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Vend Marketplaces ASA

Earnings Release May 6, 2021

3738_rns_2021-05-06_4b11a2e3-c22c-4371-83d2-0b7324922d27.pdf

Earnings Release

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Financials and analytical info as of Q1 2021

    1. Profit loss statement
    1. Balance sheet
    1. Cash flow
    1. Segment overview
    1. Nordic Marketplaces
    1. News Media
    1. Financial Services
    1. Growth

For details on Adevinta, please refer to Adevinta's reporting on adevinta.com/ir

For questions, please contact Schibsted IR:

Jann-Boje Meinecke, Head of IR [email protected] +47 941 00 835 Malin Langtvet, IR Officer

[email protected] +47 916 86 710

schibsted.com/ir

NOK million
------------- -- -- --
SCHIBSTED GROUP
1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter CONDENSED CONSOLIDATED Full year Full year
2019 2019 2019 2019 2020 2020 2020 2020 2021 INCOME STATEMENT 2020 2019
restated and restated and restated and restated and restated and restated and restated restated restated restated and
re-presented re-presented re-presented re-presented re-presented re-presented re-presented
566 629 610 578 593 590 649 653 702 Classified revenues 2,485 2,383
772 836 639 887 653 653 630 894 705 Advertising revenues 2,829 3,134
538 597 451 641 473 495 490 694 551 -of which digital 2,153 2,227
679 677 701 703 689 717 737 761 763 Subscription revenues 2,905 2,760
256 271 293 294 301 324 349 363 374 -of which digital 1,336 1,113
333 340 355 330 306 315 331 303 273 Casual sales 1,256 1,358
739 734 727 818 785 799 840 1,009 958 Other revenues 3,434 3,017
3,089 3,216 3,032 3,316 3,026 3,073 3,188 3,620 3,401 Operating revenues 12,908 12,653
(102) (102) (101) (111) (93) (100) (109) (151) (146) Raw materials and finished goods (454) (416)
(1,232) (1,213) (1,078) (1,270) (1,221) (1,189) (1,130) (1,365) (1,299) Personnel expenses (4,905) (4,793)
(1,337) (1,343) (1,311) (1,476) (1,427) (1,286) (1,271) (1,439) (1,361) Other operating expenses (5,422) (5,467)
418 557 542 460 285 498 678 665 594 Gross operating profit (loss) - EBITDA 2,126 1,977
(208) (208) (196) (201) (193) (199) (218) (218) (220) Depreciation and amortisation (829) (813)
(19) (18) (8) (13) (30) (4) 2 (12) (0) Share of profit (loss) of joint ventures and associates (44) (58)
(9) (0) (0) (26) (0) (13) (7) (40) (6) Impairment loss (61) (35)
- - 1
9
66 63 (1) 17 10 Other income 146 11
(14) (38) (48) (61) (11) (59) (94) (72) (31) Other expenses (237) (162)
168 293 290 168 117 285 360 339 346 Operating profit (loss) 1,101 920
33 18 22 19 16 7 14 12 3 Financial income 37 89
(43) (45) (47) (48) (56) (53) (52) (47) (56) Financial expense (197) (179)
158 266 266 139 77 239 321 304 294 Profit (loss) before taxes 941 829
(59) (86) (77) (53) (28) 264 (59) (49) (71) Taxes 128 (275)
99 180 189 86 48 503 262 254 222 Profit (loss) after taxes from continuing operations 1,068 554
221 173 213 35 (434) (34) (209) 444 (501) Profit/loss after tax from discontinued operations (233) 642
320 353 402 121 (385) 469 53 698 (279) Profit (loss) 836 1,196
Profit (loss) attributable to:
19 83 109 36 (171) (1) (58) 209 (175) Non-controlling interests (22) 247
300 271 292 85 (214) 471 112 490 (104) Owners of the parent 858 949
Earnings per share (NOK)
1.26 1.14 1.23 0.36 (0.91) 2.01 0.48 2.09 (0.44) Basic 3.67 4.00
1.26 1.13 1.23 0.36 (0.91) 2.01 0.48 2.09 (0.44) Diluted 3.66 3.99
1.42 1.40 1.43 1.36 (1.11) 2.03 1.60 2.69 1.41 Basic - adjusted 5.21 5.59
1.41 1.40 1.43 1.36 (1.11) 2.03 1.60 2.69 1.41 Diluted - adjusted 5.20 5.58

