuhandetes EUR)                                        30.06.2020 31.12.2019
------------------------------------------------------------------------------
 VARAD
------------------------------------------------------------------------------
 Käibevara
------------------------------------------------------------------------------
 Raha ja raha ekvivalendid                                    6 306      3 647
------------------------------------------------------------------------------
 Nõuded ostjate vastu ja muud nõuded                          9 799     12 705
------------------------------------------------------------------------------
 Ettevõtte tulumaksu nõuded                                      24          0
------------------------------------------------------------------------------
 Varud                                                        3 053      3 120
------------------------------------------------------------------------------
 Käibevara kokku                                             19 181     19 472
------------------------------------------------------------------------------
 Põhivara
------------------------------------------------------------------------------
 Muud nõuded ja investeeringud                                1 002        975
------------------------------------------------------------------------------
 Edasilükkunud tulumaksu vara                                    38         38
------------------------------------------------------------------------------
 Investeeringud ühisettevõtetesse                             1 407      1 254
------------------------------------------------------------------------------
 Investeeringud sidusettevõtetesse                            2 274      2 356
------------------------------------------------------------------------------
 Materiaalne põhivara                                        14 561     14 943
------------------------------------------------------------------------------
 Immateriaalne põhivara                                      56 664     56 369
------------------------------------------------------------------------------
 Põhivara kokku                                              75 945     75 935
------------------------------------------------------------------------------
 VARAD KOKKU                                                 95 126     95 407
------------------------------------------------------------------------------
 KOHUSTUSED
------------------------------------------------------------------------------
 Lühiajalised kohustused
------------------------------------------------------------------------------
 Võlakohustused                                               3 264      5 100
------------------------------------------------------------------------------
 Võlad ja ettemaksed                                         18 118     16 483
------------------------------------------------------------------------------
 Ettevõtte tulumaksu kohustused                                  35         65
------------------------------------------------------------------------------
 Lühiajalised kohustused kokku                               21 416     21 647
------------------------------------------------------------------------------
 Pikaajalised kohustused
------------------------------------------------------------------------------
 Pikaajalised võlakohustused                                 19 310     19 242
------------------------------------------------------------------------------
 Muud pikaajalised kohustused                                 2 930      2 895
------------------------------------------------------------------------------
 Pikaajalised kohustused kokku                               22 239     22 137
------------------------------------------------------------------------------
 KOHUSTUSED KOKKU                                            43 655     43 784
------------------------------------------------------------------------------
 OMAKAPITAL
------------------------------------------------------------------------------
 Vähemusosalus                                                  108        100
------------------------------------------------------------------------------
 Emaettevõtte omanikele kuuluv kapital ja reservid:
------------------------------------------------------------------------------
 Aktsiakapital                                               17 878     17 878
------------------------------------------------------------------------------
 Ülekurss                                                    14 277     14 277
------------------------------------------------------------------------------
 Omaaktsiad                                                    (22)       (22)
------------------------------------------------------------------------------
 Reservid                                                     1 758      1 688
------------------------------------------------------------------------------
 Jaotamata kasum                                             17 472     17 701
------------------------------------------------------------------------------
 Emaettevõtte omanikele kuuluv kapital ja reservid kokku     51 363     51 522
------------------------------------------------------------------------------
 OMAKAPITAL KOKKU                                            51 471     51 622
------------------------------------------------------------------------------
 KOHUSTUSED JA OMAKAPITAL KOKKU                              95 126     95 407
------------------------------------------------------------------------------



Konsolideeritud koondkasumiaruanne (auditeerimata)

