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Aktsiaseltsi Infortar 2024. aasta auditeerimata konsolideeritud teise kvartali tulemused

Teade

Infortar korraldab täna kõikidele huvilistele 2. kvartali 2024 tulemusi
tutvustava veebiseminari. Veebiseminariga ühinemiseks palume kasutada järgmiseid
linke:

5. augustil kell 12.00 eestikeelne veebiseminar
(https://teams.microsoft.com/dl/launcher/launcher.html?url=%2F_%23%2Fl%2Fmeetup-
join%2F19%3Ameeting_NDQ5Y2VhZTMtMDI2Zi00NTgxLWJhZDctZTdmZWJlM2JiN2Fj%40thread.v2
%2F0%3Fcontext%3D%257B%2522Tid%2522%253A%252286359415-f0d5-4ea5-bb32-
42128c4493be%2522%252C%2522Oid%2522%253A%252226d1c5dd-51b3-421e-a54d-
7d4596848888%2522%252C%2522IsBroadcastMeeting%2522%253Atrue%252C%2522role%2522%2
53A%2522a%2522%257D%26btype%3Da%26role%3Da%26anon%3Dtrue&type=meetup-
join&deeplinkId=155c6d3a-47aa-4889-bee3-
75e7d2056f7a&directDl=true&msLaunch=true&enableMobilePage=true&suppressPrompt=tr
ue)

5. augustil kell 14.00 ingliskeelne veebiseminar
(https://teams.microsoft.com/dl/launcher/launcher.html?url=%2F_%23%2Fl%2Fmeetup-
join%2F19%3Ameeting_ZDcyM2FiODktMzhhZC00YmExLTk3YjItMGJkM2VlNzcxMjI0%40thread.v2
%2F0%3Fcontext%3D%257B%2522Tid%2522%253A%252286359415-f0d5-4ea5-bb32-
42128c4493be%2522%252C%2522Oid%2522%253A%252226d1c5dd-51b3-421e-a54d-
7d4596848888%2522%252C%2522IsBroadcastMeeting%2522%253Atrue%252C%2522role%2522%2
53A%2522a%2522%257D%26btype%3Da%26role%3Da%26anon%3Dtrue&type=meetup-
join&deeplinkId=389b61dd-d3f6-
43ec-838e-2a6cf1d81d89&directDl=true&msLaunch=true&enableMobilePage=true&suppres
sPrompt=true)

Infortari müügimahud kasvasid esimesel poolaastal 40 protsenti, ettevõtte
müügitulu ulatus 576 miljoni euroni ja puhakasum 73 miljoni euroni. Infortari
varade väärtus jõudis 1,5 miljardi euroni ja investeeringud 41 miljoni euroni.

"Oleme esimesel poolaastal Soome ja Balti energeetikaturul oma positsioone
kindlustanud, turgu juurde võtnud, müüki kasvatanud ja mahuteid järgmiseks
hooajaks täitnud - meie baasnäitajad on tugevad ja likviidsuspositsioon
soliidne, mis annab meile korraliku platvormi oma investeeringute jätkamiseks,"
märkis Infortari juhatuse esimees Ain Hanschmidt.

"Infortari peamiste investeeringute tulemused on tugevalt seotud sesoonsusega -
energeetika näitab kõrgeid numbreid külmal perioodil, seevastu laevareisijate
arv on tipus suvel," lausus Hanschmidt.

Infortar investeeris käesoleva aasta esimesel poolaastal 41,3 miljonit eurot.
Ettevõte suurendas oma osalust Tallinkis 46,8 protsendini, soetas Pärnumaa
Halinga piimafarmi enamusosaluse ning avas Lätis Nicas päikesepargi. Fookuses
oli tegevuse laiendamine Poolas ja Saksamaal ning gaasi hulgiturule juurdepääsu
loomine Hollandis ja Belgias. RIMI logistikakeskuse ning Pärnu uue silla
ehitused on edenenud vastavalt graafikule.

Infortarile kuuluv Soome ja Balti piirkonna suurim erakapitalil energiafirma
Eesti Gaas (välisturgudel Elenger) suurendas müügimahtu võrreldes möödunud aasta
poolaastaga 40 protsenti, kokku 10 TWh-ni. Ettevõtte gaasimüügi turuosa Soome-
Balti turul ulatub 25,4 protsendini.

Tallinki reisijate arv Helsingi liinil on eelmise aastaga võrreldes kasvanud,
samas inimeste liikumine Soome ja Rootsi vahel jäi eelmise aasta sama perioodiga
mõnevõrra vähemaks. Juunis teatas Infortar Tallinki aktsionäridele
vabatahtlikust ülevõtmispakkumisest. Pakkumine on suunatud kõigile investoritele
ning toob turule täiendavat likviidsust, andes väljumisvõimaluse ka neile,
kellel tavaolukorras oleks börsil oma osalust keerulisem realiseerida.

