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AS TALLINNA SADAM

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25490093MDYISEP1Y539

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Majandustegevusalad

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

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Pealkiri

ASi Tallinna Sadam 2022 I kvartali majandustulemused

Teade

I kvartalis kasvasid nii müügitulu (+7%), korrigeeritud EBITDA (+4%) kui kasum
(+5%). Müügitulu moodustas I kvartalis 27 mln eurot ja kasum 7 mln eurot.
Kontserni korrigeeritud EBITDA oli I kvartalis 13 miljonit eurot.


Reisijate  arv on  alates eelmise  aasta sügisest  järjest kiirenevalt taastunud
COVID-19 pandeemia piirangute mõjust, kuid jäi I kvartalis veel ligi poole võrra
madalamaks tavapärasest tasemest, mõjutatuna endiselt pandeemia järelmõjudest. I
kvartalis  oli  konteinerite  ja  veeremkauba  maht  rekordiline, kuid vedellast
langes üle aastate madalaimale tasemele.

Tallinna   Sadama   juhatuse   esimehe   Valdo   Kalmu   sõnul   olid  kontserni
finantstulemused  jätkuvalt  tugevad  ja  kasvasid  kõigis segmentides vaatamata
mitme   tänase   kriisi  mõjule.  ?Reisijate  segmendis  jätkus  sügisel  alanud
taastumine  pandeemiast. Kaubaäris, mis on  mõjutatud nii energiahindade tõusust
kui   Venemaale   ja   Valgevenele   kehtestatud  sanktsioonidest,  on  toimumas
kaubagruppide  ümberstruktureerimine  -  vedellasti  languse  mõju tasakaalustab
suurema marginaaliga ro-ro ja puistlasti kaubamahtude kasv," selgitas Kalm.

Tallinna Sadama juhatus tutvustab kontserni finantstulemusi 10. mail kell 11:00
toimuval  ingliskeelsel veebiseminaril,  millel saab  osaleda selle  lingi kaudu
(https://teams.microsoft.com/l/meetup-
join/19%3ameeting_MzlmM2NmYmMtMDJlNy00MmU3LTkzYmMtYTJjYzc0MGM4NmE0%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%22a6492212-75ef-498f-8735-75f88c5d463a%22%2c%22Is
BroadcastMeeting%22%3atrue%7d&btype=a&role=a).

Peamised finantsnäitajad (mln EUR):

                                   I kv 2022   I kv 2021    +/-      %

  Müügitulu                             26,8        25,0    1,8    7,1

  Korrigeeritud EBITDA                  13,5        13,0    0,5    3,5

  Korrigeeritud EBITDA marginaal       50,4%       52,1%   -1,7      -

  Ärikasum                               7,2         7,2      0   -0,1

  Perioodi kasum                         7,2         6,8    0,4    5,1

  Investeeringud                         4,7         3,6    1,1   29,0


                                    31.03.2022   31.12.2021     +/-

  Varade maht                            635,2        629,5    0,9%

  Intressi kandvad võlakohustused        200,3        203,3   -1,5%

  Muud kohustused                         46,8         45,3    3,3%

  Omakapital                             388,1        380,9    2,0%

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

Olulisemad sündmused I kvartalis:

  * Kinnitus Baffinlandilt jäämurdja Botnica prahtimiseks 2022 suveperioodil
  * Uueks juhatuse liikmeks finantsjuhiks ja tütarettevõtete nõukogu liikmeks
    sai Andrus Ait
  * Saavutati kompromiss ASiga Tallink Grupp kohtuvaidluse lõpetamiseks
  * Kruiisiterminal pälvis Aasta arhitektuurivaldkonna peapreemia ja on Aasta
    betoonehitis 2021
  * Partnerluse loomine teiste suuremate sadamatega Läänemerel roheliste
    transpordikoridoride loomiseks.

Müügitulu
Müügitulu  kasvas 2022. aasta I kvartalis  1,8 mln eurot ehk 7,1%. Kasvasid kõik
tululiigid peale laevatasude. Enim kasvas tulu reisijatasudest 0,8 mln eurot ehk
126% seoses  reisijate arvu kasvuga, mille mõju vähendas Vanasadama liinireisija
tasumäära  alandamine  10% alates  märtsist.  Vaatamata  kaubamahu  vähenemisele
kasvas  kaubatasu tulu  0,18 mln eurot  ehk 12% kuna  vähenes peamiselt madalama
tasumääraga  kauba maht  ning teisalt  kasvas kõrgema  tasumääraga kaupade maht.
Laevatasude  tulu  vähenes  0,16 mln  euro  võrra  ehk 2,1%, peamiselt puist- ja
vedellasti  laevade mõjul seoses kaubamahu vähenemisega. Müügitulu kasvas kõigis
segmentides, enim reisisadamate ja reisiparvlaevade puhul.

