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Juhtkonna vaheteadaanne või kvartaalne finantsaruanne

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6984

Esitamise kuupäev ja aeg

29.11.2018 13:41:45

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Skano Group Vahearuanne 3. kvartal 2018

Teade

JUHTKONNA ARUANNE

SKANO GROUP AS AUDITEERIMATA 2018. MAJANDUSAASTA KOLMANDA KVARTALI TULEMUSED

Konsolideetritud  müügitulu  2018. majandusaasta  3. kvartalis oli 3,71 miljonit
eurot,  mis on  9% langust 2017 aasta  sama perioodiga võrreldes. Puitkiudplaadi
müügitulu   languse   põhjustas   Skano   Fibreboardi  jaoks  kahanenud  nõudlus
ühepereelamute  suurimal  turul,  Soomes.  Müügitulud teiste turgude klientidele
näitasid   mõningast   kasvu.  Mööbli  hulgimüügi  müügitulu  mõjutas  kolmandas
kvartalis  negatiivselt neljast võtmekliendist kolme nõrk tegevus. Töötame selle
kallal,  et leida juurde  uusi hulgimüügi kliente.  Ka mööbli jaemüügi müügitulu
näitas   3. kvartalis  langust,  peamiselt  suurima  müügituluga  poe  ajutisest
sulgemisest  tingituna, et see täielikult  taas-sisustada tutvustamaks Skano uut
jaekaubanduse kontseptsiooni.

Skano  Group EBITDA oli 2018 3. kvartalis  positiivne 46 tuhat eurot (3. kvartal
2017 292 tuhat  eurot).  Mööbliäri  kasumlikkus  oli  samaväärne 2017. aasta 3.
kvartali  tulemusega,  samas  kui  puitkiudplaadi  kasumlikkus vähenes oluliselt
sisseostuhindade,  puiduhakke,  kallinemise  tõttu.  Hetkel  on  käsil  protsess
kasvanud   kulu   edasikandmiseks  turule  läbi  hinnatõusu.  Kolmanda  kvartali
puhaskahjum  2018. aastal oli 211 tuhat eurot  (3. kvartalis 2017 puhaskasum 14
tuhat eurot).

ÄRISEGMENTIDE ÜLEVAADE 2018. MAJANDUSAASTA KOLMANDA KVARTALI KOHTA

Puitkiudplaadi  müügitulu 2018. aasta 3. kvartalis  oli 2,92 miljonit eurot, mis
on  8% vähem  võrreldes  2017. aasta  sama  perioodiga. Müüsime tooteid 29 riigi
klientidele.  Müügitulu langus Soomes kaalus üles teiste turgude kasvu, päädides
kogumüügitulu langusega 3. kvartalis. AC Nielsen poolt edastatava turustatistika
kohaselt  on meie  turuosa Soome  puitkiudplaadi turusegmendis stabiilselt 72%,
seega  müügikäibe languse  põhjustab eluasemeturu  muutus, kus  tarbijad kolivad
pigem   elama   linnadesse,   korterelamutesse,   selle   asemel,   et   järgida
traditsioonilisemat,    oma    maja   ehitamise,   trendi.   Skano   Fibreboardi
brutomarginaali   mõjutas   negatiivselt   puiduhakke   sisseostuhindade   tõus.
Üldkulusid   vähendati,   mis  pehmendas  negatiivset  mõju  EBITDA  tulemusele,
tulemuseks  EBITDA  141 tuhat  eurot  2018. aasta  3. kvartalis (374 tuhat eurot
2017. aasta 3. kvartalis).

Mööbli hulgimüügi müügitulu oli 2018. aasta 3. kvartalis 630 tuhat eurot, mis on
12% langust  eelmise aasta sama perioodiga võrreldes. Müügitulu kahel põhiturul,
Venemaal  ja Soomes, oli 402 tuhat eurot (91 tuhat eurot madalam 2017. aasta 3.
kvartaliga  võrreldes). Müügitulu  Skano oma  jaeketile kasvas 12% eelmise aasta
sama  perioodiga  võrreldes,  olles  177 tuhat  eurot (3. kvartal 2017 158 tuhat
eurot).  Mööbli jaemüügi EBITDA oli  3. kvartalis 2018 negatiivne 31 tuhat eurot
(negatiivne    74 tuhat   eurot   3. kvartalis   2017), peegeldades   saavutatud
kasumlikkuse  tõusu läbi kuivatite  kasutamise lõpetamise tootmisprotsessis ning
nende asendamise kuivatatud ning eelsaetud materiali sisseostuga.

Mööbli  jaeäri müügitulu  oli 2018. aasta  3. kvartalis 333 tuhat  eurot, mis on
11% (41  tuhat eurot)  madalam möödunud  aasta sama  perioodiga võrreldes. Kõiki
Baltikumi   kaupluseid   tabas   müügitulu   aeglustumine,  eriti  meie  suurima
müügituluga kauplust Tallinnas, mis oli ajutiselt suletud seoses suure-mahuliste
ümberehitustega,  tutvustamaks  Skano  uut  jaekaubanduse kontseptsiooni. Mööbli
jaemüügi  EBITDA oli  3. kvartalis 2018 negatiivne  50 tuhat eurot (3. kvartalis
2017 negatiivne 3 tuhat eurot), peegeledades 3. kvartali nõrka müügitulemust.

Mööbliäri  (hulgi- ja jaemüük kokku) EBITDA oli 3. kvartalis 2018 negatiivne 81
tuhat eurot (3. kvartalis 207 negatiivne 77 tuhat eurot).

BILANSS

Kontserni  koguvara maht oli seisuga 30.09.2018 11,0 miljonit eurot (30.09.2017:
11,9 miljonit  eurot). Kontserni kohustised  moodustasid 30.09.2018 seisuga 7,7
miljonit   eurot   (30.09.2017:   7,9 miljonit   eurot),   milledest  Skanol  on
laenukohustisi  seisuga 30.09.2018 4,9 miljonit  eurot (30.09.2017: 5,3 miljonit
eurot).

