Börsiteade

AKTSIASELTS INFORTAR

LEI kood

549300LS1K5S7AWHV603

Emitendi suuruskategooria

Suur kontsern

Majandustegevusalad

Finants- ja kindlustustegevus

Emitendi registreeritud asukoht

Eesti

Teate sisu eesti keeles

Pealkiri

Aktsiaselts Infortar auditeeritud majandusaasta aruanne 2025

Teade

Aktsiaselts Infortar (edaspidi Infortar) nõukogu kiitis heaks 2025. aasta
auditeeritud aastaaruande ja esitab selle kinnitamiseks aktsionäride
üldkoosolekule.

Olulisemad sündmused 2025

Meretransport
2025. majandusaastal vedas Tallink Grupp 5,5 miljonit reisijat ehk 0,9% vähem
kui 2024. aastal. Veetud kaubaveoühikute arv vähenes eelmise aastaga võrreldes
19,2% ja oli 245 004, samas kui veetud sõiduautode arv vähenes 2,2% ja oli
760 473. Toimus kaubalaeva Sailor müük ja kruiisilaeva Silja Europa
prahilepingut pikendati kuni 2027. aasta jaanuari lõpuni võimalusega lepingut
selle lõppemisel pikendada ühe aasta võrra.

Energeetika
2025. majandusaastal tõi Elenger Inkoo ja Klaip?da terminalidesse kokku 18 TWh
energiat (2024: 18 TWh). Elengeri turuosa ulatus Soome-Balti turul kokku ligi
neljandikuni. Gaasi varusid hoiustati lisaks Läti maa-alusele gaasihoidlale ka
Poolas ja Saksamaal.Müük Eestis moodustas aasta lõpu seisuga 15% kogumahust ning
ettevõtte gaasimüügi turuosa Soome-Balti turul oli 21%.

Kinnisvara ja infrastruktuur
INF Infra jätkas Rail Baltica põhitrassi ehitusega Kangru-Saku lõigul. Lepingu
maht on 67,2 miljonit eurot ja tööd on planeeritud kestma 2028. aasta märtsini.
Jätkus Tallink Tennisekeskuse kõrval asuvale kinnistule Depo (DIY Store)
kaubanduspinna ehitamine, mille valmimise tähtaeg on 2026. aasta sügis.

Tähtsamad finantsnäitajad ja suhtarvud

+----------------------------------------------------+------------+------------+
|Finantsnäitaja/suhtarv                              |12 kuud 2025|12 kuud 2024|
+----------------------------------------------------+------------+------------+
|Müügitulu (miljonites eurodes)                      |1 837,000   |1 371,775   |
+----------------------------------------------------+------------+------------+
|Brutokasum (miljonites eurodes)                     |239,842     |128,628     |
+----------------------------------------------------+------------+------------+
|EBITDA (miljonites eurodes)                         |227,919     |145,275     |
+----------------------------------------------------+------------+------------+
|EBITDA marginaal (%)                                |12,4%       |10,6%       |
+----------------------------------------------------+------------+------------+
|Ärikasum/ kahjum (EBIT) (miljonites eurodes)        |109,008     |77,024      |
+----------------------------------------------------+------------+------------+
|Aruandeaasta kasum/ kahjum (miljonites eurodes)     |69,857      |193,670     |
+----------------------------------------------------+------------+------------+
|Emaettevõtte osanikele kuuluv kasum/kahjum          |70,550      |191,253     |
|(miljonites eurodes)                                |            |            |
+----------------------------------------------------+------------+------------+
|Kasum aktsia kohta (eurodes)(1)                     |3,3         |9,1         |
+----------------------------------------------------+------------+------------+
|Omakapital (miljonites eurodes)                     |1 175,404   |1 166,221   |
+----------------------------------------------------+------------+------------+
|Kohustised (miljonites eurodes)                     |1 071,353   |1 223,287   |
+----------------------------------------------------+------------+------------+
|Netovõlg                                            |851,582     |1 055,708   |
+----------------------------------------------------+------------+------------+
|Investeerimislaenude ja EBITDA suhe                 |3.0x        |3.0x        |
+----------------------------------------------------+------------+------------+

(1 )Kasum aktsia kohta (eurodes) arvutatakse järgmiselt: emaettevõtte omanikele
kuuluv kasum/kahjum täisarvudes/ aktsiate arv, millest on maha arvatud oma
aktsiad.

Müügitulu

2025. majandusaasta 12 kuu jooksul suurenes kontserni konsolideeritud müügitulu
465,225 miljoni euro võrra ja ulatus 1 837,000 miljoni euroni (2024. aasta 12
kuu konsolideeritud müügitulu oli 1 371,775 miljonit eurot). Olulist positiivset
mõju avaldas uute ettevõtete lisandumine konsolideerimisgruppi võrdluses eelmise
aastaga.

EBITDA ja segmendiaruandlus

EBITDA 60 protsendi kasv tulenes eelkõige Tallink Grupi tulemuste
konsolideerimisest kogu 12 kuu ulatuses, Elengeri EBITDA ligikaudu 12 miljoni
euro suurusest paranemisest ning põllumajandussektori, sh Estonia Farmide ja
Halinga, lisandumisest konsolideerimisgruppi.

Meretranspordi segmendi EBITDA oli 2025. majandusaastal 119,528 miljonit eurot
(2024. majandusaastal 175,181 miljonit eurot). Tallinki 2024 tulemusi mõjutasid
peamiselt keeruline majandusolukord koduturgudel ja tarbimiskindluse madalaim
tase viimase kümnendi jooksul.