Reisisadamate   segmendi   müügitulu   kasvas   1,1 mln  eurot  (21%)  peamiselt
reisijatasu tulu mõjul (0,78 mln eurot) seoses reisijate arvu kasvuga. Kasvas ka
renditulu (0,15 mln eurot) nii uute pindade kui väiksemate soodustuste mõjul.
Kaubasadamate  segmendi müügitulu  kasvas 78 tuh  eurot (0,1%). Seoses kaubamahu
struktuuri   muutusega  kasvas  tulu  kaubatasult  (0,13  mln  eurot)  vaatamata
kaubamahu vähenemisele. Vähenes tulu laevatasudest seoses mahukaupade (puist- ja
vedellast) mahu langusega. Kasvas ka renditulu seoses mõne lepingulise tasumäära
suurenemisega.
Reisiparvlaevade  segmendis müügitulu kasvas 0,6 mln eurot (9%) peamiselt seoses
lepingulise  tasu  tõusuga  tulenevalt  Eesti  kütuse-,  tööjõu- ja tarbijahinna
indeksitega  tõusust.  Tulu  suurendavalt  mõjus  ka teostatud reiside arvu kasv
teenuse tellija (riigi) poolt tihendatud sõidugraafiku mõjul.
Muu  segmendi müügitulu kasvas vähesel  määral seoses lepingulise tasu muutusega
Eesti tarbijahinnaindeksi tõusu mõjul.

EBITDA
Korrigeeritud  EBITDA  kasvas  0,46 mln  euro  võrra (3,5%), kuna tulud kasvasid
rohkem kui kulud (ilma kulumita), ning kapitaliosaluse meetodil saadud suuremast
kasumist  sidusettevõttest  AS  Green  Marine. Segmentidest kasvas korrigeeritud
EBITDA   reisisadamate  ja  reisiparvlaevade  segmendis  ning  vähenes  eelkõige
kaubasadamate  segmendis,  kuna  selle  tulud  ei kasvanud. Korrigeeritud EBITDA
marginaal langes 52,1%-lt 50,4%-le.

Kasum
Kasum  enne  tulumaksu  kasvas  0,35 mln  eurot  (5,1%) 7,2 mln euroni. Kasumiks
kujunes  samuti 7,2 mln  eurot, mis  oli 0,35 mln  euro võrra enam eelmise aasta
võrdlusperioodi näitajast.

Investeeringud
2022. aasta  3 kuuga investeeris kontsern 4,7 mln eurot ehk 1,1 mln eurot rohkem
kui  eelmise  aasta  samal  perioodil.  2022. aasta  3 kuu  investeeringud  olid
peamiselt    seotud   Vanasadamas   reisiterminali   D   ümbritseva   välisruumi
rekonstrueerimise  ja laevade teenindusseadmete  uuendamisega ning Muuga sadamas
ro-ro kauba teenindusvõimsuse suurendamisega.

Lühendatud konsolideeritud finantsseisundi aruanne:

  tuhandetes eurodes                    31.03.2022   31.12.2021
----------------------------------------------------------------
  VARAD



  Käibevara

  Raha ja raha ekvivalendid                 41 014       34 840

  Nõuded ostjate vastu ja muud nõuded       14 650       14 151

  Lepingulised varad                           285            0

  Varud                                        515          399

  Müügiootel põhivara                       56 464       49 390

  Käibevara kokku                           41 014       34 840



  Põhivara

  Investeeringud sidusettevõtetesse          1 786        1 559

  Muud pikaajalised nõuded                     910          896

  Materiaalne põhivara                     573 967      575 563

  Immateriaalne põhivara                     2 112        2 130

  Põhivara kokku                           578 775      580 148
----------------------------------------------------------------
  Varad kokku                              635 239      629 538
----------------------------------------------------------------

