Börsiteade
TKM Grupp AS
LEI kood
529900785KF1K0EEW940
Emitendi suuruskategooria
Suur kontsern
Majandustegevusalad
Finants- ja kindlustustegevus
Emitendi registreeritud asukoht
Eesti
Üldandmed
Kategooriad
Muud korporatiivtoimingud
Teate ID
8302
Manused
Esitamise kuupäev ja aeg
12.10.2020 16:30:00
Teate sisu eesti keeles
Pealkiri
2020. aasta III kvartali ja 9 kuu auditeerimata majandustulemused
Teade
Segmendid (EURm) Q3/20 Q3/19 yoy 9m/20 9m/19 yoy
----------------------------------------------------------------------------
Supermarketid 134,5 117,6 14,4% 381,0 346,4 10,0%
Kaubamaja 21,6 23,6 -8,3% 58,6 70,8 -17,3%
Autokaubandus 34,7 34,9 -0,5% 92,5 96,9 -4,5%
Jalatsikaubandus 1,9 2,2 -12,7% 4,8 6,3 -22,6%
Kinnisvara 1,4 1,5 -0,8% 3,7 4,3 -13,1%
----------------------------------------------------------------------------
Müügitulud kokku 194,2 179,7 8,1% 540,7 524,6 3,1%
----------------------------------------------------------------------------
Supermarketid 4,4 6,5 -32,0% 12,0 12,5 -3,8%
Kaubamaja 0,3 0,7 -63,1% -0,7 1,2 -160,1%
Autokaubandus 1,0 1,6 -36,3% 1,8 3,8 -52,6%
Jalatsikaubandus -0,4 -0,3 46,0% -1,6 -0,9 72,2%
Kinnisvara 2,9 2,7 5,8% 7,5 8,1 -7,6%
IFRS 16 -0,7 -0,4 92,6% -1,7 -1,1 49,2%
----------------------------------------------------------------------------
Maksueelne kasum kokku 7,4 10,9 -31,7% 17,3 23,5 -26,3%
----------------------------------------------------------------------------
Tallinna Kaubamaja Grupi 2020. aasta kolmanda kvartali konsolideeritud
auditeerimata müügitulu oli 194,2 miljonit eurot, kasvades aasta varasemaga
võrreldes 8,1%. Esimese üheksa kuu müügitulu oli 540,7 miljonit eurot, kasvades
võrreldes 2019. aasta esimese üheksa kuu tulemusega, mil müügitulu oli 524,6
miljonit eurot, 3,1%. Kontserni 2020. aasta kolmanda kvartali konsolideeritud
auditeerimata puhaskasum oli 7,4 miljonit eurot, mis jäi ligi kolmandiku võrra
alla eelmise aasta võrreldava perioodi kasumile. Kontserni 2020. aasta üheksa
kuu puhaskasum oli 11,5 miljonit eurot, mis jäi alla eelmise võrreldava perioodi
tulemusele samuti ligi kolmandiku. Maksueelne kasum oli esimesel üheksal kuul
17,3 miljonit eurot, kahanedes aasta varasemaga võrreldes 26,3%. Puhaskasumit
mõjutas dividendimakse, millelt 2020. aasta I kvartalis arvestati tulumaksu 5,8
miljonit eurot, aasta varem arvestati tulumaksu summas 6,5 miljonit eurot.
2020. aasta viimaste kuude jaetarbimist iseloomustas üllatavalt kiire
taastumine, kus Eesti jaekaubanduse (v.a mootorsõidukid ja mootorrattad)
müügitulu jooksevhindades peale aprilli ja mai languskuid on näidanud väikest
kasvu. Seejuures on oluliselt muutunud tarbijate käitumine. Linnasüdamete
külastatavus on vähenenud liigutades tarbimise rohkem maapiirkondadesse.
Kauplustes püütakse käia harvem, kuid seejuures osta korraga rohkem. Samuti
eelistatakse mõistetavalt ostude sooritamiseks tihemini e-poode. Grupi 2020.
aasta kolmanda kvartali müügitulu kasvas Eesti jaekaubanduse müügitulu
keskmisest kasvust kiiremini eelkõige 2020. aasta mais omandatud ABC
Supermarkets ASi supermarketite segmenti lisandud müügitulu tõttu. Grupi
autosegmendi ärimahud kahanesid, kuid väiksemas mahus kui autoturg üldiselt.
Kõige rängemalt avaldas kriis mõju Grupi moekaupade segmentidele, kus väiksema
liikumise tõttu on nõudlus langenud. Kasumile on lisaks jaekaupluste
viirusetõrje vahendite kuludele avaldanud survet paljude arendustega seotud
ühekordsed kulud. Tööjõukulud kasvasid kolmandas kvartalis 11,8%, seejuures
kasvas töötajate arv laienemiste tõttu 9,7% ning keskmine palk 2,0%.