NOK million

CONDENSED CONSOLIDATED 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03
STATEMENT OF FINANCIAL POSITION 2019 2019 2019 2019 2020 2020 2020 2020 2021
Intangible assets 16,287 16,459 16,748 17,369 19,773 19,014 6,153 6,018 5,824
Property, plant and equipment and investment property 845 866 857 849 869 745 492 480 462
Right-of-use assets 1,789 1,764 2,374 2,317 2,894 2,735 1,641 1,620 1,549
Investments in joint ventures and associates 4,407 4,423 4,470 4,529 4,340 4,062 906 922 918
Deferred tax assets 264 218 274 179 234 588 702 690 709
Other non-current assets 154 166 182 241 346 344 88 101 97
Non-current assets 23,746 23,897 24,904 25,483 28,456 27,489 9,981 9,832 9,560
Contract assets 359 477 335 224 226 226 178 173 170
Trade receivables and other current assets 2,656 2,763 2,732 3,047 3,198 3,147 1,839 1,792 1,835
Cash and cash equivalents 727 4,578 4,403 3,866 3,977 6,282 1,021 1,306 1,104
Assets held for sale - - - 157 - - 25,184 35,375 33,292
Current assets 3,743 7,818 7,470 7,294 7,401 9,655 28,222 38,646 36,401
Total assets 27,489 31,715 32,374 32,778 35,857 37,144 38,204 48,478 45,961
Paid-in equity 6,924 6,941 6,948 6,969 6,993 6,990 7,011 7,028 7,034
Other equity 7,251 4,182 3,737 3,529 3,820 3,696 3,738 3,151 2,770
Equity attributable to owners of the parent 14,175 11,123 10,685 10,498 10,813 10,686 10,749 10,178 9,804
Non-controlling interests 272 6,208 6,367 6,383 6,887 6,402 6,111 5,675 5,465
Equity 14,447 17,331 17,052 16,882 17,700 17,088 16,860 15,853 15,269
Deferred tax liabilities 884 838 852 944 1,078 1,020 335 351 331
Pension liabilities 1,175 1,190 1,438 1,095 1,356 1,450 1,235 1,154 1,094
Non-current interest-bearing loans and borrowings 3,830 4,246 4,286 4,729 4,958 5,297 3,139 3,090 3,078
Non-current lease liabilities 1,644 1,607 2,262 2,192 2,750 2,579 1,550 1,503 1,424
Other non-current liabilities 318 373 367 355 521 411 290 317 269
Non-current liabilities 7,851 8,255 9,204 9,314 10,664 10,757 6,550 6,416 6,195
Current interest-bearing loans and borrowings 88 1,079 1,080 1,089 1,102 3,133 693 678 675
Income tax payable 310 245 334 234 184 115 235 74 95
Current lease liabilities 388 401 356 352 426 446 275 286 293
Contract liabilities 1,206 1,187 1,126 1,109 1,278 1,227 585 600 635
Other current liabilities 3,200 3,217 3,222 3,660 4,502 4,378 2,279 2,537 2,322
Liabilities held for sale - - - 138 - - 10,727 22,034 20,476
Current liabilities 5,191 6,128 6,118 6,582 7,492 9,299 14,793 26,209 24,497
Total equity and liabilities 27,489 31,715 32,374 32,778 35,857 37,144 38,204 48,478 45,961
NOK million
CONDENSED CONSOLIDATED 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03
STATEMENT OF CASH FLOWS 2019 2019 2019 2019 2020 2020 2020 2020 2021
Profit (loss) before taxes from continuing operations 158 424 690 829 77 316 637 941 294
Profit (loss) before taxes from discontinued operations 356 657 1,031 1,119 (308) (247) (272) 154 (335)
Depreciation, amortisation and impairment losses 328 636 932 1,537 335 710 968 1,226 226
Net effect pension liabilities (65) (51) (56) (84) (46) (42) (28) (7) (55)
Share of loss (profit) of joint ventures and associates, net of dividends received (21) 62 72 40 27 9 40 52 12
