Börsiteade

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

9125

Esitamise kuupäev ja aeg

28.10.2021 08:00:00

Teate sisu eesti keeles

Pealkiri

EfTEN Real Estate Fund III AS 2021. aasta III kvartali ja 9 kuu auditeerimata majandustulemused

Teade

EfTEN  Real  Estate  Fund  III  AS'i  konsolideeritud  2021. aasta  III kvartali
müügitulu  oli  kokku  3,458 miljonit  eurot  (2020  III kvartal: 2,833 miljonit
eurot),  kasvades  aastaga  22%. Müügitulu  kasv  on tulnud 68% osas tänu uutele
soetustele  (Ramygalos logistikahoone, Rutkausko  büroohoone, Pirita hooldekodu)
ning  32% osas  on  müügitulu  kasvanud  seoses  eelmisel aastal üürnikele antud
Covid-19 ajutiste   allahindluste   lõppemisega   ning   ka  vakantsete  pindade
väljaüürimisega. Mitte ühegi kinnisvarainvesteeringu üüritulu ei ole selle aasta
kolmandas kvartalis madalam kui see oli eelmise aasta kolmandas kvartalis.

EfTEN  Real Estate Fund III AS'i konsolideeritud 2021. aasta 9 kuu müügitulu oli
9,413 miljonit eurot (2020 9 kuud: 7,698 miljonit eurot), kasvades aastaga 22%.
Kontserni  kasum  enne  kinnisvarainvesteeringute ümberhindluseid, intressiswapi
õiglase  väärtuse muutust ja  tulumaksukulu oli 2021. aasta  9 kuu jooksul kokku
6,439 miljonit eurot (2020 9 kuud: 5,142 miljonit eurot).

2021. aasta  9 kuu  jooksul  teenis  fond  konsolideeritud EBITDA-d 7,8 miljonit
eurot  (2020 9 kuud: 6,1 miljonit eurot), seega on fondi EBITDA suurenenud kokku
1,7 miljonit  eurot (27%). EBITDA suurenemisest omakorda moodustab uute soetuste
lisandumisest tulnud äritegevuse kasum 56%.

EfTEN Real Estate Fund III AS on sellel aastal teeninud dividendimaksete aluseks
olevat  vaba rahavoogu kokku  3 630 tuhat eurot (70  senti aktsia kohta), mis on
35% rohkem  kui eelmisel aastal samal ajal.  Fondi konsolideeritud raha jääk oli
seisuga   30.09.2021 11,9 miljonit   eurot,  s.h  on  emaettevõtte  kontol  vabu
vahendeid investeerimiseks summas 6,4 miljonit eurot.

Kontserni varade maht 30.09.2021 seisuga oli 170,446 miljonit eurot (31.12.2020:
151,632 miljonit eurot), s.h kinnisvarainvesteeringute õiglane väärtus moodustas
varade mahust 92% (31.12.2020: 95%).

Järgmise  12 kuu  jooksul  saabub  mitme  kontserni  tütarettevõtte laenulepingu
tähtaeg.   Enamus   kontserni   laene   on  sõlmitud  5-aastase  tähtajaga,  mis
refinantseeritakse    laenulepingu    lõppemisel.    Järgmise   12 kuu   jooksul
refinantseeritakse  kontserni laenukohustustest  8,828 miljonit eurot,  s.o 12%
kogu  laenuportfellist. Seisuga 30.09.2021 on  kontserni laenulepingute keskmine
intressimäär  (s.h arvestades intressiswapi  lepinguid) 2,2% (31.12.2020: 2,3%)
ning LTV (Loan to Value) 46% (31.12.2020: 50%).

Kinnisvaraportfell

2021. aasta  juuni  keskel  soetas  kontsern  uue kinnisvarainvesteeringu Leedus
Panevezhyses.  Kinnisvarainvesteeringu  maksumus  koos  tehingukuludega oli kokku
10,011 miljonit eurot ja hoone aastane üüritulu on 799 tuhat eurot.