III kvartali suuremateks arendusprojektideks olid mai lõpus omandatud
kapluseketi Comarketi kaubamärgi all tegutsevate kaupluste Selver ABC kaubamärgi
alla üleviimise ettevalmistus, ABC KING ja SHU e-poodide avamine. Käimas on
Kulinaaria uue tehase seadistamine ja olemasoleva tehase renoveerimine, mis saab
valmis 2021. aasta alguses. Seejärel jätkab Kulinaaria oma tegevust mõlemas
tootmishoones korraga ning on võtnud turul laienemiseks ja tootmismahtude
kasvatamiseks fookusesse tootearenduse nii uutes kui ka sortimendis olevates
toidukategooriates. Varasemalt on aruandeaasta jooksul viidud läbi mitmeid
arendusi. Märtsis koliti Võrus asuv Selveri kauplus edukalt ümber uude asukohta
Kagukeskuses, kus viimase Selveri kauplusena avati klientidele SelveEkspressi
teenus. Pärnus renoveeris Selver täielikult Suurejõe Selveri ning laiendas
müügipinda Haapsalus, Rannarootsi Selveris. 9. juulil avas Selver uue kaupluse
Saaremaal WOW keskuses, millest sai Selverite keti 54. kauplus. Aasta viimases
kvartalis on kavas renoveerida Mustakivi Selveri Tallinnas ning alustada
Comarketi kaupluste üleviimist Selver ABC kaubamärgi alla. Jätkuvalt on Grupi
tähelepanu suunatud e-kaubanduse arendamisele ning klientide ostumugavuse
kasvatamisele.
Selverid
Supermarketite ärisegmendi 2020. aasta esimese üheksa kuu konsolideeritud
müügitulu oli 381,0 miljonit eurot, kasvades aasta varasema perioodiga 10,0%.
Arvestamata lisandunud ABC Supermarketi kauplusi, kujunes segmendi kasvuks
4,5%. III kvartali konsolideeritud müügitulu oli 134,5 miljonit eurot, kasvades
aasta varasema perioodiga võrrelduna 14,4%. Selveri kauplustest tehti 2020.
aasta esimese üheksa kuuga 29,9 miljonit ostu, mis oli baasaastast 1,3% madalam.
Ostude arvu langus on mõjutatud kevadel kehtestatud eriolukorrast, mil kliendid
külastasid kauplusi harvemini, vastukaaluks kasvas keskmine ost.
2020. aasta III kvartalis olid nii maksueelne kasum kui ka puhaskasum 4,4
miljonit eurot, langedes aasta varasema perioodiga võrreldes 2,1 miljonit eurot.
Üheksa kuu Supermarketite segmendi konsolideeritud maksueelne kasum oli 12,0
miljonit eurot, kahanedes võrrelduna eelmise aastaga 0,5 miljonit eurot. Üheksa
kuu puhaskasum oli 9,9 miljonit eurot, kasvades võrrelduna eelmise aastaga 1,4
miljonit eurot. Puhaskasumi ja tulumaksueelse kasumi erinevus tuleneb
dividendidelt makstud tulumaksult - 2020. aastal oli dividendide tulumaks 1,8
miljoni euro võrra väiksem aasta varasemast. Kogu Supermarketite kasum on
teenitud Eestis. Alates 1. juunist 2020 sisaldavad Supermarketi segmendi
tulemused ABC Supermarketsi tulemusi.
Kasumi kujunemisele on mõju avaldanud müügitulu kasv, igapäevaste protsesside
efektiivistamiseks tehtud investeeringud ning aasta alguses pehmematest ilmadest
tingitud sääst halduskuludes. I kvartalis laienes SelveEkspressi teenus
kõikidesse Selveritesse, mis on võimaldanud hoida aasta alguses püsinud
palgasurve tingimustes tööjõuefektiivsust eelmise aasta tasemel.
Majandustulemustele avaldasid mõju COVID viirusest tingitud kulutused klientide
ning oma töötajate kaitseks. COVID viiruse mõjud kandusid vähemal määral edasi
ka III kvatalisse, mil kliendid külastasid kauplusi harvemini, kuid ostsid
korraga enam. II kvartalis omandas Selver ABC Supermarketsi kaupluseketi,
millega parandab tänu laiemale kaupluste võrgustikule oma teenuse kättesaadavust
ning suurendab turuosa. Samas mõjutavad Supermarketite majandustulemust ABC
Supermarketsi ostutehinguga seotud ühekordsed kulud. Käesoleval aastal on Selver
põhjalikult renoveerinud Suurejõe Selveri Pärnus ja Merimetsa Selveri Tallinnas.
Mõlemad kauplused olid renoveerimistööde ajal klientidele suletud. Laiendatud on
müügipinda Haapsalus, Rannarootsi Selveris. Võrus kolis Selver uuele pinnale
Kagukeskusesse. Juulis avas Selver uue kaupluse Saaremaal, WOW keskuses.
Kriisiolukorrast tulenevalt oli II kvartalis ajutiselt suletud Sepapaja Selver
ning Puhvet Kadaka Selveris. Selver plaanib käesoleval aastal renoveerida
Mustakivi Selveri Tallinnas ning alustada Comarketi kaubamärgi all tegutsevate
kaupluste viimist Selver ABC kaubamärgi alla. Esimese üheksa kuu tulemus
sisaldab Kulinaaria uue tehase käivitamiskulusid. Kiirelt on kasvatatud e-
Selveri komplekteerimise ning klientidele kaupade kojuveo mahte. e-Selveri
teeninduspiirkond hõlmab kogu Harju ja Tartumaad, Hiiumaad, Saaremaad, suure osa
Pärnumaast ning osa Läänemaast. E-kaubanduse valdkonna arendamine on jätkuvalt
segmendi üheks prioriteediks.
