Börsiteade
AS Ekspress Grupp
LEI kood
529900B52V1TUMW7FS54
Emitendi suuruskategooria
Suur kontsern
Majandustegevusalad
Kutse-, teadus- ja tehnikaalane tegevus
Emitendi registreeritud asukoht
Eesti
Üldandmed
Kategooriad
Juhtkonna vaheteadaanne või kvartaalne finantsaruanne
Teate ID
9132
Manused
Esitamise kuupäev ja aeg
29.10.2021 08:00:00
Teate sisu eesti keeles
Pealkiri
AS Ekspress Grupp: 2021.aasta III kvartali ja 9 kuu konsolideeritud auditeerimata vahearuanne
Teade
AS-i Ekspress Grupp 2021. aasta III kvartali müügitulu oli 13,3 miljonit eurot
ja 9 kuu müügitulu 37,6 miljonit eurot. Kontserni 2021. aasta III kvartali
puhaskasum oli 1,15 miljonit eurot ning 9 kuu puhaskasum 1,82 miljonit eurot.
Kontserni digitaalsete tulude osakaal moodustas septembri lõpus 74% kogukäibest.
2021. aasta III kvartali konsolideeritud müügitulu oli 13,3 miljonit eurot (III
kvartal 2020: 10,9 miljonit eurot), kasvades 22%. Müügitulude kasvu taga on
online reklaamiturg, mis jätkab kasvutrendi võrreldes traditsiooniliste
meediakanalitega. Reklaamikliendid on olukorraga kohanenud ja reklaamiäri kasv
kõikides riikides näitab, et suurem osa ettevõtteid on suutnud muutuda
digitaalsemaks, avanud või kohandanud oma kauplemisviisid e-kanalitele ning
reklaamivajadus on taastunud. Samas on jätkuvalt surve all nii
piletimüügiplatvormide kui väliekraanide müügitulud, mis on otseses seoses
COVID-19 pandeemia mõjudega. Mõju on eriti tuntav Läti turul, kus piirangud
jäävad hetkel oluliselt rangemaks võrreldes teiste riikidega.
AS-i Ekspress Grupp digitaalsete tellimuste hulk kasvas 2021. septembri lõpuks
75% võrreldes eelmise aasta sama perioodiga ja oli ligikaudu 122 tuhat
tellimust.
Digitellimuste juurdekasv tuleb peamiselt uute klientide arvelt ja näitab, et
kõnetatakse järjest enam ka neid lugejaid, kes siiani pole olnud kontserni
toodete tellijad. Kontsern suudab leida teemasid järjest suuremale hulgale
klientidele, mille peale senine tasuta lugeja otsustab vormistada ka digitaalse
tellimuse. Lisaks on kontsern suutud pikemalt hoida olemasolevaid digitellijaid,
vähendades tellimusest loobujate osakaalu ja suurendades keskmist tellimuse
eluiga.
Ekspress Grupi kasum enne intresse makse, kulumit ja amortisatsiooni (EBITDA)
oli III kvartalis 2,25 miljonit eurot ja 9 kuuga 5,05 miljonit eurot, mis on
vastavalt 38% ja 62% enam võrreldes 2020. aasta sama perioodiga. Kasumlikkust on
aidanud tõsta veebireklaami ja digitellimuste edukas müük kõigis Balti riikides
ning jätkuv kuluefektiivne tegutsemine. Kontserni puhaskasum oli III kvartalis
1,15 miljonit eurot, mis on 48% enam võrreldes sama perioodiga 2020. aastal. 9
kuu puhaskasum oli 1,82 miljonit eurot, mis on kuus korda enam kui samal
perioodil eelmisel aastal (9 kuud 2020: 0,29 miljonit eurot).
2021 septembri alguses sõlmis kontsern müügilepingu Printall AS'i müügiks.
Tehing viidi lõpule seisuga 6. september 2021, mille tulemusena teenis kontsern
müügikahjumit summas 2,3 miljonit eurot ning kontsernile laekus lepingu
järgselt, peale müügihinna järgseid korrigeerimisi, netosummas 6,3 miljonit
eurot. Täiendavalt on kontsernile 2026. aasta alguses tehingust laekumas 0,7
miljonit eurot, mis sõltub Printalli 2025. aasta tulemustest. Tehingu tulemusena
väljub kontsern kõrge investeeringuvajadusega ärist, mis ei vasta kontserni
digitaalsete tulude kasvu strateegiale. Kapitali vabastamine annab kontsernile
lisavõimekuse digivaldkonna kasvu rahastamiseks nii orgaaniliselt kui uute
omandamiste teel. Ekspress Grupp esitab käesolevas aruandes III kvartali ja 9
kuu tulemused nii käesoleva aasta kui ka võrreldavate perioodide kohta vastavalt
IFRS-i nõuetele vahearuannete osas ehk ainult jätkuvate tegevusvaldkondade
kohta. Printalli müügist saadud kahjum ja tegevustulemus on kajastatud lõpetatud
tegevusena ning esitatud kontserni koondkasumiaruandes.
30. septembri 2021 seisuga on kontsernil rahalisi vahendeid 12,4 miljonit eurot
(30.09.2020 5,8 miljonit eurot). Kontserni likviidsus on jätkuvalt hea.
Likviidsuspositsiooni tugevdamiseks ja omakapitali efektiivsemaks kasutamiseks
sõlmis kontsern juulis 2021 AS-iga SEB Pank laenulepingute muudatused. Pikendati
laenude tagasimakse tähtaegasid 5 aasta võrra ning vähendati igakuist
tagasimakset 0,2 miljonilt eurolt 0,06 miljoni euroni kuus.
Tulenevalt tugevast likviidsuspositsioonist ning Printall AS'i müügiga seotud
täiendavatest rahalistest vahenditest tegi Ekspress Grupi juhatus 13. oktoobril
aktsionäridele ettepaneku maksta erakorralise dividendina välja 10 euro senti
ühe aktsia kohta, mis teeb kokku 3,03 miljonit eurot. Aktsionäride otsused
võetakse vastu erakorralist üldkoosolekut kokkukutsumata 4. novembril 2021.
