Börsiteade

Aktsiaselts Silvano Fashion Group

LEI kood

529900JNG41RRJKJYB65

Emitendi suuruskategooria

Suur kontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Emitendi registreeritud asukoht

Eesti

Üldandmed

Kategooriad

Muud korporatiivtoimingud

Teate ID

16758

Esitamise kuupäev ja aeg

30.11.2024 23:55:00

Teate sisu eesti keeles

Pealkiri

Silvano Fashion Group 2024.aasta III kvartali ja 9 kuu konsolideeritud vahearuanne (auditeerimata)

Teade

Põhilised finantsnäitajad

Kontserni  2024. aasta  9 kuu  (võrrelduna  2023. aasta  9 kuuga) ja 30.09.2024
(võrrelduna 31.12.2023) põhilised finantsnäitajad on järgmised:

-------------------------------------------------------------------------------
 tuhandetes eurodes            9 kuud 2024                   9 kuud 2023 Muutus
-------------------------------------------------------------------------------
 Müügitulu                          46 489                        46 739  -0,5%

 Brutokasum                         27 232 28 078                         -3,0%

 Ärikasum                           14 452                        16 267 -11,2%

 EBITDA                             16 724                        18 630 -10,2%

 Aruandeperioodi puhaskasum    10 705                              8 842  21,1%

 Puhaskasum, emaettevõtte
 omanike osa                         9 711                         7 912  22,7%

 Kasum aktsia kohta (eurodes)         0,27                          0,22  22,7%

 Äritegevuse rahavoog
 perioodil                          11 251                        15 369 -26,8%


------------------------------------------------------------------------
 tuhandetes eurodes                         30.09.2024 31.12.2023 Muutus
------------------------------------------------------------------------
 Varad kokku                                    80 299     72 252  11,1%

 Käibevarad kokku                               67 978     59 395  14,5%

 Omakapital kokku, emaettevõtte omanike osa     63 741     54 120  17,8%

 Raha ja raha ekvivalendid                      40 888     32 878  24,4%


----------------------------------------------------------------------------
  Rentaablusanalüüs, %                   9 kuud 2024   9 kuud 2023   Muutus
----------------------------------------------------------------------------
  Brutokasum                                    58,6          60,1    -2,5%

  Ärikasum                                      31,1          34,8   -10,6%

  EBITDA                                        36,0          39,9    -9,8%

  Puhaskasum                                    23,0          18,9    21,7%

  Puhaskasum, emaettevõtte omanike osa          20,9          16,9    23,7%


--------------------------------------------------------------------------
  Finantssuhtarvud, %                    30.09.2024   31.12.2023   Muutus
--------------------------------------------------------------------------
  ROA                                          15,1         14,5     4,1%

  ROE                                          19,9         20,2    -1,5%

  Hinna/ kasumi suhe                            2,9          4,1   -29,3%

  Lühiajaliste kohustuste kattekordaja          8,7          5,8    50,0%

  Likviidsuskordaja                             5,6          3,4    64,7%

Majandustulemused

Kontserni  2024. aasta  9 kuu  käive  moodustas  46 489 tuhat  eurot,  vähenedes
eelmise  aasta sama  perioodiga võrreldes   0,5% võrra. Hulgimüügi käive vähenes
4,9% võrra, mõõdetuna eurodes.

Kontserni 2024. aasta 9 kuu brutokasum oli 27 232 tuhat eurot, vähenedes eelmise
aastaga võrreldes 3,0%. Perioodi brutokasumi marginaal vähenes 2024. aasta 9 kuu
jooksul  2,5% võrra, võrreldes  eelmise aasta  sama perioodiga.  Müüdud toodangu
kulu suurenes 3,2% võrra.

2024. aasta  9 kuu  konsolideeritud  ärikasum  vähenes  11,2% ja  ulatus 14 452
tuhande  euroni võrreldes  2023. aasta 9 kuu  konsolideeritud ärikasumiga summas
16 267 tuhat  eurot. 2024. aasta 9 kuu  ärikasumi rentaablus oli 31,1% võrreldes
34,8%-ga  eelmise aasta samal perioodil. Konsolideeritud EBITDA vähenes 10,2% ja
moodustas 2024. aasta 9 kuuga 16 724 tuhat eurot, mis tähendab 36,0% rentaablust
(18 630 tuhat eurot ja 39,9% eelmise aasta samal perioodil).

