Börsiteade

EfTEN Real Estate Fund AS

LEI kood

4851000008JBI71L7643

Emitendi suuruskategooria

Keskmise suurusega kontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Sektor(id)

Fondivalitseja

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Muud korporatiivtoimingud

Teate ID

9491

Esitamise kuupäev ja aeg

28.04.2022 08:00:00

Teate sisu eesti keeles

Pealkiri

EfTEN Real Estate Fund III AS 2022. aasta I kvartali auditeerimata majandustulemused

Teade

EfTEN Real Estate Fund III AS'i konsolideeritud 2022. aasta I kvartali müügitulu
oli  3,458 miljonit  eurot  (2021  I  kvartal:  2,867 miljonit  eurot), kasvades
aastaga  21%. Kontserni neto üüritulu  oli 2022. aasta I  kvartalis kokku 3,324
miljonit  eurot (2021: 2,770 miljonit eurot), kasvades 20%. Kontserni puhaskasum
samal perioodil oli 2,278 miljonit eurot (2021: 1,795 miljonit eurot).

2022. aasta  I kvartalis  teenis kontsern  kokku 3,284 miljonit  eurot üüritulu.
Võrreldavatel  alustel arvestatud  üüritulu oli  2022. aastal I  kvartalis kokku
3,084 miljonit  eurot, mis on 14% rohkem  kui 2021. aastal samal ajal. Covid-19
kriisiga  seotud allahindluseid tegi  kontsern 2022. aasta I  kvartalis kokku 3
tuhande  euro ulatuses  (2021 I  kvartal: 237 tuhande  euro ulatuses),  s.t ilma
nimetatud allahindlusteta oleks kontserni üüritulu 2022. aasta I kvartalis olnud
5,1% kõrgem.

Konsolideeritud  neto üüritulu marginaal oli  2022. aasta I kvartalis 96% (2021:
97%), seega  moodustasid  kinnistute  haldamisega  otseselt  seotud  kulud  (s.h
maamaks,  kindlustus,  hooldus-  ja  parenduskulud) ning turustuskulud 4% (2021:
3%) müügitulust.

Kontserni varade maht 31.03.2022 seisuga oli 177,293 miljonit eurot (31.12.2021:
176,401 miljonit eurot), s.h kinnisvarainvesteeringute õiglane väärtus moodustas
varade mahust 91%  (31.12.2021: 92%).

2022. aasta   märtsi   lõpu   seisuga   on   kontsernil   16 (31.12.2021:  sama)
ärikinnisvarainvesteeringut,  mille  õiglane  väärtus  bilansipäeval on 162,099
miljonit eurot (31.12.2021: 161,961 miljonit eurot) ning soetusmaksumus 147,771
miljonit eurot (31.12.2021: 147,633 miljonit eurot).

Fondi  tütarettevõte EfTEN Valkla  OÜ sõlmis märtsis  Harjumaal, Kuusalu vallas,
Valkla  külas,  Valklaranna  tee  36 asuva  kinnistu  omandamiseks võlaõigusliku
lepingu. Fond kavandab hooldekodu hoone ümberehitust u?ldhooldekoduks, mis võiks
tulevikus   mahutada  kuni  250 klienti.  Hooldekodu  hooneid  jääb  pikaajalise
üürilepingu  alusel  kasutama  Südamekodud  AS-i  100%-line tütarettevõte Valkla
Südamekodu   OÜ.   Renoveerimistööd   viiakse  läbi  etapiviisiliselt.  Kinnistu
müügihind  on 2 005 tuhat eurot, mis  tasutakse asjaõiguslepingu sõlmimisel ning
lisaks  kohustub fondi  tütarettevõte tegema  investeeringuid mahus  kuni 2 000
tuhat   eurot.   Kinnistu   ostu   ja   investeeringuid  finantseeritakse  fondi
omavahendite  arvel. Tehingu  lõpule viimiseks  s.t kinnistu omandi üleandmiseks
asjaõiguslepingu sõlmimine on kavandatud hiljemalt aprilli lõpuks.

