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Nordic Fibreboard AS

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54930002HOIXBD15OM06

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Majandustegevusalad

Finants- ja kindlustustegevus

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Kategooriad

Juhtkonna vaheteadaanne või kvartaalne finantsaruanne

Teate ID

9185

Esitamise kuupäev ja aeg

22.11.2021 17:33:48

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Pealkiri

Nordic Fibreboard AS 2021. aasta III kvartali auditeerimata majandustulemused

Teade

JUHTKONNA ARUANNE

Nordic Fibreboard AS konsolideeritud müügitulu oli 2021. aasta 3. kvartalis
2,33 miljonit eurot (2020 3. kvartalis 2,51 miljonit eurot), millest
puitkiudplaadi müügitulu oli 2,27 miljonit eurot ja kinnisvarahalduse müügitulu
0,06 miljonit eurot. Puitkiudplaadi müük 2021. aasta 3. kvartalis vähenes
võrreldes 2020. aasta 3. kvartaliga 8%, vähenemise peamiseks põhjuseks oli
tavapärasest pikemast hooldusperioodist tingitud  väiksem tootmisvõimsus. 2021.
aasta 3. kvartalis oli tootmises hooldustöödest tingitud kahenädalane seisak,
mida 2020. aasta 3. kvartalis ei olnud. Kinnisvarahalduse 2021. aasta 3.
kvartali müügitulu kasvas, võrreldes eelmise aasta sama perioodiga, 81%.
Müügitulu kasvu tingis Pärnus asuva Suur-Jõe 48 kinnistule üürnike lisandumine.
Mööbli jaemüügil ei olnud müügitulu nii 2021. aasta 3. kvartalis kui ka 2020.
aasta 3. kvartalis, mööbli jaemüügi ettevõte on aruande avalikustamise hetkel
likvideerimisel.

Kontserni  EBITDA oli 2021. aasta 3. kvartalis 356 tuhat eurot (2020 3. kv: 366
tuhat  eurot), millest kiudplaadi segmendi EBITDA oli 344 tuhat eurot (2020  3.
kv:  370 tuhat eurot) ning kinnisvarahalduse EBITDA oli 11 tuhat eurot (2020 3.
kv: 1 tuhat eurot).

Kontserni  kasum 2021. aasta 3. kvartalis  peale amortisatsiooni- ning Kontserni
laenude intressikulu oli 202 tuhat eurot (2020 3 kv: 179 tuhat eurot).

Kontserni   2021. aasta   3. kvartali   puhaskasum  pärast  129 tuhande  suurust
kahjumit,  mis tekkis Tallinna  Väärtpaberibörsil noteeritud kinnisvaraettevõtte
Trigon Property Development AS (TPD) oleva osaluse ümberhindlusest, oli 73 tuhat
eurot  (2020 3. kv:  puhaskasum 183 tuhat  eurot). TPD  akstiate ümberhindlusest
tulenev   finantsmõju   Kontsernile   2021. aasta   esimese   9 kuu  jooksul  on
finantstulu  354 tuhat eurot.

ÄRIVALDKONDADE ÜLEVAADE

MÜÜGITULU ÄRISEGMENTIDE LÕIKES

                                         tuh EUR          |      tuh EUR
                              --------------+-------------+---------+---------
                                III kv 2021 | III kv 2020 | 9k 2021 | 9k 2020
------------------------------+-------------+-------------+---------+---------
  Kiudplaadi tootmine ja müük |       2 270 |       2 477 |   7 539 |   7 994
------------------------------+-------------+-------------+---------+---------
  Kinnisvara haldamine        |          65 |          36 |     218 |     148
------------------------------+-------------+-------------+---------+---------
  Mööbli jaemüük              |           0 |           0 |       0 |      55
------------------------------+-------------+-------------+---------+---------
  Elimineerimine              |           0 |           0 |       0 |     (0)
------------------------------+-------------+-------------+---------+---------
  Kokku                       |       2 334 |       2 512 |   7 757 |   8 197

KASUM ÄRISEGMENTIDE LÕIKES

                                           tuh EUR        |    tuh EUR
                                  +-----------+-----------+-------+-------
 tuh EUR                          |III kv 2021|III kv 2020|9k 2021|9k 2020
----------------------------------+-----------+-----------+-------+-------
 EBITDA ärisegmentide lõikes      |           |           |       |
----------------------------------+-----------+-----------+-------+-------
 Kiudplaadi tootmine ja müük      |        344|        370|  1 337|    458
----------------------------------+-----------+-----------+-------+-------
 Kinnisvara haldamine             |         11|          1|     10|    (2)
----------------------------------+-----------+-----------+-------+-------
 Mööbli jaemüük                   |          0|        (0)|    474|   (39)
----------------------------------+-----------+-----------+-------+-------
 Elimineerimine                   |          1|        (5)|  (479)|   (13)
----------------------------------+-----------+-----------+-------+-------
 Kokku EBITDA                     |        356|        366|  1 341|    403
----------------------------------+-----------+-----------+-------+-------
 Põhivara kulum ja väärtuse langus|      (123)|      (135)|  (380)|  (422)
----------------------------------+-----------+-----------+-------+-------
 Kokku ÄRIKASUM/-KAHJUM           |        232|        231|    962|   (19)
----------------------------------+-----------+-----------+-------+-------
 Neto finantstulud/-kulud         |     (159)*|       (49)|   267*|  (139)
----------------------------------+-----------+-----------+-------+-------
 PUHASKASUM/-KAHJUM               |         73|        183|  1 229|  (158)

*Sisaldab 2021. aasta 3. kvartalis finantskulu 129 tuhat eurot ja 2021. aasta 9
kuu  jooksul  finantstulu  354 tuhat  eurot,  mis  on saadud Kontserni omanduses
olevate  kinnisvara-arendusettevõtte  Trigon  Property  Development  AS aktsiate
ümberhindlusest.


