4th Quarter 2021 (unaudited)
The revenues not related to energy market in Elering AS amounted to EUR 40.9 million in the fourth quarter of 2021. The profit before taxes reached EUR 1.7 million.
Compared to the comparative period in 2020, the revenues not related to energy market increased by EUR 2.3 million, whilst the transmission revenues for electricity and gas increased by EUR 1.3 million.
The expenses not related to energy market increased by EUR 14.4 million. The increase was mainly derived by the bigger network losses expenses resulted by the higher electricity price, the network losses expenses amounted to EUR 12.7 million.
Elering AS earned EUR 2.3 million operating profit in total, which is EUR 11.9 million lower than in the comparative period in 2020.
The operating cash flows in fourth quarter reached to EUR 12.9 million. Elering AS invested into non-current assets EUR 22.1 million, EUR 19.6 million of EU financing was collected and EUR 34.7 million of congestion income was received.
The total assets of Elering AS amounted to EUR 1,182.4 million and owner’s equity EUR 381.6 million as at the end of December 2021.
In EUR thousands
31.12.21 | 31.12.20 | ||
Assets |
|||
Current assets | |||
Cash and cash equivalents | 62,668 | 50,619 | |
Short-term financial investments | 42,000 | 899 | |
Accounts receivables and other receivables | 59,683 | 38,586 | |
Inventories | 3,658 | 3,535 | |
Total current assets | 168,009 | 93,639 | |
Non-current assets | 1,014,845 | 982,097 | |
TOTAL ASSETS | 1,182,854 | 1,075,736 | |
Liabilities |
|||
Current liabilities | |||
Borrowings | 10,623 | 10,565 | |
Trade and other payables | 58,521 | 28,448 | |
Total current liabilities | 69,144 | 39,013 | |
Non-current liabilities | |||
Borrowings | 312,095 | 322,389 | |
Other non-current liabilities | 419,526 | 327,366 | |
Total non-current liabilities | 731,621 | 649,755 | |
TOTAL LIABILITIES | 800,765 | 688,768 | |
Equity |
|||
Share capital | 229,890 | 229,890 | |
Revaluation of the financial investments | 0 | -1,047 | |
Statutory reserve | 17,595 | 16,330 | |
Retained earnings | 134,604 | 141,795 | |
TOTAL OWNER’S EQUITY | 382,089 | 386,968 | |
TOTAL LIABILITIES AND OWNER’S EQUITY | 1,182,854 | 1,075,736 |
In EUR thousands
4th Quarter | January-december | |||
2021 | 2020 | 2021 | 2020 | |
Revenues not related to energy markets | 39,029 | 36,755 | 118,041 | 109,056 |
Revenues related to energy markets | 42,840 | 83,416 | 83,416 | 28,012 |
Net sales | 81,869 | 45,173 | 201,457 | 137,068 |
Other income | 1,849 | 1,650 | 6,672 | 5,327 |
Goods, raw materials and services not related to energy markets | 21,450 | 8,223 | 52,989 | 26,407 |
Goods, raw materials and services related to energy markets | 42,572 | 8,226 | 82,220 | 26,848 |
Total goods, raw materials and services | 64,022 | 16,449 | 135,209 | 53,255 |
Other miscellaneous operating expenses | 2,432 | 1,644 | 7,075 | 5,354 |
Staff costs | 2,996 | 3,231 | 11,222 | 10,970 |
Depreciation and amortisation | 11,913 | 11,263 | 45,531 | 40,123 |
Other operating expenses | 25 | 20 | 69 | 91 |
OPERATING PROFIT | 2,330 | 14,216 | 9,023 | 32,602 |
Financial income | 2 | 1 | 17 | 3 |