                                                                        12 kuud
 (tuhandetes EUR)          II kv 2020 II kv 2019 I pa 2020 I pa 2019       2019
-------------------------------------------------------------------------------
 Müügitulu                     13 912     17 475    29 593    32 785     67 456
-------------------------------------------------------------------------------
 Müüdud toodangu kulu        (11 598)   (14 126)  (25 070)  (27 223)   (54 044)
-------------------------------------------------------------------------------
 Brutokasum                     2 315      3 349     4 523     5 562     13 412
-------------------------------------------------------------------------------
 Muud äritulud                    552        170       659       289        607
-------------------------------------------------------------------------------
 Turunduskulud                  (531)      (894)   (1 288)   (1 625)    (3 124)
-------------------------------------------------------------------------------
 Üldhalduskulud               (1 602)    (1 969)   (3 495)   (3 906)    (8 024)
-------------------------------------------------------------------------------
 Muud ärikulud                   (56)       (35)      (80)      (56)      (148)
-------------------------------------------------------------------------------
 Ärikasum /(kahjum)               678        621       319       264      2 722
-------------------------------------------------------------------------------
 Intressitulud                      6          6        12        12         22
-------------------------------------------------------------------------------
 Intressikulud                  (217)      (183)     (441)     (317)      (784)
-------------------------------------------------------------------------------
 Muud finantstulud/(kulud)       (12)       (25)      (28)      (44)       (61)
-------------------------------------------------------------------------------
 Kokku
 finantstulud/(kulud)           (223)      (202)     (457)     (349)      (823)
-------------------------------------------------------------------------------
 Kasum/(kahjum)
 ühisettevõtete aktsiatelt
 ja osadelt                       135         51         8         0       (38)
-------------------------------------------------------------------------------
 Kasum/(kahjum)
 sidusettevõtete
 aktsiatelt ja osadelt            (8)       (16)      (28)      (75)      (114)
-------------------------------------------------------------------------------
 Kasum /(kahjum) enne
 tulumaksustamist                 582        454     (158)     (160)      1 746
-------------------------------------------------------------------------------
 Tulumaks                         (1)       (97)       (2)      (98)      (339)
-------------------------------------------------------------------------------
 Aruandeperioodi kasum
 /(kahjum)                        582        356     (160)     (258)      1 407
-------------------------------------------------------------------------------
 Aruandeperioodi kasum
 /(kahjum), mis on
 omistatav
-------------------------------------------------------------------------------
 Emaettevõtte
 aktsionäridele                   575        354     (168)     (263)      1 394
-------------------------------------------------------------------------------
 Vähemusosalusele                   7          2         8         5         13
-------------------------------------------------------------------------------
 Koondkasum /(kahjum)
 kokku                            582        356     (160)     (258)      1 407
-------------------------------------------------------------------------------
 Aruandeperioodi
 koondkasum /(kahjum), mis
 on omistatav
-------------------------------------------------------------------------------
 Emaettevõtte
 aktsionäridele                   575        354     (168)     (263)      1 394
-------------------------------------------------------------------------------
 Vähemusosalusele                   7          2         8         5         13
-------------------------------------------------------------------------------
 Tava- ja lahustunud kasum
 /(kahjum) aktsia kohta          0,02       0,01    (0,01)    (0,01)       0,05
-------------------------------------------------------------------------------



Konsolideeritud rahavoogude aruanne (auditeerimata)

 (tuhandetes EUR)                                           I pa 2020 I pa 2019
-------------------------------------------------------------------------------
 Rahavood äritegevusest
-------------------------------------------------------------------------------
 Aruandeperioodi ärikasum                                         319       264
-------------------------------------------------------------------------------
 Korrigeerimised:
-------------------------------------------------------------------------------
 Põhivara kulum ja väärtuse langus                              2 011     1 977
-------------------------------------------------------------------------------
 (Kasum)/-kahjum põhivara müügist ja mahakandmisest               (3)         2
-------------------------------------------------------------------------------
 Äritegevuse rahavood:
-------------------------------------------------------------------------------
 Äritegevusega seotud nõuete ja ettemaksete muutus              2 470   (1 902)
-------------------------------------------------------------------------------
 Varude muutus                                                     68      (77)
-------------------------------------------------------------------------------
 Äritegevusega seotud kohustuste ja ettemaksete muutus          1 515     2 182
-------------------------------------------------------------------------------
 Rahavood põhitegevusest                                        6 379     2 446
-------------------------------------------------------------------------------
 Makstud ettevõtte tulumaks                                      (56)     (140)
-------------------------------------------------------------------------------
 Makstud intressid                                              (306)     (317)
-------------------------------------------------------------------------------
 Rahavood äritegevusest kokku                                   6 017     1 989
-------------------------------------------------------------------------------
 Rahavood investeerimistegevusest
-------------------------------------------------------------------------------
 Tütar- ja sidusettevõtete ning muude investeeringute ost
 (miinus omandatud sularaha) / sissemaksed kapitaliosaluse
 meetodil arvestatud investeeringutesse                         (203)   (4 960)
-------------------------------------------------------------------------------
 Saadud intressid                                                   1        12
-------------------------------------------------------------------------------
 Materiaalse ja immateriaalse põhivara soetamine              (1 037)   (1 352)
-------------------------------------------------------------------------------
 Materiaalse ja immateriaalse põhivara müük                        29         4
-------------------------------------------------------------------------------
 Antud laenud                                                    (98)      (78)
-------------------------------------------------------------------------------
 Antud laenude tagasimaksed                                         0       301
-------------------------------------------------------------------------------
 Rahavood investeerimistegevusest kokku                       (1 308)   (6 073)
-------------------------------------------------------------------------------
 Rahavood finantseerimistegevusest
-------------------------------------------------------------------------------
 Saadud dividendid                                                150         0
-------------------------------------------------------------------------------
 Rendikohustuse põhiosa tagasimaksed                            (519)     (410)
-------------------------------------------------------------------------------
 Arvelduskrediidi kasutuse muutus                             (1 018)        67
-------------------------------------------------------------------------------
 Saadud laenud / Laenude tagasimaksed                           (662)     4 667
-------------------------------------------------------------------------------
 Rahavood finantseerimistegevusest kokku                      (2 050)     4 324
-------------------------------------------------------------------------------
 RAHA JA RAHA EKVIVALENTIDE MUUTUS                              2 659       240
-------------------------------------------------------------------------------
 Raha ja raha ekvivalendid perioodi alguses                     3 647     1 268
-------------------------------------------------------------------------------
 Raha ja raha ekvivalendid perioodi lõpus                       6 306     1 507
-------------------------------------------------------------------------------





