Börsiteade

aktsiaselts TALLINNA SADAM

LEI kood

25490093MDYISEP1Y539

Emitendi suuruskategooria

Suur kontsern

Majandustegevusalad

Elektrienergia, gaasi, auru ja konditsioneeritud õhuga varustamine, Veondus ja laondus

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Juhtkonna vaheteadaanne või kvartaalne finantsaruanne

Teate ID

16650

Esitamise kuupäev ja aeg

11.11.2024 07:00:09

Teate sisu eesti keeles

Pealkiri

ASi Tallinna Sadam 2024 9 kuu ja III kvartali majandustulemused

Teade

Tallinna Sadam teenis 9 kuuga 91 miljon eurot müügitulu ehk 2,5 % enam kui aasta
varem,  EBITDA 41 miljonit eurot  kasvas 5,4% ja kasum  oli 14,1% suurem ehk 15
miljonit  eurot. III  kvartali müügitulu  moodustas 31 miljonit  eurot (-0,7%),
EBITDA  13 miljonit eurot (-1,7%) ja kasum  ligi 6 miljon eurot (-6,5%). 9 kuuga
investeerisime  kokku  üle  33 miljoni  euro,  sealhulgas   8 miljonit eurot III
kvartalis.

?Kolmanda  kvartali tulemused kaubamahtude osas ületasid ootuseid," kommenteerib
juhatuse  esimees Valdo  Kalm. ?Kaubamahud  kasvasid kõikides  lastiliikides, ka
reisijate  arv on suurenenud.  Eriti hea meel  on laevakülastuste arvu tõusu üle
nii  kauba- kui reisilaevade osas, mis  annavad suurema osa meie tuludest. Käive
kasvas  nii  sadamate  kui  parvlaevade  valdkonnas.  Paraku  mõjutas muidu häid
tulemusi  Botnica  tehniline  rike,  mille  tõttu  lõppes koostöö BP Exploration
Operating  Company  Ltd'ga  oodatust  varem.  Samas  uue lepingu täitmine Põhja-
Kanadas  algas  tähtaegselt.  Septembris  allkirjastasime  mandri  ja suursaarte
vahelise   parvlaevade  opereerimisteenuste  lepingu  aastani  2033, mis pikemas
perspektiivis  tagab stabiilsuse ja jätkusuutlikkuse meie laevanduse valdkonnas.
Optimismi   lisavad   nii   Muuga  kui  Paldiski  sadamates  taastuvenergeetikat
puudutavate projektide arengud ja seonduvad läbirääkimised."

9 kuu  reisijate arv suurenes 3,2% (III  kvartalis 4,3%) ja kaubamahud 2,0% (III
kvartalis  7,2%), laevakülastuste arv  tõusis 0,4% võrra  (III kvartalis 5,9%).
Laevanduses  näitasid stabiilset  kasvu reisiparvlaevad  - reisijate  arv kasvas
1,6% (III  kvartalis 1,4%)  ja sõidukite  arv 3,0% (III kvartalis 3,0%). Botnica
prahipäevad  vähenesid  kolmandas  kvartalis  58%, samas  9 kuu lõikes jäid need
eelneva aastaga sarnasele tasemele.

Tallinna   Sadama  juhatus  tutvustab  kontserni  finantstulemusi  11. novembril
veebiseminaridel,   sh   kell   10.00 toimub  veebiseminar  eesti  keeles  (link
eestikeelsele          seminarile         (https://teams.microsoft.com/l/meetup-
join/19%3ameeting_ZDJiMTQ3NmItMjJlYS00MzhkLWEzOWYtOTU1ZjNjMDM3YjUw%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%2216aaa10d-0f16-4312-8940-581f83498a0b%22%7d)) ja
kell   11.00 toimub  seminar  inglise  keeles  (link  ingliskeelsele  seminarile
(https://teams.microsoft.com/l/meetup-
join/19%3ameeting_MzkyMDMwY2YtY2I5Ni00MjM5LTg3NGYtYjgwNTMxMzc4ZThh%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%2216aaa10d-0f16-4312-8940-581f83498a0b%22%7d)).