NORDIC FIBREBOARD LTD: KIUDPLAADI MÜÜK

Piirkondlik   nõudlus   ehitusmaterjalide,   sh   meie  Pärnu  tehases  toodetud
puitkiudplaatide järele on 2021. aasta 3. kvartali jooksul olnud väga stabiilne.
Selle  tulemusel töötas meie  tehas täisvõimsusel ning  pikendas ka meie toodete
tarneaegu.

Puitkiudplaadi müük 2021. aasta 3. kvartalis oli 2,27 miljonit eurot, mis on 8%
väiksem  kui 2020. aasta 3. kvartalis. Languse ainsaks põhjuseks oli 2021. aasta
3. kvartalis  olnud hooldusperiood tehases kui see oli 2020. aasta 3. kvartalis.
Müük  meie  peamistel  Põhja-Euroopa  turgudel   püsis stabiilsena, kuid vähenes
teistel  turgudel.  See  tulenes  sellest,  et pidime eelistama kohalike turgude
tellimusi.

KIUDPLAADI MÜÜGITULU GEOGRAAFILISELT

                          tuh EUR          |      tuh EUR
               +-------------+-------------+---------+
               | III kv 2021 | III kv 2020 | 9k 2021 | 9k 2020
---------------+-------------+-------------+---------+---------
  Euroopa Liit |       1 980 |       2 003 |   6 233 |   6 693
---------------+-------------+-------------+---------+---------
  Venemaa      |         269 |         360 |   1 083 |     934
---------------+-------------+-------------+---------+---------
  Aasia        |           0 |          62 |     124 |     140
---------------+-------------+-------------+---------+---------
  Lähis-Ida    |          13 |          10 |      13 |      55
---------------+-------------+-------------+---------+---------
  Aafrika      |           0 |           8 |      46 |      96
---------------+-------------+-------------+---------+---------
  Teised       |           8 |          32 |      40 |      77
---------------+-------------+-------------+---------+---------
  Kokku        |       2 270 |       2 477 |   7 539 |   7 994


PÄRNU RIVERSIDE DEVELOPMENT: KINNISVARA HALDUS

Pärnu  Riverside Development OÜ omab  kinnisvara Pärnu linnas asukohaga Suur-Jõe
tänav   48. Kinnisvaraobjektil   on   mõned  üürnikud,  2021. aasta  3. kvartali
renditulu  koos kommunaalkulude vahendusega oli  65 tuhat eurot (2020. aasta 3.
kvartalis   36 tuhat   eurot).   Müügitulu  suurenemise  põhjuseks  oli  üürnike
lisandumine äripinnale.

Kinnisvarahalduse  2021. aasta 3. kvartali EBITDA  oli positiivne 11 tuhat eurot
(2020.   aasta   3. kvartalis   positiivne   1 tuhat  eurot).  Kinnisvarahalduse
puhaskasum  2021. aasta 3. kvartalis oli 11 tuhat eurot (2020. aasta 3. kvartali
puhaskasum oli 1 tuhat eurot).

SKANO FURNITURE: MÖÖBLI JAEMÜÜK

Skano  Furniture lõpetas  aktiivse tegevuse  31.01.2020, kui sulges kaks viimast
mööblisalongi,  seetõttu  ei  olnud  ka  mööbli  jaemüügil  nii  2021. aasta 3.
kvartalis kui ka 2020. aasta 3. kvartalis müügitulu.

Skano Furniture OÜ on aruande avalikustamise hetkel likvideerimisel.

KONSOLIDEERITUD FINANTSSEISUNDI JA RAHAVOOGUDE ARUANNE

Seisuga  30.09.2021 olid  Nordic  Fibreboard  AS  varad kokku 8,3 miljonit eurot
(30.09.2020:  7,8 miljonit  eurot).  Kontserni  kohustised  kokku  olid  seisuga
30.09.2021 4,4 miljonit   eurot   (30.09.2020:  6,3 miljonit  eurot),  milledest
Kontsernil  võlgnevusi  tarnijatele  oli  0,6 miljonit eurot seisuga 30.09.2021
(30.09.2020:  1,2 miljonit eurot) ning laenukohustisi 3,3 miljonit eurot seisuga
30.09.2020 (30.09.2020: 4,5 miljonit).

Nõuded   ja   ettemaksed  olid  kokku  1,1 miljonit  eurot  seisuga  30.09.2021
(30.09.2020:  1,0 miljonit  eurot).  Varud  seisuga 30.09.2021 olid 0,4 miljonit
eurot   (30.09.2020   0,4 miljonit  eurot).  Kontserni  põhivara  kokku  seisuga
30.09.2021 oli 6,6 miljonit eurot (30.09.2020: 6,3 miljonit).