Fondi  tütarettevõtja EfTEN Ermi OÜ sõlmis  märtsis Tartumaal Tartu vallas, Tila
külas,  Ermi  tn  13 asuva  hoonestusõiguse, omandamiseks võlaõigusliku lepingu.
Fond  kavandab  hoonestusõiguse  alusel  kasutatavale  maale  rajada  hooldekodu
minimaalselt  kuni 120-le kliendile. Hoonestusõiguse  tähtaeg on 50 aastat, mida
võib  maaomanikuga kokkuleppel  pikendada kuni  99 aastani. Käesolevaks ajaks ei
ole  ehitushanget  korraldatud  ja  see  on  kavas  läbi  viia  asjaõiguslepingu
sõlmimise  järgselt.  Kinnisasjale  hooldekodu  ehitamise  järgselt  võtab selle
pikaajalise  üürilepingu alusel üürile  Südamekodud AS-i 100%-line tütarettevõte
Tartu   Südamekodu   OÜ.   Hoonestusõiguse   müügihind   on   233 tuhat   eurot.
Hoonestusõiguse  ostu  ja  investeeringuid  finantseeritakse  fondi omavahendite
arvel.   Tehingu   lõpule  viimiseks  s.t  hoonestusõiguse  omandi  üleandmiseks
asjaõiguslepingu sõlmimine on kavandatud hiljemalt aprilli lõpuks.

Järgmise  12 kuu jooksul lõppevad kontserni kolme tütarettevõtte - EfTEN Seljaku
OÜ,  EfTEN  Laagri  OÜ  ning  EfTEN  Piepilsetas  SIA  laenulepingud, mille jääk
31.03.2022 seisuga  on kokku 7 092 tuhat eurot.  Lõppevate laenulepingute LTV on
32%-39% ning  kinnisvarainvesteeringud omavad stabiilselt tugevat üürirahavoogu,
mistõttu  kontserni  juhtkonna  hinnangul  ei  teki  laenulepingute pikendamisel
eelduslikult takistusi.

Kontserni   laenulepingute   kaalutud   keskmine  intressimäär  (s.h  arvestades
intressiswapi lepinguid) on märtsi lõpu seisuga 2,3% (31.12.2021: sama) ning LTV
(Loan    to   Value)   43% (31.12.2021:   44%). Enamus   fondi   tütarettevõtete
laenulepingutest  on seotud ujuva intressimääraga  ning vaid üks laen (moodustab
2% laenuportfellist)   on   fikseeritud  baasintressimääraga.  Ühe  laenulepingu
intressmäära  tõusu riski maandamiseks  on sõlmitud intressimäära vahetusleping,
mis lõpeb 2023. aastal.

EfTEN  Real  Estate  Fund  III  AS'i  aktsia  puhasväärtus  (EPRA  NDV)  seisuga
31.03.2022 oli 19,55 eurot (31.03.2021: 17,35 eurot). EfTEN Real Estate Fund III
AS´i   aktsia   puhasväärtus   kasvas  2021. aasta  I  kvartalis  12,7% (2021  I
kvartal:2,5%).

KONSOLIDEERITUD KOONDKASUMIARUANNE

                                       I kvartal
                                   ----------------
  EUR tuhandetes                        2022    2021
---------------------------------------------------
  Müügitulu                          3 458   2 867
---------------------------------------------------
  Müüdud teenuste kulu                 -60     -66
---------------------------------------------------
  Brutokasum                         3 398   2 801
---------------------------------------------------

---------------------------------------------------
  Turustuskulud                        -74     -31
---------------------------------------------------
  Üldhalduskulud                      -455    -384
---------------------------------------------------
  Muud äritulud ja -kulud               26       3
---------------------------------------------------
  Ärikasum                           2 895   2 389
---------------------------------------------------