Nõuded ja ettemaksud olid 30.09.2018 seisuga1,6 miljonit eurot (30.09.2017: 1,8
miljonit  eurot). Varud 30.09.2018 seisuga  2,4 miljonit eurot (30.09.2017: 2,5
miljonit  eurot). Materiaalne ja immateriaalne põhivara seisuga  30.09.2018 7,0
miljonit eurot (7,3 miljonit seisuga 30.09.2017).

TULEVIKU VÄLJAVAADE

Puidkiudplaadi    ärisegmendis    tegeleme   müügitulu   suurendamisega   muudes
rakendusvaldkondades,    millel    on    laialdasem   ülemaailmne   haare,   kui
traditsioonilisel    tuuletõkkeplaadi    ja   isolatisooniplaadi   müügil   meie
tradistioonilistel turgudel Soomes, Venemaal ja Eestis. Me oleme juurutamas iga-
aastast   hinnatõusu   protseduuri,  leevendamaks  puiduhakke,  tootmisprotsessi
põhilise  toormaterjali,  sisseostuhinna  tõsustust  tulenevat negatiivset mõju.
Turustustegevused  on  fokuseeritud  meie  poolt  toodetud  plaadi  positiivsete
omaduste  kajastamisele, et see on toodetud värskest kuusepuu hakkest, samas kui
konkurendid kasutavad sünteetilisi materjale.

Mööbliäris,   ootame   jaekaubanduse   tulemuslikkuse   paranemist   seoses  uue
jaekaupluse  kontseptsiooni esitlemisega, mis  on juba ellu  viidud meie suurima
müügituluga  Tallinna  kaupluses  ning  ka  äsja-avatud  Decco keskuse kaupluses
Riias.  Järgnevalt  viiakse  kontseptisoon  ellu  Vilniuse ja Tartu kauplustes.
Väljume  Riias asuvast teisest  kauplusest novembri lõpus  ning plaanime loobuda
Tallinnas  asuvast teisest  kauplusest selle  madala kasumlikkuse  tõttu. Mööbli
hulgimüügi  äris on käimas läbirääkimised Soome ainuesindajaga, eesmärgiga võtta
osaliselt  üle  tema  tänased  Euroopa  kliendid,  mis  peaks  aitama  laiendada
kliendibaasi ning potensiaalselt suurendama mööbliäri müügitulusid.

ÄRIVALDKONDADE ÜLEVAADE
MÜÜGITULU ÄRISEGMENTIDE LÕIKES

                                       tuh EUR        |    tuh EUR    |
                              ------------+-----------+-------+-------+
                               III kv 2018|III kv 2017 9k 2018|9k 2017
------------------------------------------+-----------+-------+-------+
 Kiudplaadi tootmine ja müük         2 924|      3 172|  8 603|  9 285|
------------------------------------------+-----------+-------+-------+
 Mööbli tootmine ja müük               630|        715|  2 207|  2 591|
------------------------------------------+-----------+-------+-------+
 Mööbli jaemüük                        333|        374|  1 095|  1 445|
------------------------------------------+-----------+-------+-------+
   sis. mööbli jaemüük Ukraina           0|          0|      0|     64|
------------------------------------------+-----------+-------+-------+
 Elimineerimine                      (177)|      (176)|  (537)|  (748)|
------------------------------------------+-----------+-------+-------+
 Kokku                               3 709|      4 085| 11 369| 12 572|



KASUM ÄRISEGMENTIDE LÕIKES

                                                |           --------+
 tuh EUR                             III kv 2018|III kv 2017 9k 2018|9k 2017
------------------------------------------------+-------------------+-------
 EBITDA ärisegmentide lõikes                   0|          0       0|      0
------------------------------------------------+-------------------+-------
 Kiudplaadi tootmine ja müük                 141|        374     349|    874
------------------------------------------------+-------------------+-------
 Mööbli tootmine ja müük                    (31)|       (74)      15|    (5)
------------------------------------------------+-------------------+-------
 Mööbli jaemüük                             (50)|        (3)    (80)|    100
------------------------------------------------+-------------------+-------
   sisaldab mööbli jaemüüki Ukrainas           0|          0       0|      1
------------------------------------------------+-------------------+-------
 Elimineerimine                             (14)|        (5)    (22)|   (17)
------------------------------------------------+-------------------+-------
 Kokku EBITDA                                 46|        292     261|    952
------------------------------------------------+-------------------+-------
 Põhivara kulum ja amortisatsioon            181|        208     554|    625
------------------------------------------------+-------------------+-------
 Kokku ÄRIKASUM/-KAHJUM                    (135)|         84   (294)|    328
------------------------------------------------+-------------------+-------
 Neto finantskulud                            77|         70     212|    211
------------------------------------------------+-------------------+-------
 Tulumaksukulu                                 0|          0       0|      0
------------------------------------------------+-------------------+-------
 PUHASKASUM/-KAHJUM                        (211)|         14   (505)|    117

KIUDPLAADI MÜÜK

Puitkiudplaadi  mõõgitulu oli 3. kvartalis 2018 2,92 miljonit  eurot, mis on 8%
madalam  2017. aasta  3. kvartali  müügitulu  tasemest  (3,17  miljonit  eurot).
Müügitulu  kasvas soliidselt turgudel  nagu Portugal, Aasia  ja Lähis-Ida, samas
kui müügitulu langes Soomes ja Lõuna-Aafrikas.

KIUDPLAADI MÜÜGITULU GEOGRAAFILISELT

                                                tuh EUR        |    tuh EUR    |
                                                   |           +-------+       |
                                        III kv 2018|III kv 2017 9k 2018|9k 2017
---------------------------------------------------+-----------+-------+-------+
 Euroopa  Liit (sh  Suomen Tuulileijona            |           |       |       |
 müük)                                        2 093|      2 202|  6 455|  6 911|
---------------------------------------------------+-----------+-------+-------+
 Venemaa                                        448|        554|  1 169|  1 173|
---------------------------------------------------+-----------+-------+-------+
 Aasia                                          128|         50|    318|    223|
---------------------------------------------------+-----------+-------+-------+
 Lähis-Ida                                       74|         94|    248|    204|
---------------------------------------------------+-----------+-------+-------+
 Aafrika                                         62|        201|    137|    564|
---------------------------------------------------+-----------+-------+-------+
 Teised                                         118|         70|    276|    209|
---------------------------------------------------+-----------+-------+-------+
 Kokku                                        2 923|      3 172|  8 603|  9 284|



MÖÖBLI HULGIMÜÜK

Müügitulu langes 630 tuhandele eurole 3. kvartalis 2018, jäädes alla 2017. aasta
kolmanda  kvartali 715 tuhandele eurole. Vene tarbijate kindlustunne on endiselt
negatiivselt  mõjutatud Venemaale  rakendatud sanktsioonidest,  samas kui Soomes
meie   ainuesindaja   jätkab   oma   äriliste   ümber-korraldustega.  Skano  oma
jaekauplused  Baltikumis taastusid  veidi väga  nõrgast 1. poolaastast, näidates
suuremat müügitulu  2017. aasta 3. kvartaliga võrreldes.