Kontserni  äritegevuse tulemuseks 9 kuu jooksul  2021. aastal oli raha sissevool
summas  512 tuhat eurot  (2020 9 kuud:  raha sissevool  summas 115 tuhat eurot).
Investeerimistegevusest  tulenevalt  toimus  2021. aasta  9 kuu  raha  väljavool
summas  243 tuhat eurot, võrreldes raha  väljavooluga 39 tuhat eurot 2020. aasta
9 kuud.  Finantseerimistegevuse tulemuseks oli  2021. aasta 9 kuu raha väljavool
summas  91 tuhat eurot (2020 9 kuud: raha väljavool 79 tuhat eurot). Netorahavoo
tulemuseks  oli 2021. aasta 9 kuu raha sissevool summas 178 tuhat eurot (2020 9
kuud: raha väljavool 3 tuhat eurot).

TULEVIKU VÄLJAVAADE

NORDIC FIBREBOARD LTD

Nõudlus   puitkiudplaatide  järele  on  jätkuvalt  tugev,  mis  peegeldab  kasvu
ehitusmaterjalide  turul  ja  näitab  klientide  teadlikkuse  suurenemist  pehme
tihedusega puitkiudplaadite roheliste omaduste kohta, mida Nordic Fibreboard Ltd
toodab.

Juhtkond   tegeleb   Pärnus  asuva  tehase  katlamaja  ettevalmistustöödega,  et
katlamaja vastaks 2024. aastal jõustuvatele uutele heitmenõuetele.

Samuti   tehakse   ettevalmistusi   ka  teise,  Püssis  asuva  kiudplaaditehase,
uuendamiseks,    et    tagada    tehase    piisav   tehniline   võimsus   tehase
taaskaäivitamiseks.   Püssi  tehase  peamiseks  energiaallikaks  on  gaas,  siis
praeguste  kõrgete  gaasihindade  tõttu  muutub tehase taaskäivitamise kaalumine
lähitulevikus vastuvõetamatuks.

PÄRNU RIVERSIDE DEVELOPMENT

Juhtkond  kaalub kinnisvarahalduse  tegevusalaga tütarettevõtte  Pärnu Riverside
Development  OÜ  tulevikku,  ning  on  sõlminud  maaklerfirmaga  lepingu,  mille
kohaselt kaalutakse selle tütarettevõtte võimalikku võõrandamist.

TÖÖTAJAD

Seisuga   30.09.2021 töötas   Kontsernis   93 inimest   (99   inimest  võrreldes
30.09.2020 seisuga).   Töötajate   keskmine  arv  oli  2021 3. kvartalis  90 (3.
kvartalis 2020: töötajate keskmine arv 94).

2021. aasta esimese üheksa kuu jooksul olid tööjõukulud koos maksukuludega kokku
1,5 miljonit  eurot (2020 esimese üheksa  kuu jooksul 1,6 miljonit eurot). Kõigi
kontserni  ettevõtete s.h. tütarettevõtete  juhatuse liikmetele arvestatud tasud
koos  maksukuludega olid  kokku 166 tuhat  eurot 2021. aasta  esimese üheksa kuu
jooksul ning võrreldes 158 tuhat eurot 2020. aasta esimese üheksa kuuga.



FINANTSSUHTARVUD

 tuh EUR
                                 |           |           |          |
 Kasumiaruanne                   |III kv 2021|III kv 2020|   9k 2021|   9k 2020
---------------------------------+-----------+-----------+----------+----------
 Müügitulu                       |      2 334|      2 512|     7 757|     8 197
---------------------------------+-----------+-----------+----------+----------
 EBITDA                          |        356|        366|     1 341|       403
---------------------------------+-----------+-----------+----------+----------
 EBITDA rentaablus               |        15%|        15%|       17%|        5%
---------------------------------+-----------+-----------+----------+----------
 Ärikasum/-kahjum                |        232|        231|       962|      (19)
---------------------------------+-----------+-----------+----------+----------
 Ärirentaablus                   |        10%|         9%|       12%|      (0%)
---------------------------------+-----------+-----------+----------+----------
 Puhaskasum/-kahjum              |         73|        183|     1 229|     (158)
---------------------------------+-----------+-----------+----------+----------
 Puhasrentaablus                 |         3%|         7%|       16%|      (2%)
                                 |           |           |          |

                                 |           |           |          |
 Bilanss                         | 30.09.2021| 31.12.2020|30.09.2020|31.12.2019
---------------------------------+-----------+-----------+----------+----------
 Koguvarad                       |      8 301|      7 650|     7 753|     9 045
---------------------------------+-----------+-----------+----------+----------
 Koguvarade puhasrentaablus      |        15%|        14%|      (2%)|     (12%)
---------------------------------+-----------+-----------+----------+----------
 Omakapital                      |      3 878|      2 648|     1 414|     1 542
---------------------------------+-----------+-----------+----------+----------
 Omakapitali puhasrentaablus     |        32%|        41%|     (11%)|     (73%)
---------------------------------+-----------+-----------+----------+----------
 Võlakordaja                     |        53%|        65%|       82%|       83%
                                 |           |           |          |