Energeetikasegmendi EBITDA oli 2025. majandusaastal 89,323 miljonit eurot (2024.
majandusaastal 77,235 miljonit eurot). Energeetikasegmendi kasumlikkust
mõjutasid positiivselt võrguettevõtete tulemused.

Kinnisvarasegmendis võetakse kasumlikkuse hindamisel arvesse eraldiseisvate
kinnisvaraettevõtete EBITDA. Kinnisvara EBITDA oli 2025. majandusaastal kokku
14,748 miljonit eurot (2024. majandusaastal 14,309 miljonit eurot). Täiendavalt
lisandus 2025. majandusaastal arvestusse Rimi Logistikakeskus.

Puhaskasum

Konsolideeritud puhaskasum oli 2025. majandusaastal 69,857 miljonit eurot (2024.
majandusaastal 193,670 miljonit eurot). Kui välja arvata 2024. aastal Tallinki
omandamisest saadud ühekordne kasum, paranes kontserni põhitegevusest tulenev
kasumlikkus 2025. aastal.

Finantseerimine

Laenu ja liisingkohustised olid 2025. majandusaastal kokku 1 071,353 miljonit
eurot (2024. majandusaastal 1 223,287 miljonit eurot). Netovõla ja EBITDA
suhtarv on 3,7.

Dividendid

Dividendipoliitika kohaselt on eesmärgiks maksta dividendideks vähemalt 1 euro
aktsia kohta majandusaastas. Dividendide väljamakseid tehakse kahes osas.
Infortar kontserni juhatus kavatseb kooskõlastatult nõukoguga teha ettepaneku
tasuda 2025. aasta majandustulemuste eest dividendi 3,02 eurot aktsia kohta.
Ettepaneku kohaselt toimuvad väljamaksed juulis ja detsembris 2026.

Dividend koosneb kolmest osast:
1 euro aktsia kohta, mida makstakse vastavalt dividendipoliitikale;
AS Tallink Grupp edasi kantav dividend 1,48 eurot aktsia kohta;
Täiendav dividend 0,54 eurot aktsia kohta, mida makstakse tulenevalt
majandustulemustest 2025. aastal.
Infortari aktsiate arv kokku on 21 166 239, millest arvatakse dividendi maksetel
maha oma aktsiate arv.

KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

  (tuhandetes eurodes)                            31.12.25    31.12.24

  KÄIBEVARA

  Raha                                             219 771     167 579

  Lühiajalised tuletisinstrumendid                   4 732       8 333

  Realiseerunud tuletisinstrumentide nõuded          1 823         676

  Nõuded ostjatele                                 153 473     155 351

  Maksude ettemaksed                                 5 659       3 831

  Muud nõuded ja ettemaksud                         38 878      38 517

  Ettemaksed varude eest                               476       2 498

  Varud                                             90 672     215 914

  Bioloogilised varad                                1 545         941

  Käibevara kokku                                  517 029     593 640

  PÕHIVARA

  Investeeringud sidusettevõtetesse                 21 412      16 603

  Pikaajalised tuletisinstrumendid                   1 079       3 214

  Pikaajalised laenud ja muud nõuded                 4 548       9 055

  Edasilükkunud tulumaksuvara                       27 100      26 108

  Kinnisvarainvesteeringud                          66 872      67 931

  Materiaalne põhivara                           1 871 970   1 909 458

  Immateriaalne põhivara                            37 930      38 874

  Kasutusõigusega vara                              39 645      47 598

  Bioloogiline vara                                  9 022       2 753

  Põhivara kokku                                 2 079 578   2 121 594

  VARAD KOKKU                                    2 596 607   2 715 234



  KOHUSTISED JA OMAKAPITAL

  (tuhandetes eurodes)                            31.12.25    31.12.24

  LÜHIAJALISED KOHUSTISED

  Laenukohustised                                  338 515     497 162

  Rendikohustised                                   10 029       9 020

  Võlad tarnijatele                                123 330      87 941

  Maksukohustused                                   44 972      49 354

  Ostjate ettemaksed                                38 621      31 126

  Realiseerunud tuletisinstrumendid                  4 156       8 728

  Muud lühiajalised kohustised                      69 677      63 431

  Lühiajalised tuletisinstrumendid                   9 552      27 704

  Lühiajalised kohustised kokku                    638 852     774 466

  PIKAAJALISED KOHUSTISED

  Pikaajalised eraldised                             8 695       9 946

  Edasilükkunud tulumaksukohustis                    1 894       2 816

  Muud pikaajalised kohustised                      46 028      43 209

  Pikaajalised tuletisinstrumendid                   2 925       1 471

  Laenukohustised                                  686 187     676 670

  Rendikohustised                                   36 622      40 435

  Pikaajalised kohustised kokku                    782 351     774 547

  KOHUSTISED KOKKU                               1 421 203   1 549 013

  OMAKAPITAL

  Aktsiakapital                                      2 117       2 117

  Omaaktsiad                                          -790         -72

  Ülekurss                                          32 484      32 484

  Reservkapital                                        212         212

  Optsioonireserv                                   10 099       6 223

  Riskimaandamise reserv                            -7 260     -21 674

  Realiseerimata kursivahed                          1 167          45

  Töösuhtejärgsete hüvitiste kohustuste reserv        -559        -185

  Jaotamata kasum                                  884 204     890 167

  Emaettevõtte omanikele kuuluv omakapital         921 674     909 317

  Vähemusosalus                                    253 730     256 904

  Omakapital kokku                               1 175 404   1 166 221

  KOHUSTISED JA OMAKAPITAL KOKKU                 2 596 607   2 715 234


KONSOLIDEERITUD KASUMI- JA KOONDKASUMIARUANNE

                                                             12 kuud    12 kuud
 (tuhandetes eurodes)                                           2025       2024