Infortari omakapital ulatus käesoleva aasta 30. juuni seisuga 840 miljoni euroni
ja varade maht 1,5 miljardi euroni. Võrreldes möödunud aasta kuue kuu tulemusega
on Infortari EBITDA ja puhaskasum 11 miljoni euro võrra vähenenud, 2024 6 kuu
EBITDA oli 76 miljonit eurot ja kasum puhaskasum 73 miljonit eurot.

+-----------------------+-----------+-----------+---------------+--------------+
|Tähtsamad              |6 kuud 2024|6 kuud 2023|2. kvartal 2024|2. kvartal    |
|finantsnäitajad ja     |           |           |               |2023          |
|suhtarvud              |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Müügitulu (tuhandetes  |576 139    |560 352    |203 555        |212 872       |
|eurodes)               |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Brutokasum (tuhandetes |53 089     |88 351     |3 085          |22 346        |
|eurodes)               |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|EBITDA (tuhandetes     |75 510     |86 571     |1 506          |34 011        |
|eurodes)               |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|EBITDA marginaal (%)   |13%        |15%        |0,7%           |16%           |
+-----------------------+-----------+-----------+---------------+--------------+
|Ärikasum (-kahjum)     |63 395     |80 427     |-4 229         |30 748        |
|(EBIT) (tuhandetes     |           |           |               |              |
|eurodes)               |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Aruandeaasta kasum/    |73 017     |83 683     |10 955         |36 906        |
|kahjum (tuhandetes     |           |           |               |              |
|eurodes)               |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Puhaskasum aktsia kohta|3,6        |4,1        |0,5            |1,8           |
|(eurodes)*             |           |           |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Omakapital             |840 216    |575 783    |               |              |
+-----------------------+-----------+-----------+---------------+--------------+
|Kohustised             |448 387    |300 217    |               |              |
+-----------------------+-----------+-----------+---------------+--------------+

*Kasum aktsia kohta on arvutatud kõikidel esitatud perioodidel järgmise valemi
alusel: aruandeaasta emaettevõtte omanikele kuuluv kasum jagatud 30.06.2024
seisuga emiteeritud aktsiate arvuga (6 kuud 2024 = (72 893*1000) / (21
166 239-945 000)= 3,6 eurot aktsia kohta). Aastatel 2023 ja 2024 on toimus
aktsia jagunemine ja uute aktsiate emiteerimine, võrreldavuse huvides
kasutatakse valemis iga kord hetkel kehtivat aktsiate arvu.

Müügitulu

2024. majandusaasta esimesel poolaastal suurenes kontserni konsolideeritud
müügitulu 15,8 miljoni euro võrra 576,14 miljoni euroni (2023 konsolideeritud
müügitulu esimesel poolaastal 560,35). Olulist positiivset mõju avaldas
piirkondliku gaasimüügi turuosa kasv 25,4 protsendini, mis võimaldas müügitulu
võrreldes eelneva aastaga suurendada.

EBITDA ja segmendiaruandlus

Energeetikasegmendi esimese poolaasta EBITDA oli 2024. majandusaasta esimeses
kvartalis 73 miljonit eurot (2023. majandusaasta esimesel poolaastal 82 miljonit
eurot).

Laevanduse segmendi EBITDA oli 2024. majandusaasta esimesel poolaastal oli 81
miljonit eurot (2023. majandusaasta esimeses kvartalis 96 miljonit eurot).
Infortar konsolideerib AS Tallink Grupp tulemused kapitaliosaluse meetodil, ehk
vastavalt oma osaluse protsendile AS-s Tallink Grupp, segmendiaruandluses on
vastavalt kehtivatele raamatupidamisreeglitele kajastatud 100% AS Tallink Grupp
tulemused (sealhulgas 100 protsenti EBITDA).

Kinnisvarasegmendis võetakse kasumlikkuse hindamisel arvesse eraldiseisvate
kinnisvara ettevõtete EBITDA. Kinnisvara EBITDA oli 2024. majandusaasta esimesel
poolaastal kvartalis 7 miljonit eurot (2023. majandusaasta esimesel poolaastal
6 miljonit eurot).

Puhaskasum

Konsolideeritud puhaskasum oli 2024. majandusaasta esimesel poolaastal 73
miljonit eurot (2023. majandusaasta esimesel poolaastal 84 miljonit eurot).

Finantseerimine

Laenu ja liisingkohustised olid 2024. majandusaasta esimesel poolaastal 448,4
miljonit eurot (2023. majandusaasta esimeses kvartalis 300,2 miljonit eurot).
Ettevõtte netovõlg vähenes 2023.a. lõpu seisuga võrreldes 90,9 miljonil võrra
263 miljonile, Netovõla ja EBITDA suhtarv on 2,1.