MÖÖBLI HULGIMÜÜGITULU GEOGRAAFILISELT

  tuh EUR                  tuh EUR          |      tuh EUR      |
                --------------+-------------+---------+---------+
                  III kv 2018 | III kv 2017   9k 2018 | 9k 2017
----------------+-------------+-------------+---------+---------+
  Venemaa       |         254 |         280 |     892 |     915 |
----------------+-------------+-------------+---------+---------+
  Soome         |         148 |         213 |     596 |     795 |
----------------+-------------+-------------+---------+---------+
  Skano jae     |         177 |         158 |     530 |     665 |
----------------+-------------+-------------+---------+---------+
  Teised riigid            51 |          65 |     189 |     216 |
----------------+-------------+-------------+---------+---------+
  Kokku         |         630 |         715 |   2 207 |   2 591 |

MÖÖBLI JAEMÜÜK

Skano  kontserni jaeäri müügitulu oli 3. kvartalis 2018. aastal 333 tuhat eurot,
mis  on 11% madalam 2017. aasta 3. kvartaliga võrreldes. Alustasime 3. kvartalis
moodsama   kaupluste  kontseptsiooni  esitlemisega,  mis  pakub  mööblilahendusi
leibkonna   kogu   elamispinna   ulatuses,  laiendades  meie  mööbli  kasutamise
sortimenti  senise ajalooliselt  kitsa raamaturiiuli-lahendusega  võrreldes. Uut
kontseptsioni  esmaesitleti Tallinna põhikaupluses augusti lõpus, mis tõi endaga
kaasa  kaupluse ajutise sulgemise ehitustööde ajaks suuremal osal augusti kuust.
Uue  kontseptsiooni rakendamine toimus  ka uues Riia  kaupluses, Decco keskuses,
mis  avati oktoobri  teises pooles  ning rakendatakse  järgnevalt ka Vilniuse ja
Tartu  kaupliustes. Me loobume novembris  Riias asuvast teisest kauplusest Spice
keskuses ning plaanime loobuda teisest kaupluse pinnast Tallinnas.

MÖÖBLI JAEMÜÜGITULU GEOGRAAFILISELT

         |        tuh EUR        |    tuh EUR    |   Kaupluste arv     |
---------+-----------+-----------+-------+-------+----------+----------+
          III kv 2018|III kv 2017 9k 2018|9k 2017|30.09.2018|30.09.2017
---------+-----------+-----------+-------+-------+----------+-----------
 Eesti   |        234|        250|    603|    815|         4|         4
---------+-----------+-----------+-------+-------+----------+-----------
 Läti    |         56|         59|    250|    317|         1|         1
---------+-----------+-----------+-------+-------+----------+-----------
 Leedu   |         43|         65|    242|    248|         1|         1
---------+-----------+-----------+-------+-------+----------+-----------
 Ukraina*|          0|          0|      0|     64|         0|         0
---------+-----------+-----------+-------+-------+----------+-----------
 TOTAL   |        333|        374|  1 095|  1 445|         6|         6

*Ukraina jaekett müüdi märtsis 2017.

TÖÖTAJAD

Seisuga   30.09.2018 töötas   Kontsernis  213 inimest  (võrrelsed  226 inimesega
seisuga   30.09.2017). Töötajate  keskmine  arv  oli  2018 3. kvartalis  213 (3.
kvartalis 2017: 231).

Kõnealuse,  2018., aasta  esimese  üheksa  kuu  jooksul  olid  tööjõukulud  koos
maksukuludega  kokku 2,7 miljonit eurot  (esimesed üheksa kuud 2017 2,9 miljonit
eurot).  Kõigi  kontserni  ettevõtete  s.h.  tütarettevõtted juhatuse liikmetele
arvestatud  tasud koos maksukuludega olid  kokku 136 tuhat eurot 2018 üheksa kuu
jooksul 2018, ning 152 tuhat eurot üheksa kuu jooksul 2017.

FINANTSSUHTARVUD

 tuh EUR
                                 |           |                      |
 Kasumiaruanne                   |III kv 2018|III kv 2017    9k 2018|   9k 2017
---------------------------------+-----------+-----------+----------+----------
 Müügitulu                       |      3 709|      4 085|    11 369|    12 572
---------------------------------+-----------+-----------+----------+----------
 EBITDA                          |         46|        292|       261|       952
---------------------------------+-----------+-----------+----------+----------
 EBITDA rentaablus               |         1%|         7%|        2%|        8%
---------------------------------+-----------+-----------+----------+----------
 Ärikasum/-kahjum                |      (135)|         84|     (294)|       328
---------------------------------+-----------+-----------+----------+----------
 Ärirentaablus                   |       (4%)|         2%|      (3%)|        3%
---------------------------------+-----------+-----------+----------+----------
 Puhaskasum/-kahjum              |      (211)|         14|     (505)|       117
---------------------------------+-----------+-----------+----------+----------
 Puhasrentaablus                 |       (6%)|         0%|      (4%)|        1%
                                 |           |           |          |