                                 |           |           |          |
 Aktsia                          | 30.09.2021| 31.12.2020|30.09.2020|31.12.2019
---------------------------------+-----------+-----------+----------+----------
 Aktsia viimane hind (EUR)*      |       2,20|       0,45|      0,40|      0,41
---------------------------------+-----------+-----------+----------+----------
 Puhaskasum aktsia kohta (EUR)   |       0,55|       0,24|    (0,05)|    (0,31)
---------------------------------+-----------+-----------+----------+----------
 Hind-tulu (PE) suhtarv          |       4,02|       1,89|    (7,79)|    (1,32)
---------------------------------+-----------+-----------+----------+----------
 Aktsia     raamatupidamisväärtus|           |           |          |
 (EUR)                           |       0,86|       0,59|      0,31|      0,34
---------------------------------+-----------+-----------+----------+----------
 Turuhinna                     ja|           |           |          |
 raamatupidamisväärtuse suhe     |       2,55|       0,76|      1,28|      1,20
---------------------------------+-----------+-----------+----------+----------
 Turukapitalisatsioon tuh EUR    |      9 898|      2 025|     1 809|     1 845
---------------------------------+-----------+-----------+----------+----------
 Aktsiate arv tk                 |  4 499 061|  4 499 061| 4 499 061| 4 499 061



EBITDA = ärikasum(-kahjum) + kulum
EBITDA rentaablus = EBITDA / müügitulu
Ärirentaablus = ärikasum(-kahjum) / müügitulu
Puhasrentaablus = puhaskasum(-kahjum) / müügitulu
Koguvarade puhasrentaablus = puhaskasum(-kahjum) / koguvarad
Omakapitali puhasrentaablus = puhaskasum(-kahjum) / omakapital
Võlakordaja = kohustised / koguvarad
Puhaskasum(-kahjum)  aktsia kohta = jooksva viimase 12 kuu puhaskasum(-kahjum) /
aktsiate arv
Hind-tulu   (PE)  suhtarv  =  aktsia  viimane  hind  /  jooksva  viimase  12 kuu
puhaskasum(-kahjum) aktsia kohta
Aktsia raamatupidamisväärtus = omakapital / aktsiate arv
Turuhinna  ja  raamatupidamisväärtuse  suhe  =  aktsia  viimane  hind  /  aktsia
raamatupidamisväärtus
Turukapitalisatsioon = aktsia viimane hind * aktsiate arv

*http://www.nasdaqbaltic.com/


KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

 tuh EUR                                      |30.09.2021|31.12.2020|30.09.2020
----------------------------------------------+----------+----------+----------
 Raha ja raha ekvivalendid                    |       204|        26|         4
----------------------------------------------+----------+----------+----------
 Nõuded ja ettemaksed (Lisa 2)                |     1 118|       794|     1 008
----------------------------------------------+----------+----------+----------
 Varud (Lisa 3)                               |       390|       544|       410
----------------------------------------------+----------+----------+----------
 Kokku käibevarad                             |     1 712|     1 364|     1 423
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Kinnisvarainvesteeringud (Lisa 4)            |     1 139|     1 134|     1 126
----------------------------------------------+----------+----------+----------
 Finantsvarad õiglases väärtuses muutustega   |          |          |
 läbi kasumiaruande (Lisa 7)                  |       805|       451|       418
----------------------------------------------+----------+----------+----------
 Materiaalne põhivara (Lisa 5)                |     4 642|     4 695|     4 777
----------------------------------------------+----------+----------+----------
 Immateriaalne põhivara (Lisa 6)              |         3|         6|        10
----------------------------------------------+----------+----------+----------
 Kokku põhivarad                              |     6 589|     6 286|     6 331
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Kokku varad                                  |     8 301|     7 650|     7 753
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Võlakohustised (Lisa 8)                      |        36|       756|     4 436
----------------------------------------------+----------+----------+----------
 Võlad ja ettemaksed (Lisa 9)                 |     1 002|     1 574|     1 674
----------------------------------------------+----------+----------+----------
 Lühiajalised eraldised (Lisa 10)             |         4|        18|         4
----------------------------------------------+----------+----------+----------
 Kokku lühiajalised kohustised                |     1 042|     2 348|     6 114
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Pikaajalised võlakohustised (Lisa 8)         |     3 220|     2 493|        47
----------------------------------------------+----------+----------+----------
 Pikaajalised eraldised (Lisa 10)             |       161|       161|       179
----------------------------------------------+----------+----------+----------
 Kokku pikaajalised kohustised                |     3 381|     2 654|       226
----------------------------------------------+----------+----------+----------
 Kokku kohustised                             |     4 423|     5 002|     6 340
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Aktsiakapital (nominaalväärtuses) (Lisa 11)  |       450|       450|       450
----------------------------------------------+----------+----------+----------
 Muud reservid                                |         0|         0|       114
----------------------------------------------+----------+----------+----------
 Jaotamata kasum (kahjum)                     |     3 428|     2 198|       850
----------------------------------------------+----------+----------+----------
 Kokku omakapital                             |     3 878|     2 648|     1 414
----------------------------------------------+----------+----------+----------
                                              |          |          |
----------------------------------------------+----------+----------+----------
 Kokku kohustised ja omakapital               |     8 301|     7 650|     7 753

*   Konsolideeritud   raamatupidamise   vahearuande  lahutamatuteks  osadeks  on
aastaaruande lisad lk 14 kuni 25.