Ettevõtte  puhaskasum emaettevõtte aktsionäridele  moodustas 2024. aasta 9 kuuga
9 711 tuhat eurot võrreldes puhaskasumiga 7 912 tuhat eurot 2023. aasta 9 kuuga,
puhaskasumi  marginaal emaettevõtte aktsionäridele moodustas 2024. aasta 9 kuuga
20,9% võrreldes puhaskasumiga 16,9%-ga eelmise aasta samal perioodil.

Finantsseisund

Seisuga  30. september 2024 ulatus kontserni konsolideeritud varade maht 80 299
tuhande euroni, suurenedes 11,1% võrreldes 31. detsembriga 2023.

Võrreldes 31. detsembriga 2023 vähenesid nõuded ostjate vastu ja muud nõuded 16
tuhande euro võrra ja moodustasid  2024. aasta 30. septembri seisuga 1 338 tuhat
eurot.  Varude  saldo  suurenes  647 tuhande  euro  võrra  ning 2024. aasta 30.
september seisuga moodustas 24 587 tuhat eurot.

Emaettevõtte  aktsionäride osa  omakapitalis suurenes  9 621 tuhande euro võrra,
ulatudes  2024. aasta 30. september seisuga  63 741 tuhande euroni. Lühiajalised
kohustused vähenesid 2024.aasta 9 kuuga 2 483 tuhande euro võrra.

Investeeringud

Kontserni 2024. aasta 9 kuu investeeringute kogumaht materiaalsesse põhivarasse,
tehasesse  ja  seadmetesse  moodustas  830 tuhat  eurot, 896 tuhat eurot eelmise
aasta samal perioodil. Investeeringud teostati peamiselt oma poodide avamisse ja
renoveerimisse,   samuti   seadmetesse   ja   hoonetesse  tootmise  efektiivsuse
säilitamiseks tulevastes perioodides.

Personal

2024. aasta  30. septembri  seisuga  oli  kontsernil  1 668 töötajat, neist 514
töötas  jaemüügi segmendis. Ülejäänud töötajad tegutsesid tootmise, hulgimüügi-,
haldus-  ja  tugiteenuste  valdkondades.  31.12.2023 seisuga oli 1 626 töötajat,
neist 500 töötas jaemüügi segmendis.

Kontserni 2024. aasta 9 kuu palgakulu koos maksudega oli 10 612 tuhat eurot (9
964 tuhat eurot 2023.aasta 9 kuul). Kontserni juhtkonna võtmeisikute töötasud,
sealhulgas tütarettevõtete võtmeisikute tasud, moodustasid kokku 475 tuhat
eurot.


Juhtimisorganite otsused 2024. aasta 9 kuu jooksul

AS Silvano Fashion Group tegi 19. märtsil 2024 aktsionäridele ettepaneku võtta
vastu aktsionäride erakorralise üldkoosoleku otsused koosolekut kokku kutsumata.


Koosoleku  kokkukutsumise  teade  ilmus  19.03.2024.a. Tallinna Väärtpaberibörsi
kodulehel                                                              aadressil
https://view.news.eu.nasdaq.com/view?id=b77cafc430f1ac23a81813069a95a15cd&lang=e
t&src=listed   Varssavi   Väärtpaberibörsi  infosüsteemis,  Aktsiaselts  Silvano
Fashion                 Group                 kodulehel                aadressil
https://www.silvanofashion.com/et/investorid/ettevotte-teated/    ja    ajalehes
"Eesti Päevaleht".

9. aprillil  2024 toimus  AS  Silvano  Fashion  Group  aktsionäride erakorraline
üldkoosolek. Koosolekul võeti vastu järgmised otsused:

1.1. Nimetada AS-i Silvano Fashion Group audiitoriks audiitorühing Ernst&Young
Baltic AS (registrikood 10877299, asukohaga Rävala puiestee 4, 10143 Tallinn);

1.2. Volitada AS-i Silvano Fashion Group juhatust sõlmima audiitorühinguga AS-ga
Ernst&Young Baltic audiitorteenuse leping AS-i Silvano Fashion Group 2023.a.
majandustegevuse auditeerimiseks.

29. mail  2024 tegi  AS  Silvano  Fashion  Group   juhatus  tegi  aktsionäridele
ettepaneku võtta vastu aktsionäride otsused  koosolekut kokku kutsumata.