                                 |           |           |          |
 Bilanss                         | 30.09.2018| 31.12.2017|30.09.2017|31.12.2016
---------------------------------+-----------+-----------+----------+----------
 Koguvarad                       |     11 012|     10 937|    11 917|    11 965
---------------------------------+-----------+-----------+----------+----------
 Koguvarade puhasrentaablus      |       (2%)|         0%|      (4%)|        1%
---------------------------------+-----------+-----------+----------+----------
 Omakapital                      |      3 277|      3 753|     3 978|     3 901
---------------------------------+-----------+-----------+----------+----------
 Omakapitali puhasrentaablus     |       (6%)|         0%|     (13%)|        3%
---------------------------------+-----------+-----------+----------+----------
 Võlakordaja                     |        70%|        66%|       67%|       67%
                                 |           |           |          |

                                 |           |           |          |
 Aktsia                          | 30.09.2018| 31.12.2017|30.09.2017|31.12.2016
---------------------------------+-----------+-----------+----------+----------
 Aktsia viimane hind (EUR)*      |       0,49|       0,62|      0,56|      0,46
---------------------------------+-----------+-----------+----------+----------
 Puhaskasum aktsia kohta (EUR)   |     (0,05)|       0,00|    (0,11)|     0,03%
---------------------------------+-----------+-----------+----------+----------
 Hind-tulu (PE) suhtarv          |    (10,35)|     195,86|    (4,94)|     17,54
---------------------------------+-----------+-----------+----------+----------
 Aktsia     raamatupidamisväärtus|           |           |          |
 (EUR)                           |       0,73|       0,83|      0,88|      0,87
---------------------------------+-----------+-----------+----------+----------
 Turuhinna                     ja|           |           |          |
 raamatupidamisväärtuse suhe     |       0,67|       0,74|      0,63|      0,52
---------------------------------+-----------+-----------+----------+----------
 Turukapitalisatsioon tuh EUR    |      2 187|      2 771|     2 497|     2 047
---------------------------------+-----------+-----------+----------+----------
 Aktsiate arv tk                 |  4 499 061|  4 499 061| 4 499 061| 4 499 061
---------------------------------+-----------+-----------+----------+----------

EBITDA = ärikasum(-kahjum) + kulum
EBITDA rentaablus = EBITDA / müügitulu
Ärirentaablus = ärikasum(-kahjum) / müügitulu
Puhasrentaablus = puhaskasum(-kahjum) / müügitulu
Koguvarade puhasrentaablus = puhaskasum(-kahjum) / koguvarad
Omakapitali puhasrentaablus = puhaskasum(-kahjum) / omakapital
Võlakordaja = kohustised / koguvarad
Puhaskasum(-kahjum) aktsia kohta = puhaskasum(-kahjum) / aktsiate arv
Hind-tulu (PE) suhtarv = aktsia viimane hind / puhaskasum(-kahjum) aktsia kohta
Aktsia raamatupidamisväärtus = omakapital / aktsiate arv
Turuhinna  ja  raamatupidamisväärtuse  suhe  =  aktsia  viimane  hind  /  aktsia
raamatupidamisväärtus
Turukapitalisatsioon = aktsia viimane hind * aktsiate arv
*http://www.nasdaqbaltic.com/

KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE

 tuh EUR                                    |30.09.2018|31.12.2017|30.09.2017
--------------------------------------------+----------+----------+----------
 Raha ja raha ekvivalendid (Lisa 2)         |        42|        74|       312
--------------------------------------------+----------+----------+----------
 Nõuded ja ettemaksed (Lisa 3)              |     1 611|     1 215|     1 773
--------------------------------------------+----------+----------+----------
 Varud (Lisa 4)                             |     2 409|     2 336|     2 554
--------------------------------------------+----------+----------+----------
 Kokku käibevarad                           |     4 062|     3 624|     4 640
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Kinnisvarainvesteeringud (Lisa 5)          |       170|       170|       170
--------------------------------------------+----------+----------+----------
 Müügiootel finantsvarad (Lisa 8)           |       351|       182|         0
--------------------------------------------+----------+----------+----------
 Muud aktsiad ja osad                       |         0|         6|         0
--------------------------------------------+----------+----------+----------
 Materiaalne põhivara (Lisa 6)              |     6 391|     6 908|     7 055
--------------------------------------------+----------+----------+----------
 Immateriaalne põhivara (Lisa 7)            |        38|        47|        52
--------------------------------------------+----------+----------+----------
 Kokku põhivarad                            |     6 950|     7 313|     7 277
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Kokku varad                                |    11 012|    10 937|    11 917
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Võlakohustised (Lisas 9)                   |       464|       593|       708
--------------------------------------------+----------+----------+----------
 Võlad ja ettemaksed (Lisas 10)             |     2 647|     1 956|     2 400
--------------------------------------------+----------+----------+----------
 Lühiajalised eraldised (Lisa 11)           |         2|        13|         5
--------------------------------------------+----------+----------+----------
 Kokku lühiajalised kohustised              |     3 114|     2 562|     3 113
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Pikaajalised võlakohustised (Lisas 9)      |     4 421|     4 422|     4 613
--------------------------------------------+----------+----------+----------
 Pikaajalised eraldised (Lisa 11)           |       200|       200|       213
--------------------------------------------+----------+----------+----------
 Kokku pikaajalised kohustised              |     4 621|     4 622|     4 826
--------------------------------------------+----------+----------+----------
 Kokku kohustised                           |     7 735|     7 184|     7 939
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Aktsiakapital (nominaalväärtuses) (Lisa 12)|     2 699|     2 699|     2 699
--------------------------------------------+----------+----------+----------
 Ülekurss                                   |       364|       364|       364
--------------------------------------------+----------+----------+----------
 Kohustuslik reservkapital                  |       288|       288|       288
--------------------------------------------+----------+----------+----------
 Muud reservid                              |        38|         9|         2
--------------------------------------------+----------+----------+----------
 Realiseerimata kursivahed                  |         0|         0|         0
--------------------------------------------+----------+----------+----------
 Jaotamata kasum (kahjum)                   |     (112)|       393|       624
--------------------------------------------+----------+----------+----------
 Kokku omakapital                           |     3 277|     3 753|     3 978
--------------------------------------------+----------+----------+----------
                                            |          |          |
--------------------------------------------+----------+----------+----------
 Kokku kohustised ja omakapital             |    11 012|    10 937|    11 917