KONSOLIDEERITUD KASUMI-JA MUU KOONDKASUMIARUANNE

 tuh EUR                               |III kv 2021|III kv 2020|9k 2021|9k 2020
---------------------------------------+-----------+-----------+-------+-------
 Müügitulu (Lisa 13)                   |      2 334|      2 512|  7 757|  8 197
---------------------------------------+-----------+-----------+-------+-------
 Müüdud toodangu kulu (Lisa 14)        |      1 721|      1 892|  5 451|  6 508
---------------------------------------+-----------+-----------+-------+-------
 Brutokasum                            |        613|        620|  2 306|  1 689
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Turustuskulud (Lisa 15)               |        251|        282|    891|  1 015
---------------------------------------+-----------+-----------+-------+-------
 Üldhalduskulud (Lisa 16)              |        131|        126|    445|    430
---------------------------------------+-----------+-----------+-------+-------
 Muud äritulud (Lisa 18)               |          2|         22|      5|     24
---------------------------------------+-----------+-----------+-------+-------
 Muud ärikulud (Lisa 18)               |          1|          3|     13|    287
---------------------------------------+-----------+-----------+-------+-------
 Ärikasum (-kahjum)                    |        232|        231|    962|   (19)
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Finantstulud (Lisa 19)                |          0|          4|    354|     21
---------------------------------------+-----------+-----------+-------+-------
 Finantskulud (Lisa 19)                |        159|         52|     87|    160
---------------------------------------+-----------+-----------+-------+-------
 Kasum (kahjum) enne tulumaksustamist  |         73|        183|  1 229|  (158)
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Aruandeperioodi puhaskasum (-kahjum)  |         73|        183|  1 229|  (158)
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Tava perioodi puhaskasum (-kahjum)    |           |           |       |
 aktsia kohta (Lisa 12)                |       0,02|       0,04|   0,27| (0,04)
---------------------------------------+-----------+-----------+-------+-------
 Lahustatud perioodi puhaskasum (-     |           |           |       |
 kahjum) aktsia kohta (Lisa 12)        |       0,02|       0,04|   0,27| (0,04)

*   Konsolideeritud   raamatupidamise   vahearuande  lahutamatuteks  osadeks  on
aastaaruande lisad lk 14 kuni 25.







TORFINN LOSVIK

Juhatuse esimees
+372 569 90 988
[email protected]

Teate sisu inglise keeles

Pealkiri

Unaudited financial results of Nordic Fibreboard AS for the third quarter of 2021

Teade

Management report

Consolidated  net  sales  for  Q3  2021 were  EUR  2.33 million  (Q3 2020: EUR 2.51
million), of which fibreboard sales accounted for EUR 2.27 million and real estate
management  for EUR 0.06 million. Fibreboard sales  for Q3 2021 decreased with 8%
compared  to Q3 2020, the main reason being less production output due to longer
maintenance  period in Q3 2021. We had 2 week maintenance stop in Q3 2021, which
we  did not have in Q3 2020. Real  estate management sales for Q3 2021 increased
with  81% compared  to  Q3  2020 due  to  more  rental tenants occupation in our
property in Suur-Jõe 48, Pärnu. There was no sales revenue from furniture retail
in  both the Q3 2021 and the Q3 2020, the furniture retail company is in process
of being liquidated at the time of publishing this report.

Group  EBITDA for Q3 2021 was EUR 356 thousand (Q3 2020: EUR 366 thousand), of which
the  fibreboard division EBITDA was EUR 344 thousand (Q3 2020: EUR 370 thousand) and
real estate management EBITDA of EUR 11 thousand (Q3 2020: EUR 1 thousand).

Group profit for Q3 2021, after depreciation and interest cost from group loans,
was EUR 202 thousand (Q3 2020: EUR 179 thousand).

Group  net profit for Q3 2021, after recording a loss of EUR 129 thousand from the
revaluation of the Group's shareholding in the Nasdaq listed real estate company
Trigon  Property  Development  AS  ("TPD"),  was  EUR 73 thousand (Q3 2020: EUR 183
thousand,  including a revaluation profit from  the TPD shares of EUR 4 thousand).
The   financial   impact  for  the  first  9 months  of  2021 from  the  group's
shareholding   in  TPD  shows  financial  income  of  EUR  354 thousand  from  the
revaluation profit of the TPD shares.

DIVISIONAL REVIEW

Revenue by business segments

                                        EUR thousand     |    EUR thousand
                                   ----------+---------+---------+---------
                                     Q3 2021 | Q3 2020 | 9M 2021 | 9M 2020
---------------------------------------------+---------+---------+---------
  Fibreboards production and sales     2,270 |   2,477 |   7,539 |   7,994
---------------------------------------------+---------+---------+---------
  Real Estate Management                  65 |      36 |     218 |     148
---------------------------------------------+---------+---------+---------
  Furniture retail                         0 |       0 |       0 |      55
---------------------------------------------+---------+---------+---------
  Group transactions                       0 |       0 |       0 |     (0)
---------------------------------------------+---------+---------+---------
  TOTAL                                2,334 |   2,512 |   7,757 |   8,197

