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EfTEN Real Estate Fund AS

LEI kood

4851000008JBI71L7643

Emitendi suuruskategooria

Keskmise suurusega kontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Sektor(id)

Fondivalitseja

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Muud korporatiivtoimingud

Teate ID

8634

Esitamise kuupäev ja aeg

08.03.2021 16:05:00

Teate sisu eesti keeles

Pealkiri

EfTEN Real Estate Fund III AS aktsia puhasväärtus seisuga 28.02.2021

Teade

EfTEN  Real Estate Fund III AS  aktsia puhasväärtus (NAV) seisuga 28.02.2021 oli
17,21 eurot.  EPRA  aktsia  puhasväärtus  (raamatupidamislik  puhasväärtus  ilma
edasilükkunud   tulumaksukohustust  ja  intressiderivatiivide  õiglast  väärtust
arvestamata) oli 28.02.2021 seisuga 18,32 eurot. Nii NAV kui EPRA NAV suurenesid
veebruari jooksul 0,8%.

EfTEN  Real Estate Fund  III AS veebruari  finantstulemused olid kiire Covid-19
leviku  kuul paremad kui juhtkond seda  ootas - fond teenis veebruaris 961 tuhat
eurot  konsolideeritud  müügitulu,  mis  on  jaanuariga võrreldes 15 tuhat eurot
rohkem.  Müügitulu kasv  tuli peamiselt  Saules Miestase  kaubanduskeskuse liig-
konservatiivsest   provisjonist  jaanuaris,  kuid  ka  Laisves  büroohoone  uute
üürilepingute  tulu lisandumisest.  Fondi konsolideeritud  EBITDA oli veebruaris
799 tuhat eurot (14 tuhat eurot rohkem kui jaanuaris).

Selle  aasta  esimese  kahe  kuu  jooksul  on  fond  teeninud 1,9 miljonit eurot
müügitulu,  mis on 17% rohkem kui eelmisel aastal. Müügitulu kasv tuli peamiselt
uute  kinnisvarainvesteeringute  lisandumisest,  kuid  ka  Evolution  büroohoone
vakantsuse  väljarentimisest ning stabiilsest  majandustegevusest enamikes fondi
objektides.  Saules Miestase kaubanduskeskuse tulemus  on Leedu piirangute tõttu
enim  kannatanud - võrreldes  eelmise aasta esimese  kahe kuuga on keskuse selle
aasta  kahe esimese kuu  üüritulu 30% (154 tuhat  eurot) madalam. Koroonaviiruse
levik  on Leedus võrreldes detsembrikuu tipphetkega kordades alanenud, mis lubab
omakorda  eeldada,  et  lähiajal  tehakse  Leedu  valitsuse poolt järk-järgulisi
otsuseid seniste karmide piirangute lõdvendamiseks.

Fondi  puhaskasum oli  2021. aasta veebruaris  609 tuhat eurot  (2021 jaanuaris:
567 tuhat  eurot). EfTEN Real Estate Fund III AS-i konsolideeritud raha jääk oli
28.02.2021 seisuga  5,8 miljonit  eurot  ning  kogu  varade  maht 151,3 miljonit
eurot.

EfTEN  Real  Estate  Fund  III  AS-i  konsolideeritud omakapital oli 28.02.2021
seisuga 72,659 miljonit eurot (31.12.2020: 71,483 miljonit eurot).

Alates  käesolevast  teatest  avaldab  EfTEN  Real  Estate  Fund  III  AS lisaks
konsolideeritud  igakuise finantsülevaate, mis lisaks kasumiaruandele, bilansile
ning rahavoogude aruandele sisaldab olulisemaid finantsnäitajaid ning võrdlevaid
diagramme  puhasväärtuse, debitoorse võlgnevuse, vakantsuse, müügitulu ja EBITDA
kohta.

Marilin Hein
Finantsjuht
Tel. 6559 515
E-mail: [email protected] (mailto:[email protected])

Teate sisu inglise keeles

Pealkiri

Net asset value of EfTEN Real Estate Fund III AS as of 28.02.2021

Teade

The  net asset value (NAV) of EfTEN Real Estate Fund III AS as of 28.02.2021 was
17.21 euros.  The net asset  value of the  EPRA share (net  book value excluding
deferred income tax liability and fair value of interest rate derivatives) as of
28.02.2021 was   18.32 euros.  Both  NAV  and  EPRA  NAV  increased  0.8% during
February.

EfTEN  Real Estate Fund III AS's financial  results in February were better than
the  management  expected.  During  the  month  of  rapid  growth of Covid-19 in
Estonia,  the fund  earned 961 thousand  euros of  consolidated sales revenue in
February, which is 15 thousand euros more than in January. The increase in sales
revenue  came mainly from the over-conservative  provision of the Saules Miestas
shopping  center in  January, but  also from  the increase  in revenue  from new
leases  for the Laisves office building. The Fund's consolidated EBITDA was 799
thousand euros in February (14 thousand euros more than in January).

During  the first two months of this year, the fund has earned 1.9 million euros
in  sales  revenue,  which  is  17% more  than  last year. The increase in sales
revenue is mainly due to the addition of new investment properties, but also due
to  the decrease of vacancy of the Evolution office building and stable economic
activity  in  most  of  the  fund's  investments.  The  result of Saules Miestas
shopping  center has suffered  the most due  to the restrictions  in Lithuania -
compared  to the first two months of the previous year, the rental income of the
shopping  center for  the first  two months  of this  year is  30% (154 thousand
euros)  lower.  The  spreading  of  Covid-19 virus  in  Lithuania  has decreased
considerably comparing with the peak in December 2020. Therefore, it is expected
that Lithuanian government will start step by step easing of restrictions, which
will gradually allow businesses to open.

The  net profit  of the  fund was  609 thousand euros  in February 2021 (January
2021: 567 thousand  euros). As  of 28.02.2021, the  consolidated cash balance of
EfTEN  Real Estate  Fund III  AS was  5.8 million euros  and the total volume of
assets was 151.3 million euros.

The  consolidated equity  of EfTEN  Real Estate  Fund III  AS was 72.659 million
euros as of 28.02.2021 (31.12.2020: 71.483 million euros).

As  of  this  announcement,  EfTEN  Real  Estate  Fund  III  AS also publishes a
consolidated  monthly  financial  report,  which,  in  addition  to  the  income
statement,  balance sheet and cash flows,  includes key financial indicators and
comparative charts for net asset value, debt receivables, vacancy, sales revenue
and EBITDA.



Marilin Hein
CFO
Phone: 6559 515
E-mail: [email protected] (mailto:[email protected])