Signe Kukin
Kontserni finantsjuht
AS Ekspress Grupp
Tel: +372 669 8381
E-kiri: [email protected] (mailto:[email protected])



AS Ekspress Grupp on Baltimaade juhtiv meediakontsern, mille tegevus hõlmab
veebimeedia sisutootmist, ajalehtede ja ajakirjade kirjastamist ning
trükiteenuste osutamist Eestis, Lätis ja Leedus. Samuti haldab kontsern
elektroonilist piletimüügiplatvormi ja piletimüügikohtasid Lätis. Ekspress
Grupp, mis alustas oma tegevust 1989. aastal, annab tööd ligi 1700 inimesele,
omab Baltimaades juhtivaid online-meedia portaale, annab välja kõige
populaarsemaid päeva- ja nädalalehti ning enamikku Eesti kõige populaarsemaid
ajakirju.

Teate sisu inglise keeles

Pealkiri

AS Ekspress Grupp: Consolidated unaudited interim report for the Second Quarter and First Half-Year of 2020

Teade

The revenue of AS Ekspress Grupp totalled EUR 13.9 million in the second quarter
of 2020 which is 20% less than in the same period last year. The revenue for the
first  six months  of the  year totalled  EUR 29.6 million  which is 10% less as
compared to 2019. The Group's performance in the 2(nd) quarter was significantly
affected by the crisis months related to the spread of the coronavirus where the
Group's  advertising  revenue  decreased  by  ca  19% in  Estonia  and Latvia as
compared  to last year. The state of emergency related to COVID-19 has primarily
impacted the operations of the Latvian ticket sales platform and the advertising
sales  of digital  outdoor screens  both in  Estonia and  Latvia. The revenue in
these areas was at a minimum level in the second quarter.

The  Group responded quickly to the crisis. We reduced the cost base (incl. wage
cuts  in almost all group companies) and  applied for various public measures in
order  to  alleviate  the  situation  and  prevent  employee  layoffs. While the
advertising  revenue  showed  signs  of  a  recovery  in the second quarter, the
restrictions applying to events will continue to impact the operating volumes of
the  ticket business for several  months and thus no  fast recovery to the prior
level is to be expected.

The  earnings before  interest, tax,  depreciation and  amortisation (EBITDA) of
Ekspress  Grupp were  EUR 1.65 million  in the  2(nd) quarter which is EUR 0.01
million higher as compared to the 2(nd) quarter of 2019. In the first six months
of the year, EBITDA totalled EUR 2.33 million, increasing by 3% year-over-year.

In  an economic downturn, we  adhered to the Group's  long-term ambition to grow
Its digital revenue. We are close to meeting our targets for growing our digital
revenue:  by the end  of the 2(nd) quarter,  digital revenue made  up 68% of the
Group's  media segment revenue and 46% of the Group's total revenue. The figures
for the first six months of 2019 were 66% and 42%, respectively.