Profit by business segments

                                        EUR thousand     |    EUR thousand
                                   ----------+---------+---------+---------
                                     Q3 2021 | Q3 2020 | 9M 2021 | 9M 2020
---------------------------------------------+---------+---------+---------
  EBITDA by business units:                  |         |         |
---------------------------------------------+---------+---------+---------
  Fibreboards production and sales       344 |     370 |   1,337 |     458
---------------------------------------------+---------+---------+---------
  Real Estate Management                  11 |       1 |      10 |     (2)
---------------------------------------------+---------+---------+---------
  Furniture retail                         0 |     (0) |     474 |    (39)
---------------------------------------------+---------+---------+---------
  Group transactions                       1 |     (5) |   (479) |    (13)
---------------------------------------------+---------+---------+---------
  TOTAL EBITDA                           356 |     366 |   1,341 |     403
---------------------------------------------+---------+---------+---------
  Depreciation                         (123) |   (135) |   (380) |   (422)
---------------------------------------------+---------+---------+---------
  TOTAL OPERATING PROFIT/ LOSS           232 |     231 |     962 |    (19)
---------------------------------------------+---------+---------+---------
  Net financial income/ costs         (159)* |    (49) |    267* |   (139)
---------------------------------------------+---------+---------+---------
  NET PROFIT/ LOSS                        73 |     183 |   1,229 |   (158)

* Includes financial cost of EUR 129 thousand in Q3 of 2021 and financial income EUR
354 thousand in the first 9 months of 2021, received from the revaluation of the
shareholding  owned by the  group in the  real estate development company Trigon
Property Development AS.

NORDIC FIBREBOARD LTD: FIBREBOARD SALE

The  regional  demand  for  construction  materials,  including  the fibreboards
produced  in  our  Pärnu  factory,  has  been  very  steady during Q3 2021. This
resulted  in our factory running at full  capacity utilisation, and also had the
effect of extending the delivery times for our products.

Fibreboard  sales in Q3 2021 was EUR 2.27 million, a decrease of 8% from Q3 2020.
The  decline was only due to us having longer maintenance period during Q3 2021
than  was the case in Q3 2020. Sales  in our key north European markets remained
steady  while sales fell to customers elsewhere,  this being due to us having to
prioritise the orders from our local markets.

FIBREBOARD SALES BY GEOGRAPHICAL SEGMENTS

                      EUR thousand     |    EUR thousand
                 +---------+---------+---------+---------
                 | Q3 2021 | Q3 2020 | 9M 2021 | 9M 2020
-----------------+---------+---------+---------+---------
  European Union |   1,980 |   2,003 |   6,233 |   6,693
-----------------+---------+---------+---------+---------
  Russia         |     269 |     360 |   1,083 |     934
-----------------+---------+---------+---------+---------
  Asia           |       0 |      62 |     124 |     140
-----------------+---------+---------+---------+---------
  Middle East    |      13 |      10 |      13 |      55
-----------------+---------+---------+---------+---------
  Africa         |       0 |       8 |      46 |      96
-----------------+---------+---------+---------+---------
  Other          |       8 |      32 |      40 |      77
-----------------+---------+---------+---------+---------
  TOTAL          |   2,270 |   2,477 |   7,539 |   7,994


PÄRNU RIVERSIDE DEVELOPMENT: REAL ESTATE MANAGEMENT

Pärnu  Riverside Development owns the property  located at Suur-Jõe 48 in Pärnu.
The  property  has  some  rental  tenants  and  rental  income  from real estate
management, including the resale of utilities, was EUR 65 thousand in Q3 2021, (Q3
2020: EUR  36 thousand).  The  reason  for  the  increase in sales revenue was the
addition of tenants to the commercial space.

The  real estate management  EBITDA for Q3  2021 were positive EUR 11 thousand (Q3
2020: positive EUR 1 thousand). The real estate management net profit for Q3 2021
was EUR 11 thousand (Q3 2020: net profit EUR 1 thousand).

SKANO FURNITURE: RETAIL SALES

Skano  Furniture finished its activities on  31.01.2020, when it closed the last
two  furniture showrooms,  thus the  retail sale  of furniture  did not have any
sales revenue in Q3 2021 and in Q3 2020.

Skano  Furniture  OÜ  is  in  the  process  of  being liquidation at the time of
publishing the reports.

CONSOLIDATED STATEMENT OF FINANCIAL POSITION AND CASH FLOW STATEMENT

As  of 30.09.2021 the  total assets  of Nordic  Fibreboard AS were EUR 8.3 million
(30.09.2020:  EUR 7.8 million). The  liabilities of the  company as of 30.09.2021
were  EUR 4.4 million (30.09.2020: EUR 6.3 million), of which the Group has payables
of  EUR 0.6 million as at 30.09.2021 (30.09.2020: EUR 1.2 million) and borrowings of
EUR 3.3 million as at 30.09.2021 (30.09.2020: EUR 4.5 million).

Receivables  and  prepayments  amounted  to  EUR  1.1 million  as  at  30.09.2021
(30.09.2020:  EUR 1.0 million). Inventories  were EUR 0.4 million  as of 30.09.2021
(30.09.2020: EUR 0.4 million). Fixed assets were EUR 6.6 million as of 30.09.2021 (EUR
6.3 million as of 30.09.2020).