Taxes paid (301) (597) (779) (978) (159) (333) (522) (819) (199)
Sales losses (gains) non-current assets and other non-cash losses (gains) 1 2 (2) (1) (66) (124) (138) (189) 553
Non-cash items and change in working capital and provisions 323 132 196 382 678 717 974 1,043 220
Net cash flow from operating activities 778 1,265 2,085 2,844 538 1,005 1,659 2,402 715
- of which from continuing operations 276 582 1,038 1,532 98 418 711 1,292 299
- of which from discontinued operations 502 683 1,047 1,312 440 587 948 1,110 416
Net cash flow from investing activities (491) (867) (1,144) (2,244) (366) (708) (2,947) (6,109) (404)
- of which from continuing operations (334) (475) (638) (888) (165) (348) (2,473) (2,654) (424)
- of which from discontinued operations (157) (392) (506) (1,356) (201) (360) (474) (3,455) 20
Net cash flow from financing activities (1,387) 2,352 1,626 1,429 (201) 2,121 2,022 2,624 (341)
- of which from continuing operations (1,024) 2,547 1,849 1,219 (155) (319) (391) (498) (69)
- of which from discontinued operations (363) (195) (223) 210 (46) 2,440 2,413 3,122 (271)
Effect of exchange rate changes on cash and cash equivalents (16) (16) (7) (7) 140 (2) 67 (105) (80)
Net increase (decrease) in cash and cash equivalents (1,116) 2,734 2,560 2,022 111 2,417 801 (1,188) (109)
Cash and cash equivalents at start of period 1,844 1,844 1,844 1,844 3,866 3,866 3,866 3,866 2,678
Cash and cash equivalents at end of period 727 4,578 4,403 3,866 3,977 6,282 4,666 2,678 2,569
- of which cash and cash equivalents in assets held for sale - - - - - - 3,645 1,371 1,464
- of which cash and cash equivalents excluding assets held for sale 727 4,578 4,403 3,866 3,977 6,282 1,021 1,306 1,104
NOK million
1 quarter
2019
restated
2 quarter
2019
restated
813
3 quarter
2019
restated
4 quarter
2019
restated
1 quarter
2020
restated
2 quarter
2020
restated
3 quarter
2020
restated
4 quarter
2020
1 quarter
2021
SCHIBSTED GROUP Full year
2020
Full year
2019
restated restated restated
Operating revenues
722 769 758 743 753 827 857 877 Nordic Marketplaces 3,181 3,062
1,883 1,940 1,775 1,971 1,770 1,802 1,809 2,078 1,845 News Media 7,459 7,568
273 245 275 260 293 252 289 265 279 Financial Services 1,100 1,054
474 480 497 607 544 604 593 775 744 Growth 2,517 2,058
141 151 143 143 167 177 162 162 161 Other/Headquarters 668 579
(404) (414) (427) (423) (491) (516) (493) (517) (505) Eliminations (2,017) (1,668)
3,089 3,216 3,032 3,316 3,026 3,073 3,188 3,620 3,401 Schibsted Group 12,908 12,653
EBITDA
307 374 373 306 298 341 356 340 360 Nordic Marketplaces 1,336 1,360
126 203 166 156 37 148 272 294 205 News Media 750 651
57 29 51 33 38 31 86 49 50 Financial Services 203 169
(0) 16 16 48 (19) 33 34 61 35 Growth 109 80
(71) (66) (63) (83) (69) (54) (69) (80) (56) Other/Headquarters (272) (284)
418 557 542 460 285 498 678 665 594 Schibsted Group 2,126 1,977
NOK million
1 quarter
2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter Full year Full year
2019
restated
2019
restated
2019
restated
2019
restated
2020
restated
2020
restated
2020
restated
2020
restated
2021 Nordic Marketplaces 2020
restated
2019
restated