In  the second quarter of 2020, the  digital subscriptions of the periodicals of
Ekspress  Grupp grew strongly and reached  63 thousand subscribers in the Baltic
States  which is 26% more as compared to the year-end 2019. By the end of 2(nd)
quarter  of  2020, the  number  of  digital  subscriptions of the periodicals of
Ekspress Grupp made up 53% of the volume of the entire market as reported by the
Estonian  Media  Association.  The  growth  in  digital subscribers demonstrates
clearly  that we are able to offer  reliable journalism both in ordinary as well
as  crisis circumstances.  The so-called  global digital  transformation is also
supporting  the trend where  consumers are more  willing to pay  for good video,
audio or text content.

The  Group's net profit for the 2(nd) quarter totalled EUR 0.58 million which is
EUR  0.23 million higher than in the same period of 2019. The loss for the first
six  months of the year totalled EUR 0.16 million which is EUR 0.10 million less
as compared to last year.

Despite  the crisis months, the  Group managed to improve  its liquidity. By the
end  of June,  the Group's  cash totalled  EUR 6.3 million (30.06.2019: EUR 1.5
million)  which was positively  impacted by the  grace periods granted by banks,
deferral  of tax liabilities  and the salary  subsidy received from the Estonian
Unemployment  Insurance Fund. It  is important for  us to maintain our liquidity
position  as the future scope of the  crisis related to the coronavirus is still
unknown.

The  forecasts call for a 10% decline in the GDP on average in the Baltic States
this  year. We are witnessing how the  effects of the economic crisis related to
the  virus will also  have a major  impact on the  Group in the third and fourth
quarters.  The Group's media companies, especially  outdoor media and the ticket
sales platform in Latvia are most vulnerable to future potential restrictions.


SUMMARY OF THE RESULTS OF THE SECOND QUARTER AND FIRST HALF-YEAR

In accordance with International Financial Reporting Standards (IFRS), 50% joint
venture  should  be  recognised  under  the  equity  method  in the consolidated
financial  statements. To  provide a  clearer uniform  overview of the financial
statements to the readers of the financial statements, from the 1(st) quarter of
2020, only  the information relating to the  joint ventures recognised under the
equity  method is  presented in  the financial  statements and their results are
shown as one line in the finance income.

REVENUE

The consolidated revenue for the 2(nd) quarter of 2020 totalled EUR 13.9 million
(2(nd)  quarter  2019: EUR  17.5 million).  The  revenue  for  the 2(nd )quarter
decreased  by 20% year-over-year. The revenue  drop is primarily attributable to
the  deterioration of the business environment  related to the COVID-19 state of
emergency  resulting in a decline in  advertising and printing services revenue.
The  consolidated revenue  for the  first six  months of 2020 totalled EUR 29.6
million  (first six months of 2019: EUR 32.8 million).  At the end of the 2(nd)
quarter, digital revenue accounted for 46% of total revenue and 68% of the media
segment  revenue (at the end of 2(nd) quarter 2019, 42% of the total revenue and
66% of  the media segment  revenue, respectively). The  consolidated revenue for
the  2(nd) quarter of 2020 where joint ventures have been 50% consolidated line-
by-line,  totalled EUR  15.7 million (2(nd)  quarter 2019: EUR 19.5 million) and
the  consolidated revenue  for the  first six  months of 2020 totalled EUR 33.3
million (first six months of 2019: EUR 36.8 million).

PROFITABILITY

In  the 2(nd) quarter of 2020, the consolidated EBITDA totalled EUR 1.65 million
(2(nd)  quarter 2019: EUR 1.64 million) and in the first six months of 2020, the
consolidated  EBITDA totalled  EUR 2.33 million  (first six  months of 2019: EUR
2.26 million).  In the  2(nd) quarter of  2020, EBITDA grew by 1% year-over-year
and  the  EBITDA  margin  was  11.9% (2(nd)  quarter  2019: 9.4%). In the second
quarter   of   2020, profitability  was  positively  impacted  by  cost  savings
throughout  the entire Group  (incl. wage cuts)  and the salary subsidy received
from the Estonian Unemployment Insurance Fund in the amount of EUR 1.14 million,
that  will be accrued  as income in  the second, third  and fourth quarters. The
salary  subsidy made up EUR  0.32 million of the EBITDA  in the 2(nd) quarter of
2020. The  net profit for  the 2(nd) quarter of  2020 totalled EUR 0.58 million,
which is EUR 0.23 million or 63 per cent higher than in the same period of 2019.