Õigus dividendidele on 19. novembril 2021 aktsiaraamatusse kantud aktsionäridel
ja dividendid makstakse välja 23. novembril 2021.
AS Ekspress Grupp nõukogu on kinnitanud kontserni dividendipoliitika, mille
kohaselt maksab Ekspress Grupp alates 2022. aastast dividendidena välja vähemalt
30% aastakasumist.
III KVARTALI JA 9 KUU TULEMUSED
Kooskõlas ASi Ekspress Grupp 13.07.2021 erakorralise üldkoosoleku otsusega
allkirjastasid AS Ekspress Grupp ja OÜ Trükitung 3. septembril 2021
müügilepingu, mille kohaselt müüs Ekspress Grupp 100%lise osaluse
tütarettevõttes Printall AS. Tehing viidi lõpuni seisuga 6. september
2021. 2021. aasta III kvartali ja 9 kuu konsolideeritud vahearuandes on esitatud
andmed jätkuvate tegevusvaldkondade kohta, kus lõpetatud tegevusvaldkonnana
tulud ja kulud kajastatakse konsolideeritud koondkasumiaruandes eraldi real
?Kasum/-kahjum lõpetatud tegevusvaldkonnast". Kuni müügini moodustas Printall
AS'i äritegevus trükiteenuste segmendi, mida alates käesolevast aruandest
kajastab kontsern lõpetatud tegevusvaldkonnana. Vahearuande koondkasumiaruandes
ja segmendi ülevaadetes on jätkuvate tegevusvaldkondade võrdlusandmed
korrigeeritud. Konsolideeritud bilansis vastavalt ja rahavoogudes IFRS-i
nõuetele korrigeerimisi tehtud ei ole. Trükiteenuste segmendiga seotud varad on
bilansis seisuga 31.12.2020 endiselt rida-realt konsolideeritud, kuna Printall
AS-i müük ei olnud seisuga 31.12.2020 käsitletav veel lõpetatud
tegevusvaldkonnana.
MÜÜGITULU
2021. aasta III kvartali konsolideeritud müügitulu jätkuvatest
tegevusvaldkondadest oli 13,3 miljonit eurot (III kvartal 2020: 10,9 miljonit
eurot). III kvartali müügitulu suurenes 22% võrreldes eelmise aastaga. Nii
reklaamitulud kui digitellimuste tulud on kasvanud. 2021. aasta 9 kuu
konsolideeritud müügitulu jätkuvatest tegevusvaldkondadest oli 37,6 miljonit
eurot (9 kuud 2020: 31,0 miljonit eurot). Kontserni digitaalsete tulude osakaal
moodustas 2021. aasta III kvartali lõpus 74% kogukäibest (2020. aasta III
kvartali lõpp: 69% kogukäibest). Digitaalsed tulud suurenesid 30% võrreldes
eelmise aasta sama perioodiga.
KASUMLIKKUS
2021. aasta III kvartali konsolideeritud EBITDA jätkuvatest tegevusvaldkondadest
oli 2,25 miljonit eurot (III kvartal 2020: 1,63 miljonit eurot). 2021. aasta III
kvartali EBITDA kasvas 38% võrreldes eelmise aastaga ning EBITDA marginaal oli
17,0% (III kvartal 2020: 14,9%). Kasumlikkust on aidanud tõsta tugev
veebireklaami ja digitellimuste müük ning madala kulubaasi hoidmine kõikides
Balti riikides. 2021. aasta 9 kuud konsolideeritud EBITDA jätkuvatest
tegevusvaldkondadest oli 5,05 miljonit eurot (9 kuud 2020: 3,12 miljonit eurot)
kasvades 62% võrreldes eelmise aastaga.
2021. aasta III kvartali konsolideeritud puhaskasum jätkuvatest
tegevusvaldkondadest oli 1,15 miljonit eurot (III kvartal 2020: 0,77 miljonit
eurot), mis on 0,37 miljonit eurot ja 48% rohkem võrreldes 2020. aastaga. 2021.
aasta 9 kuu konsolideeritud puhaskasum jätkuvatest tegevusvaldkondadest oli
1,82 miljonit eurot (9 kuud 2020: 0,29 miljonit eurot), mida on võrreldes 2020.
aasta sama perioodiga 1,53 miljonit eurot ja 532% enam.
RAHAPOSITSIOON
Aruandeperioodi lõpus oli kontsernil vabu rahalisi vahendeid 12,4 miljonit eurot
ja omakapitali 54,4 miljonit eurot (61% bilansimahust). Võrreldavad andmed
2020. aasta 30. september seisuga, mis sisaldavad ka trükiteenuste segmenti,
olid vastavalt 5,8 miljonit eurot ja 52,6 miljonit eurot (55% bilansimahust).
Seisuga 30. september 2021 oli kontserni netovõlg 6,2 miljonit eurot (30.
september 2020: 16,5 miljonit eurot). 30. september 2021 seisuga mõjutas
rahapositsiooni positiivselt Printall AS'i osaluse müügist laekunud netoraha
6,3 miljonit eurot (sh tasuti ennetähtaegselt AS-ile SEB Pank laenulepingust
tulenev Printall AS'i laenujääk summas 2,06 miljonit eurot, vt lisa 7).
2020. aasta rahapositsiooni mõjutasid tulenevalt COVID-19 eriolukorrast sõlmitud
kokkulepped, mis sõlmiti 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
mõjutas kontserni rahapositsiooni positiivselt möödunud aastal Eesti
Töötukassalt saadud töötasu hüvitis (1,14 miljonit eurot) ja 2020. aasta
eriolukorra ajal tekkinud maksukohustuse (1,60 miljonit eurot) ajatamine 24
kuuks.