567 629 611 579 594 590 649 653 702 Nordic Marketplaces total
Classifieds revenues
2,486 2,385
100 125 106 126 101 106 110 132 107 Advertising revenues 449 457
55 59 52 53 49 57 68 72 67 Other revenues 246 220
722 813 769 758 743 753 827 857 877 Operating revenues 3,181 3,062
(415) (439) (396) (452) 3 %
(445)
-7 %
(412)
8 %
(471)
13 %
(517)
(517) 18 % YOY revenue growth
Operating expenses
4 %
(1,845)
(1,702)
307 374 373 306 298 341 356 340 360 EBITDA 1,336 1,360
43 % 46 % 48 % 40 % 40 % 45 % 43 % 40 % 41 % EBITDA-margin 42 % 44 %
Marketplaces Norway
384 427 405 372 383 366 388 383 430 Classifieds revenues 1,520 1,588
43 55 48 62 50 49 45 56 49 Advertising revenues 200 209
54 58 52 52 48 54 53 59 54 Other revenues 214
1,934
215
480 540 505 486 480
0 %
469
-13 %
486
-4 %
498
2 %
533 Operating revenues
11 % YOY revenue growth
-4 % 2,012
(258) (269) (238) (265) (270) (225) (256) (269) (266) Operating expenses (1,019) (1,031)
222 271 266 222 211 244 230 229 268 EBITDA 914 981
46 % 50 % 53 % 46 % 44 % 52 % 47 % 46 % 50 % EBITDA-margin 47 % 49 %
Marketplaces Sweden
176 192 196 197 200 214 216 218 208 Classifieds revenues 848 761
42 51 43 50 38 44 46 53 40 Advertising revenues 181 186
1 1 1 2 1 3 2 10 4 Other revenues 16
1,044
4
219 245 240 248 239
9 %
261
7 %
263
10 %
281
13 %
252 Operating revenues
6 % YOY revenue growth
10 % 951
(119) (129) (122) (148) (139) (151) (139) (159) (147) Operating expenses (587) (519)
100 115 118 100 100 110 125 123 105 EBITDA 457 432
46 % 47 % 49 % 40 % 42 % 42 % 47 % 44 % 42 % EBITDA-margin 44 % 45 %
Marketplaces Finland
8 9 10 10 11 11 47 53 63 Classifieds revenues 122 36
15 19 15 14 13 13 20 24 18 Advertising revenues 69
27
63
0
23
0
29
0
25
0
23
0
24
1
24
12
79
14
90
13
94
Other revenues
Operating revenues
217 1
100
4 % -16 % 216 % 286 % 292 % YOY revenue growth 117 %
(23) (25) (22) (22) (20) (24) (64) (84) (91) Operating expenses (192) (92)
(0) 3 3 1 4 0 15 6 4 EBITDA 25 8
0 % 12 % 11 % 6 % 15 % 1 % 19 % 7 % 4 % EBITDA-margin 12 % 8 %
Other Nordic Marketplaces (1)
(0) (0) (0) (0) (0) (1) (1) (12) (3) Operating revenues/eliminations (14)
(47)
(1)
(14)
(14)
(15)
(15)
(14)
(14)
(17)
(17)
(16)
(16)
(13)
(14)
(12)
(14)
(5)
(17)
(14)
(17)
Operating expenses
EBITDA
(61) (60)
(60)
(1) Other Nordic Marketplaces includes Nordic Marketplaces headquarters, SPT cost
allocation and eliminations
0.935 0.915 0.924 0.948 0.979 1.034 1.030 1.048 1.015 SEK/NOK 1.023 0.931
9.742 9.716 9.851 10.092 10.452 11.020 10.670 10.757 10.264 EUR/NOK 10.725 9.850
Marketplaces Sweden in SEK
188 210 212 208 204 207 209 209 205 Classifieds revenues 829 818
45 56 47 52 39 43 44 50 40 Advertising revenues 177
15
200
1
234
1
267
1
260
2
262
1
244
3
252
2
256
10
268
4
249
Other revenues
Operating revenues
1,020 5
1,022
4 % -6 % -1 % 3 % 2 % YOY revenue growth 0 %
(127) (141) (132) (157) (142) (146) (135) (151) (145) Operating expenses (574) (558)
107 126 127 105 102 106 121 117 104 EBITDA 446 465
46 % 47 % 49 % 40 % 42 % 42 % 47 % 44 % 42 % EBITDA-margin 44 % 45 %
Marketplaces Finland in EUR
1 1 1 1 1 1 4 5 6 Classifieds revenues 11 4
2
0
2
0
1
0
1
0
1
0
1
0
2
1
2
1
2
1
Advertising revenues
Other revenues
6
3
6
0
2 3 3 2 2 2 7 8 9 Operating revenues 20 10