KONSOLIDEERITUD KASUMI- JA MUU KOONDKASUMIARUANNE

 tuh EUR                               |III kv 2018|III kv 2017 9k 2018|9k 2017
---------------------------------------+-----------+-----------+-------+-------
 Müügitulu (Lisa 14)                   |      3 709|      4 085| 11 369| 12 572
---------------------------------------+-----------+-----------+-------+-------
 Müüdud toodangu kulu (Lisa 15)        |      3 206|      3 457|  9 683| 10 100
---------------------------------------+-----------+-----------+-------+-------
 Brutokasum                            |        503|        628|  1 686|  2 472
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Turustuskulud (Lisa 16)               |        479|        501|  1 460|  1 574
---------------------------------------+-----------+-----------+-------+-------
 Üldhalduskulud (Lisa 17)              |        150|        110|    444|    531
---------------------------------------+-----------+-----------+-------+-------
 Muud äritulud (Lisa 19)               |          2|        187|     13|    238
---------------------------------------+-----------+-----------+-------+-------
 Muud ärikulud (Lisa 19)               |         10|        121|     89|    278
---------------------------------------+-----------+-----------+-------+-------
 Ärikasum (-kahjum)                    |      (135)|        84 | (294) |   328
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Finantstulud (Lisa 20)                |          0|        (0)|      1|      4
---------------------------------------+-----------+-----------+-------+-------
 Finantskulud (Lisa 20)                |         77|         70|    212|    215
---------------------------------------+-----------+-----------+-------+-------
 KASUM ENNE TULUMAKSUSTAMIST           |      (211)|         14|  (505)|    117
---------------------------------------+-----------+-----------+-------+-------
 Ettevõtte tulumaks                    |          0|          0|      0|      0
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 ARUANDEAASTA PUHASKAHJUM              |      (211)|         14|  (505)|    117
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Muu koondkasum (-kahjum)              |         0 |         0 |     0 |  (40)
---------------------------------------+-----------+-----------+-------+-------
 Valuutakursi muutuste mõju            |          0|          0|      0|   (40)
---------------------------------------+-----------+-----------+-------+-------
 Kokku aruandeaasta koondkahjum        |      (211)|         14|  (505)|     77
---------------------------------------+-----------+-----------+-------+-------
                                       |           |           |       |
---------------------------------------+-----------+-----------+-------+-------
 Tava perioodi puhaskahjum aktsia kohta|           |           |       |
 (Lisa 13)                             |     (0,05)|       0,00| (0,11)|   0,03
---------------------------------------+-----------+-----------+-------+-------
 Lahustatud perioodi puhaskahjum aktsia|           |           |       |
 kohta (Lisa 13)                       |     (0,05)|       0,00| (0,11)|   0,02


Torfinn Losvik

Juhatuse esimees

+372 569 90 988

[email protected]

Manus

  * Skano 2018 3. kvartali vahearuanne (https://prlibrary-
    eu.nasdaq.com/Resource/Download/34923d7d-32c4-4d4c-a70b-179308d441ae)

Teate sisu inglise keeles

Pealkiri

Skano Group Interim Report 3rd Quarter 2018

Teade

MANAGEMENT REPORT

SKANO GROUP AS UNAUDITED THIRD QUARTER 2018 RESULTS

Consolidated  net sales  for Q3  2018 were EUR  3.71 million, being  a 9% decrease
compared  to the same  period in 2017. The  decline in sales  of fibreboards was
mainly  caused by  reduced demand  for single  family dwellings  in Fibreboard's
largest market, Finland. Sales to customers in our other markets showed a slight
increase.  Furniture  wholesale  sales  were  negatively  impacted  due  to weak
performance  by three  of the  four key  furniture customers.  We are working to
secure  more customers. Furniture  retail sales also  showed contraction, mainly
due to the temporary closure of our best performing shop for total refurbishment
caused by the introduction of Skano's new retail concept.

Skano  Group recorded EBITDA  of positive EUR  46 thousand for Q3  2018 (vs EUR 292
thousand  Q3  2017). Total  furniture  profitability  was  in line with Q3 2017
profitability,  while Fibreboard profitability was  substantially reduced due to
the  higher cost of its main raw material,  woodchips. We are now in the process
of  passing on this cost  increase to our customers.  Net loss for Q3 2018 was EUR
211 thousand (Q3 2017: profit of EUR 14 thousand).

DIVISIONAL REVIEW OF THIRD QUARTER 2018

Fibreboard  sales in  Q3 2018 were  EUR 2.92 million,  which is  8% less than same
period  in 2017. We  sold our  products to  customers in 29 countries. The sales
decline  in  Finland  outweighed  the  growth  from  the  other  countries, thus
resulting  in sales decline for  Q3. Market statistics from  AC Nielsen shows us
having a steady market share of about 72% in the Finnish fibreboard market, thus
the  sales decline is  due to a  change in the  housing industry in Finland with
consumers  moving into  cities to  live in  apartments, instead of following the
traditional  way of building  their own houses.  Gross margin in Fibreboard were
negatively  impacted by the higher woodchip prices. Overhead costs were reduced,
thus  softening  the  negative  impact  on  EBITDA,  which ended up being EUR 141
thousand for Q3 2018 (Q3 2017 EBITDA was EUR 374 thousand).

Furniture  wholesale  sales  in  Q3  2018 were  EUR 630 thousand, 12% down on same
period  last year. Total sales to our two main markets, Russia and Finland, were
EUR  402 thousand (down EUR  91 thousand from Q3  2017). Sales to Skano's own retail
chain  increased by 12% up to  EUR 177 thousand compared to  same period last year
(Q3  2017: EUR  158 thousand).  EBITDA  for  furniture  wholesale  for Q3 2018 was
negative  EUR 31 thousand (Q3 2017 EBITDA  was negative EUR 74 thousand), reflecting
the  increased profitability  achieved by  ending our  own kiln  operations last
Spring and instead now sourcing dried and cut material.

Furniture  retail sales in Q3 2018 were EUR 333 thousand, down 11% (EUR 41 thousand)
from  same period last year. Shops in all three Baltic markets experienced sales
slowdown,  and especially our best-selling shop in Tallinn which was temporarily
closed  due to  extensive refurbishing  as a  result of  introducing Skano's new
retail  concept.  EBITDA  for  furniture  retail  for Q3 2018 was negative EUR 50
thousand  (Q3 2017 EBITDA was negative EUR  3 thousand), reflecting the weak sales
in Q3.