---------------------------------------------------
  Muud finantstulud ja -kulud         -362    -421
---------------------------------------------------
  Kasum enne tulumaksu               2 533   1 968
---------------------------------------------------

---------------------------------------------------
  Tulumaksukulu                       -255    -173
---------------------------------------------------
  Aruandeperioodi koondkasum kokku   2 278   1 795
---------------------------------------------------
  Kasum aktsia kohta
---------------------------------------------------
  - tava                              0,45    0,43
---------------------------------------------------
  - lahustatud                        0,45    0,43
---------------------------------------------------

KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

                                    31.03.2022   31.12.2021
------------------------------------------------------------
  EUR tuhandetes
------------------------------------------------------------
  VARAD
------------------------------------------------------------
  Raha ja raha ekvivalendid             13 751       13 074
------------------------------------------------------------
  Nõuded ja viitlaekumised               1 255          876
------------------------------------------------------------
  Ettemakstud kulud                         53          314
------------------------------------------------------------
  Varud                                      0           29
------------------------------------------------------------
  Käibevara kokku                       15 059       14 293
------------------------------------------------------------

------------------------------------------------------------
  Pikaajalised nõuded                        8            4
------------------------------------------------------------
  Kinnisvarainvesteeringud             162 099      161 961
------------------------------------------------------------
  Materiaalne põhivara                     125          140
------------------------------------------------------------
  Immateriaalne põhivara                     2            3
------------------------------------------------------------
  Põhivara kokku                       162 234      162 108
------------------------------------------------------------
  VARAD KOKKU                          177 293      176 401
------------------------------------------------------------

------------------------------------------------------------
  KOHUSTUSED JA OMAKAPITAL
------------------------------------------------------------
  Laenukohustused                       10 244        7 645
------------------------------------------------------------
  Tuletisinstrumendid                       56          121
------------------------------------------------------------
  Võlad ja ettemaksed                      722        1 349
------------------------------------------------------------
  Lühiajalised kohustused kokku         11 022        9 115
------------------------------------------------------------

------------------------------------------------------------
  Laenukohustused                       59 949       63 440
------------------------------------------------------------
  Muud pikaajalised võlad                1 007          987
------------------------------------------------------------
  Edasilükkunud tulumaksukohustus        6 123        5 945
------------------------------------------------------------
  Pikaajalised kohustused kokku         67 079       70 372
------------------------------------------------------------
  Kohustused kokku                      78 101       79 487
------------------------------------------------------------

------------------------------------------------------------
  Aktsiakapital                         50 725       50 725
------------------------------------------------------------
  Ülekurss                              16 288       16 288
------------------------------------------------------------
  Kohustuslik reservkapital              1 489        1 489
------------------------------------------------------------
  Jaotamata kasum                       30 690       28 412
------------------------------------------------------------
  Omakapital kokku                      99 192       96 914
------------------------------------------------------------
  KOHUSTUSED JA OMAKAPITAL KOKKU       177 293      176 401
------------------------------------------------------------

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

Teate sisu inglise keeles

Pealkiri

EfTEN Real Estate Fund III AS unaudited results for 1st quarter 2021

Teade

EfTEN  Real Estate Fund III  AS's consolidated revenue for  the first quarter of
2022 was 3.458 million euros (2021 I quarter: 2.867 million euros), increased by
21% compared  to  previous  year.  The  Group's  net  rental income in the first
quarter  of 2022 was 3.324 million euros  (2021: 2.770 million euros), increased
by 20% compared to previous year. The Group's net profit for the same period was
2.278 million euros (2021: 1.795 million euros).

In the first quarter of 2022 the Group's rental income amounted to 3.284 million
euros.  Rental income calculated on  a comparable basis in  the first quarter of
2022 totalled  3.084 million euros,  which is  14% more than  the same period in
2021. The  Group's discounts related to  the Covid-19 crisis totalled 3 thousand
euros  in the first quarter of 2022 (first quarter of 2021: 237 thousand euros),
i.e.,  without these discounts the Group's rental income in the first quarter of
2022 would have been 5.1% higher.