Kaubamajad
Kaubamajade ärisegmendi 2020. aasta 9 kuu müügitulu oli 58,6 miljonit eurot,
jäädes eelmise aasta samale perioodile alla 17,3%. Kaubamajade 2020. aasta 9 kuu
maksueelne kahjum oli 0,7 miljonit eurot, mis oli aastatagusest tulemusest
nõrgem 1,9 miljoni euro võrra. Kaubamajade 2020. aasta kolmanda kvartali
müügitulu oli 21,6 miljonit eurot, mis jäi aastatagusele võrreldavale perioodile
alla 8,3%. Kaubamajade kolmanda kvartali maksueelne kasum oli 0,3 miljonit
eurot, mis oli eelmise aasta kolmanda kvartali tulemusest madalam 0,5 miljoni
euro võrra. Kaubamajade müügitulemust mõjutas kahes viimases kvartalis Eesti
Vabariigi Valitsuse poolt Covid-19 viiruse tõttu välja kuulutatud eriolukord,
mille tõttu langesid märtsi keskpaigast ka Kaubamaja külastajate arvud. 27.
märtsil suleti Eesti Vabariigi Valitsuse korraldusel kõik kaubanduskeskused ning
nii sulges ka Kaubamaja kõik tööstuskaupade maailmad nii Tallinnas kui ka Tartus
ja avatuks jäid ainult Toidumaailmad. Kaubamajad taasavati 11. mail. Märgata on
muutusi klientide ostukäitumises. Hinnatakse veelgi enam kvaliteeti ning
otsitakse ja ostetakse just selliseid tooteid. Moekaupade oste tehes ollakse
pisut tagasihoidlikumad, kuid kodukaupade müük on olnud päris hea. Tallinna
Kaubamaja Kodumaailm sai sügiseks uue ilme ning ka see on müüke positiivselt
mõjutanud. Samas on Kaubamaja kesklinna asukoha tõttu tuntavalt mõjutatud
turistide arvu olulisest langusest, kesklinna kontorites töötavate inimeste ja
kesklinna üldise külastatavuse vähenemisest eriti just suveperioodil, mis
omakorda on mõjutanud negatiivselt kolmanda kvartali müügitulemust. Kaubamaja e-
poe käibed on peale kriisi mitmekordistunud, kuid see ei ole kompenseerinud
füüsiliste müügimajade müükide langust.
I.L.U. kosmeetikakauplusi opereeriva OÜ TKM Beauty Eesti 2020. aasta kolmanda
kvartali müügitulu oli 1,3 miljonit eurot, kasvades 2019. aasta sama perioodiga
võrreldes 12,3%. Kolmandas kvartalis oli kasum 0,03 miljonit eurot, mis oli
2019. aasta võrreldava perioodi tulemusest parem 0,05 miljonit eurot. Kolmanda
kvartali tulemust mõjutasid positiivselt jätkuv e-poe müügitulu kasv, klientide
poolt hästi vastu võetud sortimendiuuendused ja õnnestunud muudatused
turunduskampaaniates. 2020. aasta esimese üheksa kuu müügitulu oli 3,3 miljonit
eurot, mis on 2019. aasta sama perioodiga võrreldes väiksem 1,0%. 2020. aasta
esimese üheksa kuu kasum oli 0,02 miljonit eurot, mis oli 2019. aasta võrreldava
perioodi tulemusest parem 0,22 miljonit eurot.
Autokaubandus
Autokaubandussegmendi 2020. aasta esimese üheksa kuu müügitulu oli 92,5 miljonit
eurot, mis oli 4,5% madalam eelmise aasta sama perioodi müügitulust. Sealhulgas
vähenes KIAde müügitulu 29,1%. Kolmanda kvartali 34,7 miljoni euro suurune
müügitulu jäi aasta varasemale alla 0,5%, sealhulgas langes KIAde müügitulu
27,3%. Üheksa kuu jooksul müüdi kokku 3 895 uut sõidukit, sellest kolmandas
kvartalis 1 482 sõidukit. Segmendi 2020. aasta esimese üheksa kuu puhaskasum oli
1,2 miljonit eurot, olles seega väiksem 2,0 miljoni euro võrra aasta varasemast
sama perioodi kasumist. Segmendi 2020. aasta üheksa kuu maksueelne kasum oli
1,8 miljonit eurot, jäädes 2019. aasta esimese üheksa kuu kasumist 2,0 miljoni
euro võrra väiksemaks. 2020. aasta kolmanda kvartali maksueelne kasum oli 1,0
miljonit eurot, mis on aasta varasema sama perioodi kasumist 0,6 miljonit eurot
väiksem.
Kolmandas kvartalis langes müügitulu ja ärikasum eelkõige koroonakriisi
põhjustatud tootjatehaste tarneprobleemide tõttu. Grupi autosegmendi müüdavate
brändide maaletoojatel esines probleeme uute autode tarne ja piiratud
laoseisuga. Samas oli ka ostjaid vähem ning seega olid nõudlus ja pakkumine
tasakaalus. Kõik esindused olid avatud ja töötasid tavapärastel tingimustel.
Uute autode müügis on näha muutus tarbijakäitumises, kus tavapärane klient ja
väikeostja on asendunud suurklientide ning riigihangetega ja kus Grupi
autosegmendi tegevus on osutunud edukaks. Järelteeninduse mahud ei ole oluliselt
langenud. Endiselt on käivitusfaasis Verte Auto uus Riias asuv Shkoda esindus,
mis näitab igakuist kasvutrendi.