Teade otsuste eelnõudega ilmus 29.05.2024.a. Tallinna Väärtpaberibörsi kodulehel
aadressil
https://nasdaqbaltic.com/statistics/et/instrument/EE3100001751/news?date=2024-
06-18 ja  Varssavi  Väärtpaberibörsi  infosüsteemis  ning 29.05.2024.a. ajalehes
"Eesti  Ekspress"  ja  Aktsiaselts  Silvano  Fashion  Group  kodulehel aadressil
https://www.silvanofashion.com/et/investorid/ettevotte-teated/.

20. juunil   2024 toimus   AS   Silvano  Fashion  Group  aktsionäride  korraline
üldkoosolek. Koosolekul võeti vastu järgmised otsused:

1. Kinnitada Aktsiaseltsi Silvano Fashion Group 2023. a majandusaasta aruanne.

2. Jätta puhaskasum jaotamata ning arvata 2023. aasta majandusaasta puhaskasum
jaotamata kasumi hulka.

AS Silvano Fashion Group aktsionäride korralise üldkoosoleku protokoll on
avaldatud kodulehel https://silvanofashion.com/wp-content/uploads/SFG-
aktsionaride-otsuste-haaletusprotokoll.pdf.

Konsolideeritud finantsseisundi aruanne

--------------------------------------------------------------------------------------
 tuhandetes eurodes                          Lisad          30.09.2024      31.12.2023
--------------------------------------------------------------------------------------
                                                         Auditeerimata    Auditeeritud
--------------------------------------------------------------------------------------
 VARAD

 Käibevara

 Raha ja rahalähendid                          2                40 888          32 878


 Nõuded ostjate vastu ja muud nõuded           3   1 338                         1 354

 Ettemaksed ja muud maksunõuded                3                 1 082           1 115

 Antud lühiajalised laenud                                           0              29

 Muud varad                                                         83              79

 Varud                                         4                24 587          23 940

 Käibevara kokku                                                67 978          59 395



 Põhivara

 Pikaajalised nõuded                                               278             292

 Investeeringud sidusettevõtetesse                                  99              85

 Investeeringud muudesse osadesse ja
 aktsiatesse                                                       211             213

 Edasilükkunud tulumaksuvara                                     2 292           2 155

 Immateriaalne põhivara                                            637             579

 Kinnisvarainvesteeringud                                          852             899

 Materiaalne põhivara                          5                 7 952           8 634

 Põhivara kokku                                                 12 321          12 857

 VARAD KOKKU                                                    80 299          72 252



 KOHUSTUSED JA OMAKAPITAL

 Lühiajalised kohustused

 Lühiajalised rendikohustused                                      629           2 162

 Võlad tarnijatele ja muud
 võlad                                         6                 4 933           7 377

 Maksukohustised                                                 2 241             747

 Lühiajalised kohustused kokku                                   7 803          10 286



 Pikaajalised kohustused

 Edasilükkunud tulumaksukohustis                                   730             736

 Pikaajalised rendikohustused                                    4 920           4 321

 Pikaajalised eraldised                                             45              46

 Pikaajalised kohustused kokku                                   5 695           5 103

 Kohustused kokku                                               13 498          15 389



 Omakapital

 Aktsiakapital                                 7                 3 600           3 600

 Ülekurss                                                        4 967           4 967

 Kohustuslik reservkapital                                       1 306           1 306

 Realiseerimata kursivahed                                     -20 092         -20 002

 Jaotamata kasum                                                73 960          64 249

 Omakapital kokku, emaettevõtte omanike osa                     63 741          54 120

 Vähemusosalus                                                   3 060           2 743

 Omakapital kokku                                               66 801          56 863

 OMAKAPITAL JA KOHUSTUSED KOKKU                                 80 299          72 252

Konsolideeritud kasumiaruanne

-----------------------------------------------------------------------------------
                              III kvartal   III kvartal
 tuhandetes eurodes Lisad            2024          2023   9 kuud 2024   9 kuud 2023
-----------------------------------------------------------------------------------
                            Auditeerimata Auditeerimata Auditeerimata Auditeerimata
-----------------------------------------------------------------------------------
 Kliendilepingutest
 saadav tulu           9           16 344        15 332        46 489        46 739