 Müügitulu                                                 1 837 000  1 371 775

 Müügikulu                                                -1 596 485 -1 243 034

 Nõuete allahindlused                                           -673       -113

 Brutokasum                                                  239 842    128 628

 Turustuskulud                                               -46 571    -21 086

 Üldhalduskulud                                              -94 178    -50 438

 Kasum/kahjum tuletisinstrumentidest                          10 847     26 672

 Kasum/kahjum bioloogilistelt varadelt                         5 412       -139

 Kasum (kahjum) kinnisvarainvesteeringute õiglase
 väärtuse muutusest                                           -2 868       -949

 Kasum (kahjum) põhivara õiglase väärtuse muutusest           -9 265     -8 691

 Muud äritulud                                                10 080      4 682

 Muud ärikulud                                                -4 291     -1 655

 Ärikasum                                                    109 008     77 024

 Kasum kapitaliosaluse meetodil arvestatud
 investeeringutelt                                             4 247     22 974

 Finantstulud ja -kulud

 Finantsinvesteeringute tulu                                  19 008     13 392

 Finantsinvesteeringute kulu                                  -2 592        -50

 Intressikulu                                                -45 749    -38 274

 Intressitulu                                                  3 070      4 979

 Kasum/kahjum valuutakursi muutustest                            244        100

 Soodusostust saadud tulud                                         0     93 659

 Finantstulud ja -kulud kokku                                -26 019     73 806

 Kasum enne maksustamist                                      87 236    173 804

 Ettevõtte tulumaks                                          -17 379     19 866

 Aruandeaasta kasum/kahjum                                    69 857    193 670

 sealhulgas:

 Emaettevõtte omanikele kuuluv kasum/kahjum                   70 550    191 253

 Vähemusosalusele kuuluv kasum/kahjum                           -693      2 417

 Muu koondkasum

 Kirjed, mida ei klassifitseerita kasumiaruandesse:

 Töösuhtejärgsete hüvitiste kohustuste
 ümberhindlus                                                   -374       -141

 Kirjed, mida võib edaspidi ümber klassifitseerida
 kasumiaruandesse:

 Riskimaandamisinstrumentide ümberhindlus                     14 414    -45 792

 Välismaiste tütarettevõtjate ümberarvestusel tekkinud
 valuutakursivahed                                             1 122         53

 Muu koondkasum kokku                                         15 162    -45 880

 Aruandeaasta koondkasum/-kahjum kokku                        85 019    147 790

 sealhulgas:

 Emaettevõtte omanikele kuuluv kasum/kahjum                   85 712    145 373

 Vähemusosalusele kuuluv kasum/kahjum                           -693      2 417

 Tavakasum aktsia kohta                                         3,43       9,36

 Lahustatud kasum aktsia kohta                                  3,37       9,12


KONSOLIDEERITUD RAHAVOOGUDE ARUANNE

 Rahavood äritegevusest

 (tuhandetes eurodes)                                 12 kuud 2025 12 kuud 2024

 Aruandeaasta kasum                                         69 857      193 670

 Korrigeerimised:

 Põhivara ja kinnisvara investeeringute kulum ning
 väärtuse muutus                                           118 911       68 251

 Kapitaliosaluse ümberhindlus                               -4 247      -22 974

 Tuletisinstrumentide väärtuse muutus                        3 433       -1 483

 Muud finantstulud/-kulud                                  -15 585     -112 030

 Arvestatud intressikulud                                   45 749       38 274

 Kasum/kahjum põhivara müügist                                -479         -955

 Tuludes kajastatud sihtfinantseerimise tulu                -1 791         -643

 Arvestatud tulumaksukulu                                   17 379      -19 866

 Eraldiste moodustamine ja korrigeerimine                    3 519         -321

 Korrigeerimised kokku                                     166 889      -51 747

 Makstud tulumaks                                          -18 302      -10 551

 Äritegevusega seotud nõuete ja ettemaksete muutus            -195       52 023

 Varude muutused                                           131 377      -12 831

 Äritegevusega seotud kohustiste ja ettemaksete
 muutus                                                     36 289      -80 954

 Bioloogiliste varade muutus                                -1 944         -322

 Kokku rahavood äritegevusest                              383 971       89 288



 Rahavood investeerimistegevusest

 Tasutud sidusettevõtete ostul                                  12            0

 Netorahavood tütarettevõtete ostul                        -43 881     -111 684

 Antud laenude tagasimaksed                                  4 513        1 918

 Laekunud dividendid                                             0       20 862

 Laekunud intressid                                          3 043        4 953

 Tasutud kinnisvarainvesteeringute soetamisel               -3 348      -10 352

 Tasutud materiaalse ja immateriaalse põhivara
 soetamisel                                                -76 747      -27 835

 Laekunud kinnisvarainvesteeringute ja põhivara
 müügist                                                    84 584        1 561