Vahearuandega seotud materjalid on lisatud käesolevale teatele ja on leitavad ka
kodulehel:
https://www.ts.ee/investor/vahearuanded/
https://www.ts.ee/investor/infomaterjalid/

Peamised finantsnäitajad (mln EUR):

                                III kv III kv   +/- 9 kuud 9 kuud    +/-

                                  2024   2023     %   2024   2023      %

 Müügitulu                        31,2   31,4 -0,7%   90,8   88,6   2,5%

 Korrigeeritud EBITDA             13,3   13,5 -1,7%   40,9   38,8   5,4%

 Korrigeeritud EBITDA marginaal  42,6%  43,0%  -0,4  45,0%  43,8%    1,2

 Ärikasum                          7,3    7,4 -2,4%   23,2   20,0  16,0%

 Tulumaks                          0,0    0,0   0,0    3,1    3,0   4,7%

 Perioodi kasum                    5,6    6,0 -6,5%   14,9   13,0  14,1%

 Investeeringud                    8,4    4,8   0,8   33,5   10,9 206,9%


                                    30.09.2024   31.12.2023     +/-

  Varade maht                            613,0        606,2    1,1%

  Intressi kandvad võlakohustused        183,7        173,4    5,9%

  Muud kohustused                         56,0         55,1    1,6%

  Omakapital                             373,3        377,7   -1,2%

  Aktsiate arv                           263,0        263,0    0,0%

Olulisemad sündmused III kvartalis:

  * Parvlaevateenuse lepingu sõlmimine perioodiks 2026-2033
  * EL rahastus Tallinna ja Helsingi sadamate ühisprojektile TWIN-PORT VI
  * Jäämurdja Botnica offshore leping BP Exploration Operating Company Ltd'ga
    lõppes planeeritust varem
  * Reisiparvlaev Regula lisandunud lisareisid 2024 suvel
  * Tallinna Sadama endiste juhtide osas kohtuotsuse vaidlustamine
  * OÜ MPG AgroProduction saneerimismenetluse lõpetamine ja pankrotiprotsessi
    jätkamine
  * Tagatiseta laenu lepingu sõlmimine Swedbankiga

Müügitulu
Müügitulu  kasvas  2024. aasta  9 kuuga  2,2 mln  eurot (+2,5%) 90,8 mln euroni.
Müügitulu  kasvu põhjusteks olid: suurem prahitasu jäämurdja Botnicalt, suuremad
tulud  Mandri-Eesti  ja  suursaarte  vahelisest  üleveoteenustest, kasvanud tulu
muude  teenuste müügist  ja ka  suurenenud renditulud.  Müügitulu liikide lõikes
tõusid  9 kuuga enim laeva  prahitasud, mis kasvasid  0,8 mln euro võrra (+8,9%)
9,5 mln  euroni. Kuigi jäämurdja Botnica prahipäevade arv oli sel aastal 9 kuuga
väiksem, siis prahitasud kasvasid, kuna projektipõhiste tööde päevatasu tariifid
olid  kõrgemad.  III  kvartalis  laeva  prahitasutulu võrreldes aasta varasemaga
langes,  tulenevalt lühemast prahiperioodist laeva tehniliste rikete tõttu. Tulu
üleveoteenuse  osutamisest kasvas  0,6 mln euro  võrra (+2,2%)  27,8 mln euroni.
Tulu   suurendas   eelkõige   suurem  toetus  valitsuselt  -  tulenevalt  tasude
indekseerimisest.  Reiside arv võrreldes aasta  varasemaga oluliselt ei muutunud
(+0,8%).  Tulu muudelt teenustelt kasvas 0,4 mln eurot, tulenevalt sellel aastal
Pakrineeme  sadamas  alanud  LNG  kai  opereerimisest,  suuremast  tulust seoses
reklaami  müügiga Vanasadamas  ning suurem  tulu toitlustamisteenuse osutamisest
jäämurdja  Botnical.  Renditulud  tõusid  0,3 mln  euro  võrra  (+3,1%) 10,7 mln
euroni.  Renditulud  kasvasid  kõikides  segmentides,  suuremal määral kauba- ja
reisisadamates,  tulenevalt  rendi  ja  hoonestusõiguse tasude indekseerimisest.
Reisijatasu  tulu  kasvas  0,3 mln  eurot  (+3,1%) 9,2 mln euroni. Reisijatasude
tulude kasv vastas reisijate arvu kasvule (+3,2%). Elektrienergia müügist saadav
tulu  kasvas 0,2 mln eurot (+7,3%) 3,4 mln euroni. Elektrienergia müügist saadav
tulu on kasvanud tänu suurenenud võrguteenuste müügikogustele ja hinnale, lisaks
on  suurenenud  nii  kaldaelektri  kui  ka  elektri  tarbimised.  Laevatasutulud
langesid  0,2 mln  euro  võrra  (-1,0%)  23,9 mln  euroni.  Laevatasude  languse
põhjuseks   on  suuremahuliste  tankerite  külastuste  arvu  langus  ning  kuigi
kruiisilaevade  külastatavus on  kasvanud, siis  on kruiisilaevad väiksema GT-ga
(gross  tonnage), mis toob ka madalamad tonnaazhitasutulud. Lisaks laevatasudele,
langesid ka kaubatasu tulud 0,2 mln euro võrra (-3,5%) 4,5 mln euroni. Kaubatasu
tulud  langesid vaatamata kaubamahtude tõusule osalt seetõttu, et vastavalt IFRS
15 standardile  korrigeeritakse  nende  operaatorite  kaubatasu tulusid, kellelt
saadavad kaubatasu tulud sõltuvad kogu aasta prognoositud kaubamahtudest. 2023.
aasta  9 kuuga korrigeeriti  kaubatasusid suuremas  ulatuses kui  2024. aasta 9
kuuga.