----------------------------------------------------------------
  KOHUSTISED



  Lühiajalised kohustised

  Võlakohustised                            15 916       15 916

  Eraldised                                    622        1 572

  Sihtfinantseerimine                        1 243        1 223

  Maksuvõlad                                   594          890

  Võlad tarnijatele ja muud võlad            9 905       10 291

  Lepingulised kohustised                    3 488           57

  Lühiajalised kohustised kokku             31 768       29 949
----------------------------------------------------------------


  Pikaajalised kohustised

  Võlakohustised                           184 398      187 398

  Sihtfinantseerimine                       29 587       29 835

  Muud võlad                                   601          652

  Lepingulised kohustised                      799          809

  Pikaajalised kohustised kokku            215 385      218 694
----------------------------------------------------------------
  Kohustised kokku                         247 153      248 643
----------------------------------------------------------------


  OMAKAPITAL

  Aktsiakapital nimiväärtuses              263 000      263 000

  Ülekurss                                  44 478       44 478

  Kohustuslik reservkapital                 21 271       21 271

  Eelmiste perioodide jaotamata kasum       52 146       26 534

  Perioodi kasum                             7 191       25 612
----------------------------------------------------------------
  Omakapital kokku                         388 086      380 895
----------------------------------------------------------------
  Kohustised ja omakapital kokku           635 239      629 538
----------------------------------------------------------------

Lühendatud konsolideeritud kasumiaruanne



  tuhandetes eurodes                           I kv 2022   I kv 2021
---------------------------------------------------------------------


  Müügitulu                                       26 771      24 988

  Muud tulud                                         295         324

  Tegevuskulud                                    -8 663      -7 302

  Tööjõukulud                                     -4 771      -4 644

  Põhivara kulum ja väärtuse langus               -6 287      -6 022

  Muud kulud                                        -128        -123

  Ärikasum                                         7 217       7 221
---------------------------------------------------------------------


  Finantstulud ja -kulud

  Finantstulud                                        31          10

  Finantskulud                                      -284        -376

  Finantstulud ja -kulud kokku                      -253        -366
---------------------------------------------------------------------


  Kapitaliosaluse meetodil arvestatud
  kasum investeeringutelt sidusettevõttesse          227         -11

  Kasum enne tulumaksustamist                      7 191       6 844
---------------------------------------------------------------------


  Perioodi kasum                                   7 191       6 844
---------------------------------------------------------------------
  sh emaettevõtja omanike osa
  perioodi kasumist                                7 191       6 844
---------------------------------------------------------------------

---------------------------------------------------------------------
  Tava ja lahjendatud
  puhaskasum aktsia kohta (eurodes)                 0,03        0,03

  Tava ja lahjendatud
  puhaskasum aktsia kohta
  - jätkuvad tegevused (eurodes)                    0,03        0,03
---------------------------------------------------------------------

Lühendatud konsolideeritud rahavoogude aruanne:



 tuhandetes eurodes                               I kvartal 2022 I kvartal 2021
-------------------------------------------------------------------------------


 Kaupade või teenuste müügist laekunud raha               31 849         29 620

 Muude tulude eest laekunud raha                              20             14

 Maksed tarnijatele                                      -12 493         -9 956

 Maksed töötajatele ja töötajate eest                     -4 359         -4 552

 Maksed muude kulude eest                                   -146           -111

 Äritegevusest laekunud raha                              14 871         15 015
-------------------------------------------------------------------------------


 Materiaalse põhivara soetamine                           -5 318         -4 662

 Immateriaalse põhivara soetamine                            -50           -218

 Materiaalse põhivara müük                                    28            119

 Saadud intressid                                              1              1

 Investeerimistegevuses kasutatud raha                    -5 339         -4 760
-------------------------------------------------------------------------------


 Saadud laenude tagasimaksed                              -3 000         -3 000

 Makstud intressid                                          -356           -491

 Muud finantseerimistegevusest tulenevad maksed               -2              0
-------------------------------------------------------------------------------
 Finantseerimistegevuses(t) laekunud/kasutatud
 raha                                                     -3 358         -3 491
-------------------------------------------------------------------------------
 RAHAVOOG KOKKU                                            6 174 6 764
-------------------------------------------------------------------------------
 Raha ja raha ekvivalendid perioodi alguses               34 840 26 679

 Raha ja raha ekvivalentide muutus                         6 174 6 764

 Raha ja raha ekvivalendid perioodi lõpus                 41 014 33 443
-------------------------------------------------------------------------------