 Kokku rahavood investeerimistegevusest                    -31 824     -120 577



 Rahavood finantseerimistegevusest                    12 kuud 2025 12 kuud 2024

 Laekumised sihtfinantseerimisest                            4 196          225

 Arvelduskrediidi muutus                                     1 224       12 863

 Saadud laene                                              103 379      358 731

 Saadud laenude tagasimaksed                              -271 067     -151 790

 Rendikohustiste põhiosa tagasimaksed                      -13 839      -11 300

 Makstud intressid                                         -46 617      -39 153

 Makstud dividendid                                        -76 513      -60 997

 Laekunud aktsiate emiteerimisest                             -718        3 174

 Kokku rahavood finantseerimistegevusest                  -299 955      111 753



 Rahavood kokku                                             52 192       80 464

 Raha ja raha ekvivalendid perioodi alguses                167 579       87 115

 Raha ja raha ekvivalendid perioodi lõpus                  219 771      167 579

 Raha ja raha ekvivalentide muutus                          52 192       80 464


Infortar tegutseb seitsmes riigis, ettevõtte peamised tegevusvaldkonnad on
meretransport, energeetika ja kinnisvara. Infortar omab 68,47% suurust osalust
AS-is Tallink Grupp, 100% osalust AS-is Elenger Grupp ning mitmekülgset ja
kaasaegset, ca 141 000 m(2) suurust kinnisvaraportfelli. Lisaks kolmele
põhitegevusvaldkonnale tegutseb Infortar põllumajanduse, insenerehituse,
ehitusmaavarade, trükkimise ja muudes valdkondades. Kokku kuulub Infortari
kontserni 109 ettevõtet, sealhulgas 4 sidusettevõtet ja 4 sidusettevõtete
tütarettevõtet. Arvestamata sidusettevõtteid annab Infortar tööd 6466 inimesele.

Lisainfo:

Kadri Laanvee
AS Infortar investorsuhete juht
Tel. 5156662
E-mail: [email protected]
(https://www.globenewswire.com/Tracker?data=ZEMh4DFDf0x04c9iBkb4myjLP9cddYIiZh3Z
hzM9SkI8V2ow_ESfMl7w1o31sgFs0yFZJnKweNRJaiHWq7y8wgNTS2yaBHv6rPFlD3DNvF2UjZ52NZsv
h15Ms87c_6fn2K29sp6eAlcbeOie6s9LaR5l62IM5f79Y2xArPpo5oB6Nc9-
g8fCk6oS2jHsUDQv4nbIQVwmeQS--kyVvPwcAS3a5MsQIxAv3GSZpS5C4gaCXExdKMLio9neVC9J_hIy
_hJBfmvKXk0oRJ45lUXzorWAu8T9zEGofWqtSxly979zjosova5__PI0MXa8tE4-BIExywTJx6CRRdgM
KAXfkMSyAAtuIeuNZqRU406c8j-uQbiUPmrJKyr1UQ0XhOU-fV3ZxFN3mjdzF7aE-u667dL7jcr5p82v
Fq-E1RGrA8MsIE5p3IB_YgGge3MeqP1-xypY_7PX3slbYVjOQAfesPYqUprq7Afs1Sf0UDCqJDQQYe3H
_4c1n7iEhWGcxuXVhX6Q9y0H7XhhrrcS7UumHUCD3OaScBkVRdMv2nerZUDuyjPlgWZpqp7EFcS8-nR4
4G4oCdSCdRLuGa6yHqu6WHubCLshRoFuDtl3-seTEvHjOQL_ZoDYR95eY9esQwWdBwWqrk1tb7DwDIlw
dBGOxbG5NVLsXtPOq_AmgiZAPJoIITgq9LZ2BHPO1U70M_8Mt3QazgdkWrv6GnKRclIkWPqtyCBsBCYs
XZftc6Ky24ZBpikWny002mcMFZ3HDULmj7_CYI6WJLo9hGzlpKRQIc9p-C4Ga9N44bkealn0MZXE12M-
vvi4IQeELb_HqKPwqNk5OTemio6Zt5kyrrMxisDiYGvNPTIWrobSan7_wWPnLQ7UBGJnxeijPa2IGzB5
FJZmkh3ENb6IBz7DOBlcPmtwlhD-uqZaZwBTNIwey22K32mssS7z-4tFdcM2WFSt1bpGp378Yqrdy2-y
4od5QS0cVXD4cMp2XIxt764CVvgRlpBzb-QzDNSolmgVXHC3_bmrUiojfoE93wylIKjA8J2zOv-KKQDT
ozwaDaUV2eYh1ozt2zsw1S0xW-hFPCG0ASIunvxZYrFx628_1k9NFN1yHD2mprgFr2kU_8HLsQ8LaXQn
XU2y9ijiGaXs2Rd9x8WRFcpLEawQ0YzuxhNOLtW-on3PW76NtLj-h3vngxRv6oJpf5P9yyHnAXk_Fpps
bTLTEA76kxj7CjvfA87SMvXNUrMCFDVq4uT3J5AjIdMcaraL9VaGF5qgOKlY4JSkFAHg_M8dkyGtSk6o
l-mIL0PQ8ecokuGO_yBFMOYB_Unu1Rf91BTCSZye7KViSLYF4iz_A5nKFup3QXzv0wuT2WvrNKyiViB6
0jM0qrSdXkwnQmJ8EXUUN7zJHX0yCLk7FlS5MCNTqfRzkC9Lnli3v_hH_HXf78NbwsjOyTMr1MPJ1VvE
PdUPtCTaXtQVHnLZUwZsGiZQjnlSZL8hk3Ajo63dlMM6cdCl3i_hAlnB6FLGp-68YolKkfcMykkudHoV
KEhfnM_iLnYdOXnXYQ-L29JfpbFlMsEYMO7ep7JcaQfVWidiZ9BtHV6Ua09Z-YDOQr2zEJPTaFah5Xi1
sOH9-KfOKoRH0HGCeVDQnq_GAayHTF1bHVHsKMyIlgvKRfZHuLlg9ExGcULYthRzmTgYrBx9SjMHlra_
HVuDn1xb4XrEdPNkrV-xeHiIDvHt7oxkou_65GnE8NdjfxRoacDS3aqW5dvzp0Cnmd9y2Bmcd03s4L0Z
KTeFkinZIR9HTnUPcTtt_fJTtkxIt1Ejyn8jI7DorvgD7gTfbxOdIwd7F5OBakmmYWAEvrAFMlbBKN7l
XdWPOGfz6sLfaGh4S3_z6PaQQfgZTRQsMK6Jse04IIbBCwFImdaa3dc2yVmsLiUG1P5AyfShUp5o4LpD
qyrMbB4qIvF2PpWj7RrG_ZRegq4=)
www.infortar.ee/investorile
(https://www.globenewswire.com/Tracker?data=0Gh1CtojbYsgwp0WURmLAoGgatLQxZtD1INK
Boc76kZ8Px2PPXHWtFbkckvS83uTSz8aUPkD4sgF6lYvbVBQC3XlR3XmVI-
QeIdzOGgRkP0WVXgpZctE9yzbNZZ25UD5Bkc4I6DWwcBzLiNDboA1JsXkZO78jCfPg9nrfgD9-
Bp2uDChF0FjIFweO5qk_zoWHIqHuDVlplaWLBH2ql1bSl7Wt4vxaEL2dmwh-
QHTI2K5VrVG_yfUt2Zh7CA2NdHo_4LDUSUTzTJeR0DbJFlwi2LVFFuZnkYKD9kgHE_HjSAhUM5X7MD_C
R_-
_IluhN243Hr86nyTIMkA6d9RxISPwrBuHkWZMRMbRNVnbiT4uJQ_1FPMVLIO--Yzv9MfAcKZ7kMbvCcI
PWYGKc5kSrNca1-yUHuvYdj0ZEPUV35TvTSdg8KMjGH_yzJI2_If5YCqwkGrp9ou4C-2cWTkn53u4sIx
vS_d_3WjG_5xcle5pzq6kgh0b2FeDjWdhKJfk5T78DU7FkY6sWC2qy4pJbA9ZgxSMZhkbWZOdH15j6Dt
kYhatzoYexF16euiCyrOQRXS)