Total Furniture operations of Skano (wholesale and retail) EBITDA for 2018 third
quarter were negative EUR 81 thousand (Q3 2017 EBITDA was negative EUR 77 thousand).

BALANCE SHEET

As  of  30.09.2018 the  total  assets  of  Skano  Group  AS  were EUR 11.0 million
(30.09.2017:  EUR 11.9 million). The liabilities of  the company as of 30.09.2018
were EUR 7.7 million (30.09.2017: EUR 7.9 million), of which Skano has borrowings of
EUR 4.9 million as at 30.09.2018 (30.09.2017: EUR 5.3 million).

Receivables  and  prepayments  amounted  to  EUR  1.6 million  as  at  30.09.2018
(30.09.2017:  EUR 1.8 million). Inventories  were EUR 2.4 million  as of 30.09.2018
(30.09.2017:  EUR 2.5 million). Property, plant and intangibles were EUR 7.0 million
as of 30.09.2018 (EUR 7.3 million as of 30.09.2017).

OUTLOOK

In  Fibreboard, we are pushing for sales  of our various applications which have
more global reach than our traditional sales of windboards and insulation boards
sold mainly in our traditional markets of Finland, Russia and Estonia. We are in
process of implementing the annual price increases, thus aiming to alleviate the
negative  impact experienced  from the  higher cost  of woodchips,  our main raw
material. Our marketing activities are focusing on the positive aspects of using
our  boards,  made  from  fresh  woodchips  from  spruce,  compared to competing
synthetic materials.

In Furniture, we expect improved retail performance with the introduction of the
new  shop concept. This has been rolled  out in our best-selling shop in Tallinn
as well as in our newly opened shop in the Decco centre in Riga and will next be
rolled  out in our Vilnius  and Tartu shops. We  are exiting our other Riga shop
end  of November, and also look  to divest of our second  shop in Tallinn due to
its poor profitability. In wholesale we are in negotiations to take over certain
European  customers from our  Finnish distributor, which  should help expand our
customer base and have potential to secure more sales of our furniture.

DIVISIONAL REVIEW
REVENUE BY BUSINESS SEGMENTS

                                        EUR thousand     |    EUR thousand     |
                                   ----------+---------+---------+---------+
                                     Q3 2018 | Q3 2017   9M 2018 | 9M 2017
---------------------------------------------+---------+---------+---------+
  Fibreboards production and sales     2,924 |   3,172 |   8,603 |   9,285 |
---------------------------------------------+---------+---------+---------+
  Furniture production and sales         630 |     715 |   2,207 |   2,591 |
---------------------------------------------+---------+---------+---------+
  Furniture retail                       333 |     374 |   1,095 |   1,445 |
---------------------------------------------+---------+---------+---------+
    incl. furniture retail Ukraine         0 |       0 |       0 |      64 |
---------------------------------------------+---------+---------+---------+
  Group transactions                   (177) |   (176) |   (537) |   (748) |
---------------------------------------------+---------+---------+---------+
  TOTAL                                3,709 |   4,085 |  11,369 |  12,572 |

PROFIT BY BUSINESS SEGMENTS

                                               |         ----------+
  EUR thousand                           Q3 2018 | Q3 2017   9M 2018 | 9M 2017
-----------------------------------------------+-------------------+---------
  EBITDA by business units:                    |                   |
-----------------------------------------------+-------------------+---------
  Fibreboards production and sales         141 |     374       349 |     874
-----------------------------------------------+-------------------+---------
  Furniture production and wholesale      (31) |    (74)        15 |     (5)
-----------------------------------------------+-------------------+---------
  Furniture retail                        (50) |     (3)      (80) |     100
-----------------------------------------------+-------------------+---------
    incl. furniture retail Ukraine           0 |       0         0 |       1
-----------------------------------------------+-------------------+---------
  Group transactions                      (14) |     (5)      (22) |    (17)
-----------------------------------------------+-------------------+---------
  TOTAL EBITDA                              46 |     292       261 |     952
-----------------------------------------------+-------------------+---------
  Depreciation                             181 |     208       554 |     625
-----------------------------------------------+-------------------+---------
  TOTAL OPERATING PROFIT/ LOSS           (135) |      84     (294) |     328
-----------------------------------------------+-------------------+---------
  Net financial costs                       77 |      70       212 |     211
-----------------------------------------------+-------------------+---------
  Income tax                                 0 |       0         0 |       0
-----------------------------------------------+-------------------+---------
  NET PROFIT/ LOSS                       (211) |      14     (505) |     117


FIBREBOARD SALES

The  total sales of fibreboards  for Q3 2018 were EUR  2.92 million, which are 8%
down from Q3 2017 sales level (EUR 3.17 million). We recorded solid sales increase
in  markets such as Portugal, Asia and  Middle-East while sales were dropping in
Finland and South Africa.

FIBREBOARD SALES BY GEOGRAPHICAL SEGMENTS

                      EUR thousand     |    EUR thousand     |
                           |         +---------+         |
                   Q3 2018 | Q3 2017   9M 2018 | 9M 2017
---------------------------+---------+---------+---------+
  European Union     2,093 |   2,202 |   6,455 |   6,911 |
---------------------------+---------+---------+---------+
  Russia               448 |     554 |   1,169 |   1,173 |
---------------------------+---------+---------+---------+
  Asia                 128 |      50 |     318 |     223 |
---------------------------+---------+---------+---------+
  Middle East           74 |      94 |     248 |     204 |
---------------------------+---------+---------+---------+
  Africa                62 |     201 |     137 |     564 |
---------------------------+---------+---------+---------+
  Other                118 |      70 |     276 |     209 |
---------------------------+---------+---------+---------+
  TOTAL              2,923 |   3,172 |   8,603 |   9,284 |

FURNITURE WHOLESALE SALES

Sales  dropped to  EUR 630 thousand  in Q3  2018, down from  EUR 715 thousand  in Q3
2017. Russian   consumer  confidence  is  still  negatively  influenced  by  the
sanctions  imposed  on  Russia  while  in  Finland  our exclusive distributor is
continuing  with  their  restructuring.  Skano's  retail  shops  in  the Baltics
recovered slightly from a very weak 1(st) half of year, with more sales compared
to Q3 2017.