-3 % -26 % 192 % 262 % 299 % YOY revenue growth 99 %
(2) (3) (2) (2) (2) (2) (6) (8) (9) Operating expenses (18) (9)
(0)
0 %
0
12 %
0
11 %
0
6 %
0
15 %
0
1 %
1
19 %
1
7 %
0 EBITDA
4 % EBITDA-margin
2
12 %
1
8 %
NOK million 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter Full year Full year
1 quarter
2019
2019 2019 2019 2020 2020 2020 2020 2021 News Media 2020 2019
restated restated restated restated restated restated restated restated restated restated
News Media total
685 721 547 747 554 552 525 746 607 Advertising revenues 2,377 2,700
449 469 358 498 372 392 384 545 450 -of which digital 1,694 1,775
626 628 648 648 632 657 674 696 699 Subscription revenues 2,658 2,550
203 221 239 238 242 263 285 297 310 -of which digital 1,086 901
333 340 355 330 306 315 331 303 273 Casual sales 1,256 1,358
238 250 225 246 278 279 278 332 266 Other revenues 1,168 960
1,883 1,940 1,775 1,971 1,770 1,802 1,809 2,078 1,845 Operating revenues 7,459 7,568
-6 % -7 % 2 % 5 % 4 % YOY revenue growth -1 %
(695) (675) (592) (686) (660) (641) (568) (683) (650) Personnel expenses (2,551) (2,648)
(1,061) (1,062) (1,017) (1,128) (1,073) (1,014) (969) (1,102) (989) Other expenses (4,158) (4,268)
(1,757) (1,737) (1,609) (1,814) (1,733) (1,654) (1,537) (1,784) (1,639) Operating expenses (6,709) (6,917)
126 203 166 156 37 148 272 294 205 EBITDA 750 651
7 % 10 % 9 % 8 % 2 % 8 % 15 % 14 % 11 % EBITDA-margin 10 % 9 %
Split revenue per brand
416 448 409 454 404 421 439 504 456 VG 1,768 1,727
378 367 347 383 340 359 367 436 376 Aftonbladet 1,502 1,475
862 892 830 913 780 770 767 861 775 Subscription Newspapers 3,178 3,496
226 232 190 222 247 252 235 277 237 Other (1) 1,010 870
1,883 1,940 1,775 1,971 1,770 1,802 1,809 2,078 1,845 Operating revenues 7,459 7,568
0.9352 0.9153 0.9237 0.9481 0.9792 1.0340 1.0296 1.0476 1.0145 SEK/NOK 1.0226 0.9306
Aftonbladet in SEK
405 401 375 404 347 347 357 416 371 Operating revenues 1,467 1,585
-14 % -14 % -5 % 3 % 7 % YOY revenue growth -7 %
2 quarter
3 quarter
4 quarter
1 quarter
2 quarter
3 quarter
4 quarter
1 quarter
1 quarter
2019
2019
2019
2020
2020
2020
2020
2021
2019
Financial Services
Full year
2020
Full year
2019
restated
restated
restated
restated
restated
Financial Services total
273
245
275
260
293
252
289
265
279
Operating revenues
1,100 1,054
3 %
5 %
2 %
-5 % YOY revenue growth
7 %
4 %
(217)
(216)
(224)
(227)
(255)
(221)
(204)
(216)
(229)
Operating expenses
(896) (884)
57
29
51
33
38
31
86
49
50
EBITDA
203 169
12 %
19 %
13 %
13 %
12 %
30 %
18 %
18 % EBITDA-margin
21 %
18 % 16 %
Lendo
229
205
230
218
250
208
251
229
242
Operating revenues
938 882
1 %
9 %
5 %
-3 % YOY revenue growth
9 %
6 %
(178)
(179)
(183)
(188)
(207)
(182)
(174)
(185)
(193)
Operating expenses
(749) (727)
51
26
47
30
43
25
78
43
50
EBITDA
189 155
13 %
20 %
14 %
17 %
12 %
31 %
19 %
20 % EBITDA-margin
22 %
20 % 18 %
Other financial services (1)
44
40
45
42
43
45
38
36
37
Operating revenues
162 172
10 %
-16 %
-13 %
-15 % YOY revenue growth
-3 %
-6 %
(39)
(38)
(41)
(40)
(48)
(39)
(30)
(31)
(37)
Operating expenses
(148) (157)
6
3
4
2
(5)
6
8
6
0
EBITDA
14 15
7 %
9 %
5 %
-12 %
13 %
21 %
15 %
0 % EBITDA-margin
13 %
9 % 9 %