                                     +-----------------------------------------+
  Andmed esitatud tuhandetes eurodes | 2. kv     2.kv                          |
                                     |  2024     2023   6 kuud 2024 6 kuud 2023|
                                     +-----------------------------------------+
 Müügitulu                             203 555  212 872     576 139     560 352

 Müügikulu                            -200 420 -183 766    -522 993    -465 051

 Nõuete allahindlused                      -50   -6 760         -57      -6 950
                                     -------------------------------------------
 Brutokasum                              3 085   22 346      53 089      88 351
                                     -------------------------------------------
 Turustuskulud                            -423     -369        -838        -715

 Üldhalduskulud                         -7 018   -5 145     -14 256      -8 588

 Kasum (kahjum) bioloogilistelt
 varadelt                                  -27        0         -27           0

 Kahjum kinnisvarainvesteeringute
 õiglase väärtuse muutuses                   0        0         156           0

 Kasum (-kahjum)
 tuletisinstrumentidest                   -137   13 717      24 522         687

 Muud äritulud                             481      230       1 081         757

 Muud ärikulud                            -190      -31        -332         -65
                                     -------------------------------------------
 Ärikasum                               -4 229   30 748      63 395      80 427
                                     -------------------------------------------
 Kasum kapitaliosaluse meetodil
 arvestatud investeeringutelt           16 885   14 724      18 885      15 447

 Finantstulud ja - kulud

 Finantsinvesteeringute tulu/-kulu       2 738        0       2 738         -24

 Intressikulu                           -6 381   -4 529     -13 126      -8 484

 Intressitulu                            1 760    1 188       3 004       1 833

 Kasum-kahjum valuutakursi muutustest       -2       -8          -4        -137

 Muud finantstulud/-kulud                   -6        0          -2           0

 Finantstulud ja - kulud kokku          -1 891   -3 349      -7 390      -6 812
                                     -------------------------------------------
 Kasum enne maksustamist                10 765   42 123      74 890      89 062
                                     -------------------------------------------
 Ettevõtte tulumaks                        190   -5 217      -1 873      -5 379
                                     -------------------------------------------
 Aruandeaasta kasum/ -kahjum            10 955   36 906      73 017      83 683
                                     -------------------------------------------
 sealhulgas:

 Emaettevõtte omanikele kuuluv
 kasum/-kahjum                          10 921   36 906      72 983      83 888

 Vähemusosalusele kuuluv kasum/-
 kahjum                                     34        0          34        -205

 Muu koondkasum kokku*                                      -33 134     -69 667
                                                       -------------------------
 Aruandeaasta koondkasum/-kahjum
 kokku                                                       39 883      14 016
                                                       -------------------------
 sealhulgas:

 Emaettevõtte omanikele kuuluv
 kasum/-kahjum                                               39 849      14 221

 Vähemusosalusele kuuluv kasum/
 -kahjum                                                         34        -205

 Tavakasum aktsia kohta                                        3,61       13,32

 Lahustatud kasum aktsia kohta                                 3,48       13,17

*Mitterahalised tuletisinstrumentide ümberhindlused koondkasumites ei mõjuta AS-
i Eesti Gaasi ega Infortari põhiäritegevuse kasumlikkust ega rahavoo teenimise
võimet.

                                            +----------------------------------+
   Andmed esitatud tuhandetes eurodes       |                                  |
                                            +----------------------------------+
                  VARAD                     |30.06.24    30.06.23    31.12.2023|
                                            +----------------------------------+
 KÄIBEVARA

 Raha                                          185 243     136 026       87 115

 Lühiajalised finantsinvesteeringud                  1           1            0

 Lühiajalised tuletisinstrumendid                2 511      12 618       28 728

 Realiseerunud tuletisinstrumentide
 nõuded                                          1 316         365        5 958

 Nõuded ostjatele                               84 856      72 006      162 575

 Maksude ettemaksed                              1 014         951          925

 Muud nõuded ja ettemaksud                      11 285      13 066       20 185

 Ettemaksed varude eest                          4 288       1 238        3 493

 Varud                                         137 177     124 418      146 884

 Bioloogilised varad                               425           0            0
                                            ------------------------------------
 Käibevara kokku                               428 116     360 689      455 863
                                            ------------------------------------
 PÕHIVARA

 Investeeringud sidusettevõtetesse             386 702     315 434      346 014

 Pikajalised tuletisinstrumendid                 2 172       3 959        1 125

 Pikajalised laenud ja muud nõuded               7 418       9 892        9 072

 Kinnisvarainvesteeringud                      184 476     165 815      176 024

 Materiaalne põhivara                          456 339     151 780      446 748

 Immateriaalne põhivara                         14 624       9 054       14 366

 Kasutusõigusega vara                           12 498       9 384       11 300

 Bioloogiline vara                               2 797           0            0


                                            ----------- ------------------------
 Põhivara kokku                              1 067 026     665 318    1 004 649
                                            ----------- ------------------------
 VARAD KOKKU                                 1 495 142   1 026 007    1 460 512