Teate sisu inglise keeles

Pealkiri

Aktsiaselts Infortar 2025 audited Annual Report

Teade

The Supervisory Board of Aktsiaselts Infortar approved the audited annual report
for 2025 and will submit it to the Annual General Meeting for approval.

Major Events

Maritime transport

2025 financial year, Tallink carried 5.5 million passengers, which is down 0.9%
compared to the financial year 2024. The number of cargo units transported
decreased by 19.2% to 245,004 while the number of passenger vehicles was down by
2.2% to 760,473, year-on-year. Cargo vessel Sailor was sold and the charter
agreement of the cruise ferry Silja Europa was extended until the end of January
2027 with the option of extending the agreement for another year.

Energy

In the 2025 financial year, Elenger delivered a total of 18 TWh LNG cargoes to
the Inkoo and Klaip?da terminals (2024: 18 TWh). Market share in the
Finnish-Baltic region reached approximately one quarter. Gas inventories were
stored not only in the Latvian underground gas storage facility, but also in
Poland and Germany. Sales in Estonia at the end of the year accounted for 15% of
the energy sales of the total volume. The company´s market share was 21%.

Real estate and infrastructure

INF Infra continued the construction of Rail Baltica's mainline on the Kangru-
Saku section. The contract value is EUR 67.2 million, and the work is planned to
continue until March 2028. Construction on a commercial space for Depo (DIY
Store) in Lasnamäe continued. The project is scheduled for completion in the
fall of 2026.

Key figures of financial year

+-------------------------------------------+--------------+--------------+
|Key figures                                |12 months 2025|12 months 2024|
+-------------------------------------------+--------------+--------------+
|Sales revenue. mEUR                          |1 837.000     |1 371.775     |
+-------------------------------------------+--------------+--------------+
|Gross profit. mEUR                           |239.842       |128.628       |
+-------------------------------------------+--------------+--------------+
|EBITDA. mEUR                                 |227.919       |145.275       |
+-------------------------------------------+--------------+--------------+
|EBITDA margin (%)                          |12.4%         |10.6%         |
+-------------------------------------------+--------------+--------------+
|Operating profit. EBIT. mEUR                 |109.008       |77.024        |
+-------------------------------------------+--------------+--------------+
|Total profit(-loss). mEUR                    |69.857        |193.670       |
+-------------------------------------------+--------------+--------------+
|Net profit (-loss) holders of the Parent mEUR|70.550        |191.253       |
+-------------------------------------------+--------------+--------------+
|EPS (euros)1                               |3.3           |9.36          |
+-------------------------------------------+--------------+--------------+
|Total equity mEUR                            |1 175.404     |1 166.221     |
+-------------------------------------------+--------------+--------------+
|Total liabilities mEUR                       |1 071.353     |1 223.287     |
+-------------------------------------------+--------------+--------------+
|Net debt mEUR                                |851.582       |1 055.708     |
+-------------------------------------------+--------------+--------------+
|Investment loans to EBITDA (ratio)         |3.0x          |3.0x          |
+-------------------------------------------+--------------+--------------+

(1) Earnings per share (in euros) is calculated as follows: profit/loss
attributable to the owners of the parent, in absolute figures, divided by the
number of shares, excluding own shares.