 Müüdud toodangu
 kulu                              -6 301        -6 091       -19 257       -18 661

 Brutokasum                        10 043         9 241        27 232        28 078



 Turustuskulud                     -2 950        -2 517        -8 723        -8 071

 Üldhalduskulud                    -1 086        -1 026        -3 540        -3 303

 Muud äritulud                         71            78           178           194

 Muud ärikulud                       -188          -190          -695          -631

 Ärikasum                           5 890         5 586        14 452        16 267



 Tulu/(kulu)
 valuutakursi
 muutustest                        -1 280          -991          -415        -3 582

 Muud
 finantstu/(kulu)                     329            -1           401          -186

 Finantstulud /(-
 kulud) kokku                        -951          -992           -14        -3 768



 Kasum (kahjum)
 sidusettevõtetest
 kapitaliosaluse
 meetodil                               2             7            16            19

 Kasum enne tulumaksu               4 941         4 601        14 454        12 518

 Tulumaksukulu                     -2 022        -1 181        -3 749        -3 676



 Aruandeperioodi
 kasum                              2 919         3 420        10 705         8 842

 Sealhulgas:

    Emaettevõte
 omanike osa                        2 658         3 140          9711         7 912

    Vähemusosaluse
 osa                                  261           280           994           930

 Tava- ja
 lahustatud kasum
 emaettevõtte
 omanike aktsia
 kohta (eurodes)                     0,07          0,09          0,27          0,22



   Konsolideeritud
 koondkasumiaruanne


-----------------------------------------------------------------------------------
                             III kvartal    III kvartal
 tuhandetes eurodes   Lisad          2024          2023   9 kuud 2024   9 kuud 2023
-----------------------------------------------------------------------------------
                            Auditeerimata Auditeerimata Auditeerimata Auditeerimata
-----------------------------------------------------------------------------------


 Aruandeperioodi
 kasum                              2 919         3 420        10 705         8 842



 Muu koondkasum
 (kahjum), mida võib
 hiljem
 kasumiaruandesse
 ümber
 klassifitseerida:

 Kursivahede mõju
 välismaiste
 äriüksuste tulemuste
 ümberarvestamisele                  -563          -672          -157        -2 055

 Aruandeperioodi muu
 koondkasum                          -563          -672          -157        -2 055



 Perioodi
 koondkasum
 (kahjum) kokku                     2 356         2 748        10 548         6 787

 Sealhulgas:

    Emaettevõtte
 omanike osa                        2 308         2 612         9 621         5 224

    Vähemusosaluse
 osa                                   48           136           927         1 563



Konsolideeritud rahavoogude aruanne


-------------------------------------------------------------------------------
 tuhandetes eurodes                                        9 kuud        9 kuud
                                              Lisad          2024          2023
-------------------------------------------------------------------------------
                                                    Auditeerimata Auditeerimata
-------------------------------------------------------------------------------
 Rahavood äritegevusest

 Aruandeaasta kasum                                        10 705         8 842

 Korrigeerimised:

   Põhivara kulum                                           2 272         2 363

   Kasum kapitaliosaluse meetodil kajastatud
 investeeringutelt                                            -16           -19

   Kasum/kahjum materiaalse põhivara müügist                    7            -3

   Finantstulud/-kulud kokku                                   14         3 768

   Ebatõenäoliselt laekuvate arvete eraldis                    -1            -3

   Varude eraldis                                               2             3

   Tulumaksukulu                                            3 749         3 676

 Varude muutus                                               -647         1 387

 Muutused nõuetes ostjate vastu ja muudes
 nõuetes, ettemaksetes ja muudes maksunõuetes                  16          -507

 Muutused võlgades tarnijatele ja muudes
 võlgades                                                  -2 021        -1 067