EBITDA
Korrigeeritud  EBITDA  suurenes  9 kuuga  2,1 mln  euro  võrra  (+5,4%) 40,9 mln
euroni.  Suurenesid  nii  kaubasadamate,  segmendi  muud  kui  ka  reisisadamate
segmendi  korrigeeritud EBITDA.  Reisiparvlaevade segmendi  korrigeeritud EBITDA
vähenes.  Kaubasadamate segmendi korrigeeritud  EBITDA kasvas, kuna tegevuskulud
vähenesid   (eelkõige   remondikulud)   ja  müügitulud  kasvasid.  Muu  segmendi
korrigeeritud   EBITDA   kasv   tuli   tänu   müügitulude  kasvule,  mis  ületas
tegevuskulude  ja tööjõukulude kasvu. III kvartalis vähenes korrigeeritud EBITDA
võrreldes  eelmise  aastaga  0,2 mln  eurot  (-1,7%), kuna langus segmendis muud
ületas  teiste segmentide kasve. Korrigeeritud EBITDA marginaal suurenes 9 kuuga
43,8%-lt 45,0%-le ja III kvartalis langes 43,0%-lt 42,6%-le.

Kasum
Kasum  enne  tulumaksu  kasvas  9 kuu  võrdluses 2,0 mln eurot (+12,4%) 18,0 mln
euroni.  Kasum kasvas ärikasumist vähem, kuna finantskulud (neto) kasvasid (+1,3
mln  eurot)  enam  kui  sidusettevõttest  Green  Marine kapitaliosaluse meetodil
arvestatud  tulemuse  tõus  0,1?mln euro  võrra.  2024. aasta II kvartalis välja
kuulutatud  dividendidega summas  19,2 mln eurot  kaasnes tulumaksu kulu 3,1 mln
eurot,  mis oli 0,1 mln euro võrra suurem eelmise aasta dividendide väljamaksega
kaasnevast  kulust. Dividendide suurus aastaga ei muutunud, kuid eelmisel aastal
vähendas  tulumaksu  kulu  edasilükkunud  tulumaksu  tühistamine  summas 0,1 mln
eurot.  9 kuu  kasum  tõusis  aasta  baasil 1,8?mln eurot (+14,1%). III kvartali
kasum oli 5,6 mln eurot (-0,4 mln eurot, -6,5%).

Investeeringud
2024. aasta  9 kuuga investeeris kontsern 33,5 mln eurot, mis oli 22,6 mln eurot
rohkem  kui aasta varem. 2024. aasta  9 kuu investeeringud olid seotud peamiselt
Paldiski  Lõunasadama  meretuuleparkide  hooldus-  ja  ehituskai rajamisega, kai
rekonstrueerimisega  Muuga sadamas,  Vanasadamas kai  rambi rekonstrueerimisega,
infosüsteemide   arendusega,  projekteerimistöödega,  reisiparvlaeva  korraliste
dokitöödega   ja   reisiparvlaevadele   seadmete   soetamisega.   III   kvartali
investeeringute summaks kujunes 8,4 mln eurot (2023. aasta III kvartalis 4,8 mln
eurot).