Tallinna  Sadamale  kuulub  üks  Läänemere  suurimaid  kauba-  ja  reisisadamate
komplekse,  mida  läbib  aastas  keskmiselt  10 miljonit reisijat ja 20 miljonit
tonni  kaupa. Lisaks  reisijate ja  kaubavedude teenindamisele tegutseb ettevõte
laevanduse  ärivaldkonnas  läbi  oma  tütarettevõtete  -  OÜ TS Laevad korraldab
parvlaevaühendust  Eesti mandri ja  suursaarte vahel ning  OÜ TS Shipping osutab
multifunktsionaalse jäämurdjaga Botnica jäämurde ja konstruktsioonilaeva teenust
Eestis   ja   offshore   projektides.   Tallinna   Sadama   gruppi   kuulub   ka
jäätmekäitlusega  tegelev  sidusettevõte  AS  Green  Marine.  Kontserni  2021. a
müügitulu  oli 110 miljonit  eurot, korrigeeritud  EBITDA 54 miljonit eurot ning
kasum 26 miljonit eurot.

Lisainfo:

Marju Zirel

Investorsuhete juht

Tel. +372 53 42 6591

E-post: [email protected] (mailto:[email protected])

Teate sisu inglise keeles

Pealkiri

AS Tallinna Sadam financial results for 2022 Q1

Teade

In the first quarter, both revenue (+7%), adjusted EBITDA (+4%) and profit (+5%)
increased. Revenue amounted to EUR 26.8 million and profit to EUR 7.2 million.
The adjusted EBITDA of Q1 was EUR 13 million.

The  number  of  passengers  has  been  recovering from the impacts of COVID-19-
related  restrictions since last autumn at an  accelerating pace, but due to the
after-effects  of the pandemic it still  remained nearly half smaller than usual
for  the first quarter. The  volumes of container cargo  and ro-ro cargo hit new
records while liquid bulk cargo dropped to recent years' lowest level.

According to Valdo Kalm, chairman of the management board of Tallinna Sadam, the
Group's  financial results  continued to  be strong  and growing in all business
segments  despite  the  effects  of  several  current  crises. "In the passenger
segment,  the recovery from the pandemic that  began in the autumn continued. In
the  cargo business, which is affected by both the rise in energy prices and the
sanctions  imposed on  Russia and  Belarus, the  restructuring of cargo types is
underway  - the impact of  the decline in liquid  cargo will be offset by higher
margin ro-ro and dry bulk cargo volumes," explained Kalm.

The management of Tallinna Sadam will present the financial results of the Group
at  a webinar on 10 May at 11:00 Estonian  time (GMT+3), to attend, please click
here                                      (https://teams.microsoft.com/l/meetup-
join/19%3ameeting_MzlmM2NmYmMtMDJlNy00MmU3LTkzYmMtYTJjYzc0MGM4NmE0%40thread.v2/0
?context=%7b%22Tid%22%3a%223c572f71-c808-4685-aa00-
2ca59a11c7e2%22%2c%22Oid%22%3a%22a6492212-75ef-498f-8735-75f88c5d463a%22%2c%22Is
BroadcastMeeting%22%3atrue%7d&btype=a&role=a).  The  webinar  will  be  held  in
English.

Key figures (in million EUR):

                           Q1 2022   Q1 2021    +/-      %

  Revenue                     26.8      25.0    1.8    7.1

  Adjusted EBITDA             13.5      13.0    0.5    3.5

  Adjusted EBITDA margin     50.4%     52.1%   -1.7      -

  Operating profit             7.2       7.2      0   -0.1

  Profit for the period        7.2       6.8    0.4    5.1

  Investments                  4.7       3.6    1.1   29.0


                          31.03.2022   31.12.2021     +/-

  Total assets                 635.2        629.5    0.9%

  Interest bearing debt        200.3        203.3   -1.5%

  Other liabilities             46.8         45.3    3.3%

  Equity                       388.1        380.9    2.0%

  Number of shares             263.0        263.0    0.0%

Major events in Q1:

  * Confirmation from Baffinland to charter the icebreaker Botnica in summer
    2022
  * Andrus Ait started as a new member of the management board and CFO and the
    member of the supervisory boards of the subsidiaries
  * Compromise was achieved with AS Tallink Grupp for the termination of a court
    dispute
  * The cruise terminal won Main Prize at Architecture Awards 2021 and was named
    Concrete Building of the Year 2021
  * Partnership was established with other major ports for the creation of green
    transport corridors in the Baltic Sea