Jalatsikaubandus
Jalatsikaubanduse segmendi müügitulu oli 2020. aasta üheksa kuu perioodil 4,8
miljonit eurot. Võrreldes eelmise aastaga vähenes sama perioodi müügitulu
22,6%. Kolmandas kvartalis oli segmendi müügitulu 1,9 miljonit eurot, mis on
eelmise aasta sama perioodiga võrreldes 12,7% vähem. 2020. aasta üheksa kuu
kahjum oli 1,6 miljonit eurot. Aasta varasema võrreldava perioodi kahjum oli
0,9 miljon eurot. Kolmanda kvartali kahjumiks oli 0,4 miljonit eurot, mis on
võrreldes eelmise aasta sama perioodiga 0,1 miljoni euro võrra nõrgem tulemus.
Kolmanda kvartali müügitulu mõjutasid Covid-19 viiruse levikuga kehtestatud
eriolukorra ning kaubanduskeskuste sulgemisest tingitud jätkuvad sügavad
allahindlused kevadhooaja varude realiseerimisel. Septembris suleti Haapsalu SHU
kauplus ja Jõhvi SHU kauplus koliti perspektiivsemale asukohale äsja
renoveeritud Jewe keskuses. Arvestades tarbijakäitumise muutusi ja e-kaubanduse
arengut, avati klientidele septembri keskel ABC KING ja SHU e-poed.
Kinnisvarad
Kinnisvarade segmendi 2020. aasta esimese üheksa kuu grupiväline müügitulu oli
3,7 miljonit eurot. Müügitulu vähenes möödunud aastaga võrreldes 13,1%. Segmendi
III kvartali grupiväline müügitulu oli 1,4 miljonit eurot. Müügitulu vähenes
võrdlusperioodil 0,8%. Kinnisvarade segmendi 2020. aasta esimese üheksa kuu
maksueelseks kasumiks kujunes 7,5 miljonit eurot. Kasum langes võrdlusperioodiga
7,6%. Segmendi III kvartali maksueelseks kasumiks kujunes 2,9 miljonit eurot,
mis on 5,8% suurem kui möödunud aasta samal perioodil.
Segmendi III kvartali müügitulu ja kasum taastusid kiiresti. Kinnisvarade
segmendi üheksa kuu müügitulemuste languses kajastub Vabariigi Valitsuse poolt
välja kuulutatud eriolukorra ja kaubanduskeskustes viibimise keelu perioodil
tehtud üürialanduste mõju. Tartu Kaubamaja keskus ja Viimsi keskus olid suures
osas suletud kuni 10. maini. Keskustes olid avatud toidu-, telekommunikatsiooni
ja eraldi sissepääsuga kauplused. Toitlustusasutused olid avatud ainult kaasa
müügiks. Kõige tugevamalt mõjutas liikumisvabaduse piirangu periood Tartu
Kaubamaja keskust, kus keskuse külastatavus langes kaubanduskeskuste sulgemisel
üle 80%. Viimsi Keskuse külastatavus langes samal perioodil pea 40%. Viimsi
Keskuse eriolukorra mõjust taastumine on toimunud võrreldes Tartu Kaubamaja
keskusega mõnevõrra kiiremini. Segmendisiseselt parandas kõige enam oma tulemust
Läti kinnisvaraettevõte, kus möödunud aasta lõpus valmis Riias Shkoda ja
kasutatud autode müügisalong. Koroonaepideemia järellainetus mõjutab
kaubandusüürituru tulemusi veel vähemalt 2020. aasta lõpuni. Tulenevalt
epideemia majandusliku mõju määramatusest korrigeeritakse jooksvalt tulevaste
arendustööde mahtu ja ajakava.