Lühendatud konsolideeritud finantsseisundi aruanne:

  tuhandetes  eurodes                   30.09.2024   31.12.2023
----------------------------------------------------------------
  VARAD

  Käibevara

  Raha ja raha ekvivalendid                 22 079       29 733

  Nõuded ostjate vastu ja muud nõuded       11 501       12 118

  Lepingulised varad                           417            0

  Varud                                        330          550

  Käibevara kokku                           34 327       42 401
----------------------------------------------------------------
  Põhivara

  Investeeringud sidusettevõttesse           2 667        2 177

  Muud pikaajalised nõuded                       0          163

  Kinnisvara investeeringud                 14 069       14 069

  Materiaalne põhivara                     559 727      545 271

  Immateriaalne põhivara                     2 229        2 083

  Põhivara kokku                           578 692      563 763
----------------------------------------------------------------
  Varad kokku                              613 019      606 164
----------------------------------------------------------------


  KOHUSTISED

  Lühiajalised kohustised

  Võlakohustised                            12 561       15 831

  Eraldised                                  1 153        1 311

  Sihtfinantseerimine                        7 612        7 344

  Maksuvõlad                                 1 413          876

  Võlad tarnijatele ja muud võlad            9 303        9 429

  Lepingulised kohustised                    1 737           63

  Lühiajalised kohustised kokku             33 779       34 854
----------------------------------------------------------------
  Pikaajalised kohustised

  Võlakohustised                           171 183      157 566

  Sihtfinantseerimine                       31 881       33 075

  Muud  võlad                                  107          255

  Lepingulised kohustised                    2 740        2 755

  Pikaajalised kohustised kokku            205 911      193 651
----------------------------------------------------------------
  Kohustised kokku                         239 690      228 505
----------------------------------------------------------------
  OMAKAPITAL

  Aktsiakapital                            263 000      263 000

  Ülekurss                                  44 478       44 478

  Kohustuslik reservkapital                 23 304       22 858

  Jaotamata kasum                           42 547       47 323

  Omakapital kokku                         373 329      377 659
----------------------------------------------------------------
  Kohustised ja omakapital kokku           613 019      606 164
----------------------------------------------------------------

Lühendatud konsolideeritud kasumiaruanne

 tuhandetes eurodes                     III kv 2024 III kv 2023 9k 2024 9k 2023
-------------------------------------------------------------------------------
 Müügitulu                                   31 214      31 426  90 797  88 615

 Muud tulud                                     398         371   1 164   1 231

 Tegevuskulud                               -11 651     -11 507 -30 951 -31 171

 Finantsvarade väärtuse langus                 -214        -403    -680    -806

 Tööjõukulud                                 -6 302      -6 254 -18 661 -18 229

 Põhivara kulum ja väärtuse langus           -6 087      -6 129 -18 207 -19 356

 Muud kulud                                     -90         -55    -262    -280

 Ärikasum                                     7 268       7 449  23 200  20 004
-------------------------------------------------------------------------------
 Finantstulud ja -kulud

 Finantstulud                                   203         330     703     916

 Finantskulud                                -2 158      -2 073  -6 400  -5 303

 Finantstulud ja -kulud kokku                -1 955      -1 743  -5 697  -4 387
-------------------------------------------------------------------------------
 Kapitaliosaluse meetodil arvestatud
 kasum investeeringutelt
 sidusettevõttesse                              265         258     491     396

 Kasum enne tulumaksustamist                  5 578       5 964  17 994  16 013
-------------------------------------------------------------------------------
 Tulumaksukulu                                    0           0  -3 125  -2 985

 Perioodi kasum                               5 578       5 964  14 869  13 028
-------------------------------------------------------------------------------
 Emaettevõtte omanike osa perioodi
 kasumist                                     5 578       5 964  14 869  13 028
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Tava ja lahjendatud puhaskasum aktsia
 kohta (eurodes)                               0,02        0,02    0,06    0,05
-------------------------------------------------------------------------------

Lühendatud konsolideeritud rahavoogude aruanne:

  tuhandetes eurodes                               9k 2024   9k 2023
---------------------------------------------------------------------


  Kaupade või teenuste müügist laekunud raha        99 181    94 692

  Muude tulude eest laekunud raha                       42       247

  Maksed tarnijatele                               -37 612   -38 900

  Maksed töötajatele ja töötajate eest             -17 787   -18 511

  Maksed muude kulude eest                            -224      -253

  Makstud tulumaks dividendidelt                    -3 325    -3 264

  Äritegevusest laekunud raha                       40 275    34 011
---------------------------------------------------------------------
  Materiaalse põhivara soetamine                   -33 118   -10 063