 Makstud tulumaks                                          -2 829        -3 071

 Rahavood äritegevusest kokku                              11 251        15 369



 Rahavood investeerimistegevusest

 Saadud intressid                                             997           331

 Saadud dividendid                                              8            11

 Materiaalse põhivara müük                                     21             9

 Väljaantud laenud                                              0           -23

 Väljaantud laenude tagasimaksed                               29             0

 Materiaalse põhivara soetamine                              -830          -896

 Immateriaalse põhivara soetamine                            -112          -123

 Rahavood investeerimistegevusest kokku                       113          -691



 Rahavood finantseerimistegevusest

 Saadud laenud                                              4 000             0

 Saadud laenude tagasimaksed                               -4 000             0

 Rendikohustiste põhiosamaksed                             -1 659        -1 689

 Rendikohustistelt tasutud intress                           -553          -521

 Makstud dividendid                                          -610          -707

 Rahavood finantseerimistegevusest kokku                   -2 822        -2 917



 Raha ja rahalähendite muutus                               8 542        11 761

 Raha ja rahalähendid perioodi alguses          2          32 878        25 909

 Esitusvaluutasse ümberarvestamise mõju                     -404         -4 891

 Valuutakursside muutuste mõju rahavoogudele                 -128           510

 Raha ja rahalähendid perioodi lõpus                       40 888        33 289

AS Silvano Fashion Group
Tel: +372 6845 000
Email: [email protected]

Teate sisu inglise keeles

Pealkiri

Silvano Fashion Group Consolidated Interim Financial Report for Q3 and 9m of 2024 (unaudited)

Teade

Selected Financial Indicators

Summarized  selected financial  indicators of  the Group  for 9 months  of 2024
compared  to  9 months  of  2023 and  30.09.2024 compared  to 31.12.2023 were as
follows:

-------------------------------------------------------------------------------
 in thousands of EUR                                 09m 2024   09m 2023 Change
-------------------------------------------------------------------------------
 Revenue                                               46 489     46 739  -0.5%

 Gross Profit                                          27 232     28 078  -3.0%

 Operating profit                                      14 452     16 267 -11.2%

 EBITDA                                                16 724     18 630 -10.2%

 Net profit for the period                             10 705      8 842  21.1%

 Net profit attributable equity holders of the
 Parent company                                         9 711      7 912  22.7%

 Earnings per share (EUR)                                0,27       0,22  22.7%

 Operating cash flow for the period                    11 251     15 369 -26.8%


-------------------------------------------------------------------------------
 in thousands of EUR                               30.09.2024 31.12.2023 Change
-------------------------------------------------------------------------------
 Total assets                                          80 299     72 252  11.1%

 Total current assets                                  67 978     59 395  14.5%

 Total equity attributable to equity holders of
 the Parent company                                    63 741     54 120  17.8%

 Cash and cash equivalents                             40 888     32 878  24.4%


-------------------------------------------------------------------------------
 Margin analysis, %                                  09m 2024   09m 2023 Change
-------------------------------------------------------------------------------
 Gross profit                                            58.6       60.1  -2.5%

 Operating profit                                        31.1       34.8 -10.6%

 EBITDA                                                  36.0       39.9  -9.8%

 Net profit                                              23.0       18.9  21.7%

 Net profit attributable to equity holders of the
 Parent company                                          20.9       16.9  23.7%


-------------------------------------------------------------------------------
 Financial ratios, %                               30.09.2024 31.12.2023 Change
-------------------------------------------------------------------------------
 ROA                                                     15.1       14.5   4.1%

 ROE                                                     19.9       20.2  -1.5%

 Price to earnings ratio (P/E)                            2.9        4.1 -29.3%

 Current ratio                                            8.7        5.8  50.0%

 Quick ratio                                              5.6        3.4  64.7%

Financial performance

The  Group`s  sales  amounted  46 489 thousand  EUR  during  9 months  of 2024,
representing  a 0.5% decrease as  compared to the  same period of previous year.
Overall, wholesale decreased by 4.9%, measured in EUR.

The Group's gross profit during 9 months of 2024 amounted to 27 232 thousand EUR
and decrease by 3.0% compared to previous year. The gross margin during 9 months
of  2024 decreased by 2.5% compared to 9 months  of 2023. The cost of sold goods
increased by 3.2%.

Consolidated  operating profit for 9 months  of 2024 amounted to 14 452 thousand
EUR,  compared to 16 267 thousand EUR for  9 months of 2023, decrease by 11.2%.
The  consolidated operating profit margin  was 31.1% for 9 months of 2024 (34.8%
for  9 months of  2023). Consolidated EBITDA  for 9 months  of 2024 decreased by
10.2% and  amounted to 16 724 thousand  EUR, which is  36.0% in margin terms (18
630 thousand EUR and 39.9% for 9 months of 2023).