KONSOLIDEERITUD FINANTSSEISUNDI ARUANNE
Tuhandetes eurodes
-------------------------------------------------------------------------------
30.09.2020 31.12.2019
-------------------------------------------------------------------------------
VARAD
Käibevara
Raha ja pangakontod 22 700 40 629
Nõuded ja ettemaksed 14 955 16 904
Varud 76 197 78 305
-------------------------------------------------------------------------------
Käibevara kokku 113 852 135 838
-------------------------------------------------------------------------------
Põhivara
Pikaajalised nõuded ja ettemaksed 275 114
Sidusettevõtjad 1 892 1 721
Kinnisvarainvesteeringud 60 641 60 458
Materiaalne põhivara 378 636 319 192
Immateriaalne põhivara 21 235 4 990
-------------------------------------------------------------------------------
Põhivara kokku 462 679 386 475
-------------------------------------------------------------------------------
VARAD KOKKU 576 531 522 313
-------------------------------------------------------------------------------
-------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL
-------------------------------------------------------------------------------
Lühiajalised kohustused
Võlakohustused 23 465 46 448
Võlad ja ettemaksed 90 995 89 831
-------------------------------------------------------------------------------
Lühiajalised kohustused kokku 114 460 136 279
-------------------------------------------------------------------------------
Pikaajalised kohustused
Võlakohustused 252 096 157 876
Pikaajalised eraldised ja ettemakstud tulevaste
perioodide tulud 362 322
-------------------------------------------------------------------------------
Pikaajalised kohustused kokku 252 458 158 198
-------------------------------------------------------------------------------
KOHUSTUSED KOKKU 366 918 294 477
-------------------------------------------------------------------------------
Omakapital
Aktsiakapital 16 292 16 292
Kohustuslik reservkapital 2 603 2 603
Ümberhindluse reserv 91 927 93 496
Konverteerimiserinevused -149 -149
Jaotamata kasum 98 940 115 594
-------------------------------------------------------------------------------
OMAKAPITAL KOKKU 209 613 227 836
-------------------------------------------------------------------------------
KOHUSTUSED JA OMAKAPITAL KOKKU 576 531 522 313
-------------------------------------------------------------------------------
KONSOLIDEERITUD KOONDKASUMIARUANNE
Tuhandetes eurodes
-------------------------------------------------------------------------------
III kvartal III kvartal
2020 2019 9 kuud 2020 9 kuud 2019
-------------------------------------------------------------------------------
Müügitulu 194 181 179 683 540 685 524 609
Muud äritulud 316 285 976 682
Müüdud kaubad, kasutatud
materjalid ja teenused -146 012 -133 804 -409 104 -393 038
Mitmesugused
tegevuskulud -11 216 -9 657 -31 362 -30 482
Tööjõukulud -19 139 -17 120 -55 285 -52 665
Põhivara kulum ja
väärtuse langus -9 387 -7 728 -25 249 -23 058
Muud ärikulud -157 -71 -534 -482
-------------------------------------------------------------------------------
Ärikasum 8 586 11 588 20 127 25 566
-------------------------------------------------------------------------------
Finantstulud 1 1 1 1
Finantskulud -1 204 -749 -2 967 -2 215
Kasum sidusettevõtja
aktsiatelt 57 60 171 174
-------------------------------------------------------------------------------
Kasum enne
tulumaksustamist 7 440 10 900 17 332 23 526
-------------------------------------------------------------------------------
Tulumaks -1 0 -5 823 -6 453
-------------------------------------------------------------------------------
Aruandeperioodi
puhaskasum 7 439 10 900 11 509 17 073
-------------------------------------------------------------------------------
Muu koondkasum
-------------------------------------------------------------------------------
Kirjed, mida ei
klassifitseerita
edaspidi ümber
kasumiaruandesse
-------------------------------------------------------------------------------
Aruandeperioodi muu
koondkasum /(-kahjum)
kokku 0 0 0 0
-------------------------------------------------------------------------------
ARUANDEPERIOODI
KOONDKASUM 7 439 10 900 11 509 17 073
-------------------------------------------------------------------------------
Raul Puusepp
Juhatuse esimees
Tel 731 5000
Teate sisu inglise keeles
Pealkiri
Unaudited consolidated interim accounts for the third quarter and first nine months of 2020
Teade
Segments (EURm) Q3/20 Q3/19 yoy 9m/20 9m/19 yoy
-----------------------------------------------------------------------------
Supermarkets 134.5 117.6 14.4% 381.0 346.4 10.0%
Department stores 21.6 23.6 -8.3% 58.6 70.8 -17.3%
Cars 34.7 34.9 -0.5% 92.5 96.9 -4.5%
Footwear 1.9 2.2 -12.7% 4.8 6.3 -22.6%
Real Estate 1.4 1.5 -0.8% 3.7 4.3 -13.1%
-----------------------------------------------------------------------------
Total sales 194.2 179.7 8.1% 540.7 524.6 3.1%
-----------------------------------------------------------------------------
Supermarkets 4.4 6.5 -32.0% 12.0 12.5 -3.8%
Department stores 0.3 0.7 -63.1% -0.7 1.2 -160.1%
Cars 1.0 1.6 -36.3% 1.8 3.8 -52.6%
Footwear -0.4 -0.3 46.0% -1.6 -0.9 72.2%
Real Estate 2.9 2.7 5.8% 7.5 8.1 -7.6%
IFRS 16 -0.7 -0.4 92.6% -1.7 -1.1 49.2%
-----------------------------------------------------------------------------
Total profit before tax 7.4 10.9 -31.7% 17.3 23.5 -26.3%
-----------------------------------------------------------------------------
In the third quarter of 2020, the consolidated unaudited sales revenue of
Tallinna Kaubamaja Grupp was 194.2 million euros, which was 8.1% higher than the
sales revenue of the same period in 2019. The sales revenue in the first nine
months was 540.7 million euros, which was a 3.1% increase in comparison with the
result of the first nine months of 2019, when the sales revenue was 524.6
million euros. The Group's consolidated unaudited net profit of the third
quarter of 2020 was 7.4 million euros, which was about a third less than the
profit of the comparable period in 2019. The Group's net profit of the first
nine months of 2020 was 11.5 million euros, which was also about a third less
than the result of the previous comparable period. In the first nine months of
2020, pre-tax profit was 17.3 million euros, which is 26.3% less than the year
before. Net profit was affected by the dividend payment, from which 5.8 million
euros of income tax was calculated in the first quarter of 2020; 6.5 million
euros of income tax was calculated a year before.