Revenue
Revenue  for the first quarter grew by EUR 1.8 million (+7.1%) year on year. All
revenue  streams showed growth,  except vessel dues.  Passenger fee revenue grew
the  most, increasing by EUR 0.8 million  (+126%) in connection with an increase
in  the number of passengers, the effect of which was lowered by a 10% reduction
in the fee rate for passengers arriving at or departing from Old City Harbour on
regularly  operated ferry routes as from March 2022. Despite a decrease in cargo
throughput,  cargo charge revenue grew by EUR 0.18 million (+12%) mostly because
the  volume of cargo with lower charge rates decreased while the volume of cargo
with higher charge rates increased. All segments delivered revenue growth, which
was the largest in the Passenger harbours segment and the Ferry segment.

The revenue of the Passenger harbours segment increased by EUR 1.1 million (21%)
mainly  due to higher passenger fee  revenue (EUR +0.78 million), which resulted
from  growth in passenger  numbers. Also, lease  income grew (EUR +0.15 million)
due to new premises and smaller concessions.
The revenue of the Cargo harbours segment grew by EUR 78 thousand (0.1%). Due to
a  change in the cargo structure,  cargo charge revenue grew (EUR +0.13 million)
although cargo volumes decreased. Vessel dues revenue decreased due to a decline
in  dry and liquid bulk  cargo. Lease income grew  due an increase in some lease
rates.
The  revenue  of  the  Ferry  segment  increased  by EUR 0.6 million (9%) mainly
through  a rise in the contractual fee  rates (in connection with an increase in
the  Estonian fuel  cost, employment  cost and  consumer price indices). Revenue
growth  was supported by a  larger number of trips  made (due to high demand the
state expanded the ordered more frequent ferry schedule).
The revenue of the segment Other grew marginally in connection with the revision
of the contractual fee due to an increase in the Estonian consumer price index.

EBITDA
Adjusted  EBITDA grew by EUR 0.46 million through revenue growth, which exceeded
growth  in expenses  (excluding depreciation,  amortisation and impairment), and
higher  profit  on  the  investment  in  the equity-accounted associate AS Green
Marine.  In terms  of segments,  adjusted EBITDA  grew in the Passenger harbours
segment  and the  Ferry segment  and decreased  primarily in  the Cargo harbours
segment, where revenue did not increase. The adjusted EBITDA margin dropped from
52.1% to 50.4%.

Profit
Profit  before  tax  grew  by  EUR  0.35 million (+5.1%) to EUR 7.2 million. Net
profit was also EUR 7.2 million, EUR 0.35 million larger than a year earlier.

Investments
In  the first three months of 2022, the Group invested EUR 4.7 million, EUR 1.1
million  more  than  a  year  earlier.  The  main  investments  were made in the
reconstruction  of the outdoor  area around Terminal  D and the  upgrade of quay
equipment in Old City Harbour and in increasing the capacity of Muuga Harbour to
serve ro-ro cargo.



Interim condensed consolidated statement of financial position:

  In thousands of euros               31 March 2022   31 December 2021
-----------------------------------------------------------------------
  ASSETS



  Current assets

  Cash and cash equivalents                  41,014             34,840

  Trade and other receivables                14,650             14,151

  Contract assets                               285                  0

  Inventories                                   515                399

  Non-current assets held for sale           56,464             49,390
-----------------------------------------------------------------------
  Total current assets                       41,014             34,840
-----------------------------------------------------------------------


  Non-current assets

  Investments in associates                   1,786              1,559

  Other long-term receivables                   910                896

  Property, plant and equipment             573,967            575,563

  Intangible assets                           2,112              2,130

  Total non-current assets                  578,775            580,148
-----------------------------------------------------------------------
  Total assets                              635,239            629,538
-----------------------------------------------------------------------


  LIABILITIES



  Current liabilities

  Loans and borrowings                       15,916             15,916

  Provisions                                    622              1,572

  Government grants                           1,243              1,223

  Taxes payable                                 594                890

  Trade and other payables                    9,905             10,291

  Contract liabilities                        3,488                 57

  Total current liabilities                  31,768             29,949
-----------------------------------------------------------------------