        KOHUSTUSED JA OMAKAPITAL

 LÜHIAJALISED KOHUSTUSED

 Laenukohustised                               129 674     107 937      184 259

 Rendikohustised                                 1 734       1 136        1 766

 Võlad tarnijatele                              88 009      67 704       74 751

 Maksukohustused                                12 193      14 955       32 822

 Ostjate ettemaksed                                479       1 037        3 099

 Realiseerunud tuletisinstrumendid               7 081       6 200        1 463

 Muud lühiajalised kohustused                   11 367       4 783       10 851

 Lühiajalised tuletisinstrumendid               14 065          44        3 659
                                            ------------------------------------
 Lühiajalised kohustused kokku                 264 602     203 796      312 670
                                            ------------------------------------
 PIKAAJALISED KOHUSTUSED

 Pikaajalised eraldised                         10 371       7 492        8 399

 Edasilükkunud tulumaksukohustis                33 435      30 268       33 233

 Muud pikaajalised kohustused                   29 302      17 524       30 679

 Pikaajalised tuletisinstrumendid                  237           0          186

 Laenukohustised                               306 571     183 082      246 410

 Rendikohustised                                10 408       8 062        8 725
                                            ------------------------------------
 Pikaajalised kohustused kokku                 390 324     246 428      327 632
                                            ------------------------------------
 KOHUSTUSED KOKKU                              654 926     450 224      640 302

               OMAKAPITAL

 Aktsiakapital                                   2 117       1 985        2 105

 Omaaktsiad                                        -95         -95          -95

 Ülekurss                                       32 484           0       29 344

 Reservkapital                                     212         205          205

 Optsioonireserv                                 5 781       2 595        3 864

 Riskimaandamise reserv *                       -9 103      12 623       24 118

 Realiseerimata kursivahed                          48          20          -39

 Töösuhtejärgsete hüvitiste kohustuste
 reserv                                            -44           0          -44

 Jaotamata kasum                               728 559     474 015      466 140

 Aruandeaasta kasum                             72 983      83 888      293 778
                                            ------------------------------------
 Emaettevõtte omanikele kuuluv
 omakapital                                    832 942     575 236      819 376
                                            ------------------------------------


 Vähemusosalus                                   7 274         547          834
                                            ----------- ------------------------
 Omakapital kokku                              840 216     575 783      820 210
                                            ----------- ------------------------
 KOHUSTUSED JA OMAKAPITAL KOKKU              1 495 142   1 026 007    1 460 512

* tegemist on arvestusliku riskimaandamise positsiooni muutusega mis mõjutab
koondkasumi tulemust.

                                          +------------------------------------+
  Andmed esitatud tuhandetes eurodes      |6 kuud 2024   6 kuud 2023     2023  |
                                          +------------------------------------+
 Rahavood äritegevusest

 Aruandeaasta kasum                             73 017        83 683    293 830

              Korrigeerimised

 Põhivara kulum ja väärtuse langus              12 271         6 144     15 581

 Kinnisvarainvesteeringute väärtuse muutus        -156             0      4 074

 Kapitaliosaluse kasum/kahjum                  -18 885       -15 447    -39 639

 Tuletisinstrumentide väärtuse muutus           25 168        67 397     54 122

 Muud finantstulud/-kulud                           83        -1 792   -161 965

 Arvestatud intressikulud                       13 126         8 484     22 573

 Kasum/kahjum põhivarast                          -173           -31        -91

 Tuludes kajastatud sihtfinantseerimise
 tulu                                              -84          -313        784

 Arvestatud tulumaksukulu                        1 873         5 379      8 610

 Makstud tulumaks                               -1 672            -1       -267

 Äritegevusega seotud nõuete ja
 ettemaksete muutus                             91 407       151 608     54 540

 Varude muutused                                 9 606       -39 323    -61 914

 Äritegevusega seotud kohustuste muutus        -27 452       -35 529       -406

 Bioloogiliste varade muutus                       149             0          0
                                          --------------------------------------
 Kokku rahavood äritegevusest                  178 278       230 259    189 832
                                          --------------------------------------


 Rahavood investeerimistegevusest

 Tasutud sidusettevõtete ostul                 -21 822        -3 927    -10 314

 Tasutud tütarettevõtete ostul                  -5 401            -4   -103 414

 Antud laenude tagasimaksed                      1 932         5 844      6 652

 Laekunud intressid                              2 686         1 834      2 691

 Tasutud kinnisvarainvesteeringute
 soetamisel                                     -8 296        -5 275    -18 304

 Tasutud materiaalse ja immateriaalse
 põhivara soetamisel                            -8 213        -8 968    -18 143

 Laekunud kinnisvarainvesteeringute ja
 põhivara müügist                                  282            33       -252
                                          --------------------------------------
 Kokku rahavood investeerimistegevusest        -38 814       -10 463   -141 084
                                          --------------------------------------
 Rahavood finantseerimistegevusest