DIVIDENDID JA DIVIDENDIPOLIITIKA
Kontserni juhatus on teinud aktsionäridele ettepaneku seoses Printall AS'i
müügiga maksta aktsionäridele erakorralise dividendina välja 10 euro senti ühe
aktsia kohta, mis teeb kokku 3,03 miljonit eurot. Aktsionäride otsused võetakse
vastu erakorralist üldkoosolekut kokkukutsumata 04. november 2021. Õigus
dividendidele on 19. novembril 2021 aktsiaraamtusse kantud aktsionäridel ja
dividendid makstakse välja 23. november 2021.
AS Ekspress Grupp nõukogu on kinnitanud kontserni dividendipoliitika, mille
kohaselt maksab Ekspress Grupp alates 2022. aastast dividendidena välja vähemalt
30% aastakasumist.
Segmentide peamised finantsnäitajad (jätkuvad tegevusvaldkonnad)
(tuhandetes EUR) Müügitulu
12
III kv III kv Muutus 9 kuud 9 kuud Muutus kuud
2021 2020 % 2021 2020 % 2020
Meediasegment 12 925 10 750 20% 36 485 30 667 19% 43 728
sh tulu
kõikidest
digitaalsetest ja
online kanalitest 10 061 7 812 29% 27 664 21 338 30% 30 963
% tulu
kõikidest
digitaalsetest ja
online kanalitest 78% 73% 76% 70% 71%
Kesksed tegevused 999 693 44% 3 106 1 728 80% 2 761
Segmentidevahelised
elimineerimised (660) (529) (2 018) (1 417) (1 975)
KONTSERN KOKKU 13 265 10 914 22% 37 573 30 978 21% 44 514
% tulu
kõikidest
digitaalsetest ja
online kanalitest 76% 72% 74% 69% 70%
(tuhandetes EUR) EBITDA
12
III kv III kv 9 kuud 9 kuud kuud
2021 2020 Muutus % 2021 2020 Muutus % 2020
Meedia segment 2 401 1 729 39% 5 478 3 491 57% 6 601
Kesksed tegevused (134) (90) -49% (423) (325) -30% (720)
Segmentidevahelised
elimineerimised (16) (11) (3) (43) 43
KONTSERN KOKKU 2 251 1 628 38% 5 051 3 122 62% 5 924
EBITDA marginaal III kv 2021 III kv 2020 9 kuud 2021 9 kuud 2020 12 kuud 2020
Meedia segment 19% 16% 15% 11% 15%
KONTSERN KOKKU 17% 15% 13% 10% 13%
Konsolideeritud bilanss (auditeerimata)
(tuhandetes EUR) 30.09.2021 31.12.2020
------------------------------------------------------------------------------
VARAD
------------------------------------------------------------------------------
Käibevara
------------------------------------------------------------------------------
Raha ja raha ekvivalendid 12 364 6 269
------------------------------------------------------------------------------
Nõuded ostjate vastu ja muud nõuded 8 858 9 450
------------------------------------------------------------------------------
Ettevõtte tulumaksu nõuded 209 7
------------------------------------------------------------------------------
Varud 312 2 756
------------------------------------------------------------------------------
Käibevara kokku 21 743 18 482
------------------------------------------------------------------------------
Põhivara
------------------------------------------------------------------------------
Muud nõuded ja investeeringud 1 662 982
------------------------------------------------------------------------------
Edasilükkunud tulumaksu vara 30 30
------------------------------------------------------------------------------
Investeeringud ühisettevõtetesse 1 007 1 661
------------------------------------------------------------------------------
Investeeringud sidusettevõtetesse 2 094 2 253
------------------------------------------------------------------------------
Materiaalne põhivara 6 191 14 134
------------------------------------------------------------------------------
Immateriaalne põhivara 56 702 56 635
------------------------------------------------------------------------------
Põhivara kokku 67 687 75 696
------------------------------------------------------------------------------
VARAD KOKKU 89 430 94 177
------------------------------------------------------------------------------
KOHUSTUSED
------------------------------------------------------------------------------
Lühiajalised kohustused
------------------------------------------------------------------------------
Võlakohustused 1 671 3 613
------------------------------------------------------------------------------
Võlad ja ettemaksed 14 385 15 251
------------------------------------------------------------------------------
Ettevõtte tulumaksu kohustused 130 81
------------------------------------------------------------------------------
Lühiajalised kohustused kokku 16 187 18 945
------------------------------------------------------------------------------
Pikaajalised kohustused
------------------------------------------------------------------------------
Pikaajalised võlakohustused 16 846 18 589
------------------------------------------------------------------------------
Muud pikaajalised kohustused 2 046 2 025
------------------------------------------------------------------------------
Pikaajalised kohustused kokku 18 892 20 613
------------------------------------------------------------------------------
KOHUSTUSED KOKKU 35 079 39 558
------------------------------------------------------------------------------
OMAKAPITAL
------------------------------------------------------------------------------
Vähemusosalus 130 126
------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv kapital ja reservid:
------------------------------------------------------------------------------
Aktsiakapital 18 478 18 478
------------------------------------------------------------------------------
Ülekurss 14 277 14 277
------------------------------------------------------------------------------
Omaaktsiad (384) (209)
------------------------------------------------------------------------------
Reservid 1 911 1 758
------------------------------------------------------------------------------
Jaotamata kasum 19 939 20 189
------------------------------------------------------------------------------
Emaettevõtte omanikele kuuluv kapital ja reservid kokku 54 221 54 493
------------------------------------------------------------------------------
OMAKAPITAL KOKKU 54 351 54 619
------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 89 430 94 177
------------------------------------------------------------------------------
Konsolideeritud koondkasumiaruanne (auditeerimata)
III kv III kv 9 kuud 9 kuud 12 kuud
(tuhandetes EUR) 2021 2020 2021 2020 2020
-------------------------------------------------------------------------------
Jätkuvad
tegevusvaldkonnad
-------------------------------------------------------------------------------
Müügitulu 13 265 10 914 37 573 30 978 44 514
-------------------------------------------------------------------------------
Müüdud toodangu kulu (9 849) (8 482) (28 543) (24 874) (34 013)
-------------------------------------------------------------------------------
Brutokasum 3 415 2 432 9 030 6 105 10 501