Revenue

During the 12 months of the 2025 financial year, the Infortar group's
consolidated revenue increased by EUR 465.225 million, reaching EUR 1,837.000
million (consolidated revenue for the 12 months of 2024 amounted to EUR
1,371.775 million). The addition of new companies to the consolidation group
compared to the previous year had a significant positive impact.

EBITDA and Segment Reporting

The 60 percent increase in EBITDA was primarily driven by the full 12-month
consolidation of Tallink Grupp, an approximately EUR 12 million improvement in
Elenger's EBITDA and the contribution from the agriculture segment, including
Estonia Farmid and Halinga.

The Maritime Transport segment's EBITDA amounted to EUR 119.528 million in the
2025 financial year (EUR 175.181 million in the 2024 financial year). Tallink's
2024 results were primarily impacted by the challenging economic environment in
its home markets and the lowest level of consumer confidence in the past decade.
The Energy segment's EBITDA amounted to EUR 89.323 million in the 2025 financial
year (EUR 77.235 million in the 2024 financial year). The profitability of the
Energy segment was positively influenced by the results of network companies.
In the Real Estate segment, profitability is assessed based on the EBITDA of the
separate real estate companies. Real Estate EBITDA totalled EUR 14.748 million
in the 2025 financial year (EUR 14.309 million in the 2024 financial year).
Additionally, the Rimi Logistics Centre was included in the reporting in the
2025 financial year.

Total Profit

The consolidated net profit for the 2025 financial year amounted to EUR 69.857
million (EUR 193.670 million in the 2024 financial year). Excluding the one-off
gain from the Tallink acquisition in 2024, the underlying profitability of the
Group improved in 2025.

Financing
Loan and lease liabilities totalled EUR 1,071.353 million in the 2025 financial
year (EUR 1,223.287 million in the 2024 financial year). The net debt to EBITDA
ratio was 3.0.

Dividends
In accordance with the dividend policy, the objective is to pay dividends of at
least EUR 1 per share per financial year. Dividend payments are made in two
instalments. The Management Board of Infortar Group intends, in coordination
with the Supervisory Board, to propose a dividend of EUR 3.02 per share for the
2025 financial year. According to the proposal, the payments will be made in
July and December 2026.

The dividend consists of three components:
EUR 1 per share, paid in accordance with the dividend policy;
the dividend received from AS Tallink Grupp, 1.48 euros per share;
an additional dividend 0.54 euros per share, paid based on the 2025 financial
results.
The total number of Infortar shares amounts to 21 166 239 from which the
company's own shares shall be deducted.