During  2020 9M, the group's cash flows  from operating activities totalled cash
inflow  of  EUR  512 thousand  (2020  9M: cash  inflow EUR 115 thousand). Investment
activities  resulted  in  cash  outflows  in  amount  of  EUR  243 thousand during
2021 9M, compared  to outflows in amount EUR 39 thousand during 9M 2020. Financing
activities  also resulted in cash outflows of EUR 91 thousand during 9M 2021 (2020
9M: cash  outflow  EUR  79 thousand).  Net  cash effect during 2021 9M showed cash
inflows of EUR 178 thousand, (2020 9M: cash outflows EUR 3 thousand).

OUTLOOK

NORDIC FIBREBOARD LTD

Demand  for  fibreboards  continue  to  be  strong, reflecting the growth in the
building  material  market,  as  well  as  the  growing  awareness  of the green
credentials of soft density fibreboards, as produced by Nordic Fibreboard Ltd.

Management  is working  on preparing  the Pärnu  based factory's boiler house to
meet the new emission requirements coming into force in 2024.

Preparations is also being undertaken in upgrading the company's second factory,
located  in Püssi, so that the  factory's technical capabilities is adequate for
possible restarting of the factory. The factory's main energy source is gas, and
the  current  high  gas  prices  is  therefore  making it untenable to consider
restarting this factory in the near future.

PÄRNU RIVERSIDE DEVELOPMENT

Management  is considering the future of  its real estate development subsidiary
Pärnu  Riverside Development, and has entered into an agreement with a brokerage
firm whereby possible disposal of this subsidiary is being considered.

PEOPLE

On  the 30th of  September 2021, the  Group employed  93 people (compared to 99
people  as of 30.09.2020). The average number of personnel in Q3 2021 was 90 (Q3
2020: the average number of personnel was 94).

For nine months of 2021, wages and salaries with taxes amounted to EUR 1.5 million
(nine  months 2020: EUR 1.6 million). Payments made to management board members of
all  group companies including all subsidiaries  with relevant taxes were EUR 166
thousand during 9M 2021 and EUR 158 thousand during 9M 2020.

FINANCIAL HIGHLIGHTS

 EUR thousand
                                  |          |                     |
 Income statement                 |   Q3 2021|   Q3 2020    9M 2021|   9M 2020
----------------------------------+----------+----------+----------+----------
 Revenue                          |     2,334|     2,512|     7,757|     8,197
----------------------------------+----------+----------+----------+----------
 EBITDA                           |       356|       366|     1,341|       403
----------------------------------+----------+----------+----------+----------
 EBITDA margin                    |       15%|       15%|       17%|        5%
----------------------------------+----------+----------+----------+----------
 Operating profit                 |       232|       231|       962|      (19)
----------------------------------+----------+----------+----------+----------
 Operating margin                 |       10%|        9%|       12%|      (0%)
----------------------------------+----------+----------+----------+----------
 Net profit                       |        73|       183|     1,229|     (158)
----------------------------------+----------+----------+----------+----------
 Net margin                       |        3%|        7%|       16%|      (2%)
                                  |          |          |          |

                                  |          |          |          |
 Statement of financial position  |30.09.2021|31.12.2020|30.09.2020|31.12.2019
----------------------------------+----------+----------+----------+----------
 Total assets                     |     8,301|     7,650|     7,753|     9,045
----------------------------------+----------+----------+----------+----------
 Return on assets                 |       15%|       14%|      (2%)|     (12%)
----------------------------------+----------+----------+----------+----------
 Equity                           |     3,878|     2,648|     1,414|     1,542
----------------------------------+----------+----------+----------+----------
 Return on equity                 |       32%|       41%|     (11%)|     (73%)
----------------------------------+----------+----------+----------+----------
 Debt-to-equity ratio             |       53%|       65%|       82%|       83%
                                  |          |          |          |

                                  |          |          |          |
 Share                            |30.09.2021|31.12.2020|30.09.2020|31.12.2019
----------------------------------+----------+----------+----------+----------
 Last Price*                      |      2.20|      0.45|      0.40|      0.41
----------------------------------+----------+----------+----------+----------
 Earnings per share               |      0.55|      0.24|    (0.05)|    (0.31)
----------------------------------+----------+----------+----------+----------
 Price-earnings ratio             |      4.02|      1.89|    (7.79)|    (1.32)
----------------------------------+----------+----------+----------+----------
 Book value of a share            |      0.86|      0.59|      0.31|      0.34
----------------------------------+----------+----------+----------+----------
 Market to book ratio             |      2.55|      0.76|      1.28|      1.20
----------------------------------+----------+----------+----------+----------
 Market capitalization, EUR thousand|     9,898|     2,025|     1,809|     1,845
----------------------------------+----------+----------+----------+----------
 Number of shares, piece          | 4,499,061| 4,499,061| 4,499,061| 4,499,061

EBITDA = Earnings before interest, taxes, depreciation and amortization
EBITDA margin = EBITDA / Revenue
Operating margin = Operating profit / Revenue
Net margin = Net profit / Revenue
Return on assets = Net profit / Total assets
Return on equity = Net profit / Equity
Debt-to-equity ratio = Liabilities / Total assets
Earnings per share = Trailing twelve months (TTM) net profit / Total shares
Price-earnings ratio = Last price / Earnings per share
Book value of a share = Equity / Total shares
Market to book ratio = Last price / Book value of a share
Market capitalization = Last price * Total shares
*http://www.nasdaqbaltic.com/