-------------------------------------------------------------------------------
Muud äritulud 291 521 609 1 036 1 691
-------------------------------------------------------------------------------
Turunduskulud (494) (478) (1 593) (1 376) (1 905)
-------------------------------------------------------------------------------
Üldhalduskulud (1 799) (1 529) (5 422) (4 718) (6 930)
-------------------------------------------------------------------------------
Muud ärikulud (13) (20) (62) (88) (286)
-------------------------------------------------------------------------------
Ärikasum /(kahjum) 1 401 925 2 563 959 3 071
-------------------------------------------------------------------------------
Intressitulud 9 7 25 19 28
-------------------------------------------------------------------------------
Intressikulud (175) (182) (537) (672) (860)
-------------------------------------------------------------------------------
Muud
finantstulud/(kulud) (67) (28) (62) (46) 634
-------------------------------------------------------------------------------
Kokku
finantstulud/(kulud) (233) (204) (574) (699) (198)
-------------------------------------------------------------------------------
Kasum/(kahjum)
ühisettevõtete
aktsiatelt ja osadelt 42 99 (128) 107 102
-------------------------------------------------------------------------------
Kasum/(kahjum)
sidusettevõtete
aktsiatelt ja osadelt 16 (48) 83 (75) (129)
-------------------------------------------------------------------------------
Kasum /(kahjum) enne
tulumaksustamist 1 226 773 1 944 292 2 846
-------------------------------------------------------------------------------
Tulumaks (81) (1) (120) (3) (280)
-------------------------------------------------------------------------------
Aruandeperioodi kasum
/(kahjum)
jätkuvatest
tegevusvaldkondadest 1 145 772 1 823 289 2 566
-------------------------------------------------------------------------------
Aruandeperioodi kasum
/(kahjum)
lõpetatud
tegevusvaldkonnast (2 230) 310 (1 926) 633 (30)
-------------------------------------------------------------------------------
Aruandeperioodi kasum
/(kahjum) (1 085) 1 081 (103) 921 2 536
-------------------------------------------------------------------------------
Aruandeperioodi kasum /(kahjum), mis on
omistatav
-------------------------------------------------------------------------------
Emaettevõtte
aktsionäridele (1 087) 1 074 (107) 906 2 510
-------------------------------------------------------------------------------
Vähemusosalusele 2 7 4 15 26
-------------------------------------------------------------------------------
Koondkasum /(kahjum)
kokku (1 085) 1 081 (103) 921 2 536
-------------------------------------------------------------------------------
Aruandeperioodi koondkasum /(kahjum), mis on omistatav
-------------------------------------------------------------------------------
Emaettevõtte
aktsionäridele (1 087) 1 074 (107) 906 2 510
-------------------------------------------------------------------------------
Vähemusosalusele 2 7 4 15 26
-------------------------------------------------------------------------------
Puhaskasum (-kahjum) aktsia kohta jätkuvatest
tegevusvaldkondadest (eurodes)
-------------------------------------------------------------------------------
Tavakasum /(-kahjum)
aktsia kohta 0,04 0,03 0,06 0,01 0,09
-------------------------------------------------------------------------------
Lahustunud kasum
/(kahjum) aktsia kohta 0,04 0,02 0,06 0,01 0,08
-------------------------------------------------------------------------------
Puhaskasum (-kahjum)
aktsia kohta (eurodes)
-------------------------------------------------------------------------------
Tavakasum /(-kahjum)
aktsia kohta (0,04) 0,04 0,00 0,03 0,08
-------------------------------------------------------------------------------
Lahustunud kasum
/(kahjum) aktsia kohta (0,03) 0,03 0,00 0,03 0,08
-------------------------------------------------------------------------------
Konsolideeritud rahavoogude aruanne (auditeerimata)
(tuhandetes EUR) 9 kuud 2021 9 kuud 2020 12 kuud 2020
-------------------------------------------------------------------------------
Rahavood äritegevusest
-------------------------------------------------------------------------------
Aruandeperioodi ärikasum 709 1 593 3 078
-------------------------------------------------------------------------------
Korrigeerimised (mitterahalised):
-------------------------------------------------------------------------------
Põhivara kulum 3 349 2 974 3 968
-------------------------------------------------------------------------------
(Kasum)/-kahjum põhivara müügist,
mahakandmisest ja väärtuse langusest 35 (1) 986
-------------------------------------------------------------------------------
Aktsiaoptsiooni väärtuse muutus 27 0 0
-------------------------------------------------------------------------------
Kahjum lõpetatud tegevusvaldkonna müügist 2 077 0 0
-------------------------------------------------------------------------------
Äritegevuse rahavood:
-------------------------------------------------------------------------------
Äritegevusega seotud nõuete ja
ettemaksete muutus (1 370) 1 880 3 274
-------------------------------------------------------------------------------
Varude muutus (79) 214 375
-------------------------------------------------------------------------------
Äritegevusega seotud kohustuste ja
ettemaksete muutus 337 327 (1 201)
-------------------------------------------------------------------------------
Rahavood põhitegevusest 5 086 6 987 10 480
-------------------------------------------------------------------------------
Makstud ettevõtte tulumaks (272) (91) (263)
-------------------------------------------------------------------------------
Makstud intressid (405) (453) (903)
-------------------------------------------------------------------------------
Rahavood äritegevusest kokku 4 409 6 443 9 314
-------------------------------------------------------------------------------
Rahavood investeerimistegevusest
-------------------------------------------------------------------------------
Tütar- ja sidusettevõtete ning muude
investeeringute ost (miinus omandatud
sularaha) /
sissemaksed kapitaliosaluse meetodil
arvestatud investeeringutesse (201) (203) (425)
-------------------------------------------------------------------------------
Lõpetatud tegevusvaldkonna müügist
laekunud raha (miinus rahasaldo) 6 326 0 0
-------------------------------------------------------------------------------
Laekumised muudest investeeringutest 51 84 16
-------------------------------------------------------------------------------
Saadud intressid 3 1 2