CASH POSITION

At  the end of the reporting period, the  Group had available cash in the amount
of  EUR 6.3 million and equity  in the amount of  EUR 51.5 million (54% of total
assets).  The comparable figures as of 30 June 2019 were EUR 1.5 million and EUR
50.0 million  (55%  of  total  assets),  respectively.  As  of 30 June 2020, the
Group's net debt totalled EUR 16.3 million (30 June 2019: EUR 19.2 million). Due
to  the state of emergency related to COVID-19, the Group concluded an agreement
with  AS SEB Pank to suspend loan  payments in the period March-August 2020 (EUR
1.20 million)  and with AS Citadele banka to suspend loan payments in the period
June-November  2020 (EUR  0.30 million).  The  salary  subsidy received from the
Estonian  Unemployment Insurance Fund (EUR 1.14 million) and the postponement of
the  payment of tax arrears (EUR 1.60 million) due to the state of emergency for
the  period of 24 months had  an additional positive impact  on the Group's cash
position.


Key financial indicators for segments

 (EUR thousand)  Sales

                                          1(st)     1(st)              12
                                          Half year Half year          months
                 Q2 2020 Q2 2019 Change % 2020      2019      Change % 2019

 Media segment   9 860   11 512  -14%     19 863    20 869    -5%      44 218

   incl. revenue
 from all
 digital and
 online channels 7 021   7 775   -10%     13 526    13 829    -2%      30 534

   incl. % of
 revenue from
 all digital and
 online channels 71%     68%              68%       66%                69%

 Printing
 services
 segment         4 569   6 610   -31%     10 813    13 180    -18%     25 695

 Corporate
 functions       520     508     2%       1 035     1 046     -1%      2 076

 Inter-segment
 eliminations    (1 037) (1 155)          (2 118)   (2 310)            (4 533)

 TOTAL GROUP     13 912  17 475  -20%     29 593    32 785    -10%     67 456

 incl. % of
 revenue from
 all digital and
 online channels 50%     44%              46%       42%                45%


 (EUR thousand)  EBITDA

                                          1(st)     1(st)              12
                                          Half year Half year          months
                 Q2 2020 Q2 2019 Change % 2020      2019      Change % 2019

 Media segment   1 514   1 364   11%      1 762     1 800     -2%      5 966

 Printing
 services
 segment         248     558     -56%     831       1 108     -25%     2 032

 Corporate
 functions       (92)    (273)   66%      (236)     (636)     63%      (1 150)

 Inter-segment
 eliminations    (16)    (7)              (33)      (13)               (75)

 TOTAL GROUP     1 654   1 643   1%       2 325     2 259     3%       6 772


                                   1(st) Half     1(st) Half
 EBITDA margin     Q2 2020 Q2 2019 year 2020      year 2019      12 months 2019

 Media segment     15%     12%     9%             9%             13%

 Printing services
 segment           5%      8%      8%             8%             8%

 TOTAL GROUP       12%     9%      8%             7%             10%


Consolidated balance sheet (unaudited)