Reported  consolidated net profit  attributable to equity  holders of the Parent
company for 9 months of 2024 amounted 9 711 thousand EUR, compared to net profit
of  7 912 thousand EUR for  9 months of 2023, net  profit margin attributable to
equity  holders of the Parent company for 9 months of 2024 was 20.9% against net
profit 16.9% for 9 months of 2023.

Financial position

As  of  30 September  2024 consolidated  assets  amounted to 80 299 thousand EUR
representing  increase by  11.1% as compared  to the  position as of 31 December
2023.

Trade  and other  receivables decreased  by 16 thousand  EUR as  compared to 31
December  2023 and  amounted  to         1 338 thousand  EUR  as of 30 September
2024. Inventory  balance increased  by 647 thousand  EUR and  amounted to
24 587 thousand EUR as of 30 September 2024.

Equity  attributable to equity holders of the Parent company increased by 9 621
thousand  EUR and amounted to             63 741 thousand EUR as of 30 September
2024. Current  liabilities decreased  by 2 483 thousand  EUR during  9 months of
2024.

Investments

During  9 months  of  2024 the  Group's  investments  into  property,  plant and
equipment  totalled 830 thousand EUR, in  previous year same period 896 thousand
EUR.  Investments were  made mainly  into opening  and renovating own stores, as
well  into equipment and facilities to  maintain effective production for future
periods.

Personnel

As  of  30 September  2024, the  Group  employed 1 668 employees, including 514
people  in retail operations.  The rest were  employed in production, wholesale,
administration and support operations. In 31.12.2023 there were 1 626 employees,
including 500 people in retail operations.

Total  salaries  and  related  taxes  during  9 months  of 2024 amounted 10 612
thousand  EUR (  9 964 thousand EUR  in 9 months  2023). The remuneration of key
management  of  the  Group,  including  the  key executives of all subsidiaries,
totalled 475 thousand EUR.

Decisions made by governing bodies during 09 months 2024

On the 19th of March 2024, the AS Silvano Fashion Group proposed to the
shareholders to adopt the resolution of the extraordinary general meeting of
shareholders stated below without convening the meeting.

The notice of the general meeting was published on March 19, 2024, in the
information system NASDAQ OMX
Tallinn https://view.news.eu.nasdaq.com/view?id=b77cafc430f1ac23a81813069a95a15c
d&lang=en
(https://www.globenewswire.com/Tracker?data=MWyEV7h89lAqde0b6xHNjHVNvjAEUTQde5hn
y6Rf3JAFSQP0itB3axgnzj9YS-iaHJGVu5ZtzLG6R4DnvTRHsT6FnwwWqtPoPkbqCSVb6Ba11_UUH-
5PMRsP-
WNmrndng1gfiw6bnp0V5N1oImDT_BcHdYgOGHmgIOh7EN3HtpdCfTrm4J0Pqx_MdtikKPI_t6Cted4zB
4YqcPOJyPOWLJMrkYiq6TDFPJibJw7czYX7RPKEE_RjYTlIEy53Q3C9) and Warsaw Stock
Exchange, on the website of
SFG https://www.silvanofashion.com/investors/company-announcements/
(https://www.globenewswire.com/Tracker?data=MWyEV7h89lAqde0b6xHNjH0LRcJRFDG_DQcL
mJEZP-IxDxeWBEuKhih4s_GCk39PkIJkedwQWrg1oJ-
HkS1AFAiU_vxocHhNbJtHG2x00KXFgrufzQeafChRa_ghm0b8wbqvdZe4K5lGfTZDrRlB-vV4yOYD-
Eu07QP177hE3Y-4zVgjtpMjeWYnW16KsmZeLxu8BRL9lz4i87XPoAkzQg==)  and in the
newspaper Eesti Päevaleht.

On April 9, 2024 Silvano Fashion Group Extraordinary Meeting of Shareholders
adopted the following decisions:

1.1. To appoint the auditing company Ernst & Young Baltic AS (registry code
10877299, located at Rävala puiestee 4, 10143 Tallinn) as the auditor of AS
Silvano Fashion Group;

1.2. To authorize the Management Board of AS Silvano Fashion Group to enter into
an audit service agreement with the auditing company AS Ernst & Young Baltic for
auditing the economic activities of AS Silvano Fashion Group 2023.

On  the 29th of May 2024, AS Silvano  Fashion Group proposed to the shareholders
to  adopt the resolutions of the  annual general meeting of shareholders without
convening the meeting.