-------------------------------------------------------------------------------
Materiaalse ja immateriaalse põhivara
soetamine (1 901) (1 623) (2 562)
-------------------------------------------------------------------------------
Materiaalse ja immateriaalse põhivara
müük 3 29 308
-------------------------------------------------------------------------------
Antud laenud (130) (187) (331)
-------------------------------------------------------------------------------
Saadud dividendid 828 150 150
-------------------------------------------------------------------------------
Rahavood investeerimistegevusest kokku 4 978 (1 750) (2 841)
-------------------------------------------------------------------------------
Rahavood finantseerimistegevusest
-------------------------------------------------------------------------------
Rendikohustuse põhiosa tagasimaksed (1 389) (693) (949)
-------------------------------------------------------------------------------
Arvelduskrediidi kasutuse muutus 0 (1 018) (1 018)
-------------------------------------------------------------------------------
Saadud laenud / Laenude tagasimaksed (1 455) (868) (1 884)
-------------------------------------------------------------------------------
Laekunud aktsiate emiteerimisest 0 0 600
-------------------------------------------------------------------------------
Tasutud omaaktsiate tagasiostmisel (446) 0 (600)
-------------------------------------------------------------------------------
Rahavood finantseerimistegevusest kokku (3 290) (2 579) (3 851)
-------------------------------------------------------------------------------
RAHA JA RAHA EKVIVALENTIDE MUUTUS 6 096 2 114 2 621
-------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi
alguses 6 269 3 647 3 647
-------------------------------------------------------------------------------
Raha ja raha ekvivalendid perioodi lõpus 12 364 5 760 6 269
-------------------------------------------------------------------------------
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, mis tegeleb veebimeedia
sisutootmise ning ajalehtede ja ajakirjade kirjastamisega. Samuti haldab
kontsern elektroonilist piletimüügiplatvormi ja piletimüügikohtasid Lätis ja
Eestis. 1989. aastal tegevust alustanud Ekspress Grupp annab tööd ligi 1400
inimesele, omab Baltimaades juhtivaid online-meedia portaale, annab välja kõige
populaarsemaid päeva- ja nädalalehti ning enamikku Eesti kõige populaarsematest
ajakirjadest.
Teate sisu inglise keeles
Pealkiri
AS Ekspress Grupp: Consolidated unaudited interim report for the Third Quarter and Nine Months of 2021
Teade
In the 3(rd) quarter of 2021, the revenue of AS Ekspress Grupp totalled EUR
13.3 million and the revenue for the first nine months of the year totalled EUR
37.6 million. The Group's net profit for the 3(rd) quarter of 2021 was EUR 1.15
million and the net profit for the first 9 months of the year was EUR 1.82
million. At the end of September, the share of the Group's digital revenue was
74% of total revenue
In the 3(rd) quarter of 2021, the consolidated revenue totalled EUR 13.3 million
(3(rd) quarter 2020: EUR 10.9 million), increasing by 22%. The revenue growth is
attributable to the online advertising market which continues to grow as
compared to traditional media channels. The advertising customers have adapted
to the circumstances and the growth of the advertising business in all countries
demonstrates that the majority of companies have been able to digitalise their
businesses more; they have opened or adapted their ways of trading to e-channels
and the need to advertise has recovered. However, the revenue of both ticket
sales platforms as well as outdoor screens continues to be under pressure which
is directly attributable to the effects of the COVID-19 pandemic. The effect is
especially evident in the Latvian market where restrictions are currently
considerably stricter than in other countries.
The number of the digital subscriptions of AS Ekspress Grupp increased by 75% by
the end of September 2021 as compared to the same period last year and was
approximately 122 thousand subscriptions.
The additional growth in digital subscriptions is primarily attributable to new
customers and it demonstrates that more readers who have not yet become
subscribers to the Group's products are being addressed. The Group is able to
come up with topics for an increasingly larger number of customers and thus
those readers who have read articles for free also decide to sign up for digital
subscriptions. The Group has also managed to keep its current digital
subscribers for a longer period of time, lowering the share of those cancelling
their subscriptions and increasing the average life of the subscription.
The earnings before interest, tax, depreciation and amortisation (EBITDA) of
Ekspress Grupp totalled EUR 2.25 million in the 3(rd) quarter and EUR 5.05
million in the first 9 months of the year which is 38% and 62%, respectively,
higher as compared to the same period in 2020. Strong sales of online
advertising and digital subscriptions in all Baltic States and continued cost
reductions have helped improve profitability. The net profit in the 3(rd)
quarter totalled EUR 1.15 million which is 48% higher than in the same period
last year. The net profit for the first 9 months of the year totalled EUR 1.82
million which is six times higher than in the same period last year (9 months
2020: EUR 0.29 million).
At the beginning of September 2021, the Group concluded an agreement to sell
Printall AS. The transaction was completed on 6 September 2021, as a result of
which the Group incurred a sales loss in the amount of EUR 2.3 million and
according to the agreement, after the adjustments to the sales price, the Group
received a net amount of EUR 6.3 million. At the beginning of 2026, the Group
will receive another EUR 0.7 million, contingent upon the results of Printall in
2025. As a result of the transaction, the Group will exit the business with high
CAPEX requirements that is not in line with the Group's digital revenue growth
strategy. Availability of new capital will provide additional capacity for the
Group to fund the digital area, both organically as well as through making new
acquisitions. In this report, Ekspress Grupp presents the results for the 3(rd)
quarter and 9 months of the current year as well as comparable periods in
compliance with the requirements of IFRS set for interim reports, i.e. for its
continuing operations. The loss from the sale of Printall and its operating
results have been recognised as discontinued operations and are included in the
Group's comprehensive income statement.