Consolidated statement of financial position

 (in thousands of EUR)                                      31.12.25  31.12.24

 Current assets

 Cash and cash equivalents                                   219 771   167 579

 Short-term derivatives                                        4 732     8 333

 Settled derivative receivables                                1 823       676

 Trade receivables                                           153 473   155 351

 Prepaid taxes                                                 5 659     3 831

 Trade and other receivables                                  38 878    38 517

 Prepayments for inventories                                     476     2 498

 Inventories                                                  90 672   215 914

 Biological assets                                             1 545       941

 Total current assets                                        517 029   593 640

 Non-current assets

 Investments in associates                                    21 412    16 603

 Long-term derivative instruments                              1 079     3 214

 Long-term loans and other receivables                         4 548     9 055

 Deferred tax asset                                           27 100    26 108

 Investment property                                          66 872    67 931

 Property, plant and equipment                             1 871 970 1 909 458

 Intangible assets                                            37 930    38 874

 Right-of-use assets                                          39 645    47 598

 Biological assets                                             9 022     2 753

 Total non-current assets                                  2 079 578 2 121 594

 TOTAL ASSETS                                              2 596 607 2 715 234



 (in thousands of EUR)                                      31.12.25  31.12.24

 Current liabilities

 Loan liabilities                                            338 515   497 162

 Lease liabilities                                            10 029     9 020

 Payables to suppliers                                       123 330    87 941

 Tax obligations                                              44 972    49 354

 Buyers' advances                                             38 621    31 126

 Settled derivatives                                           4 156     8 728

 Other current liabilities                                    69 677    63 431

 Short term derivatives                                        9 552    27 704

 Total current liabilities                                   638 852   774 466

 Non-current liabilities

 Long-term provisions                                          8 695     9 946

 Deferred taxes                                                1 894     2 816

 Other long-term liabilities                                  46 028    43 209

 Long-term derivatives                                         2 925     1 471

 Loan liabilities                                            686 187   676 670

 Lease liabilities                                            36 622    40 435

 Total non-current liabilities                               782 351   774 547

 TOTAL LIABILITIES                                         1 421 203 1 549 013

 Equity

 Share capital                                                 2 117     2 117

 Own shares                                                     -790       -72

 Share premium                                                32 484    32 484

 Reserve capital                                                 212       212

 Option reserve                                               10 099     6 223

 Hedging reserve                                              -7 260   -21 674

 Unrealised exchange rate differences                          1 167        45

 Post-employment benefit obligation reserve                     -559      -185

 Retained earnings from previous periods                     884 204   890 167

 Total equity attributable to equity holders of the Parent   921 674   909 317

 Non-controlling interest(s)                                 253 730   256 904

 Total equity                                              1 175 404 1 166 221

 TOTAL LIABILITIES AND EQUITY                              2 596 607 2 715 234


Consolidated statement of profit or loss and other comprehensive income

 (in thousands of EUR)                            12 months 2025 12 months 2024

 Revenue                                               1 837 000      1 371 775

 Cost of goods (goods and services) sold              -1 596 485     -1 243 034

 Write-down of receivables                                  -673           -113

 Gross profit                                            239 842        128 628

 Marketing expenses                                      -46 571        -21 086

 General administrative expenses                         -94 178        -50 438

 Profit (loss) from derivative financial
 instruments                                              10 847         26 672

 Profit (loss) from biological assets                      5 412           -139

 Profit (loss) from the change in the fair value
 of the investment property                               -2 868           -949

 Profit (loss) from changes in the fair value of
 fixed assets                                             -9 265         -8 691

 Other operating revenue                                  10 080          4 682

 Other operating expenses                                 -4 291         -1 655

 Operating profit                                        109 008         77 024

 Profit (loss) from investments accounted for by
 equity method                                             4 247         22 974

 Financial income and expenses

 Income from financial investments                        19 008         13 392

 Other financial investments                              -2 592            -50

 Interest expense                                        -45 749        -38 274

 Interest income                                           3 070          4 979

 Profit (loss) from changes in exchange rates                244            100

 Gain from bargain purchase                                    0         93 659

 Total financial income and expenses                     -26 019         73 806

 Profit before tax                                        87 236        173 804

 Corporate income tax                                    -17 379         19 866

 Profit for the financial year                            69 857        193 670

 including:

 Profit attributable to the owners of the parent
 company                                                  70 550        191 253

 Profit attributable to non-controlling interest            -693          2 417

 Other comprehensive income

 Items that will not be reclassified to profit or
 loss

 Revaluation of post-employment benefit
 obligations                                                -374           -141

 Items that may be subsequently reclassified to
 the income statement:

 Revaluation of risk hedging instruments                  14 414        -45 792

 Exchange rate differences attributable to
 foreign subsidiaries                                      1 122             53

 Total of other comprehensive income                      15 162        -45 880

 Total income                                             85 019        147 790

 including:

 Comprehensive profit attributable to the owners
 of the parent company                                    85 712        145 373

 Comprehensive profit attributable to non-
 controlling interest                                       -693          2 417

 Ordinary earnings per share (in EUR per share)             3,43           9,36

 Diluted earnings per share (in EUR per share)              3,37           9,12


Consolidated statement of cash flows statement

 Cash flows from operating activities

                                                            12 months 12 months
 (in thousands of EUR)                                           2025      2024

 Profit for the financial year                                 69 857   193 670

 Adjustments:

 Depreciation, amortisation, and impairment of non-current
 assets                                                       118 911    68 251

 Fair value adjustment of equity investment                    -4 247   -22 974

 Change in the value of derivatives                             3 433    -1 483

 Other financial income/expenses                              -15 585  -112 030

 Calculated interest expenses                                  45 749    38 274

 Profit/loss from non-current assets sold                        -479      -955

 Income from grants recognised as revenue                      -1 791      -643

 Corporate income tax expense                                  17 379   -19 866

 Recognition and adjustment of provisions                       3 519      -321

 Total adjustments                                            166 889   -51 747

 Income tax paid                                              -18 302   -10 551

 Change in receivables and prepayments related to operating
 activities                                                      -195    52 023

 Change in inventories                                        131 377   -12 831

 Change in payables and prepayments relating to operating
 activities                                                    36 289   -80 954

 Change in biological assets                                   -1 944      -322

 Total cash flows from operating activities                   383 971    89 288



 Cash flows from investing activities

 Purchases of associates                                           12         0

 Net cash flows on acquisition of subsidiaries                -43 881  -111 684

 Received dividends                                                 0    20 862

 Given loans                                                    4 513     1 918

 Interest received                                              3 043     4 953

 Purchases Investment property                                 -3 348   -10 352

 Purchases of property, plant and equipment                   -76 747   -27 835

 Proceeds from sale of property                                84 584     1 561

 Total cash flows used in investing activities                -31 824  -120 577



                                                            12 months 12 months
 Cash flows used in financing activities                         2025      2024

 Proceeds from targeted financing                               4 196       225

 Changes in overdraft                                           1 224    12 863

 Proceeds from borrowings                                     103 379   358 731

 Repayments of borrowings                                    -271 067  -151 790

 Repayment of finance lease liabilities                       -13 839   -11 300

 Interest paid                                                -46 617   -39 153

 Dividends paid                                               -76 513   -60 997

 Gain from share emission                                        -718     3 174

 Total cash flows used in financing activities               -299 955   111 753



 Net change in cash and cash equivalents                       52 192    80 464

 Cash at the beginning of the year                            167 579    87 115

 Cash at the end of the period                                219 771   167 579

 Net (decrease)/increase in cash                               52 192    80 464


Infortar operates in seven countries. the company's main fields of activity are
maritime transport. energy and real estate. Infortar owns a 68.47% share in
Tallink Grupp. a 100% share in Elenger Grupp and a versatile and modern real
estate portfolio of approx. 141.000 m(2). In addition to the three main areas of
activity Infortar also operates in agriculture, engineering, construction
minerals, printing sector, services and other areas. A total of 109 companies
belong to the Infortar group, including 4 affiliated companies and 4
subsidiaries of affiliated companies. Excluding affiliates Infortar employs
6466 people.