The  notice  of  the  general  meeting  was  published  on  May 29, 2024, in the
information            system            NASDAQ            OMX           Tallinn
  https://view.news.eu.nasdaq.com/view?id=bc1ccceca27a9390039f730c2b2b98136&lang
=en&src=listed

and     Warsaw     Stock     Exchange,     on     the     website     of     SFG
https://www.silvanofashion.com/investors/company-announcements/    and   in  the
daily newspaper Eesti Ekspress.

On  June 20, 2024 Silvano Fashion Group held  its regular Annual General Meeting
of Shareholders.  The Meeting adopted the following decisions:

 1. To approve the 2023 Annual Report;
 2. To left the net profit undistributed and to include the net profit of the
    financial year 2023 in retained earnings.

The decisions of the general meeting were published on the website of AS Silvano
Fashion               Group  https://www.silvanofashion.com/investors/company-
announcements/
(https://www.globenewswire.com/Tracker?data=eqSvB9FOkm2SGnLhlyRqsUdtOHk18ftuqW7m
_BJ0KJyow4LIfcGFs-
4YoDMKBvcg4mtXZqcgvDDiXxghkxBh50oXe0tnt2toW_vOwXjGvfXV9SjkeRJavBavUEvzQsHZMzg9nD
uFZHClq1_7e-
anBBL6k4lsZCaz2w3tuxnhy0HPb57uqrYj_ngy3LxIWOihCCBz0_SzHHqnFzzG1Z0TkdFtuQ0lsIDCje
ITPyhTwYpbv8SglqkMjn5-k7uk9EhqmDBFXeKBCO8wGpDb8zhXU1vtwUw-phxoJM6RUqkg4cJE2EYze-
49950OcS7oRfiAG-
JA36eDcpihL2YYD2tKlYY7vd9MEpK4JAV35rb_XdPbTsxUEee22Ch2cOVoNdrD7qv9r2_CinNcYm3G7J
bTte_cGyDhKJ7iT9_KCfaJuQstDPQ0ngm3cv9EacHKREOPnnHGJZ3CgfYNP4EVlVqRwA==).

Consolidated Statement of Financial Position

-------------------------------------------------------------------------------
 in thousands of EUR                                 Note 30.09.2024 31.12.2023
-------------------------------------------------------------------------------
                                                           Unaudited    Audited

 ASSETS

 Current assets

 Cash and cash equivalents                            2       40 888     32 878

 Trade and other receivables                          3        1 338      1 354

 Prepayments and other tax receivables                3        1 082      1 115

 Current loans granted                                             0         29

 Other assets                                                     83         79

 Inventories                                          4       24 587     23 940

 Total current assets                                         67 978     59 395



 Non-current assets

 Non-current receivables                                         278        292

 Investments in associates                                        99         85

 Investments in other shares                                     211        213

 Deferred tax asset                                            2 292      2 155

 Intangible assets                                               637        579

 Investment property                                             852        899

 Property, plant and equipment                        5        7 952      8 634

 Total non-current assets                                     12 321     12 857

 TOTAL ASSETS                                                 80 299     72 252



 LIABILITIES AND EQUITY

 Current liabilities

 Current lease liabilities                                       629      2 162

 Trade and other payables                             6        4 933      7 377

 Tax liabilities                                               2 241        747

 Total current liabilities                                     7 803     10 286



 Non-current liabilities

 Deferred tax liability                                          730        736

 Non-current lease liabilities                                 4 920      4 321

 Non-current provisions                                           45         46

 Total non-current liabilities                                 5 695      5 103

 Total liabilities                                            13 498     15 389



 Equity

 Share capital                                        7        3 600      3 600

 Share premium                                                 4 967      4 967

 Statutory reserve capital                                     1 306      1 306

 Unrealised exchange rate differences                        -20 092    -20 002

 Retained earnings                                            73 960     64 249

 Total equity attributable to equity holders of the
 Parent company                                               63 741     54 120

 Non-controlling interest                                      3 060      2 743

 Total equity                                                 66 801     56 863

 TOTAL EQUITY AND LIABILITIES                                 80 299     72 252

Consolidated Income Statement

-------------------------------------------------------------------------------
 in thousands of EUR               Note   3Q 2024   3Q 2023  09m 2024  09m 2023
-------------------------------------------------------------------------------
                                        Unaudited Unaudited Unaudited Unaudited