As of 30 September 2021, the Group had available cash in the amount of EUR 12.4
million (30 September 2020: EUR 5.8 million). The Group's liquidity continues to
be good. In order to strengthen the Group's liquidity position and make more
effective use of equity, the Group signed amendments to the loan agreements with
AS SEB Pank in July 2021. The maturity dates of loans were extended by 5 years
and monthly payments were reduced from EUR 0.2 million to EUR 0.06 million per
month.
Due to its strong liquidity position and additional available funds from the
sale of Printall AS, the Management Board of Ekspress Grupp made a proposition
to the shareholders on 13 October 2021 to distribute extraordinary dividends of
10 euro cents per share in the total amount of EUR 3.03 million. Shareholder
resolutions will be adopted without calling an extraordinary general meeting on
4 November 2021. The shareholders included in the share register of shareholders
on 19 November 2021 will be entitled to receive dividends and dividends will be
distributed on 23 November 2021.
The Supervisory Board of AS Ekspress Grupp has approved the Group's dividends
policy according to which Ekspress Grupp will distribute at least 30% of its
annual profit as dividends starting from 2022.
Q3 AND 9 MONTHS RESULTS
In accordance with the decision of the extraordinary general meeting of
shareholders of AS Ekspress Grupp from 13 July 2021, AS Ekspress Grupp and OÜ
Trükitung concluded a sales agreement on 3 September 2021, according to which
Ekspress Grupp sold its 100% ownership interest in its subsidiary Printall AS.
The transaction was completed as of 6 September 2021. In the consolidated
interim report for the 3(rd) quarter and the first 9 months of the year, the
information is presented about continuing operations where the revenue and
expenses of discontinued operations are shown in a separate line in the
comprehensive income statement "Gain/-loss from discontinued operations". Until
the sale, the business of Printall AS used to be recognised a separate printing
services segment which the Group will disclose as a discontinued operation
starting from this period. In the comprehensive income statement of the interim
report and the segment overview, the comparative information of continuing
operations has been restated. No restatements have been made to the consolidated
balance sheet and cash flows in accordance with the requirements of IFRS. The
assets of the printing services segment continue to be consolidated line-by-line
in the balance sheet as of 31 December 2020, because the sale of Printall AS was
not yet recognised as a discontinued operation as of 31 December 2020.
REVENUE
In the 3(rd) quarter of 2021, the consolidated revenue from continuing
operations totalled EUR 13.3 million (3(rd) quarter 2020: EUR 10.9 million).
Revenue increased by 22% year-over-year in the 3(rd) quarter. Both advertising
as well as digital subscription revenue increased. The consolidated revenue from
continuing operations for the first nine months of 2021 totalled EUR 37.6
million (first nine months of 2020: EUR 31.0 million). At the end of the 3(rd)
quarter of 2021, the share of the Group's digital revenue accounted for 74% of
total revenue (at the end of 3(rd) quarter 2020: 69% of total revenue). Digital
revenue increased by 30% as compared to the same period last year.
PROFITABILITY
In the 3(rd) quarter of 2021, the consolidated EBITDA of continuing operations
totalled EUR 2.25 million (3(rd) quarter 2020: EUR 1.63 million). In the 3(rd)
quarter of 2021, EBITDA increased by 38% as compared to the previous year and
the EBITDA margin was 17.0% (3(rd) quarter 2020: 14.9%). Strong sales of online
advertising, digital subscriptions and tight cost controls in all Baltic States
have helped to improve profitability. The consolidated EBITDA of continuing
operations for the first nine months of 2021 totalled EUR 5.05 million (first
nine months of 2020: EUR 3.12 million) increasing by 62% compared to last year.
In the 3(rd) quarter of 2021, the consolidated net profit from continuing
operations totalled EUR 1.15 million (3(rd) quarter 2020: EUR 0.77 million),
which is EUR 0.37 million and 48% higher as compared to 2020. The consolidated
net profit from continuing operations for the first nine months of 2021 totalled
EUR 1.82 million (first nine months of 2020: EUR 0.29 million), which is EUR
1.53 million and 532% better as compared to 2020.
CASH POSITION
At the end of the reporting period, the Group had available cash in the amount
of EUR 12.4 million and equity in the amount of EUR 54.4 million (61% of total
assets). The comparable data as of 30 September 2020, including the printing
services segment, were EUR 5.8 million and EUR 52.6 million (55% of total
assets), respectively. As of 30 September 2021, the Group's net debt was EUR
6.2 million (30 September 2020: EUR 16.5 million). As of 30 September 2021, the
cash position was positively impacted by net cash proceeds from the sale of the
ownership interest in Printall AS in the amount of EUR 6.3 million (incl.
premature payment of the outstanding loan balance of Printall AS to AS SEB Pank
under the loan contract in the amount of EUR 2.06 million, see Note 7).
The cash position in 2020 was impacted by the agreements concluded with the
banks due to the COVID-19 related state of emergency. Agreements were concluded
with AS SEB Pank to suspend loan payments in the period March-August 2020 (EUR
1.2 million) and with AS Citadele banka in the period of June-November 2020 (EUR
0.3 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 last year.
DIVIDENDS AND DIVIDEND POLICY
In conjunction with the sale of Printall AS, the Group's Management Board has
proposed to the shareholders to distribute extraordinary dividends of 10 euro
cents per share in the total amount of EUR 3.03 million. Shareholder resolutions
will be adopted without calling the extraordinary general meeting of
shareholders on 4 November 2021. The shareholders included in the register of
shareholders on 19 November 2021 will be entitled to receive dividends and
dividends will be distributed on 23 November 2021.
The Supervisory Board of AS Ekspress Grupp has approved the Group's dividends
policy, according to which Ekspress Grupp will pay at least 30% of the annual
profit as dividends starting from 2022.