 Arvelduskrediidi muutus                       -15 513         7 499     14 348

 Saadud laene                                  107 712           900    287 606

 Saadud laenude tagasimaksed                   -92 357      -135 094   -312 846

 Rendikohustiste põhiosa tagasimaksed             -928          -922     -2 233

 Makstud intressid                             -13 070        -8 280    -22 224

 Makstud dividendid                            -30 332        -7 875    -15 750

 Laekunud aktsiate emiteerimisest                3 152             0     29 464
                                          --------------------------------------
 Kokku rahavood finantseerimistegevusest       -41 336      -143 772    -21 635
                                          --------------------------------------


 Rahavood kokku                                 98 128        76 024     27 113



 Raha ja raha ekvivalendid perioodi
 alguses                                        87 115        60 002     60 002

 Raha ja raha ekvivalendid perioodi lõpus      185 243       136 026     87 115

 Raha ja raha ekvivalentide muutus              98 128        76 024     27 113



Infortar tegutseb kuues riigis, ettevõtte peamised tegevusvaldkonnad on
energeetika, laevandus ja kinnisvara. Infortar omab 46,8 protsendi suurust
osalust AS-is Tallink Grupp, 100% osalust AS-is Eesti Gaas ning mitmekülgset ja
kaasaegset, ca 113 000 m2 suurust kinnisvaraportfelli. Lisaks kolmele
põhitegevusvaldkonnale tegutseb Infortar ka ehituse ja maavarade,
põllumajanduse, trükkimise, taksonduse ja muudes valdkondades. Kokku kuulub
Infortari kontserni 103 ettevõtet: 48 kontserni ettevõtet, 5 sidusettevõtet ja
50 sidusettevõtete tütarettevõtet. Arvestamata sidusettevõtteid annab Infortar
tööd 1344 inimesele.

Lisainfo:

Kadri Laanvee
AS Infortar investorsuhete juht
Tel. 5156662
E-mail: kadri.laanvee@infortar.ee
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EGa77ZXGZkkNiYtyhiE3yTtBxavpTbUYJP35Qp7er6berYs4SHis9i1)

Pealkiri

Aktsiaselts Infortar Unaudited Consolidated Interim Report for second quarter of 2024

Teade

Infortar will organize a webinar for introducing 2. quarter 2024 results today.
Please join the webinar via the following links:

5 May 2024 at 12:00 (EET) Estonian webinar
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In the first half of the year, Infortar's sales volumes increased by 40 percent,
reaching 576 million euros. The company's net profit amounted to 73 million
euros. The value of Infortar's assets reached 1.5 billion euros, and investments
totalled 41 million euros.

"In the first half of the year, we have strengthened our positions in the
Finnish and Baltic energy markets, gained additional market share, increased
sales, and filled gas storage capacities for the next season - our fundamental
indicators are strong and liquidity position is solid, this is a good platform
for continuing our investments," noted Infortar's Chairman of the Board, Ain
Hanschmidt.

"The results of Infortar's main investments are strongly linked with seasonality
- the energy sector delivers high numbers during the cold period, whereas
maritime transportation's passenger numbers peak in the summer," Hanschmidt
added.

In the first half of this year, Infortar invested 41.3 million euros. The
company increased its shareholding in Tallink by 4.5 percent to 46.8 percent,
acquired a majority shareholding in the Halinga farm in Pärnumaa, and
commissioned a solar park in Nica, Latvia. The focus is on expanding operations
in Poland and Germany, as well as gaining access to the wholesale gas market in
the Netherlands and Belgium. The construction of the RIMI logistics centre and
the new bridge in Pärnu have progressed according to planned schedule.

Infortar's subsidiary Eesti Gaas (Elenger in foreign markets), which is the
largest privately owned energy company in the region, increased its sales volume
by 40 percent compared to the same period last year, reaching a total of 10 TWh.
The company's gas sales market share in the Finnish-Baltic market stands at
25.4 percent.

The number of Tallink passengers on the Helsinki route has increased compared to
last year, while the number of travellers between Finland and Sweden has
decreased compared to the same period last year. In June, Infortar announced a
voluntary takeover offer to Tallink's shareholders. Although the offer applies
equally to all investors, it primarily enhances market liquidity, thereby
providing a potential exit opportunity for larger investors who might otherwise
face difficulties due to low trading volumes on the stock exchange.

As of June 30 of 2024, Infortar's equity amounted to 840 million euros, and its
total assets reached 1.5 billion euros. Compared to the results from the six-
month period last year, Infortar's EBITDA and net profit decreased by 11 million
euros. For the first six months of 2024, EBITDA was 76 million euros, and net
profit was 73 million euros.