Additional information:
Kadri Laanvee
Investor Relations Manager
Phone: +372 5156662
e-mail: [email protected]
(https://www.globenewswire.com/Tracker?data=ZEMh4DFDf0x04c9iBkb4myjLP9cddYIiZh3Z
hzM9SkImGgIzxPX4VOCfi-
tvjCEErCaBAp4JShTtAFKq_MKkShJB8x7zslx--qy-6EB-5Y71_RC50hM8ZYyTcNqU3YsQtkot_cyPNP
kVRf_cVkSPBOK5bPLqa74jhx5wWZgAqYdrpm4o_wbBkARNumfOmdeLli9tVBCtLr7xQdAOKW-k52VZwS
ovJa5MfgzxWP58JaaOThTazG0xiJm_XXXZaQYhEC1OFyz3xLwwfrZHancn0aNB8DgWxx74RTpkGKSST0
JvXW4R6vHMlEyhVTo3HWgDWRuE7NRWEe3exORwaZS0WyEJz-hqW5dugBRWxAEhQI8l-jSp2zoTYACj-3
4EKxIyju3-Ic3X9MGr6MtiMnZ_HiHVNferbbIVBWCwKScvxgcX72uow98IGOaS3vlzn1uWPJlCxt58TT
Hi60K0NivTe9Gbe-dq5yPIC70_1Hbt71vb6DwOS5mACPU-SQ3ubiA_Gda-Sti8CjdaOcY6ai5nqYLnH5
TkXRpFkEJyDM0_WQ23XzgDl9rR5ejOjsgTJl5Qnzy6uAUIx9JRf9EUvjKJrxTqbMlHB6NtK-UUBaHJTM
q1V0ywjRSvAnpiJMfFiORg3LZG7F2qmoKUk82mbdN7o5LScWCZ9NIlQJK9QMGUH-0IAFIpE4nnKgnYaE
UeacEGSQXbBPr3T9veXJfzLqPRuCdIMiOPbkO4klx7iuMJiNKRKc8DcS8Dw_tXyzUGNi9QxgXV3vmaPu
5_lV97YVAmf9cjPsj_qZRvhQjj61PMMpJolouxLAKNCRtzqjTIbFhl0mAk8-pdSyafnzFYru-PRzJSB-
DS3TlXs3uVqQO1HrwRGNUxtzCfs2x5yY-Txa8YktpixGXk4aN9SY7SDvZlvQ==)
www.infortar.ee/en/investor
(https://www.globenewswire.com/Tracker?data=0Gh1CtojbYsgwp0WURmLAiwWz6zGMNywqmKY
s6b5yR62PKIDH7QUWGMYlfy8VLCnxg15IbX_SkAEYNv9eMGUqcTpshscT2qzOCSQ-
j_8TaglP4ruZQr_l7m6danC5Wycf6yZr5iYmqwUlYHISuduiwG1wn1Sw7ZihBK1JSVV7iXCATCvzE_Uf
aaT7L0aCh5iWEZY4Yef3d_jQewD3Ch3MCDURygvjl8kwxq7Hz9rAXQXtgcpHF7eHCv-
AC3EL7vVryzM7tkPKXUbYF70ZHADbmHWqwj4gAIBNhEcDIe9WdJBnfFKQBd7ebNKMFZwkCUPwKQZd4re
euXTJbEN8gDgFkBSOgELVHrilLGX1foiivLGMnrHTkmLSaMnCOj4Ho8UKkI_UtQuNNOisI7qTWIbMtrz
WYhjw5X0MGn3mCBJqVS7RFk-
2podsdaB7DuV6QB2uH9Yxx1eYL2HZAEHRYdTUcg6M-8Ndyu_qoeAiTAc3b9FtVZehzBDp4p6GXB1nPoP
V-
fmuCnq_CjL6eSi0LIZvldjMDDwWJSIKBJnqcxzIdIR0mfGx3xIM151D_y2U6XuCTgO7OYGo0tVmvjM9l
V2oXoyxuUg7P3UuZP1HerV2Kgs_QtIseO1fcR_3OzB6oSLjiUFV5tsGQ73bzcg_GJ1MZKaNk3U3imcJE
wAb9fR6__DkWFcrQvMXDUQ4lA8HLGuRcjB71jXCwSSBMZ90c6vqIMW4UfNGXOZUuwE7jYFYNG8qj8c_3
P2ZVx9PIPUuE8V07KMXYR6-
DXGidEdcvk9IyHrEKXL1xdCg6s9JP8Q641wTleOXZRjV4nBtpZ7d2RgwuCEgzL5fAZuJ4lhcZXPovBhm
OnroPCmtHfCiHLapPz4M8C2IZsO7c5qE7cxypBu8qc2rHrQpcAy6w00tt57pg==)