 (EUR thousand)                                           30.06.2020 31.12.2019
-------------------------------------------------------------------------------
 ASSETS
-------------------------------------------------------------------------------
 Current assets
-------------------------------------------------------------------------------
 Cash and cash equivalents                                     6 306      3 647
-------------------------------------------------------------------------------
 Trade and other receivables                                   9 799     12 705
-------------------------------------------------------------------------------
 Corporate income tax prepayment                                  24          0
-------------------------------------------------------------------------------
 Inventories                                                   3 053      3 120
-------------------------------------------------------------------------------
 Total current assets                                         19 181     19 472
-------------------------------------------------------------------------------
 Non-current assets
-------------------------------------------------------------------------------
 Other receivables and investments                             1 002        975
-------------------------------------------------------------------------------
 Deferred tax asset                                               38         38
-------------------------------------------------------------------------------
 Investments in joint ventures                                 1 407      1 254
-------------------------------------------------------------------------------
 Investments in associates                                     2 274      2 356
-------------------------------------------------------------------------------
 Property, plant and equipment                                14 561     14 943
-------------------------------------------------------------------------------
 Intangible assets                                            56 664     56 369
-------------------------------------------------------------------------------
 Total non-current assets                                     75 945     75 935
-------------------------------------------------------------------------------
 TOTAL ASSETS                                                 95 126     95 407
-------------------------------------------------------------------------------
 LIABILITIES
-------------------------------------------------------------------------------
 Current liabilities
-------------------------------------------------------------------------------
 Borrowings                                                    3 264      5 100
-------------------------------------------------------------------------------
 Trade and other payables                                     18 118     16 483
-------------------------------------------------------------------------------
 Corporate income tax payable                                     35         65
-------------------------------------------------------------------------------
 Total current liabilities                                    21 416     21 647
-------------------------------------------------------------------------------
 Non-current liabilities
-------------------------------------------------------------------------------
 Long-term borrowings                                         19 310     19 242
-------------------------------------------------------------------------------
 Other long-term liabilities                                   2 930      2 895
-------------------------------------------------------------------------------
 Total non-current liabilities                                22 239     22 137
-------------------------------------------------------------------------------
 TOTAL LIABILITIES                                            43 655     43 784
-------------------------------------------------------------------------------
 EQUITY
-------------------------------------------------------------------------------
 Minority shareholding                                           108        100
-------------------------------------------------------------------------------
 Capital and reserves attributable to equity holders of
 parent company:
-------------------------------------------------------------------------------
 Share capital                                                17 878     17 878
-------------------------------------------------------------------------------
 Share premium                                                14 277     14 277
-------------------------------------------------------------------------------
 Treasury shares                                                (22)       (22)
-------------------------------------------------------------------------------
 Reserves                                                      1 758      1 688
-------------------------------------------------------------------------------
 Retained earnings                                            17 472     17 701
-------------------------------------------------------------------------------
 Total capital and reserves attributable to equity
 holders of parent company                                    51 363     51 522
-------------------------------------------------------------------------------
 TOTAL EQUITY                                                 51 471     51 622
-------------------------------------------------------------------------------
 TOTAL LIABILITIES AND EQUITY                                 95 126     95 407
-------------------------------------------------------------------------------


Consolidated statement of comprehensive income (unaudited)

                                           1(st) Half   1(st) Half    12 months
 (EUR thousand)         Q2 2020  Q2 2019    year 2020    year 2019         2019
-------------------------------------------------------------------------------
 Sales                   13 912   17 475       29 593       32 785       67 456
-------------------------------------------------------------------------------
 Cost of sales         (11 598) (14 126)     (25 070)     (27 223)     (54 044)
-------------------------------------------------------------------------------
 Gross profit             2 315    3 349        4 523        5 562       13 412
-------------------------------------------------------------------------------
 Other income               552      170          659          289          607
-------------------------------------------------------------------------------
 Marketing expenses       (531)    (894)      (1 288)      (1 625)      (3 124)
-------------------------------------------------------------------------------
 Administrative
 expenses               (1 602)  (1 969)      (3 495)      (3 906)      (8 024)
-------------------------------------------------------------------------------
 Other expenses            (56)     (35)         (80)         (56)        (148)
-------------------------------------------------------------------------------
 Operating profit
 /(loss)                    678      621          319          264        2 722
-------------------------------------------------------------------------------
 Interest income              6        6           12           12           22
-------------------------------------------------------------------------------
 Interest expenses        (217)    (183)        (441)        (317)        (784)
-------------------------------------------------------------------------------
 Other finance
 income/(costs)            (12)     (25)         (28)         (44)         (61)
-------------------------------------------------------------------------------
 Net finance cost         (223)    (202)        (457)        (349)        (823)
-------------------------------------------------------------------------------
 Profit/(loss) on
 shares of joint
 ventures                   135       51            8            0         (38)
-------------------------------------------------------------------------------
 Profit/(loss) on
 shares of associates       (8)     (16)         (28)         (75)        (114)
-------------------------------------------------------------------------------
 Profit /(loss) before
 income tax                 582      454        (158)        (160)        1 746
-------------------------------------------------------------------------------
 Income tax expense         (1)     (97)          (2)         (98)        (339)
-------------------------------------------------------------------------------
 Net profit /(loss)
 for the reporting
 period                     582      356        (160)        (258)        1 407
-------------------------------------------------------------------------------
 Net profit /(loss)
 for the reporting
 period attributable
 to
-------------------------------------------------------------------------------
 Equity holders of the
 parent company             575      354        (168)        (263)        1 394
-------------------------------------------------------------------------------
 Minority shareholders        7        2            8            5           13
-------------------------------------------------------------------------------
 Total comprehensive
 income /(loss)             582      356        (160)        (258)        1 407
-------------------------------------------------------------------------------
 Comprehensive income
 /(loss) for the
 reporting period
 attributable to
-------------------------------------------------------------------------------
 Equity holders of the
 parent company             575      354        (168)        (263)        1 394
-------------------------------------------------------------------------------
 Minority shareholders        7        2            8            5           13
-------------------------------------------------------------------------------
 Basic and diluted
 earnings per share        0.02     0.01       (0.01)       (0.01)         0.05
-------------------------------------------------------------------------------