+----------------------------------+-------------+-------------+-------+-------+
|KEY FIGURES OF FINANCIAL YEAR     |6 months 2024|6 months 2023|Q2     |Q2     |
|                                  |             |             |2024   |2023   |
+----------------------------------+-------------+-------------+-------+-------+
|Revenue (in thousands of EUR)     |576 139      |560 352      |203 555|212 872|
+----------------------------------+-------------+-------------+-------+-------+
|Gross profit (in thousands of EUR)|53 089       |88 351       |3 085  |22 346 |
+----------------------------------+-------------+-------------+-------+-------+
|EBITDA (in thousands of EUR)      |75 510       |86 571       |1 506  |34 011 |
+----------------------------------+-------------+-------------+-------+-------+
|EBITDA margin %                   |13%          |15%          |0,7%   |16%    |
+----------------------------------+-------------+-------------+-------+-------+
|Operating profit (in thousands of |63 395       |80 427       |-4 229 |30 748 |
|EUR)                              |             |             |       |       |
+----------------------------------+-------------+-------------+-------+-------+
|Net profit (in thousands of EUR)  |73 017       |83 683       |10 955 |36 906 |
+----------------------------------+-------------+-------------+-------+-------+
|Earnings per share (EUR)*         |3,6          |4,1          |0,5    |1,8    |
+----------------------------------+-------------+-------------+-------+-------+
|Total equity (in thousands of EUR)|840 216      |575 783      |       |       |
+----------------------------------+-------------+-------------+-------+-------+
|Total liabilities (in thousands of|448 387      |300 217      |       |       |
|EUR)                              |             |             |       |       |
+----------------------------------+-------------+-------------+-------+-------+

* Earnings per share have been calculated for all reported periods based on the
following formula: net profit for the reporting year divided by the number of
issued shares as of June 30, 2024 (6 months 2024 = (72´839 * 1,000) /
(21,166,239-945´000) = 3.6 euros per share). In 2023 and 2024, share splits and
the issuance of new shares occurred. For comparability purposes, the formula
uses the currently valid number of shares each time.

Sales Revenue

In the first half of the 2024 financial year, the group's consolidated sales
revenue increased by 15.8 million euros, reaching 576.14 million euros (compared
to 560.35 million euros in the first half of 2023). The significant positive
impact was due to the growth in the regional gas sales market share to 25.4
percent, which allowed for an increase in sales revenue compared to the previous
year.

EBITDA and Segment Reporting

Energy Segment: The EBITDA for the energy segment in the first half of the 2024
financial year was 73 million euros (compared to 82 million euros in the first
half of 2023).

Maritime transport Segment: The EBITDA for the maritime transport segment in the
first half of the 2024 financial year was 81 million euros (compared to 96
million euros in the first quarter of the 2023 financial year). Infortar
consolidates the results of AS Tallink Grupp using the equity method, meaning
that results of AS Tallink Grupp are reflected in the segment reporting
according to Infortar's ownership percentage in AS Tallink Grupp. In segment
reporting, 100% of AS Tallink Grupp results (including 100% EBITDA) are
accounted for in accordance with applicable accounting rules.

Real Estate Segment: The profitability assessment considers the EBITDA of
individual real estate companies. The EBITDA for the real estate segment in the
first half of the 2024 financial year was 7 million euros (compared to 6 million
euros in the first half of 2023).

Net Profit

The consolidated net profit for the first half of the 2024 financial year was
73 million euros (compared to 84 million euros in the first half of the 2023
financial year).

Financing

Loan and lease liabilities amounted to 448.4 million euros in the first half of
the 2024 financial year (compared to 300.2 million euros in the first quarter of
the 2023 financial year). The company's net debt decreased by 90.9 million euros
compared to the end of 2023, totalling 263 million euros. The net debt to EBITDA
ratio is 2.1.

                                           +-----------------------------------+
  Numbers presented in thousands of euros  |   Q2       Q2                     |
                                           |  2024     2023   6 m 2024 6 m 2023|
                                           +-----------------------------------+
 Sales Revenue                               203 555  212 872  576 139  560 352

 Cost of Sales                              -200 420 -183 766 -522 993 -465 051

 Impairment of Receivables                       -50   -6 760      -57   -6 950
                                           -------------------------------------
 Gross Profit                                  3 085   22 346   53 089   88 351
                                           -------------------------------------
 Marketing Expenses                             -423     -369     -838     -715

 General Administrative Expenses              -7 018   -5 145  -14 256   -8 588

 Profit (Loss) from Biological Assets            -27        0      -27        0

 Loss on Changes in Fair Value of
 Investment Properties                             0        0      156        0

 Profit (Loss) from Derivative Instruments      -137   13 717   24 522      687

 Other Operating Income                          481      230    1 081      757

 Other Operating Expenses                       -190      -31     -332      -65
                                           -------------------------------------
 Operating Profit                             -4 229   30 748   63 395   80 427
                                           -------------------------------------
 Profit from Investments Accounted for
 Using the Equity Method                      16 885   14 724   18 885   15 447