  Immateriaalse põhivara soetamine                    -479      -627

  Materiaalse põhivara müük                             17        28

  Saadud dividendid                                      0       357

  Saadud intressid                                     679       875

  Investeerimistegevuses kasutatud raha            -32 901    -9 430
---------------------------------------------------------------------
  Saadud laenud                                     20 000         0

  Saadud laenude tagasimaksed                       -9 583    -7 383

  Makstud dividendid                               -19 000   -19 012

  Makstud intressid                                 -6 427    -4 654

  Muud finantseerimistegevusest tulenevad maksed       -18        -7

  Finantseerimistegevuses kasutatud raha           -15 028   -31 056
---------------------------------------------------------------------
  RAHAVOOG KOKKU                                    -7 654    -6 475
---------------------------------------------------------------------
  Raha ja raha ekvivalendid perioodi alguses        29 733    44 387

  Raha ja raha ekvivalentide muutus                 -7 654    -6 475

  Raha ja raha ekvivalendid perioodi lõpus          22 079    37 912
---------------------------------------------------------------------

Tallinna  Sadamale  kuulub  üks  Läänemere  suurimaid  kauba-  ja  reisisadamate
komplekse.  Lisaks  reisijate  ja  kaubavedude  teenindamisele tegutseb ettevõte
laevanduse  ärivaldkonnas  läbi  oma  tütarettevõtete  -  OÜ TS Laevad korraldab
parvlaevaühendust  Eesti mandri ja  suursaarte vahel ning  OÜ TS Shipping osutab
multifunktsionaalse jäämurdjaga Botnica jäämurde ja konstruktsioonilaeva teenust
Eestis   ja   offshore   projektides.   Tallinna   Sadama   gruppi   kuulub   ka
jäätmekäitlusega tegelev sidusettevõte AS Green Marine.

Lisainfo:

Andrus Ait
Finantsjuht / juhatuse liige
Tel. +372 526 0735
E-post: [email protected] (mailto:[email protected])

Teate sisu inglise keeles

Pealkiri

AS Tallinna Sadam financial results for 2024 9 months and Q3

Teade

Tallinna  Sadam earned 91 million euros in  sales revenue in 9 months, 2.5% more
than  a  year  earlier,  EBITDA  of  41 million euros increased by 5.4%, and the
profit  was 14.1% higher - 15 million euros.  Sales revenue in the third quarter
was  31 million euros (-0.7%), EBITDA 13 million euros (-1.7%) and profit nearly
6 million  euros (-6.5%). In  9 months, we  invested a  total of over 33 million
euros, including 8 million euros in the third quarter.

"The   results  of  the  third  quarter  in  terms  of  cargo  volumes  exceeded
expectations," comments Valdo Kalm, the Chairman of the Management Board. "Cargo
volumes  increased in all types, the number of passengers has also increased. We
are  especially pleased with the increase in the number of ship visits, both for
cargo  and passenger  ships, which  account for  the majority  of port operating
revenues.  Turnover  increased  both  in  ports  and ferries. Unfortunately, the
otherwise  good results  were affected  by Botnica's  technical failure,  due to
which  the cooperation with  BP Exploration Operating  Company Ltd ended earlier
than  expected. However,  the execution  of the  new contract in Northern Canada
started  on  time.  In  September,  we  signed  an agreement for operating ferry
services between the mainland and the largest islands until 2033, which in long-
term  perspective ensures stability and sustainability in our field of shipping.
Also,  we are optimistic about the  development of renewable energy projects and
related negotiations in the ports of Muuga and Paldiski."

In  9 months,  the  number  of  passengers  increased by 3.2% (4.3% in the third
quarter)  and cargo volumes by  2.0% (7.2% in the third  quarter), the number of
ship  visits  increased  by  0.4% (5.9%  in  the  third  quarter).  In shipping,
passenger  ferries showed stable growth -  the number of passengers increased by
1.6% (1.4% in the third quarter) and the number of vehicles by 3.0% (3.0% in the
third  quarter).  Chartering  days  of  Botnica  decreased  by  58% in the third
quarter,  while in  9 months they  remained at  a similar  level to the previous
year.