2021. aasta   septembri   lõpu   seisuga   on  kontsernil  16 (31.12.2020:  15)
ärikinnisvarainvesteeringut,  mille  õiglane  väärtus  bilansipäeval on 157,402
miljonit eurot (31.12.2020: 144,235 miljonit eurot) ning soetusmaksumus 147,964
miljonit eurot (31.12.2020: 136,349 miljonit eurot).

Aktsiainfo

EfTEN  Real Estate Fund III AS aktsia puhasväärtus seisuga 30.09.2021 oli 18,05
eurot  (31.12.2020:  16,93 eurot).  EfTEN  Real  Estate  Fund  III  AS´i  aktsia
puhasväärtus tõusis 2021. aasta 9 kuu jooksul kokku 6,6%.

2021. aasta    aprillis   otsustas   fondi   üldkoosolek   jaotada   2020. aasta
puhaskasumist  netodividende  kokku  2 798 tuhat  eurot  (66,3  eurosenti aktsia
kohta).  Ilma dividende jagamata oleks  fondi aktsia puhasväärtus 2021. aasta 9
kuu jooksul kasvanud 10,1%.

2021. aasta  mais  viis  EfTEN  Real  Estate  Fund  III AS läbi aktsiate avaliku
pakkumise,  mille  tulemusel  suurenes  fondi  aktsiakapital  8 500 tuhande euro
võrra.   Fondi   aktsiakapitali  tehti  aktsiaemissiooni  käigus  makseid  kokku
kogusummas 15 130 tuhat eurot.

Lisaks  ülalnimetatud  IFRS  kohaselt  arvutatud  aktsia puhasväärtusele arvutab
EfTEN  Real  Estate  Fund  III  AS  investoritele asjakohaseima netovara õiglase
väärtuse  pakkumiseks  ka  EPRA  (Euroopa  kinnisvarasektori  ettevõtjate liit -
European  Public Real Estate Association) poolt soovitatud aktsia puhasväärtust.
EPRA  soovituslik juhend  eeldab kinnisvaraettevõtete  pikaajalist majanduslikku
strateegiat,   mistõttu   ajutised   erinevused   olukorras,  kus  varade  müüki
tõenäoliselt  lähitulevikus ei toimu, hägustavad fondi netovara õiglase väärtuse
läbipaistvust.   Seetõttu  elimineeritakse  EPRA  puhasväärtuse  saamisest  IFRS
kohaselt    arvutatud    puhasväärtusest    kinnisvarainvesteeringutega   seotud
edasilükkunud  tulumaksukulu  ning  finantsinstrumentide  (intressiswap) õiglane
väärtus.

Seisuga  30.09.2021 oli EfTEN Real Estate Fund III AS´l 5935 aktsionäri, kellest
17% olid  juriidilised isikud. Juriidilistele isikutele kuulus kokku 78,31% kogu
fondi aktsiakapitalist.

KONSOLIDEERITUD KOONDKASUMIARUANNE

                                                      III kvartal    9 kuud
                                                     --------------------------
 EUR tuhandetes                                          2021 2020¹   2021  2020¹
-------------------------------------------------------------------------------
 Müügitulu                                            3 458 2 833  9 413  7 698
-------------------------------------------------------------------------------
 Müüdud teenuste kulu                                   -54   -75   -193   -222
-------------------------------------------------------------------------------
 Brutokasum                                           3 404 2 758  9 220  7 476
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Turustuskulud                                          -54   -70   -144   -206
-------------------------------------------------------------------------------
 Üldhalduskulud                                        -426  -394 -1 302 -1 166
-------------------------------------------------------------------------------
 Kasum / kahjum kinnisvarainvesteeringute õiglase
 väärtuse muutusest                                       0     0  2 020 -3 986
-------------------------------------------------------------------------------
 Muud äritulud ja -kulud                                 12     4     18      4
-------------------------------------------------------------------------------
 Ärikasum                                             2 936 2 298  9 812  2 122
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Muud finantstulud ja -kulud                           -419  -289 -1 258   -967
-------------------------------------------------------------------------------
 Kasum enne tulumaksu                                 2 517 2 009  8 554  1 155
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Tulumaksukulu                                         -243    63   -810   -148
-------------------------------------------------------------------------------
 Aruandeperioodi koondkasum kokku                     2 274 2 072  7 744  1 007
-------------------------------------------------------------------------------
 Kasum aktsia kohta
-------------------------------------------------------------------------------
 - tava                                                0,45  0,49   1,69   0,24
-------------------------------------------------------------------------------
 - lahustatud                                          0,45  0,49   1,69   0,24
-------------------------------------------------------------------------------

KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

                                    30.09.2021   31.12.2020
------------------------------------------------------------
  EUR tuhandetes
------------------------------------------------------------
  VARAD
------------------------------------------------------------
  Raha ja raha ekvivalendid             11 888        5 128
------------------------------------------------------------
  Nõuded ja viitlaekumised                 955        2 018
------------------------------------------------------------
  Ettemakstud kulud                         17          128
------------------------------------------------------------
  Varud                                     28            0
------------------------------------------------------------
  Käibevara kokku                       12 888        7 274
------------------------------------------------------------

------------------------------------------------------------
  Pikaajalised nõuded                        3           18
------------------------------------------------------------
  Kinnisvarainvesteeringud             157 402      144 235
------------------------------------------------------------
  Materiaalne põhivara                     150          101
------------------------------------------------------------
  Immateriaalne põhivara                     3            4
------------------------------------------------------------
  Põhivara kokku                       157 558      144 358
------------------------------------------------------------
  VARAD KOKKU                          170 446      151 632
------------------------------------------------------------

------------------------------------------------------------
  KOHUSTUSED JA OMAKAPITAL
------------------------------------------------------------
  Laenukohustused                       11 985       28 781
------------------------------------------------------------
  Tuletisinstrumendid                      151          246
------------------------------------------------------------
  Võlad ja ettemaksed                      683        1 995
------------------------------------------------------------
  Lühiajalised kohustused kokku         12 819       31 022
------------------------------------------------------------

------------------------------------------------------------
  Laenukohustused                       59 995       43 587
------------------------------------------------------------
  Muud pikaajalised võlad                1 010          957
------------------------------------------------------------
  Edasilükkunud tulumaksukohustus        5 063        4 583
------------------------------------------------------------
  Pikaajalised kohustused kokku         66 068       49 127
------------------------------------------------------------
  Kohustused kokku                      78 887       80 149
------------------------------------------------------------

------------------------------------------------------------
  Aktsiakapital                         50 725       42 225
------------------------------------------------------------
  Ülekurss                              16 288        9 658
------------------------------------------------------------
  Kohustuslik reservkapital              1 489        1 323
------------------------------------------------------------
  Jaotamata kasum                       23 057       18 277
------------------------------------------------------------
  Omakapital kokku                      91 559       71 483
------------------------------------------------------------
  KOHUSTUSED JA OMAKAPITAL KOKKU       170 446      151 632
------------------------------------------------------------

Marilin Hein
Finantsjuht
Tel 655 9515
E-post: [email protected] (mailto:[email protected])

Teate sisu inglise keeles

Pealkiri

EfTEN Real Estate Fund III AS unaudited results for 3rd quarter and nine months 2021

Teade

EfTEN Real Estate Fund III AS's consolidated sales revenue for the third quarter
of 2021 totalled 3.458 million euros (3rd quarter of 2020: 2.833 million euros),
increasing  by 22% year-on-year. The increase in sales revenue is 68% due to new
acquisitions  (Ramygalos logistics  building, Rutkausko  office building, Pirita
care  home)  and  32% increase  in  sales  revenue  due  to the end of Covid-19
temporary  discounts granted  to tenants  last year  and also renting out vacant
premises.  The rental income of no real  estate investment is lower in the third
quarter of this year than in the third quarter of the previous year.