FURNITURE WHOLESALE SALES BY COUNTRIES

                       EUR thousand     |    EUR thousand     |
                  ----------+---------+---------+---------+
                    Q3 2018 | Q3 2017   9M 2018 | 9M 2017
------------------+---------+---------+---------+---------+
  Russia          |     254 |     280 |     892 |     915 |
------------------+---------+---------+---------+---------+
  Finland         |     148 |     213 |     596 |     795 |
------------------+---------+---------+---------+---------+
  Skano Retail    |     177 |     158 |     530 |     665 |
------------------+---------+---------+---------+---------+
  Other countries        51 |      65 |     189 |     216 |
------------------+---------+---------+---------+---------+
  TOTAL           |     630 |     715 |   2,207 |   2,591 |

FURNITURE RETAIL SALES

Skano Group retail business recorded sales of EUR 333 thousand in Q3 2018, which
is 11% decline from Q3 2017. We started work in Q3 by introducing a more modern
retail concept which provides furniture solutions for a family's total living
space, thus widening our furniture appeal from the historical more narrow focus
on mainly bookshelves. The new retail concept was rolled out in our main Tallinn
shop end of August, which meant closure of the shop for most of August due to
the required refurbishment of the shop. The implementation of the new retail
concept took place in our new shop in Decco centre in Riga, opened late October,
and will be rolled out in our Vilnius and Tartu shops early next year. We will
close our shop in the Spice centre in Riga end of November, and we are also
seeking to exit our second Tallinn shop.

RETAIL SALES BY COUNTRIES

            |    EUR thousand     |    EUR thousand     |    Number of stores     |
------------+---------+---------+---------+---------+------------+------------+
              Q3 2018 | Q3 2017   9M 2018 | 9M 2017 | 30.09.2018 | 30.09.2017
------------+---------+---------+---------+---------+------------+-------------
  Estonia   |     234 |     250 |     603 |     815 |          4 |          4
------------+---------+---------+---------+---------+------------+-------------
  Latvia    |      56 |      59 |     250 |     317 |          1 |          1
------------+---------+---------+---------+---------+------------+-------------
  Lithuania |      43 |      65 |     242 |     248 |          1 |          1
------------+---------+---------+---------+---------+------------+-------------
  Ukraine*  |       0 |       0 |       0 |      64 |          0 |          0
------------+---------+---------+---------+---------+------------+-------------
  TOTAL     |     333 |     374 |   1,095 |   1,445 |          6 |          6

*Ukraine retail operations divested in March 2017.

PEOPLE

On  the 30th of September 2018, the Group  employed 213 people (compared to 226
people as of 30.09.2017). The average number of personnel in Q3 2018 was 213 (Q3
2017: 231).

During  first nine months of  2018, wages and salaries with  taxes amounted to EUR
2.7 million (first nine months 2017: EUR 2.9 million). Payments made to management
board  members of all  group companies including  all subsidiaries with relevant
taxes  were EUR 136 thousand in nine months 2018 and EUR 152 thousand in nine months
2017.

FINANCIAL HIGHLIGHTS

 EUR thousand
                                  |          |                     |
 Income statement                 |   Q3 2018|   Q3 2017    9M 2018|   9M 2017
----------------------------------+----------+----------+----------+----------
 Revenue                          |     3,709|     4,085|    11,369|    12,572
----------------------------------+----------+----------+----------+----------
 EBITDA                           |        46|       292|       261|       952
----------------------------------+----------+----------+----------+----------
 EBITDA margin                    |        1%|        7%|        2%|        8%
----------------------------------+----------+----------+----------+----------
 Operating profit                 |     (135)|        84|     (294)|       328
----------------------------------+----------+----------+----------+----------
 Operating margin                 |      (4%)|        2%|      (3%)|        3%
----------------------------------+----------+----------+----------+----------
 Net profit                       |     (211)|        14|     (505)|       117
----------------------------------+----------+----------+----------+----------
 Net margin                       |      (6%)|        0%|      (4%)|        1%
                                  |          |          |          |

                                  |          |          |          |
 Statement of financial position  |30.09.2018|31.12.2017|30.09.2017|31.12.2016
----------------------------------+----------+----------+----------+----------
 Total assets                     |    11,012|    10,937|    11,917|    11,965
----------------------------------+----------+----------+----------+----------
 Return on assets                 |      (2%)|        0%|      (4%)|        1%
----------------------------------+----------+----------+----------+----------
 Equity                           |     3,277|     3,753|     3,978|     3,901
----------------------------------+----------+----------+----------+----------
 Return on equity                 |      (6%)|        0%|     (13%)|        3%
----------------------------------+----------+----------+----------+----------
 Debt-to-equity ratio             |       70%|       66%|       67%|       67%
                                  |          |          |          |

                                  |          |          |          |
 Share                            |30.09.2018|31.12.2017|30.09.2017|31.12.2016
----------------------------------+----------+----------+----------+----------
 Last Price*                      |      0.49|      0.62|      0.56|      0.46
----------------------------------+----------+----------+----------+----------
 Earnings per share               |    (0,05)|      0,00|    (0,11)|      0,03
----------------------------------+----------+----------+----------+----------
 Price-earnings ratio             |   (10.35)|    195.86|    (4.94)|     17.54
----------------------------------+----------+----------+----------+----------
 Book value of a share            |      0.73|      0.83|      0.88|      0.87
----------------------------------+----------+----------+----------+----------
 Market to book ratio             |      0.67|      0.74|      0.63|      0.52
----------------------------------+----------+----------+----------+----------
 Market capitalization, EUR thousand|     2,187|     2,771|     2,497|     2,047
----------------------------------+----------+----------+----------+----------
 Number of shares, piece          | 4,499,061| 4,499,061| 4,499,061| 4,499,061