Tallinna  Sadam management  will present  the financial  results of the Group at
webinars  on 11 November, including webinar in Estonian starting at 10.00 (EEST)
(link       to      EST      webinar      (https://teams.microsoft.com/l/meetup-
join/19%3ameeting_ZDJiMTQ3NmItMjJlYS00MzhkLWEzOWYtOTU1ZjNjMDM3YjUw%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%2216aaa10d-0f16-4312-8940-581f83498a0b%22%7d))
and   webinar   in  English  starting  at  11.00 (EEST)  (link  to  ENG  webinar
(https://teams.microsoft.com/l/meetup-
join/19%3ameeting_MzkyMDMwY2YtY2I5Ni00MjM5LTg3NGYtYjgwNTMxMzc4ZThh%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%2216aaa10d-0f16-4312-8940-581f83498a0b%22%7d)).

Materials related to the interim report can be found attached to this notice and
on our website: https://www.ts.ee/en/investor/interim-reports/
https://www.ts.ee/en/investor/presentations/.

Key figures (in million EUR):

                              Q3      Q3     +/-      9M      9M      +/-

                            2024    2023       %    2024    2023        %

  Revenue                   31.2    31.4   -0.7%    90.8    88.6     2.5%

  Adjusted EBITDA           13.3    13.5   -1.7%    40.9    38.8     5.4%

  Adjusted EBITDA margin   42.6%   43.0%    -0.4   45.0%   43.8%      1.2

  Operating profit           7.3     7.4   -2.4%    23.2    20.0    16.0%

  Income tax                 0.0     0.0     0.0     3.1     3.0     4.7%

  Profit for the period      5.6     6.0   -6.5%    14.9    13.0    14.1%

  Investments                8.4     4.8     0.8    33.5    10.9   206.9%


                          30.09.2024   31.12.2023     +/-

  Total assets                 613.0        606.2    1.1%

  Interest bearing debt        183.7        173.4    5.9%

  Other liabilities             56.0         55.1    1.6%

  Equity                       373.3        377.7   -1.2%

  Number of shares             263.0        263.0    0.0%

Major events in Q3:

  * Conclusion of the ferry service contract for the period 2026-2033
  * EU funding for the joint project of the ports of Tallinn and Helsinki TWIN-
    PORT VI
  * The offshore contract of the icebreaker Botnica with BP Exploration
    Operating Company Ltd ended earlier than planned
  * Aditional trips of passenger ferry Regula in the summer of 2024
  * Appeal to the judgment regarding the former managers of the Port of Tallinn
  * Termination of OÜ MPG AgroProduction restructuring proceedings and
    continuation of the bankruptcy process
  * Signing an unsecured loan agreement with Swedbank

Revenue
Revenue for nine months increased by EUR 2.2 million (+2.5%) year on year to EUR
90.8 million,  supported by higher charter fees from the icebreaker MSV Botnica,
higher  revenue from  ferry service  between Estonia's  mainland and two largest
islands, higher revenue from other services and higher lease income. In terms of
revenue  streams, the largest increase  in the first nine  months was in charter
fees, which grew by EUR?0.8 million (+8.9%) to EUR 9.5 million. Despite the fact
that  the icebreaker MSV Botnica had fewer charter days in the first nine months
of  this year, charter  fees increased due  to the projects'  higher charter fee
rate  per day. In the third quarter, charter fee revenue decreased year on year,
because  the  charter  period  was  shorter  due  to technical problems with the
vessel.  Ferry service5  revenue grew  by EUR  0.6 million (+2.2%)  to EUR 27.8
million,  mainly due to higher government support  as a result of the indexation
of  the fees. The number  of trips did not  change significantly compared to the
previous  year (+0.8%). Revenue from other  services grew by EUR?0.4 million due
to  the commissioning of the LNG quay in Pakrineeme Harbour this year and higher
revenue from the sale of advertising space in Old City Harbour and the provision
of  catering services on  the icebreaker MSV  Botnica. Lease income increased by
EUR  0.3 million  (+3.1%)  to  EUR  10.7 million.  Lease  income improved in all
segments, but particularly in the Cargo harbours and Passenger harbours segments
due  to the  indexation of  lease payments  and fees  for right  of superficies.
Passenger  fee revenue increased by EUR  0.3 million (+3.1%) to EUR 9.2 million,
in  line with the rise in passenger numbers (+3.2%). Electricity revenue grew by
EUR  0.2 million (+7.3%) to  EUR?3.4 million, supported  by higher sales volumes
and   prices  for  network  services.  In  addition,  both  on-shore  and  other
electricity  consumption increased.  Vessel dues  revenue decreased  by EUR 0.2
million  (-1.0%) to EUR  23.9 million due to  fewer calls by  large tankers. The
number  of  cruise  ship  calls  increased,  but  their lower GT (gross tonnage)
resulted  in lower revenue from tonnage charges. Cargo charges revenue decreased
by EUR 0.2 million (-3.5%) to EUR 4.5 million. Although cargo volumes increased,
cargo  charges revenue  decreased, partly  because cargo  charges from operators
whose  cargo charges depend on full-year  forecast cargo volumes are adjusted in
accordance  with IFRS 15. In  the first nine  months of 2023, the adjustments to
cargo charges were higher than in the same period this year.