Financial expenses | 592 | 559 | 2,303 | 2,338 |
PROFIT BEFORE TAX | 1,740 | 13,658 | 6,737 | 30,267 |
Income tax | 1,628 | 0 | 1,628 | 4,964 |
NET PROFIT | 112 | 13,658 | 5,109 | 25,303 |
In EUR thousands
4th Quarter | January-december | ||||
2021 | 2020 | 2021 | 2020 | ||
Cash flows from operating activities |
|||||
Profit/loss before income tax | 1,739 | 13,658 | 6,736 | 30,266 | |
Adjustments for | |||||
Depreciation, amortisation and impairment | 11,913 | 11,263 | 45,531 | 40,123 | |
Change in current assets involved in operating activities | -23,985 | -2,341 | -20,600 | 1,859 | |
Change in liabilities involved in operating activities | 23,544 | -438 | 24,274 | -1,738 | |
Paid interest | -69 | -132 | -2,319 | -2,319 | |
Income tax on dividends | 0 | -4,964 | 0 | -6,531 | |
Other adjustments | -226 | 815 | -2,315 | -791 | |
TOTAL CASH FLOWS FROM OPERATING ACTIVITIES | 12,916 | 17,861 | 51,307 | 60,869 | |
Cash flows from/used in investment activities |
|||||
Acquisition of property, plant and equipment and intangible assets | -22,065 | -20,679 | -75,497 | -100,214 | |
Foreign grants for acquisition of non-current assets | 19,649 | 46,921 | 31,584 | 59,477 | |
Net change in deposits at banks with maturity of more than 3 months | -42,000 | 0 | -42,000 | 0 | |
Proceeds from congestion income | 34,650 | 8,561 | 65,582 | 24,053 | |
Proceeds from sales of financial investment | 0 | 0 | 912 | 0 | |
Proceeds from sale of property, plant and equipment | 257 | 13 | 773 | 264 | |
CASH FLOWS USED IN INVESTMENT ACTIVITIES | -9,509 | 34,816 | -18,646 | -16,420 | |
Cash flows from financing activities |
|||||
Repayment of bank loans | -2,642 | -2,642 | -10,558 | -10,558 | |
Repayable finance lease liabilities | -30 | -2 | -54 | -19 | |
Paid dividends | -10,000 | -25,600 | -10,000 | -25,600 | |
TOTAL CASH FLOWS USED IN FINANCING ACTIVITIES | -12,672 | -28,244 | -20,612 | -36,177 | |
Change in cash and cash equivalents | -9,265 | 24,433 | 12,049 | 8,272 | |
Cash and cash equivalents at the beginning of the quarter | 71,933 | 26,186 | 50,619 | 42,347 | |
Cash and cash equivalents at the end of the quarter | 62,668 | 50,619 | 62,668 | 50,619 |
In EUR thousands
31.12.21 | 31.12.20 | ||
Assets |
|||
Current assets | |||
Cash and cash equivalents | 62,668 | 50,619 | |
Short-term financial investments | 42,000 | 899 | |
Accounts receivables and other receivables | 59,683 | 38,586 | |
Inventories | 3,658 | 3,535 | |
Total current assets | 168,009 | 93,639 | |
Non-current assets | 1,014,845 | 982,097 | |
TOTAL ASSETS | 1,182,854 | 1,075,736 | |
Liabilities |
|||
Current liabilities | |||
Borrowings | 10,623 | 10,565 | |
Trade and other payables | 58,521 | 28,448 | |
Total current liabilities | 69,144 | 39,013 | |
Non-current liabilities | |||
Borrowings | 312,095 | 322,389 | |
Other non-current liabilities | 419,526 | 327,366 | |
Total non-current liabilities | 731,621 | 649,755 | |
TOTAL LIABILITIES | 800,765 | 688,768 | |
Equity |
|||
Share capital | 229,890 | 229,890 | |
Revaluation of the financial investments | 0 | -1,047 | |
Statutory reserve | 17,595 | 16,330 | |
Retained earnings | 134,604 | 141,795 | |
TOTAL OWNER’S EQUITY | 382,089 | 386,968 | |