EBITDA = Earnings before interest, taxes, depreciation and amortization
EBITDA margin = EBITDA / Revenue
Operating margin = Operating profit / Revenue
Net margin = Net profit / Revenue
Return on assets = Net profit / Total assets
Return on equity = Net profit / Equity
Debt-to-equity ratio = Liabilities / Total assets
Earnings per share = Net profit / Total shares
Price-earnings ratio = Last price / Earnings per share
Book value of a share = Equity / Total shares
Market to book ratio = Last price / Book value of a share
Market capitalization = Last price * Total shares
*http://www.nasdaqbaltic.com/

CONSOLIDATED STATEMENT OF FINANCIAL POSITIONS

 EUR thousand                                  |30.09.2018|31.12.2017|30.09.2017
---------------------------------------------+----------+----------+----------
 Cash and cash equivalents (Note 2)          |        42|        74|       312
---------------------------------------------+----------+----------+----------
 Receivables and prepayments (Note 3)        |     1,611|     1,215|     1,773
---------------------------------------------+----------+----------+----------
 Inventories (Note 4)                        |     2,409|     2,336|     2,554
---------------------------------------------+----------+----------+----------
 Total current assets                        |     4,062|     3,624|     4,640
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Investment property (Note 5)                |       170|       170|       170
---------------------------------------------+----------+----------+----------
 Available-for-sale financial assets (Note 8)|       351|       182|         0
---------------------------------------------+----------+----------+----------
 Other shares and issues                     |         0|         6|         0
---------------------------------------------+----------+----------+----------
 Property, plant and equipment (Note 6)      |     6,391|     6,908|     7,055
---------------------------------------------+----------+----------+----------
 Intangible assets (Note 7)                  |        38|        47|        52
---------------------------------------------+----------+----------+----------
 Total non-current assets                    |     6,950|     7,313|     7,277
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 TOTAL ASSETS                                |    11,012|    10,937|    11,917
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Borrowings (Notes 9)                        |       464|       593|       708
---------------------------------------------+----------+----------+----------
 Payables and prepayments (Notes 10)         |     2,647|     1,956|     2,400
---------------------------------------------+----------+----------+----------
 Short-term provisions (Note 11)             |         2|        13|         5
---------------------------------------------+----------+----------+----------
 Total current liabilities                   |     3,114|     2,562|     3,113
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Long-term borrowings (Notes 9)              |     4,421|     4,422|     4,613
---------------------------------------------+----------+----------+----------
 Long-term provisions (Note 11)              |       200|       200|       213
---------------------------------------------+----------+----------+----------
 Total non-current liabilities               |     4,621|     4,622|     4,826
---------------------------------------------+----------+----------+----------
 Total liabilities                           |     7,735|     7,184|     7,939
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 Share capital (at nominal value) (Note 12)  |     2,699|     2,699|     2,699
---------------------------------------------+----------+----------+----------
 Share premium                               |       364|       364|       364
---------------------------------------------+----------+----------+----------
 Statutory reserve capital                   |       288|       288|       288
---------------------------------------------+----------+----------+----------
 Other reserves (Notes 8; 12)                |        38|         9|         2
---------------------------------------------+----------+----------+----------
 Unrealised currency differences             |         0|         0|         0
---------------------------------------------+----------+----------+----------
 Retained earnings (loss)                    |     (112)|       393|       624
---------------------------------------------+----------+----------+----------
 Total equity (Note 13)                      |     3,277|     3,753|     3,978
---------------------------------------------+----------+----------+----------
                                             |          |          |
---------------------------------------------+----------+----------+----------
 TOTAL LIABILITIES AND EQUITY                |    11,012|    10,937|    11,917


CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME

 EUR thousand                                    |Q3 2018|Q3 2017 9M 2018|9M 2017
-----------------------------------------------+-------+-------+-------+-------
 Revenue (Note 14)                             |  3,709|  4,085| 11,369| 12,572
-----------------------------------------------+-------+-------+-------+-------
 Cost of goods sold (Note 15)                  |  3,206|  3,457|  9,683| 10,100
-----------------------------------------------+-------+-------+-------+-------
 Gross profit                                  |    503|    628|  1,686|  2,472
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Distribution costs (Note 16)                  |    479|    501|  1,460|  1,574
-----------------------------------------------+-------+-------+-------+-------
 Administrative expenses (Note 17)             |    150|    110|    444|    531
-----------------------------------------------+-------+-------+-------+-------
 Other operating income (Note 19)              |      2|    187|     13|    238
-----------------------------------------------+-------+-------+-------+-------
 Other operating expenses (Note 19)            |     10|    121|     89|    278
-----------------------------------------------+-------+-------+-------+-------
 Operating profit (loss) (Note 11)             |  (135)|     84|  (294)|    328
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Finance income (Note 20)                      |      0|    (0)|      1|      4
-----------------------------------------------+-------+-------+-------+-------
 Finance costs (Note 20)                       |     77|     70|    212|    215
-----------------------------------------------+-------+-------+-------+-------
 LOSS BEFORE INCOME TAX                        |  (211)|     14|  (505)|    117
-----------------------------------------------+-------+-------+-------+-------
 Corporate income tax                          |      0|      0|      0|      0
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 NET LOSS FOR THE FINANCIAL YEAR               |  (211)|     14|  (505)|    117
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Other comprehensive income (loss)             |      0|      0|     0 |  (40)
-----------------------------------------------+-------+-------+-------+-------
 Currency translation differences              |      0|      0|      0|   (40)
-----------------------------------------------+-------+-------+-------+-------
 TOTAL COMPREHENSIVE LOSS FOR THE FINANCIAL    |       |       |       |
 YEAR                                          |  (211)|     14|  (505)|     77
-----------------------------------------------+-------+-------+-------+-------
                                               |       |       |       |
-----------------------------------------------+-------+-------+-------+-------
 Basic earnings per share (Note 13)            | (0,05)|   0,00| (0,11)|   0,03
-----------------------------------------------+-------+-------+-------+-------
 Diluted earnings per share (Note 13)          | (0,05)|   0,00| (0,11)|   0,02


Torfinn Losvik

Member of the Management Board

+372 569 90 988

[email protected]

Attachment

  * Skano 2018 3rd Quarter interim report (https://prlibrary-
    eu.nasdaq.com/Resource/Download/067f7255-5a8f-4412-b9d2-85113e1fa1a5)