EfTEN  Real Estate  Fund III  AS's consolidated  sales revenue  for the first 9
months  of 2021 was 9.413 million euros (9 months of 2020: 7.698 million euros),
increasing  by  22% year-on-year.  The  Group's  profit  before  revaluations of
investment  properties, changes  in the  fair value  of interest  rate swaps and
income tax expense totalled 6.439 million euros in the first 9 months of 2021 (9
months of 2020: 5.142 million euros).

During  the 9 months of 2021, the fund earned consolidated EBITDA of 7.8 million
euros  (9  months  of  2020: 6.1 million  euros),  thus  the  fund's  EBITDA has
increased  by a  total of  1.7 million euros  (27%). The  increase in EBITDA, in
turn, is 56% of the operating profit from the addition of new acquisitions.

This  year, EfTEN Real Estate  Fund III AS has  earned a total of 3,630 thousand
euros  (70 cents per share) of free cash  flow to be as base of dividends, which
is   35% more  than  in  the  same  period  last  year.  As  of  30.09.2021, the
consolidated  cash balance  of the  fund was  11.9 million euros, including free
funds in the amount of 6.4 million euros in the parent company's account.

The  volume of  the Group's  assets as  of 30.09.2021 was  170.446 million euros
(31.12.2020:  151.632 million  euros),  including  the  fair value of investment
properties accounted for 92% of the volume of assets (31.12.2020: 95%).
Over  the next 12 months, the loan agreements of several group subsidiaries will
mature.  Most of the  Group's loans are  concluded with a  5-year term, which is
refinanced  upon termination  of the  loan agreement.  Over the  next 12 months,
8.888 million  euros of  the Group's  loan liabilities  will be refinanced, i.e.
12% of  the total loan portfolio. As of 30.09.2021, the average interest rate of
the  Group's  loan  agreements  (incl.  taking  into  account interest rate swap
agreements)  is 2.2% (31.12.2020: 2.3%) and LTV (Loan to Value) 46% (31.12.2020:
50%).


Real estate portfolio

In  mid-June 2021. the  Group acquired  a new  investment property in Panevezhys.
Lithuania.  The cost  of the  investment property.  including transaction costs.
totalled  10.011 million euros and  the annual rental  income of the building is
799 thousand euros.

As  of the end of September,  2021, the Group has 16 (31.12.2020: 15) commercial
real  estate investments with a fair value of 157.402 million euros (31.12.2020:
144.235 million   euros)  and  an  acquisition  cost  of  147.964 million  euros
(31.12.2020: 136.349 million euros) at the balance sheet date.


Information on shares

The net asset value of the share of EfTEN Real Estate Fund III as of 30.09.2021
was  18.05 euros (31.12.2020:  16.93 euros). The  net asset  value of EfTEN Real
Estate Fund III AS increased by 6.6% during the first 9 months of 2021.

In April, 2021, the general meeting of the fund decided to distribute a total of
2.798 thousand  euros (66.3 eurocents  per share) in  net dividends from the net
profit  for 2020. Without  dividends. the  net asset  value of  the fund's share
would have increased by 10.1% during the first 9 months of 2021.

In  May  2021, EfTEN  Real  Estate  Fund  III  AS conducted a public offering of
shares,  as a result of which the share  capital of the fund increased by 8,500
thousand euros. Payments were made to the share capital of the Fund in the total
amount of 15,130 thousand euros.

In  addition to the net asset value  per share calculated in accordance with the
above  IFRS. EfTEN Real Estate  Fund III AS also  calculates the net asset value
recommended  by  EPRA  (European  Public  Real  Estate  Association)  to provide
investors  with the most appropriate net asset value, EPRA's indicative guidance
presupposes  a long-term  economic strategy  for real  estate companies, so that
temporary  differences in a situation where assets  are not likely to be sold in
the  near future will obscure  the transparency of the  fair value of the fund's
net  assets. Therefore, deferred  income tax expense  on investment property and
the  fair value  of financial  instruments (interest  rate swaps) are eliminated
from  the net asset value calculated in  accordance with IFRS from the net asset
value of EPRA.

As of 30.09.2021, EfTEN Real Estate Fund III AS had 5,935 shareholders. of which
17% were  legal entities.  Legal entities  owned a  total of 78.31% of the total
share capital of the fund.

CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME

                                                      3rd quarter   9 months
                                                     --------------------------
 EUR thousands                                           2021 2020¹   2021  2020¹
-------------------------------------------------------------------------------
 Revenue                                              3,458 2,833  9,413  7,698
-------------------------------------------------------------------------------
 Cost of sales                                          -54   -75   -193   -222
-------------------------------------------------------------------------------
 Gross profit                                         3,404 2,758  9,220  7,476
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Marketing costs                                        -54   -70   -144   -206
-------------------------------------------------------------------------------
 General and administrative expenses                   -426  -394 -1,302 -1,166
-------------------------------------------------------------------------------
 Gain / loss from revaluation of investment
 properties                                               0     0  2,020 -3,986
-------------------------------------------------------------------------------
 Other operating income and expense                      12     4     18      4
-------------------------------------------------------------------------------
 Operating profit                                     2,936 2,298  9,812  2,122
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Other finance income and expense                      -419  -289 -1,258   -967
-------------------------------------------------------------------------------
 Profit before income tax                             2,517 2,009  8,554  1,155
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Income tax expense                                    -243    63   -810   -148
-------------------------------------------------------------------------------
 Net profit for the financial year                    2,274 2,072  7,744  1,007
-------------------------------------------------------------------------------
 Earnings per share
-------------------------------------------------------------------------------
 - Basic                                               0.45  0.49   1.69   0.24
-------------------------------------------------------------------------------
 - Diluted                                             0.45  0.49   1.69   0.24
-------------------------------------------------------------------------------

CONSOLIDATED STATEMENT OF FINANCIAL POSITION

                                   30.09.2021   31.12.2020
-----------------------------------------------------------
  EUR thousands
-----------------------------------------------------------
  ASSETS
-----------------------------------------------------------
  Cash and cash equivalents            11,888        5,128
-----------------------------------------------------------
  Receivables and accrued income          955        2,018
-----------------------------------------------------------
  Prepaid expenses                         17          128
-----------------------------------------------------------
  Inventory                                28            0
-----------------------------------------------------------
  Total current assets                 12,888        7,274
-----------------------------------------------------------

-----------------------------------------------------------
  Long-term receivables                     3           18
-----------------------------------------------------------
  Investment property                 157,402      144,235
-----------------------------------------------------------
  Property. plant and equipment           150          101
-----------------------------------------------------------
  Intangible assets                         3            4
-----------------------------------------------------------
  Total non-current assets            157,558      144,358
-----------------------------------------------------------
  TOTAL ASSETS                        170,446      151,632
-----------------------------------------------------------

-----------------------------------------------------------
  LIABILITIES AND EQUITY
-----------------------------------------------------------
  Borrowings                           11,985       28,781
-----------------------------------------------------------
  Derivative instruments                  151          246
-----------------------------------------------------------
  Payables and prepayments                683        1,995
-----------------------------------------------------------
  Total current liabilities            12,819       31,022
-----------------------------------------------------------

-----------------------------------------------------------
  Borrowings                           59,995       43,587
-----------------------------------------------------------
  Other long-term debt                  1,010          957
-----------------------------------------------------------
  Deferred income tax liability         5,063        4,583
-----------------------------------------------------------
  Total non-current liabilities        66,068       49,127
-----------------------------------------------------------
  Total liabilities                    78,887       80,149
-----------------------------------------------------------

-----------------------------------------------------------
  Share capital                        50,725       42,225
-----------------------------------------------------------
  Share premium                        16,288        9,658
-----------------------------------------------------------
  Statutory reserve capital             1,489        1,323
-----------------------------------------------------------
  Retained earnings                    23,057       18,277
-----------------------------------------------------------
  Total equity                         91,559       71,483
-----------------------------------------------------------
  TOTAL LIABILITIES AND EQUITY        170,446      151,632
-----------------------------------------------------------

Marilin Hein
CFO
Phone 655 9515
E-mail: [email protected] (mailto:[email protected])