 Revenue from contracts with
 customers                          9      16 344    15 332    46 489    46 739

 Cost of goods sold                        -6 301    -6 091   -19 257   -18 661

 Gross Profit                              10 043     9 241    27 232    28 078



 Distribution expenses                     -2 950    -2 517    -8 723    -8 071

 Administrative expenses                   -1 086    -1 026    -3 540    -3 303

 Other operating income                        71        78       178       194

 Other operating expenses                    -188      -190      -695      -631

 Operating profit                           5 890     5 586    14 452    16 267



 Currency exchange
 income/(expense)                          -1 280      -991      -415    -3 582

 Other finance income/(expenses)              329        -1       401      -186

 Net finance income                          -951      -992       -14    -3 768



 Profit (loss) from associates
 using equity method                            2         7        16        19

 Profit before tax                          4 941     4 601    14 454    12 518



 Income tax expense                        -2 022    -1 181    -3 749    -3 676



 Profit for the period                      2 919     3 420    10 705     8 842

 Attributable to :

    Equity holders of the Parent
 company                                    2 658     3 140     9 711     7 912

    Non-controlling interest                  261       280       994       930



 Earnings per share from profit
 attributable to equity holders of
 the Parent company, both basic
 and diluted (EUR)                           0,07      0,09      0,27      0,22

Consolidated Statement of Comprehensive Income

-------------------------------------------------------------------------------
 in thousands of EUR               Note   3Q 2024   3Q 2023  09m 2024  09m 2023
-------------------------------------------------------------------------------
                                        Unaudited Unaudited Unaudited Unaudited



 Profit for the period                      2 919     3 420    10 705     8 842



 Other comprehensive income (loss)
 that will be reclassified to
 profit or loss in subsequent
 periods:

 Exchange differences on translation of
 foreign operations                          -563      -672      -157    -2 055

 Total other comprehensive income
 for the period                              -563      -672      -157    -2 055



 Total comprehensive income (loss)
 for the period                             2 356     2 748    10 548     6 787

 Attributable to :

    Equity holders of the Parent
 company                                    2 308     2 612     9 621     5 224

    Non-controlling interest                   48       136       927     1 563

Consolidated Statement of Cash Flows

-------------------------------------------------------------------------------
 in thousands of EUR                                   Note  09m 2024  09m 2023
-------------------------------------------------------------------------------
                                                            Unaudited Unaudited

 Cash flow from operating activities

 Profit for the period                                         10 705     8 842

 Adjustments for:

   Depreciation and amortization of non-current assets          2 272     2 363

   Share of profit of equity accounted investees                  -16       -19

   Gains/Losses on the sale of property, plant and
 equipment                                                          7        -3

   Net finance income / costs                                      14     3 768

   Provision for impairment losses on trade
 receivables                                                       -1        -3

   Provision for inventories                                        2         3

   Income tax expense                                           3 749     3 676

 Change in inventories                                           -647     1 387

 Change in trade and other receivables                             16      -507

 Change in trade and other payables                            -2 021    -1 067

 Income tax paid                                               -2 829    -3 071

 Net cash flow from operating activities                       11 251    15 369



 Cash flow from investing activities

 Interest received                                                997       331

 Dividends received                                                 8        11

 Proceeds from disposal of property, plant and
 equipment                                                         21         9

 Loans granted                                                      0       -23

 Proceeds from repayments of loans granted                         29         0

 Acquisition of property, plant and equipment                    -830      -896

 Acquisition of intangible assets                                -112      -123

 Net cash flow from investing activities                          113      -691



 Cash flow from financing activities

 Proceeds from borrowings                                       4 000         0

 Repayment of borrowings                                       -4 000         0

 Payment of principal portion of lease liabilities             -1 659    -1 689

 Interest paid on lease liabilities                              -553      -521

 Dividends paid                                                  -610      -707

 Net cash flow from financing activities                       -2 822    -2 917



 Net increase in cash and cash equivalents                      8 542    11 761

 Cash and cash equivalents at the beginning of period     2    32 878    25 909

 Effect of translation to presentation currency                  -404    -4 891

 Effect of exchange rate fluctuations on cash held               -128       510

 Cash and cash equivalents at the end of period                40 888    33 289

AS Silvano Fashion Group
Phone: +372 6845 000
Email: [email protected]