  Non-current liabilities

  Loans and borrowings                      184,398            187,398

  Government grants                          29,587             29,835

  Other payables                                601                652

  Contract liabilities                          799                809

  Total non-current liabilities             215,385            218,694
-----------------------------------------------------------------------
  Total liabilities                         247,153            248,643
-----------------------------------------------------------------------


  EQUITY

  Share capital at par value                263,000            263,000

  Share premium                              44,478             44,478

  Statutory capital reserve                  21,271             21,271

  Retained earnings (prior periods)          52,146             26,534

  Profit for the period                       7,191             25,612
-----------------------------------------------------------------------
  Total equity                              388,086            380,895
-----------------------------------------------------------------------
  Total liabilities and equity              635,239            629,538
-----------------------------------------------------------------------

Interim condensed consolidated statement of profit or loss:



 In thousands of euros                                          Q1 2022 Q1 2021
-------------------------------------------------------------------------------


 Revenue                                                         26,771  24,988

 Other income                                                       295     324

 Operating expenses                                              -8,663  -7,302

 Personnel expenses                                              -4,771  -4,644

 Depreciation, amortisation and impairment                       -6,287  -6,022

 Other expenses                                                    -128    -123

 Operating profit                                                 7,217   7,221
-------------------------------------------------------------------------------


 Finance income and costs

 Finance income                                                      31      10

 Finance costs                                                     -284    -376

 Finance costs - net                                               -253    -366
-------------------------------------------------------------------------------


 Share of profit of an associate accounted for under the equity
 method                                                             227     -11

 Profit before income tax                                         7,191   6,844
-------------------------------------------------------------------------------


 Profit for the period                                            7,191   6,844
-------------------------------------------------------------------------------
 Attributable to owners of the Parent                             7,191   6,844
-------------------------------------------------------------------------------

-------------------------------------------------------------------------------
 Basic and diluted earnings per share (in euros)                   0.03    0.03

 Basic and diluted earnings per share - continuing operations
 (in euros)                                                        0.03    0.03
-------------------------------------------------------------------------------

Interim condensed consolidated statement of cash flows:



  In thousands of euros                                  Q1 2022   Q1 2021
---------------------------------------------------------------------------


  Cash receipts from sale of goods and services           31,849    29,620

  Cash receipts related to other income                       20        14

  Payments to suppliers                                  -12,493    -9,956

  Payments to and on behalf of employees                  -4,359    -4,552

  Payments for other expenses                               -146      -111

  Cash from operating activities                          14,871    15,015
---------------------------------------------------------------------------


  Purchases of property, plant and equipment              -5,318    -4,662

  Purchases of intangible assets                             -50      -218

  Proceeds from sale of property, plant and equipment         28       119

  Government grants received                                   1         0

  Interest received                                       -5,339         1

  Cash used in investing activities                                 -4,760
---------------------------------------------------------------------------
  Repayments of loans received                            -3,000    -3,000

  Interest paid                                             -356      -491

  Other payments related to financing activities              -2         0

  Cash from/used in financing activities                  -3,358    -3,491
---------------------------------------------------------------------------
  NET CASH FLOW                                            6,174     6,764
---------------------------------------------------------------------------
  Cash and cash equivalents at beginning of the period    34,840    26,679

  Change in cash and cash equivalents                      6,174     6,764

  Cash and cash equivalents at end of the period          41,014    33,443
---------------------------------------------------------------------------

Tallinna  Sadam is one of the largest cargo- and passenger port complexes in the
Baltic  Sea region, which  serves annually 10 million  passengers and 20 million
tons  of  cargo  in  average.  In  addition  to  passenger and freight services,
Tallinna  Sadam group also operates in  shipping business via its subsidiaries -
OÜ  TS  Laevad  provides  ferry  services  between the Estonian mainland and the
largest  islands, and OÜ TS Shipping charters its multifunctional vessel Botnica
for  icebreaking  and  construction  services  in  Estonia and offshore projects
abroad.  Tallinna Sadam  group is  also a  shareholder of  an associate AS Green
Marine,  which provides  waste management  services. The  group's sales in 2020
totalled  EUR  107.4 million,  adjusted  EBITDA  EUR 58.4 million and profit EUR
28.5 million.

Additional information:

Marju Zirel
Head of Investor Relations
Tel. +372 5342 6591

[email protected] (mailto:[email protected])