Retail consumption in the last months of 2020 was characterised by a
surprisingly rapid recovery, where the sales revenue from Estonian retail trade
(except motor vehicles and motorcycles) in current prices has demonstrated a
slight growth after the decline in April and May. Thereat, the consumer
behaviour has changed significantly. The number of visits to city centres has
decreased and the consumption has moved more to rural areas. People attempt to
visit stores less frequently, but buy more at a time. Understandably, online
stores are also preferred more frequently. The Group's sales revenue of the
third quarter of 2020 grew faster than the average sales revenue for the
Estonian retail trade, primarily due to the sales revenue of ABC Supermarkets
AS, which was acquired and added to the supermarket segment in May 2020. The
business volumes of the car segment of the Group dropped, but the decline was
smaller than the decline of the car market in general. The fashion goods
segments of the Group were hit hardest by the crisis, as the demand for those
items has dropped due to the lower mobility. In addition to the expenses on
virus control supplies for retail stores, the profit has been put under pressure
by the one-off costs of numerous developments. Labour force expenses increased
by 11.8% in the third quarter, while the number of employees grew by 9.7% due to
expansions and the average wages grew by 2.0%.
The largest development projects in the third quarter included preparations for
transferring the stores of a new chain acquired at the end of May, which are
operating under the Comarket trademark, to under the trademark of Selver and the
opening of ABC KING and SHU e-stores. The adjustment of the new factory and the
renovation of an existing factory building of Kulinaaria is in progress.
Renovation will be completed in the beginning of 2021, after which Kulinaaria
will be carrying out its operations in both factories and is focusing on product
development in new as well as current food categories to expand its market share
and increase its production volumes. Several developments have already been
completed in the financial year. The Selver store in Võru was successfully moved
to the new location in the Kagukeskus shopping mall in March and it was the
latest Selver store to introduce the SelveEkspress service. Selver fully
renovated the Suurejõe Selver in Pärnu and extended the sales area at the
Rannarootsi Selver in Haapsalu. On 9 July, Selver opened a new store at the WOW
mall in Saaremaa, which is the 54th store in the Selver chain. In the last
quarter of the year, it is planned to renovate Mustakivi Selver in Tallinn and
launch the transfer of the Comarket stores to under the trademark of Selver ABC.
The Group's attention continues to be focused on developing e-commerce and
increasing the shopping convenience of customers.
Selver supermarkets
The consolidated sales revenue of the supermarkets business segment was 381.0
million euros in the first nine months of 2020, increasing by 10.0% in
comparison with the same period of last year. Excluding the added ABC
Supermarket stores, the segment grew by 4.5%. The consolidated sales revenue was
134.5 million euros in the third quarter of 2020, increasing by 14.4% in
comparison with the same period of last year. During the first nine months of
2020, 29.9 million purchases were made from the stores, which was 1.3% less than
the reference year. The decrease in the number of purchases is impacted by the
state of emergency which was announced in spring, during which the customers
visited the stores more rarely, but in turn, the average total sum of purchases
increased.
In the third quarter of 2020, both the pre-tax profit and net profit were 4.4
million euros, dropping by 2.1 million euros in comparison with the same period
the year before. The consolidated pre-tax profit of the supermarkets segment in
the nine months of 2020 was 12.0 million euros, dropping by 0.5 million euros in
comparison with the previous year. The net profit of the nine months was 9.9
million euros, which is an increase of 1.4 million euros in comparison with
2019. The difference between the net profit and profit before income tax
compared to the results from a year earlier is due to income tax paid on
dividends - income tax paid on dividends was 1.8 million euros lower in 2020
compared to the year before. All supermarket profit is earned in Estonia. As of
1 June 2020, the results of the supermarkets segment include the results of ABC
Supermarkets.
The profit was earned thanks to the increased sales revenue, the investments
made in increasing the efficiency of daily processes, and the warmer weather in
the beginning of the year, which enabled saving on administrative expenses. The
SelveEkspress service was extended to all Selvers in the first quarter, which
has enabled keeping the labour efficiency at last year's level in the conditions
of wage pressure which were prevailing in the beginning of the year. The
economic results were impacted by the expenses made on the protection of the
customers and employees due to COVID-19. The impacts of COVID-19 were carried
over to the third quarter in a lesser extent, with the customers visiting the
stores less frequently, but buying more per purchase. In the second quarter,
Selver acquired the ABC Supermarkets chain, which will improve the availability
of Selver's service and increase the market share thanks to the wider network of
stores. On the other hand, the economic result of supermarkets is impacted by
the one-off costs related to the purchase of ABC Supermarkets. Selver has fully
renovated the Suurejõe Selver in Pärnu and the Merimetsa Selver in Tallinn this
year. Both stores were closed to customers during the renovation works. The
sales area of the Rannarootsi Selver in Haapsalu has been expanded. In Võru,
Selver moved to new premises at the Kagukeskus shopping mall. In July, Selver
opened a new store at the WOW mall in Saaremaa. Due to the state of emergency,
the Sepapaja Selver and the Puhvet café at the Kadaka Selver were temporarily
closed in the second quarter. Selver is planning to renovate the Mustakivi
Selver in Tallinn and launch the process of transferring the stores, which are
operating under the trademark of Comarket, to under the trademark of Selver ABC
this year. The result of the first nine months includes the costs of launching
the new factory of Kulinaaria. The assembly and delivery volumes of e-Selver
have been growing rapidly. The e-Selver service area includes all of Harju and
Tartu County, Hiiu County, Saare County, a large part of Pärnu County, and a
part of Lääne County. Development of the e-commerce remains one of the
priorities of the segment.