Consolidated  net rental  income margin  for the  first quarter of 2022 was 96%
(2021:  97%), so costs directly related to  property management (incl. land tax,
insurance,  maintenance and improvement costs) and marketing costs accounted for
4% (2021: 3%) of revenue.

The  Group's total  assets as  at 31.03.2022 amounted  for 177.293 million euros
(31.12.2021:  176.401 million  euros),  including  the  fair value of investment
properties forming 91% (31.12.2021: 92%) of the total assets.

As  of the end of March 2022 the Group has 16 (31.12.2021: same) commercial real
estate  investments, the fair  value of which  forms 162.099 million euros as of
balance  sheet date (31.12.2021: 161.961 million euros) and the acquisition cost
is 147.771 million euros (31.12.2021: 147.633 million euros).

In  March, EfTEN Valkla  OÜ, a subsidiary  of the Fund,  entered into a contract
under  the law of  obligations for the  acquisition of a  real estate located at
Valklaranna  road 36 in Valkla village, Harju  County. The fund plans to convert
the  nursing home building into a general  care home, which could accommodate up
to  250 clients in the  future. The buildings  of the care  home will be used by
Valkla  Südamekodu OÜ, a  100% subsidiary of Südamekodud  AS, on the  basis of a
long-term  lease agreement. Renovation  work will be  carried out in stages. The
sale  price of  the property  is 2,005 thousand  euros, which  will be paid upon
concluding  a real estate contract, and in  addition, the subsidiary of the fund
undertakes  to make investments in the amount of up to 2,000 thousand euros. The
purchase  will be  financed from  the fund's  equity. In  order to  complete the
transaction,  i.e. to transfer the ownership  of the real estate, the conclusion
of a real rights agreement is planned by the end of April at the latest.

In  March, EfTEN Ermi OÜ, a subsidiary of the Fund, entered a contract under the
law  of obligations for the  acquisition of the right  of superficies located at
Ermi  street 13 in Tartu  County, Tartu County.  The fund plans  to build a care
home  for a minimum of 120 clients on the land used on the basis of the building
right.  The term of the right of  superficies is 50 years, which can be extended
up  to  99 years  by  agreement  with  the  landowner.  To date, no construction
procurement  has been organized and it is  planned to carry it out after signing
the  real right  agreement. Following  the construction  of a  care home  on the
property,  Tartu Südamekodu OÜ, a 100% subsidiary  of Südamekodud AS, will lease
it  on the basis of a long-term lease  agreement. The sale price of the right of
superficies  is 233 thousand euros. The purchase of the right of superficies and
investments are financed from the fund's own resources. In order to complete the
transaction,  the  consent  of  Tartu  municipality,  the  conclusion of a lease
agreement and the consent of the Estonian Competition Authority are required.

During the next 12 months, the loan agreements of the Group's three subsidiaries
-  EfTEN Seljaku  OÜ, EfTEN  Laagri OÜ  and EfTEN  Piepilsetas SIA, with a total
balance  of 7,092 thousand euros  as of 31.03.2022, will  expire. The LTV of the
expiring  loan agreements  is 32% -39%  and the  real estate  investments have a
stable  strong  rental  cash  flow,  which  is  why,  according  to  the Group's
management, there are no expected obstacles to extending the loan agreements.

The  weighted average interest rate of the Group's loan agreements (incl. taking
into  account  interest  rate  swap  agreements)  at  the  end of March is 2.3%
(31.12.2021:  same) and LTV  (Loan to Value)  43% (31.12.2021: 44%). Most of the
loan  agreements of  the fund's  subsidiaries are  linked to a floating interest
rate  and only one  loan (accounting for  2% of the loan  portfolio) has a fixed
base  interest rate. In order  to hedge the risk  of an increase in the interest
rate  of one loan agreement,  an interest rate swap  agreement has been entered,
which expires in 2023.