EBITDA
Adjusted  EBITDA for nine months grew by EUR 2.1 million (+5.4%) year on year to
EUR  40.9 million.  Adjusted  EBITDA  grew  in  the  Cargo harbours segment, the
segment Other and the Passenger harbours segment. In the Ferry segment, adjusted
EBITDA  decreased. The adjusted EBITDA of the Cargo harbours segment improved as
operating  expenses (particularly repair costs) decreased and revenue increased.
The  improvement in the  adjusted EBITDA of  the segment Other  was supported by
revenue  growth, which exceeded the growth  in operating and personnel expenses.
Adjusted  EBITDA for the third quarter decreased by EUR 0.2 million (-1.7%) year
on  year, because the decrease in the segment Other exceeded the combined growth
in  other segments.  Adjusted EBITDA  margin for  nine months rose from 43.8% to
45.0% and  adjusted EBITDA  margin for  the third  quarter dropped from 43.0% to
42.6%.

Profit
Profit  before tax for nine months grew by EUR 2.0 million (+12.4%) year on year
to EUR 18.0 million. Profit grew less than operating profit because the increase
in  finance costs (net) (+EUR 1.3 million)  exceeded the increase in profit from
the  equity-accounted associate AS Green Marine (+EUR 0.1?million). The dividend
declared  in the second  quarter of 2024 in  an amount of  EUR 19.2 million gave
rise  to income tax expense of EUR 3.1 million, which was EUR 0.1 million larger
than the income tax expense on the dividend distributed last year. The amount of
the dividend did not change, but last year income tax expense was reduced by the
reversal  of deferred tax of  EUR 0.1 million. Profit for  the first nine months
increased by EUR?1.8 million (+14.1%) year on year. Third-quarter profit was EUR
5.6 million (-EUR 0.4 million, -6.5%).

Investments
In the first nine months of 2024, the Group invested EUR 33.5 million, EUR 22.6
million  more than in the same period  last year. The largest investments of the
period were made in the construction of a quay in Paldiski South Harbour for the
provision  of maintenance and construction services  to offshore wind farms, the
reconstruction  of a quay in Muuga Harbour, the reconstruction of a quay ramp in
Old  City Harbour, the development of information systems, technical design, the
regular dry-docking of a ferry and the purchase of equipment for ferries. In the
third  quarter,  investments  totalled  EUR  8.4 million (EUR 4.8 million in the
third quarter of 2023).

Interim condensed consolidated statement of financial position:

  In thousands of euros           30 September 2024   31 December 2023
-----------------------------------------------------------------------
  ASSETS



  Current assets

  Cash and cash equivalents                  22 079             29 733

  Trade and other receivables                11 501             12 118

  Contract assets                               417                  0

  Inventories                                   330                550

  Total current assets                       34 327             42 401


-----------------------------------------------------------------------
  Non-current assets

  Investments in associates                   2 667              2 177

  Other long-term receivables                     0                163

  Investment properties                      14 069             14 069

  Property, plant and equipment             559 727            545 271

  Intangible assets                           2 229              2 083

  Total non-current assets                  578 692            563 763
-----------------------------------------------------------------------
  Total assets                              613 019            606 164
-----------------------------------------------------------------------




  LIABILITIES



  Current liabilities

  Loans and borrowings                       12 561             15 831

  Provisions                                  1 153              1 311

  Government grants                           7 612              7 344

  Taxes payable                               1 413                876

  Trade and other payables                    9 303              9 429

  Contract liabilities                        1 737                 63

  Total current liabilities                  33 779             34 854
-----------------------------------------------------------------------