Consolidated cash flow statement (unaudited)

 (EUR thousand)                       1(st) Half year 2020 1(st) Half year 2019
-------------------------------------------------------------------------------
 Cash flows from operating activities
-------------------------------------------------------------------------------
 Operating profit for the reporting
 year                                                  319                  264
-------------------------------------------------------------------------------
 Adjustments for:
-------------------------------------------------------------------------------
 Depreciation, amortisation and
 impairment                                          2 011                1 977
-------------------------------------------------------------------------------
 (Gain)/loss on sale and write-down
 of property, plant and equipment                      (3)                    2
-------------------------------------------------------------------------------
 Cash flows from operating
 activities:
-------------------------------------------------------------------------------
 Trade and other receivables                         2 470              (1 902)
-------------------------------------------------------------------------------
 Inventories                                            68                 (77)
-------------------------------------------------------------------------------
 Trade and other payables                            1 515                2 182
-------------------------------------------------------------------------------
 Cash generated from operations                      6 379                2 446
-------------------------------------------------------------------------------
 Income tax paid                                      (56)                (140)
-------------------------------------------------------------------------------
 Interest paid                                       (306)                (317)
-------------------------------------------------------------------------------
 Net cash generated from operating
 activities                                          6 017                1 989
-------------------------------------------------------------------------------
 Cash flows from investing activities
-------------------------------------------------------------------------------
 Acquisition of subsidiaries/
 associates (less cash acquired) and
 other investments / cash paid-in
 equity-accounted investees                          (203)              (4 960)
-------------------------------------------------------------------------------
 Interest received                                       1                   12
-------------------------------------------------------------------------------
 Purchase of property, plant and
 equipment and intangible assets                   (1 037)              (1 352)
-------------------------------------------------------------------------------
 Proceeds from sale of property,
 plant and equipment and intangible
 assets                                                 29                    4
-------------------------------------------------------------------------------
 Loans granted                                        (98)                 (78)
-------------------------------------------------------------------------------
 Loan repayments received                                0                  301
-------------------------------------------------------------------------------
 Net cash used in investing
 activities                                        (1 308)              (6 073)
-------------------------------------------------------------------------------
 Cash flows from financing activities
-------------------------------------------------------------------------------
 Dividends received                                    150                    0
-------------------------------------------------------------------------------
 Payment of lease liabilities                        (519)                (410)
-------------------------------------------------------------------------------
 Change in overdraft                               (1 018)                   67
-------------------------------------------------------------------------------
 Loans received / Repayments of bank
 loans                                               (662)                4 667
-------------------------------------------------------------------------------
 Net cash used in financing
 activities                                        (2 050)                4 324
-------------------------------------------------------------------------------
 NET (DECREASE)/INCREASE IN CASH AND
 CASH EQUIVALENTS                                    2 659                  240
-------------------------------------------------------------------------------
 Cash and cash equivalents at the
 beginning of the year                               3 647                1 268
-------------------------------------------------------------------------------
 Cash and cash equivalents at the end
 of the year                                         6 306                1 507
-------------------------------------------------------------------------------



Signe Kukin
Group CFO
AS Ekspress Grupp
Phone: +372 669 8381
E-mail: [email protected] (mailto:[email protected])


AS Ekspress Grupp is the leading media group in the Baltic States whose key
activities include web media content production, publishing of newspapers and
magazines and provision of printing services in Estonia, Latvia and Lithuania.
The Group also manages the electronic ticket sales platform and ticket sales
sites in Latvia. Ekspress Grupp that launched its operations in 1989 employs
almost 1700 people, owns leading web media portals in the Baltic States and
publishes the most popular daily and weekly newspapers as well as the majority
of the most popular magazines in Estonia.