TOTAL LIABILITIES AND OWNER’S EQUITY | 1,182,854 | 1,075,736 |
In EUR thousands
4th Quarter | January-december | |||
2021 | 2020 | 2021 | 2020 | |
Revenues not related to energy markets | 39,029 | 36,755 | 118,041 | 109,056 |
Revenues related to energy markets | 42,840 | 83,416 | 83,416 | 28,012 |
Net sales | 81,869 | 45,173 | 201,457 | 137,068 |
Other income | 1,849 | 1,650 | 6,672 | 5,327 |
Goods, raw materials and services not related to energy markets | 21,450 | 8,223 | 52,989 | 26,407 |
Goods, raw materials and services related to energy markets | 42,572 | 8,226 | 82,220 | 26,848 |
Total goods, raw materials and services | 64,022 | 16,449 | 135,209 | 53,255 |
Other miscellaneous operating expenses | 2,432 | 1,644 | 7,075 | 5,354 |
Staff costs | 2,996 | 3,231 | 11,222 | 10,970 |
Depreciation and amortisation | 11,913 | 11,263 | 45,531 | 40,123 |
Other operating expenses | 25 | 20 | 69 | 91 |
OPERATING PROFIT | 2,330 | 14,216 | 9,023 | 32,602 |
Financial income | 2 | 1 | 17 | 3 |
Financial expenses | 592 | 559 | 2,303 | 2,338 |
PROFIT BEFORE TAX | 1,740 | 13,658 | 6,737 | 30,267 |
Income tax | 1,628 | 0 | 1,628 | 4,964 |
NET PROFIT | 112 | 13,658 | 5,109 | 25,303 |
In EUR thousands
4th Quarter | January-december | ||||
2021 | 2020 | 2021 | 2020 | ||
Cash flows from operating activities |
|||||
Profit/loss before income tax | 1,739 | 13,658 | 6,736 | 30,266 | |
Adjustments for | |||||
Depreciation, amortisation and impairment | 11,913 | 11,263 | 45,531 | 40,123 | |
Change in current assets involved in operating activities | -23,985 | -2,341 | -20,600 | 1,859 | |
Change in liabilities involved in operating activities | 23,544 | -438 | 24,274 | -1,738 | |
Paid interest | -69 | -132 | -2,319 | -2,319 | |
Income tax on dividends | 0 | -4,964 | 0 | -6,531 | |
Other adjustments | -226 | 815 | -2,315 | -791 | |
TOTAL CASH FLOWS FROM OPERATING ACTIVITIES | 12,916 | 17,861 | 51,307 | 60,869 | |
Cash flows from/used in investment activities |
|||||
Acquisition of property, plant and equipment and intangible assets | -22,065 | -20,679 | -75,497 | -100,214 | |
Foreign grants for acquisition of non-current assets | 19,649 | 46,921 | 31,584 | 59,477 | |
Net change in deposits at banks with maturity of more than 3 months | -42,000 | 0 | -42,000 | 0 | |
Proceeds from congestion income | 34,650 | 8,561 | 65,582 | 24,053 | |
Proceeds from sales of financial investment | 0 | 0 | 912 | 0 | |
Proceeds from sale of property, plant and equipment | 257 | 13 | 773 | 264 | |
CASH FLOWS USED IN INVESTMENT ACTIVITIES | -9,509 | 34,816 | -18,646 | -16,420 | |
Cash flows from financing activities |
|||||
Repayment of bank loans | -2,642 | -2,642 | -10,558 | -10,558 | |
Repayable finance lease liabilities | -30 | -2 | -54 | -19 | |
Paid dividends | -10,000 | -25,600 | -10,000 | -25,600 | |
TOTAL CASH FLOWS USED IN FINANCING ACTIVITIES | -12,672 | -28,244 | -20,612 | -36,177 | |
Change in cash and cash equivalents | -9,265 | 24,433 | 12,049 | 8,272 | |
Cash and cash equivalents at the beginning of the quarter | 71,933 | 26,186 | 50,619 | 42,347 | |
Cash and cash equivalents at the end of the quarter | 62,668 | 50,619 | 62,668 | 50,619 |