Key financial indicators for segments (continuing operations)
(EUR thousand) Sales
12
9 months 9 months months
Q3 2021 Q3 2020 Change % 2021 2020 Change % 2020
Media segment 12 925 10 750 20% 36 485 30 667 19% 43 728
incl.
revenue from
all digital and
online channels 10 061 7 812 29% 27 664 21 338 30% 30 963
% of
revenue from
all digital and
online channels 78% 73% 76% 70% 71%
Corporate
functions 999 693 44% 3 106 1 728 80% 2 761
Inter-segment
eliminations (660) (529) (2 018) (1 417) (1 975)
TOTAL GROUP 13 265 10 914 22% 37 573 30 978 21% 44 514
% of
revenue from
all digital and
online channels 76% 72% 74% 69% 70%
(EUR thousand) EBITDA
12
9 months 9 months months
Q3 2021 Q3 2020 Change % 2021 2020 Change % 2020
Media segment 2 401 1 729 39% 5 478 3 491 57% 6 601
Corporate
functions (134) (90) -49% (423) (325) -30% (720)
Inter-segment
eliminations (16) (11) (3) (43) 43
TOTAL GROUP 2 251 1 628 38% 5 051 3 122 62% 5 924
EBITDA margin Q3 2021 Q3 2020 9 months 2021 9 months 2020 12 months 2020
Media segment 19% 16% 15% 11% 15%
TOTAL GROUP 17% 15% 13% 10% 13%
Consolidated balance sheet (unaudited)
(EUR thousand) 30.09.2021 31.12.2020
-------------------------------------------------------------------------------
ASSETS
-------------------------------------------------------------------------------
Current assets
-------------------------------------------------------------------------------
Cash and cash equivalents 12 364 6 269
-------------------------------------------------------------------------------
Trade and other receivables 8 858 9 450
-------------------------------------------------------------------------------
Corporate income tax prepayment 209 7
-------------------------------------------------------------------------------
Inventories 312 2 756
-------------------------------------------------------------------------------
Total current assets 21 743 18 482
-------------------------------------------------------------------------------
Non-current assets
-------------------------------------------------------------------------------
Other receivables and investments 1 662 982
-------------------------------------------------------------------------------
Deferred tax asset 30 30
-------------------------------------------------------------------------------
Investments in joint ventures 1 007 1 661
-------------------------------------------------------------------------------
Investments in associates 2 094 2 253
-------------------------------------------------------------------------------
Property, plant and equipment 6 191 14 134
-------------------------------------------------------------------------------
Intangible assets 56 702 56 635
-------------------------------------------------------------------------------
Total non-current assets 67 687 75 696
-------------------------------------------------------------------------------
TOTAL ASSETS 89 430 94 177
-------------------------------------------------------------------------------
LIABILITIES
-------------------------------------------------------------------------------
Current liabilities
-------------------------------------------------------------------------------
Borrowings 1 671 3 613
-------------------------------------------------------------------------------
Trade and other payables 14 385 15 251
-------------------------------------------------------------------------------
Corporate income tax payable 130 81
-------------------------------------------------------------------------------
Total current liabilities 16 187 18 945
-------------------------------------------------------------------------------
Non-current liabilities
-------------------------------------------------------------------------------
Long-term borrowings 16 846 18 589
-------------------------------------------------------------------------------
Other long-term liabilities 2 046 2 025
-------------------------------------------------------------------------------
Total non-current liabilities 18 892 20 613
-------------------------------------------------------------------------------
TOTAL LIABILITIES 35 079 39 558
-------------------------------------------------------------------------------
EQUITY
-------------------------------------------------------------------------------
Minority interest 130 126
-------------------------------------------------------------------------------
Capital and reserves attributable to equity holders of
parent company:
-------------------------------------------------------------------------------
Share capital 18 478 18 478
-------------------------------------------------------------------------------
Share premium 14 277 14 277
-------------------------------------------------------------------------------
Treasury shares (384) (209)
-------------------------------------------------------------------------------
Reserves 1 911 1 758
-------------------------------------------------------------------------------
Retained earnings 19 939 20 189
-------------------------------------------------------------------------------
Total capital and reserves attributable to equity
holders of parent company 54 221 54 493
-------------------------------------------------------------------------------
TOTAL EQUITY 54 351 54 619
-------------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 89 430 94 177
-------------------------------------------------------------------------------
Consolidated statement of comprehensive income (unaudited)
9 months 12 months
(EUR thousand) Q3 2021 Q3 2020 9 months 2021 2020 2020
-------------------------------------------------------------------------------
Continuing operations
-------------------------------------------------------------------------------
Sales 13 265 10 914 37 573 30 978 44 514
-------------------------------------------------------------------------------
Cost of sales (9 849) (8 482) (28 543) (24 874) (34 013)
-------------------------------------------------------------------------------
Gross profit 3 415 2 432 9 030 6 105 10 501
-------------------------------------------------------------------------------
Other income 291 521 609 1 036 1 691
-------------------------------------------------------------------------------
Marketing expenses (494) (478) (1 593) (1 376) (1 905)
-------------------------------------------------------------------------------
Administrative
expenses (1 799) (1 529) (5 422) (4 718) (6 930)
-------------------------------------------------------------------------------
Other expenses (13) (20) (62) (88) (286)
-------------------------------------------------------------------------------
Operating profit
/(loss) 1 401 925 2 563 959 3 071
-------------------------------------------------------------------------------
Interest income 9 7 25 19 28
-------------------------------------------------------------------------------
Interest expenses (175) (182) (537) (672) (860)
-------------------------------------------------------------------------------
Other finance
income/(costs) (67) (28) (62) (46) 634
-------------------------------------------------------------------------------
Net finance cost (233) (204) (574) (699) (198)
-------------------------------------------------------------------------------
Profit/(loss) on
shares of joint
ventures 42 99 (128) 107 102
-------------------------------------------------------------------------------
Profit/(loss) on
shares of associates 16 (48) 83 (75) (129)
-------------------------------------------------------------------------------
Profit /(loss) before
income tax 1 226 773 1 944 292 2 846