 Financial Income and Expenses

 Income from Financial Investments             2 738        0    2 738      -24

 Interest Expense                             -6 381   -4 529  -13 126   -8 484

 Interest Income                               1 760    1 188    3 004    1 833

 Profit (Loss) from Foreign Exchange Rate
 Changes                                          -2       -8       -4     -137

 Other Financial Income and Expenses              -6        0       -2        0

 Total Financial Income and Expenses          -1 891   -3 349   -7 390   -6 812
                                           -------------------------------------
 Profit Before Tax                            10 765   42 123   74 890   89 062
                                           -------------------------------------
 Corporate Income Tax                            190   -5 217   -1 873   -5 379
                                           -------------------------------------
 Profit (Loss) for the Reporting Period       10 955   36 906   73 017   83 683
                                           -------------------------------------
 Including:

 Profit (Loss) Attributable to Owners of
 the Parent Company                           10 921   36 906   72 983   83 888

 Profit (Loss) Attributable to Non-
 controlling Interests                            34        0       34     -205

 Other Comprehensive Income for the
 Reporting Period                                              -33 134  -69 667
                                                             -------------------
 Total Comprehensive income for the
 Reporting Period
 Including:                                                     39 883   14 016
                                                             -------------------
 Comprehensive Income (Loss) Attributable
 to Owners of the Parent Company                                39 849   14 221

 Comprehensive Income (Loss) Attributable
 to Non-controlling Interests                                       34     -205

 Basic Earnings per Share                                         3,61    13,32

 Diluted Earnings per Share                                       3,48    13,17



* The non-cash revaluations of derivative instruments in comprehensive income do
not affect the profitability or cash flow generating ability of AS Eesti Gaas or
Infortar's core business operations.

                                            +----------------------------------+
 Numbers presented in thousands of euros    |                                  |
                                            +----------------------------------+
                 ASSETS                     |30.06.24    30.06.23    31.12.2023|
                                            +----------------------------------+
 CURRENT ASSETS

 Cash                                          185 243     136 026       87 115

 Short-term Financial Investments                    1           1            0

 Short-term Derivative Instruments               2 511      12 618       28 728

 Receivables from Realized Derivative
 Instruments                                     1 316         365        5 958

 Receivables from Customers                     84 856      72 006      162 575

 Tax Prepayments                                 1 014         951          925

 Other Receivables and Prepayments              11 285      13 066       20 185

 Prepayments for Inventories                     4 288       1 238        3 493

 Inventories                                   137 177     124 418      146 884

 Biological Assets                                 425           0            0
                                            ------------------------------------
 Total Current Assets                          428 116     360 689      455 863
                                            ------------------------------------
 NON-CURRENT ASSETS

 Investments in Associates                     386 702     315 434      346 014

 Long-term Derivative Instruments                2 172       3 959        1 125

 Long-term Loans and Other Receivables           7 418       9 892        9 072

 Investment Properties                         184 476     165 815      176 024

 Property, Plant, and Equipment                456 339     151 780      446 748

 Intangible Assets                              14 624       9 054       14 366

 Right-of-use Assets                            12 498       9 384       11 300

 Biological Assets                               2 797           0            0


                                            ----------- ------------------------
 Total non-current assets                    1 067 026     665 318    1 004 649
                                            ----------- ------------------------
 TOTAL ASSETS                                1 495 142   1 026 007    1 460 512





 CURRENT LIABILITIES

 Loan Liabilities                              129 674     107 937      184 259

 Lease Liabilities                               1 734       1 136        1 766

 Payables to Suppliers                          88 009      67 704       74 751

 Tax Liabilities                                12 193      14 955       32 822

 Customer Prepayments                              479       1 037        3 099

 Realized Derivative Instruments                 7 081       6 200        1 463

 Other Short-term Liabilities                   11 367       4 783       10 851

 Short-term Derivative Instruments              14 065          44        3 659
                                            ------------------------------------
 Total Current Liabilities                     264 602     203 796      312 670
                                            ------------------------------------
 NON-CURRENT LIABILITIES

 Long-term Provisions                           10 371       7 492        8 399

 Deferred Income Tax Liability                  33 435      30 268       33 233

 Other Long-term Liabilities                    29 302      17 524       30 679

 Long-term Derivative Instruments                  237           0          186

 Loan liabilities                              306 571     183 082      246 410

 Lease liabilities                              10 408       8 062        8 725
                                            ------------------------------------
 TOTAL NON-CURRENT LIABILITIES                 390 324     246 428      327 632
                                            ------------------------------------
 TOTAL LIABILITIES                             654 926     450 224      640 302