Consolidated statement of financial positions

 EUR thousand                                  |30.09.2021|31.12.2020|30.09.2020
---------------------------------------------+----------+----------+----------
 Cash and cash equivalents                   |       204|        26|         4
---------------------------------------------+----------+----------+----------
 Receivables and prepayments (Note 2)        |     1,118|       794|     1,008
---------------------------------------------+----------+----------+----------
 Inventories (Note 3)                        |       390|       544|       410
---------------------------------------------+----------+----------+----------
 Total current assets                        |     1,712|     1,364|     1,423
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Investment property (Note 4)                |     1,139|     1,134|     1,126
---------------------------------------------+----------+----------+----------
 Available-for-sale financial assets (Note 7)|       805|       451|       418
---------------------------------------------+----------+----------+----------
 Property, plant and equipment (Note 5)      |     4,642|     4,695|     4,777
---------------------------------------------+----------+----------+----------
 Intangible assets (Note 6)                  |         3|         6|        10
---------------------------------------------+----------+----------+----------
 Total non-current assets                    |     6,589|     6,286|     6,331
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 TOTAL ASSETS                                |     8,301|     7,650|     7,753
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Borrowings (Notes 8)                        |        36|       756|     4,436
---------------------------------------------+----------+----------+----------
 Payables and prepayments (Notes 9)          |     1,002|     1,574|     1,674
---------------------------------------------+----------+----------+----------
 Short-term provisions (Note 10)             |         4|        18|         4
---------------------------------------------+----------+----------+----------
 Total current liabilities                   |     1,042|     2,348|     6,114
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Long-term borrowings (Notes 8)              |     3,220|     2,493|        47
---------------------------------------------+----------+----------+----------
 Long-term provisions (Note 10)              |       161|       161|       179
---------------------------------------------+----------+----------+----------
 Total non-current liabilities               |     3,381|     2,654|       226
---------------------------------------------+----------+----------+----------
 Total liabilities                           |     4,424|     5,002|     6,340
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Share capital (at nominal value) (Note 11)  |       450|       450|       450
---------------------------------------------+----------+----------+----------
 Other reserves                              |         0|         0|       114
---------------------------------------------+----------+----------+----------
 Retained earnings (loss)                    |     3,428|     2,198|       850
---------------------------------------------+----------+----------+----------
 Total equity                                |     3,878|     2,648|     1,414
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 TOTAL LIABILITIES AND EQUITY                |     8,301|     7,650|     7,753

*The notes to the financial statements presented on pages 14 to 25 are an
integral part of these consolidated financial statements

Consolidated statement of profit or loss and other comprehensive income

  EUR thousand                           | Q3 2021 | Q3 2020 | 9M 2021 | 9M 2020
---------------------------------------+---------+---------+---------+---------
  Revenue (Note 13)                    |   2,334 |   2,512 |   7,757 |   8,197
---------------------------------------+---------+---------+---------+---------
  Cost of goods sold (Note 14)         |   1,721 |   1,892 |   5,451 |   6,508
---------------------------------------+---------+---------+---------+---------
  Gross profit                         |     613 |     620 |   2,306 |   1,689
---------------------------------------+---------+---------+---------+---------
                                       |         |         |         |
---------------------------------------+---------+---------+---------+---------
  Distribution costs (Note 15)         |     251 |     282 |     891 |   1,015
---------------------------------------+---------+---------+---------+---------
  Administrative expenses (Note 16)    |     131 |     126 |     445 |     430
---------------------------------------+---------+---------+---------+---------
  Other operating income (Note 18)     |       2 |      22 |       5 |      24
---------------------------------------+---------+---------+---------+---------
  Other operating expenses (Note 18)   |       1 |       3 |      13 |     287
---------------------------------------+---------+---------+---------+---------
  Operating profit (loss)              |     232 |     231 |     962 |    (19)
---------------------------------------+---------+---------+---------+---------
                                       |         |         |         |
---------------------------------------+---------+---------+---------+---------
  Finance income (Note 19)             |       0 |       4 |     354 |      21
---------------------------------------+---------+---------+---------+---------
  Finance costs (Note 19)              |     159 |      52 |      87 |     160
---------------------------------------+---------+---------+---------+---------
  Profit (loss) before income tax      |      73 |     183 |   1,229 |   (158)
---------------------------------------+---------+---------+---------+---------
                                       |         |         |         |
---------------------------------------+---------+---------+---------+---------
  Net profit (loss) for the period     |      73 |     183 |   1,229 |   (158)
---------------------------------------+---------+---------+---------+---------
                                       |         |         |         |
---------------------------------------+---------+---------+---------+---------
  Basic earnings per share (Note 12)   |    0.02 |    0.04 |    0.27 |  (0.04)
---------------------------------------+---------+---------+---------+---------
  Diluted earnings per share (Note 12) |    0.02 |    0.04 |    0.27 |  (0.04)

*The  notes  to  the  financial  statements  presented  on pages 14 to 25 are an
integral part of these consolidated financial statements.

TORFINN LOSVIK
Chairman of the board
Phone: +372 56 99 0988
[email protected]
(https://www.globenewswire.com/Tracker?data=oWYt5q587rFKPou8I4lCg9BNj6ijALYfGCyL
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