The  net asset value of the share of EfTEN Real Estate Fund III AS (EPRA NDV) as
of  31.03.2022 was 19.55 euros (31.03.2021: 17.35 euros). The net asset value of
EfTEN  Real Estate Fund III AS increased  by 12.7% in the first quarter of 2021
(first quarter of 2021: 2.5%).

CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME

                                        1(st) quarter
                                      ----------------
  EUR thousands                            2022    2021
------------------------------------------------------
  Revenue                               3,458   2,867
------------------------------------------------------
  Cost of services sold                   -60     -66
------------------------------------------------------
  Gross profit                          3,398   2,801
------------------------------------------------------

------------------------------------------------------
  Marketing costs                         -74     -31
------------------------------------------------------
  General and administrative expenses    -455    -384
------------------------------------------------------
  Other operating income and expense       26       3
------------------------------------------------------
  Operating profit                      2,895   2,389
------------------------------------------------------

------------------------------------------------------
  Other finance income and expense       -362    -421
------------------------------------------------------
  Profit before income tax              2,533   1,968
------------------------------------------------------

------------------------------------------------------
  Income tax expense                     -255    -173
------------------------------------------------------
  Comprehensive income for the period   2,278   1,795
------------------------------------------------------
  Earnings per share
------------------------------------------------------
  - basic                                0.45    0.43
------------------------------------------------------
  - diluted                              0.45    0.43
------------------------------------------------------

CONSOLIDATED STATEMENT OF FINANCIAL POSITION

                                   31.03.2022   31.12.2021
-----------------------------------------------------------
  EUR thousands
-----------------------------------------------------------
  ASSETS
-----------------------------------------------------------
  Cash and cash equivalents            13,751       13,074
-----------------------------------------------------------
  Receivables and accrued income        1,255          876
-----------------------------------------------------------
  Prepaid expenses                         53          314
-----------------------------------------------------------
  Inventory                                 0           29
-----------------------------------------------------------
  Total current assets                 15,059       14,293
-----------------------------------------------------------

-----------------------------------------------------------
  Long-term receivables                     8            4
-----------------------------------------------------------
  Investment property                 162,099      161,961
-----------------------------------------------------------
  Property, plant, and equipment          125          140
-----------------------------------------------------------
  Intangible assets                         2            3
-----------------------------------------------------------
  Total non-current assets            162,234      162,108
-----------------------------------------------------------
  TOTAL ASSETS                        177,293      176,401
-----------------------------------------------------------

-----------------------------------------------------------
  LIABILITIES AND EQUITY
-----------------------------------------------------------
  Borrowings                           10,244        7,645
-----------------------------------------------------------
  Derivative instruments                   56          121
-----------------------------------------------------------
  Payables and prepayments                722        1,349
-----------------------------------------------------------
  Total current liabilities            11,022        9,115
-----------------------------------------------------------

-----------------------------------------------------------
  Borrowings                           59,949       63,440
-----------------------------------------------------------
  Other long-term liabilities           1,007          987
-----------------------------------------------------------
  Deferred income tax liability         6,123        5,945
-----------------------------------------------------------
  Total non-current liabilities        67,079       70,372
-----------------------------------------------------------
  Total liabilities                    78,101       79,487
-----------------------------------------------------------

-----------------------------------------------------------
  Share capital                        50,725       50,725
-----------------------------------------------------------
  Share premium                        16,288       16,288
-----------------------------------------------------------
  Statutory reserve capital             1,489        1,489
-----------------------------------------------------------
  Retained earnings                    30,690       28,412
-----------------------------------------------------------
  Total equity                         99,192       96,914
-----------------------------------------------------------
  TOTAL LIABILITIES AND EQUITY        177,293      176,401
-----------------------------------------------------------

Marilin Hein
CFO

Phone: 655 9515

E-mail: [email protected] (mailto:[email protected])