Department stores
In the nine months of 2020, the Kaubamaja department stores business segment
earned a sales revenue of 58.6 million euros, which is 17.3% less than in the
same period of last year. The pre-tax loss of the Kaubamaja department stores in
the first nine months of 2020 was 0.7 million euros, showing a decrease of 1.9
million euros in the year-on-year comparison. The sales revenue of Kaubamaja
department stores in the third quarter of 2020 was 21.6 million euros, which was
8.3% less than during the same period of 2019. The pre-tax profit of the
Kaubamaja department stores in the third quarter was 0.3 million euros, showing
a decrease of 0.5 million euros in the year-on-year comparison. The sales result
of the Kaubamaja department stores in the two last quarters was influenced by
the emergency situation declared by the Government of the Republic of Estonia
due to the COVID-19 virus, which resulted in a lower number of visitors to the
department stores from the middle of March. On 27 March, the Government of the
Republic of Estonia ordered the closing of all shopping malls and Kaubamaja also
closed all selling spaces of manufactured goods in Tallinn and Tartu, with only
the grocery stores remaining open. The department stores were reopened on 11
May. Some changes can be observed in the purchasing behaviour of customers. Even
more value is placed on quality and such products are sought and purchased.
Fashion items are purchased somewhat more modestly, but the sales of household
goods have been quite successful. The Kodumaailm (Home department) at Tallinna
Kaubamaja was redesigned for autumn, which has also had a positive impact on the
sales figures. On the other hand, due to its central location, Tallinna
Kaubamaja has been strongly affected by the drop in the number of tourists and
the lower number of people working in the offices in the city centre, as well as
the general decline in the visitation of the city centre, especially in the
summer period, which has had a negative impact on the sales result of the third
quarter. The turnovers of the Kaubamaja online store have multiplied after the
crisis, but this has failed to compensate for the decline in the sales of the
physical department stores.
In the third quarter of 2020, the sales revenue of OÜ TKM Beauty Eesti, which
operates I.L.U. cosmetics stores, was 1.3 million euros, which is 12.3% more
than in the third quarter of 2019. In the third quarter of 2020, profit was
0.03 million euros, which was 0.05 million euros more than during the comparable
period in 2019. The result of the third quarter was impacted positively by the
continued increase in the sales revenue of the online store, the refreshment of
the selection, which was welcomed by the customers, and the successful changes
in the marketing campaigns. The sales revenue of the first nine months of 2020
was 3.3 million euros, which is 1.0% less than during the same period of 2019.
In the first nine months of 2020, profit was 0.02 million euros, which was 0.22
million euros more than during the comparable period in 2019.
Car trade
The sales revenue of the car trade segment was 92.5 million euros in the first
nine months of 2020, which was 4.5% less than the sales revenue of the same
period in 2019. The sales revenue for KIAs decreased by 29.1%. The sales revenue
of 34.7 million euros of the third quarter of 2020 was 0.5% less than the sales
revenue of the same period in 2019, whereas the sales revenue for KIAs decreased
by 27.3%. During the first nine months, a total of 3,895 new vehicles were sold,
1,482 vehicles of them in the third quarter. The net profit of the segment in
the first nine months of 2020 was 1.2 million euros, which was 2.0 million euros
less than the profit of the same period a year before. The pre-tax profit of the
segment in the first nine months of 2020 was 1.8 million euros, which is 2.0
million euros less than the profit of the first nine months of 2019. The pre-tax
profit of the third quarter of 2020 was 1.0 million euros, which is 0.6 million
euros less than the profit of the same period a year before.
In the third quarter, sales revenue and business profit decreased mainly due to
the delivery problems of suppliers, which were caused by the coronavirus crisis.
The importer of the brands sold by the car segment of the Group experienced
issues with the delivery of new cars and the limited stocks. On the other hand,
there were also less buyers; thus, the demand and supply were balanced. All
showrooms were opened and worked under normal conditions. A change in the
consumer behaviour can be observed in the sales of new cars, with the regular
customers and small customers having been replaced with large customers and
public procurements and with the operations of the car segment of the Group
proving quite successful. The volumes of after-sale services have not declined
significantly. The new Shkoda car showroom of Verte Auto in Riga is still in the
launching phase and is showing a monthly growth trend.
Footwear trade
The sales revenue of the footwear trade segment was 4.8 million euros in the
first nine months of 2020. In comparison with 2019, the sales revenue of the
same period decreased by 22.6%. In the third quarter, the sales revenue of the
segment was 1.9 million euros, which is 12.7% less than during the same period
in 2019. The loss of the first nine months of 2020 was 1.6 million euros. The
loss of the comparable period in 2019 was 0.9 million euros. The loss of the
third quarter was 0.4 million euros, which is 0.1 million euros weaker than
during the same period of 2019. The sales revenue of the third quarter was
impacted by the continuing deep discounts in the realisation of the stocks of
the spring season, which were left due to state of emergency announced and
closing of the shopping centres in connection the spread of COVID-19. The SHU
store in Haapsalu was closed in September, while the SHU store in Jõhvi was
moved to another location at the recently renovated Jewe centre, which has more
perspective. Taking into consideration the changes in the consumer behaviour and
the development of e-commerce, online stores of ABC KING and SHU were developed
and opened to customers in the middle of September.