-------------------------------------------------------------------------------
Income tax expense (81) (1) (120) (3) (280)
-------------------------------------------------------------------------------
Net profit from
continuing operations 1 145 772 1 823 289 2 566
-------------------------------------------------------------------------------
Net profit /(loss)
from discontinued
operation (2 230) 310 (1 926) 633 (30)
-------------------------------------------------------------------------------
Net profit /(loss)
for the reporting
period (1 085) 1 081 (103) 921 2 536
-------------------------------------------------------------------------------
Net profit /(loss) for the reporting
period attributable to
-------------------------------------------------------------------------------
Equity holders of the
parent company (1 087) 1 074 (107) 906 2 510
-------------------------------------------------------------------------------
Minority interest 2 7 4 15 26
-------------------------------------------------------------------------------
Total comprehensive
income /(loss) (1 085) 1 081 (103) 921 2 536
-------------------------------------------------------------------------------
Comprehensive income /(loss) for the reporting
period attributable to
-------------------------------------------------------------------------------
Equity holders of the
parent company (1 087) 1 074 (107) 906 2 510
-------------------------------------------------------------------------------
Minority interest 2 7 4 15 26
-------------------------------------------------------------------------------
Earnings per share
(euro) - continuing
operations
-------------------------------------------------------------------------------
Basic earnings per
share 0.04 0.03 0.06 0.01 0.09
-------------------------------------------------------------------------------
Diluted earnings per
share 0.04 0.02 0.06 0.01 0.08
-------------------------------------------------------------------------------
Earnings per share
(euro)
-------------------------------------------------------------------------------
Basic earnings per
share (0.04) 0.04 0.00 0.03 0.08
-------------------------------------------------------------------------------
Diluted earnings per
share (0.03) 0.03 0.00 0.03 0.08
-------------------------------------------------------------------------------
Consolidated cash flow statement (unaudited)
(EUR thousand) 9 months 2021 9 months 2020 12 months 2020
-------------------------------------------------------------------------------
Cash flows from operating
activities
-------------------------------------------------------------------------------
Operating profit for the reporting
year 709 1 593 3 078
-------------------------------------------------------------------------------
Adjustments for (non-cash):
-------------------------------------------------------------------------------
Depreciation and amortisation 3 349 2 974 3 968
-------------------------------------------------------------------------------
(Gain)/loss on sale, write-down and
impairment of property, plant and
equipment 35 (1) 986
-------------------------------------------------------------------------------
Change in value of share option 27 0 0
-------------------------------------------------------------------------------
Loss on sale of discontinued
operation 2 077 0 0
-------------------------------------------------------------------------------
Cash flows from operating
activities:
-------------------------------------------------------------------------------
Trade and other receivables (1 370) 1 880 3 274
-------------------------------------------------------------------------------
Inventories (79) 214 375
-------------------------------------------------------------------------------
Trade and other payables 337 327 (1 201)
-------------------------------------------------------------------------------
Cash generated from operations 5 086 6 987 10 480
-------------------------------------------------------------------------------
Income tax paid (272) (91) (263)
-------------------------------------------------------------------------------
Interest paid (405) (453) (903)
-------------------------------------------------------------------------------
Net cash generated from operating
activities 4 409 6 443 9 314
-------------------------------------------------------------------------------
Cash flows from investing
activities
-------------------------------------------------------------------------------
Acquisition of subsidiaries/
associates (less cash acquired) and
other investments /
cash paid-in equity-accounted
investees (201) (203) (425)
-------------------------------------------------------------------------------
Disposal of discontinued operation,
net of cash disposed of 6 326 0 0
-------------------------------------------------------------------------------
Receipts of other investments 51 84 16
-------------------------------------------------------------------------------
Interest received 3 1 2
-------------------------------------------------------------------------------
Purchase of property, plant and
equipment
and intangible assets (1 901) (1 623) (2 562)
-------------------------------------------------------------------------------
Proceeds from sale of property,
plant and equipment
and intangible assets 3 29 308
-------------------------------------------------------------------------------
Loans granted (130) (187) (331)
-------------------------------------------------------------------------------
Dividends received 828 150 150
-------------------------------------------------------------------------------
Net cash used in investing
activities 4 978 (1 750) (2 841)
-------------------------------------------------------------------------------
Cash flows from financing
activities
-------------------------------------------------------------------------------
Payment of lease liabilities (1 389) (693) (949)
-------------------------------------------------------------------------------
Change in overdraft 0 (1 018) (1 018)
-------------------------------------------------------------------------------
Loans received / Repayments of bank
loans (1 455) (868) (1 884)
-------------------------------------------------------------------------------
Proceeds from share issuance 0 0 600
-------------------------------------------------------------------------------
Purchases of treasury shares (446) 0 (600)
-------------------------------------------------------------------------------
Net cash used in financing
activities (3 290) (2 579) (3 851)
-------------------------------------------------------------------------------
NET (DECREASE)/INCREASE IN CASH AND
CASH EQUIVALENTS 6 096 2 114 2 621
-------------------------------------------------------------------------------
Cash and cash equivalents at the
beginning of the period 6 269 3 647 3 647
-------------------------------------------------------------------------------
Cash and cash equivalents at the
end of the period 12 364 5 760 6 269
-------------------------------------------------------------------------------
Signe Kukin
Group CFO
AS Ekspress Grupp
Telephone: +372 669 8381
E-mail address: [email protected] (mailto:[email protected])
AS Ekspress Grupp is the leading Baltic media group whose key activities include
web media content production, publishing of newspapers and magazines. The Group
also manages the electronic ticket sales platform and ticket sales sites in
Latvia and Estonia. Ekspress Grupp that launched its operations in 1989 employs
almost 1400 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.