(1) Other Financial Services includes Compricer, Finansportalen other financial services assets, SPT cost allocation and eliminations

NOK million
1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter Full year Full year
2019 2019 2019 2019 2020 2020 2020 2020 2021 Growth 2020 2019
restated restated restated restated restated restated restated restated restated restated
Growth total
474 480 497 607 544 604 593 775 744 Operating revenues 2,517 2,058
15 % 26 % 19 % 28 % 37 % YOY revenue growth 22 %
(475) (464) (481) (559) (563) (571) (560) (714) (709) Operating expenses (2,408) (1,979)
(0) 16 16 48 (19) 33 34 61 35 EBITDA 109 80
0 % 3 % 3 % 8 % -3 % 5 % 6 % 8 % 5 % EBITDA-margin 4 % 4 %
Distribution 1,604
300 301 317 362 354 382
27 %
376
19 %
491
36 %
523 Operating revenues
48 % YOY revenue growth
25 % 1,281
18 % (1,557)
(297) (292) (304) (346) (355) (374) (367) (461) (494) Operating expenses 47 (1,238)
4
1 %
10
3 %
12
4 %
17
5 %
(0)
0 %
8
2 %
10
3 %
30
6 %
29 EBITDA
6 % EBITDA-margin
3 % 43
3 %
Prisjakt
72 72 64 116 75 94 86 144 89 Operating revenues 398 325
3 % 29 % 34 % 24 % 20 % YOY revenue growth 22 %
(53) (54) (51) (72) (62) (58) (60) (96) (64) Operating expenses (276) (230)
19 19 13 44 12 36 26 48 25 EBITDA 122 95
27 % 26 % 20 % 38 % 16 % 38 % 31 % 33 % 28 % EBITDA-margin 31 % 29 %
Other Growth (1)
102 106 116 128 115 129 131 140 132 Operating revenues 515 452
13 % 21 % 13 % 9 % 15 % YOY revenue growth 14 %
(125) (119) (126) (141) (146) (139) (133) (157) (151) Operating expenses (575) (510)
(23) (12) (10) (12) (31) (10) (3) (17) (20) EBITDA (60) (58)
-23 % -12 % -9 % -10 % -27 % -8 % -2 % -12 % -15 % EBITDA-margin -12 % -13 %

(1) Other Growth includes MittAnbud, Servicefinder, Mötesplatsen, Let's Deal, Schibsted Growth HQ, other Growth assets, SPT cost allocation and eliminations

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