Real estate
The sales revenue earned in the real estate segment outside the Group was 3.7
million euros in the first nine months of 2020. Sales revenue decreased by
13.1% in comparison with the previous year. The sales revenue earned in the
segment outside the Group was 1.4 million euros in the third quarter of 2020.
During the reference period, sales revenue decreased by 0.8%. The pre-tax profit
in the real estate segment was 7.5 million euros in the first nine months of
2020. Compared to the reference period, profit decreased by 7.6%. The pre-tax
profit of the segment in the third quarter was 2.9 million euros, which is 5.8%
more than during the same period in 2019.
The segment's sales revenue and profit of the third quarter recovered quickly.
The drop in the sales result of the real estate segment in the first nine months
reflects the impact of the rent discounts during the state of emergency
announced by the Government of the Republic and the closing of department
stores. The Tartu Kaubamaja department store and Viimsi Keskus shopping mall
were largely closed until 10 May. Grocery stores, telecommunication stores, and
stores with a separate entrance were open at the malls. Catering enterprises
were open only for take-away. The restriction on movement affected Tartu
Kaubamaja department store the hardest - the attendance of the mall decreased by
more than 80% during the period that shopping malls were closed. During the same
period, the attendance of the Viimsi Keskus shopping mall decreased by nearly
40%. Viimsi Keskus has recovered from the impacts of the state of emergency
quicker than Tartu Kaubamaja. Within the segment, the Latvian real estate
company improved its results most, having gained a new Shkoda and used cars
showroom in Riga in the end of last year. The aftershocks of the coronavirus
epidemic will continue to affect the results of the retail rental market for the
whole of 2020. As the economic impact of the epidemic is not yet clear, the
volumes of and schedule for future developments will be adjusted as and when
needed.
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
In thousands of euros?
-------------------------------------------------------------------------
30.09.2020 31.12.2019
-------------------------------------------------------------------------
ASSETS
-------------------------------------------------------------------------
Current assets
Cash and cash equivalents 22,700 40,629
Trade and other receivables 14,955 16,904
Inventories 76,197 78,305
-------------------------------------------------------------------------
Total current assets 113,852 135,838
-------------------------------------------------------------------------
Non-current assets
Long-term trade and other receivables 275 114
Investments in associates 1,892 1,721
Investment property 60,641 60,458
Property, plant and equipment 378,636 319,192
Intangible assets 21,235 4,990
-------------------------------------------------------------------------
Total non-current assets 462,679 386,475
-------------------------------------------------------------------------
TOTAL ASSETS 576,531 522,313
-------------------------------------------------------------------------
-------------------------------------------------------------------------
LIABILITIES AND EQUITY
-------------------------------------------------------------------------
Current liabilities
Borrowings 23,465 46,448
Trade and other payables 90,995 89,831
-------------------------------------------------------------------------
Total current liabilities 114,460 136,279
-------------------------------------------------------------------------
Non-current liabilities
Borrowings 252,096 157,876
Provisions for other liabilities and charges 362 322
-------------------------------------------------------------------------
Total non-current liabilities 252,458 158,198
-------------------------------------------------------------------------
TOTAL LIABILITIES 366,918 294,477
-------------------------------------------------------------------------
Equity
Share capital 16,292 16,292
Statutory reserve capital 2,603 2,603
Revaluation reserve 91,927 93,496
Currency translation differences -149 -149
Retained earnings 98,940 115,594
-------------------------------------------------------------------------
TOTAL EQUITY 209,613 227,836
-------------------------------------------------------------------------
TOTAL LIABILITIES AND EQUITY 576,531 522,313
-------------------------------------------------------------------------
CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME
In thousands of euros
-------------------------------------------------------------------------------
III quarter III quarter 9 months
2020 2019 2020 9 months 2019
-------------------------------------------------------------------------------
Revenue 194,181 179,683 540,685 524,609
Other operating
income 316 285 976 682
Cost of sales -146,012 -133,804 -409,104 -393,038
Other operating
expenses -11,216 -9,657 -31,362 -30,482
Staff costs -19,139 -17,120 -55,285 -52,665
Depreciation,
amortisation and
impairment losses -9,387 -7,728 -25,249 -23,058
Other expenses -157 -71 -534 -482
-------------------------------------------------------------------------------
Operating profit 8,586 11,588 20,127 25,566
-------------------------------------------------------------------------------
Finance income 1 1 1 1
Finance costs -1,204 -749 -2,967 -2,215
Finance income on
shares of associates 57 60 171 174
-------------------------------------------------------------------------------
Profit before tax 7,440 10,900 17,332 23,526
-------------------------------------------------------------------------------
Income tax expense -1 0 -5,823 -6,453
-------------------------------------------------------------------------------
NET PROFIT FOR THE
FINANCIAL YEAR 7,439 10,900 11,509 17,073
-------------------------------------------------------------------------------
Other comprehensive
income:
Items that will not
be subsequently
reclassified to
profit or loss
-------------------------------------------------------------------------------
Other comprehensive
income for the
financial year 0 0 0 0
-------------------------------------------------------------------------------
TOTAL COMPREHENSIVE
INCOME FOR THE
FINANCIAL YEAR 7,439 10,900 11,509 17,073
-------------------------------------------------------------------------------
Raul Puusepp
Chairman of the Board
Phone +372 731 5000