                 EQUITY

 Share Capital                                   2 117       1 985        2 105

 Treasury Shares                                   -95         -95          -95

 Share Premium                                  32 484           0       29 344

 Statutory Reserve                                 212         205          205

 Option Reserve                                  5 781       2 595        3 864

 Hedging Reserve*                               -9 103      12 623       24 118

 Unrealized Exchange Differences                    48          20          -39

 Reserve for Post-employment Benefit
 Obligations                                       -44           0          -44

 Retained Earnings                             729 579     474 015      466 140

 Profit for the Reporting Period                72 983      83 888      293 778
                                            ------------------------------------
 Equity Attributable to Owners of the
 Parent Company                                832 942     575 236      819 376
                                            ------------------------------------

 Non-controlling Interests
                                                 7 274         547          834
                                            ----------- ------------------------
 TOTAL EQUITY                                  840 216     575 783      820 210
                                            ----------- ------------------------
 TOTAL EQUITY AND LIABILITIES                1 495 142   1 026 007    1 460 512

* This represents the change in the accounting hedging position, which affects
the comprehensive income result.



                                      +----------------------------------------+
  Numbers presented in thousands of   |                                        |
 euros                                |6 months 2024   6 months 2023     2023  |
                                      +----------------------------------------+
 Cash Flows from Operating Activities

 Profit for the Reporting Period              73 017          83 683    293 830

 Adjustments

 Depreciation and Impairment of Fixed
 Assets                                       12 271           6 144     15 581

 Change in Value of Investment
 Properties                                     -156               0      4 074

 Profit/Loss from Equity Investments         -18 885         -15 447    -39 639

 Change in Value of Derivative
 Instruments                                  25 168          67 397     54 122

 Other Financial Income/Expenses                  83          -1 792   -161 965

 Accrued Interest Expenses                    13 126           8 484     22 573

 Profit/Loss from Disposal of Fixed
 Assets                                         -173             -31        -91

 Income from Targeted Financing
 Recognized in Revenue                           -84            -313        784

 Accrued Income Tax Expense                    1 873           5 379      8 610

 Income Tax Paid                              -1 672              -1       -267

 Change in Receivables and Prepayments
 Related to Operating Activities              91 407         151 608     54 540

 Change in Inventories                         9 606         -39 323    -61 914

 Change in Liabilities Related to
 Operating Activities                        -27 452         -35 529       -406

 Change in Biological Assets                     149               0          0
                                      ------------------------------------------
 Total Cash Flows from Operating
 Activities                                  178 278         230 259    189 832
                                      ------------------------------------------


 Cash Flows from investing activities

 Payments for Purchase of Associates         -21 822          -3 927    -10 314

 Payments for Purchase of Subsidiaries        -5 401              -4   -103 414

 Repayments of Loans Granted                   1 932           5 844      6 652

 Interest Received                             2 686           1 834      2 691

 Payments for Acquisition of
 Investment Properties                        -8 296          -5 275    -18 304

 Payments for Acquisition of Property,
 Plant and other assets                       -8 213          -8 968    -18 143

 Proceeds from Sale of Investment
 Properties and Fixed Assets                     282              33       -252
                                      ------------------------------------------
 Total cash Flows from investing
 activities                                  -38 814         -10 463   -141 084
                                      ------------------------------------------
 Cash Flows from Financing Activities

 Change in Overdraft                         -15 513           7 499     14 348

 Loans Received                              107 712             900    287 606

 Repayments of Loans Received                -92 357        -135 094   -312 846

 Repayments of Principal Portion of
 Lease Liabilities                              -928            -922     -2 233

 Interest Paid                               -13 070          -8 280    -22 224

 Dividends Paid                              -30 332          -7 875    -15 750

 Proceeds from Issuance of Shares              3 152               0     29 464
                                      ------------------------------------------
 Total Cash Flows from Financing
 Activities                                  -41 336        -143 772    -21 635
                                      ------------------------------------------


 Total cash flows                             98 128          76 024     27 113



 Cash and Cash Equivalents at
 Beginning of Period                          87 115          60 002     60 002

 Cash and Cash Equivalents at End of
 Period                                      185 243         136 026     87 115

 Change in Cash and Cash Equivalents          98 128          76 024     27 113

Infortar operates in six countries, the company's main fields of activity are
energy, maritime transport, and real estate. Infortar owns a 46,8% stake in AS
Tallink Grupp, a 100% stake in AS Eesti Gaas and a versatile and modern real
estate portfolio of approx. 113,000 m2. In addition to the three main areas of
activity, Infortar also operates in construction and mineral resources,
agriculture, printing, taxi business and many other areas. A total of 103
companies belong to the Infortar group: 48 subsidiaries, 5 affiliated companies
and 50 subsidiaries of affiliated companies. Excluding affiliates, Infortar
employs 1,344 people.

Additional information:

Kadri Laanvee
Investor Relations Manager
e-mail: kadri.laanvee@infortar.ee (mailto:kadri.laanvee@infortar.ee)
phone: +372 5156662
https://infortar.ee/en/investor