  Non-current liabilities

  Loans and borrowings                      171 183            157 566

  Government grants                          31 881             33 075

  Other payables                                107                255

  Contract liabilities                        2 740              2 755

  Total non-current liabilities             205 911            193 651
-----------------------------------------------------------------------
  Total liabilities                         239 690            228 505
-----------------------------------------------------------------------
  EQUITY

  Share capital at par value                263 000            263 000

  Share premium                              44 478             44 478

  Statutory capital reserve                  23 304             22 858

  Retained earnings                          42 547             47 323

  Total equity                              373 329            377 659
-----------------------------------------------------------------------
  Total liabilities and equity              613 019            606 164
-----------------------------------------------------------------------

Interim condensed consolidated statement of profit or loss:



 In thousands of euros                         Q3 2024  Q3 2023 9M 2024 9M 2023
-------------------------------------------------------------------------------


 Revenue                                        31 214   31 426  90 797  88 615

 Other income                                      398      371   1 164   1 231

 Operating expenses                            -11 651  -11 507 -30 951 -31 171

 Impairment of financial assets                   -214     -403    -680    -806

 Personnel expenses                             -6 302   -6 254 -18 661 -18 229

 Depreciation, amortisation and impairment      -6 087   -6 129 -18 207 -19 356

 Other expenses                                    -90      -55    -262    -280

 Operating profit                                7 268    7 449  23 200  20 004


-------------------------------------------------------------------------------
 Finance income and costs

 Finance income                                    203      330     703     916

 Finance costs                                  -2 158   -2 073  -6 400  -5 303

 Finance costs - net                            -1 955   -1 743  -5 697  -4 387
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Share of profit of an associate accounted
 for under the equity method                       265      258     491     396

 Profit before income tax                        5 578    5 964  17 994  16 013
-------------------------------------------------------------------------------


 Income tax                                          0        0  -3 125  -2 985

 Profit for the period                           5 578    5 964  14 869  13 028
-------------------------------------------------------------------------------
 Attributable to owners of the Parent            5 578    5 964  14 869  13 028
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Basic and diluted earnings per share (in
 euros)                                           0.02     0.02    0.06    0.05
-------------------------------------------------------------------------------

Interim condensed consolidated statement of cash flows:



  In thousands of euros                                  9M 2024   9M 2023
---------------------------------------------------------------------------


  Cash receipts from sale of goods and services           99 181    94 692

  Cash receipts related to other income                       42       247

  Payments to suppliers                                  -37 612   -38 900

  Payments to and on behalf of employees                 -17 787   -18 511

  Payments for other expenses                               -224      -253

  Income tax paid on dividends                            -3 325    -3 264

  Cash from operating activities                          40 275    34 011


---------------------------------------------------------------------------
  Purchases of property, plant and equipment             -33 118   -10 063

  Purchases of intangible assets                            -479      -627

  Proceeds from sale of property, plant and equipment         17        28

  Dividends received                                           0       357

  Interest received                                          679       875

  Cash used in investing activities                      -32 901    -9 430
---------------------------------------------------------------------------
  Proceeds from loans received                            20 000         0

  Repayments of loans received                            -9 583    -7 383

  Dividends paid                                         -19 000   -19 012

  Interest paid                                           -6 427    -4 654

  Other payments related to financing activities             -18        -7

  Cash from/used in financing activities                 -15 028   -31 056
---------------------------------------------------------------------------
  NET CASH FLOW                                           -7 654    -6 475
---------------------------------------------------------------------------
  Cash and cash equivalents at beginning of the period    29 733    44 387

  Change in cash and cash equivalents                     -7 654    -6 475

  Cash and cash equivalents at end of the period          22 079    37 912
---------------------------------------------------------------------------

Tallinna Sadam is one of the largest cargo- and passenger port complexes in the
Baltic Sea region. In addition to passenger and freight services, Tallinna Sadam
group also operates in shipping business via its subsidiaries - OÜ TS Laevad
provides ferry services between the Estonian mainland and the largest islands,
and OÜ TS Shipping charters its multifunctional vessel Botnica for icebreaking
and offshore services in Estonia and projects abroad. Tallinna Sadam group is
also a shareholder of an associate AS Green Marine, which provides waste
management services.

Additional information:

Andrus Ait
Chief Financial Officer
Tel. +372 526 0735
[email protected] (mailto:[email protected])