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Vend Marketplaces ASA

Annual / Quarterly Financial Statement Mar 26, 2018

3738_iss_2018-03-26_9e7ee0db-2ef0-47a1-9a1c-c1f5a0a94e33.pdf

Annual / Quarterly Financial Statement

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New reporting structure

  • restated financials and analytical info Q1 2016 - Q4 2017

Contents (each item on separate tabs):

    1. Profit and loss statement
    1. Balance sheet
    1. Cash flow
    1. Operating segment overview
    1. MARKETPLACES
    1. PUBLISHING
    1. GROWTH

For questions, please contact Schibsted IR:

Jo Christian Steigedal, Head of IR [email protected] Mobile: +47 415 08 733

Espen Risholm, IRO [email protected] Mobile: +47 924 80 248

www.schibsted.com/ir

NOK million
SCHIBSTED MEDIA GROUP
1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter CONDENSED CONSOLIDATED
Full year Full year Full year Full year Full year Full year
2013 2013 2013 2013 2014 2014 2014 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 INCOME STATEMENT 2017 2016 2015 2014 2013 2013
restated restated restated restated restated reported
452 445 433 440 479 448 463 474 478 456 477 490 506 529 528 533 541 551 553 572 Subscription revenues 2.218 2.096 1.901 1.864 1.770 1.787
564 577 619 568 541 553 589 538 495 525 526 504 485 481 470 429 416 427 439 393 Casual sales revenues 1.675 1.865 2.050 2.221 2.328 2.335
2.081 2.330 2.026 2.284 2.170 2.338 1.995 2.287 2.176 2.366 2.169 2.430 2.377 2.559 2.301 2.523 2.480 2.748 2.543 2.831 Advertising revenues 10.602 9.760 9.141 8.790 8.721 9.017
490 518 503 540 520 495 510 575 545 456 501 523 515 545 499 574 562 601 625 658 Other revenues 2.447 2.133 2.025 2.100 2.051 2.093
3.587 3.870 3.581 3.832 3.710 3.834 3.557 3.874 3.694 3.803 3.673 3.947 3.883 4.114 3.798 4.059 4.000 4.327 4.161 4.455 Operating revenues 16.943 15.854 15.117 14.975 14.870 15.232
-
(230) (241) (201) (178) (172) (179) (167) (178) (161) (144) (129) (141) (129) (129) (118) (124) (107) (110) (102) (113) Raw materials and finished goods (432) (500) (575) (696) (850) (871)
(1.349) (1.360) (1.216) (1.389) (1.427) (1.405) (1.255) (1.477) (1.487) (1.460) (1.372) (1.565) (1.562) (1.568) (1.396) (1.615) (1.546) (1.606) (1.487) (1.678) Personnel expenses (6.317) (6.141) (5.884) (5.564) (5.314) (5.474)
(1.711) (1.707) (1.701) (1.810) (1.701) (1.676) (1.631) (1.766) (1.670) (1.557) (1.616) (1.799) (1.771) (1.780) (1.712) (1.819) (1.913) (1.917) (1.789) (1.969) Other operating expenses (7.588) (7.082) (6.642) (6.774) (6.929) (7.228)
- - - - - - - - - - - - - - - - -
-
Share of profit (loss) of joint ventures and associates - - - - - 13
297 562 463 455 410 574 504 453 376 642 556 442 421 637 572 501 434 694 783 695 Gross operating profit (loss) 2.606 2.131 2.016 1.941 1.777 1.672
-
(117) (119) (121) (119) (114) (112) (123) (118) (118) (119) (129) (132) (123) (132) (127) (147) (145) (156) (158) (175) Depreciation and amortisation (634) (529) (498) (467) (476) (490)
(26) (11) (30) (56) (202) (216) (252) (171) 354 (107) (124) (71) (43) (40) (43) (45) (58) (11) (15) (29) Share of profit (loss) of joint ventures and associates (113) (171) 52 (841) (123) -
- (2) - (148) (9) - (1) (121) (6) (3) (14) (465) - (39) (16) (25) (0) 0
(0)
(9)
- -
(2)
Impairment loss goodwill
(38) Impairment loss
-
(49)
-
(80)
-
(488)
-
(131)
(150) (150)
(7) 8 (225) 871 45 (30) 88 (95) 267 97 794 (79) (24) (69) (32) 11 (3) 1.286 194 28 Other income and expenses 1.505 (114) 1.079 8 647 1.169
147 438 87 1.003 130 216 216 (52) 873 510 1.083 (305) 231 357 354 295 228 1.805 802 - 479 Operating profit (loss) 3.315 1.237 2.161 510 1.675 2.201
(40) (63) (54) (28) (29) (26) (17) (56) (27) (70) (118) 20 (12) 2 38 (7) (12) (70) (23) (66) Net Financial Items (171) 21 (195) (128) (185) (186)
107 375 33 975 101 190 199 (108) 846 440 965 (285) 219 359 392 288 216 1.735 779 414 Profit (loss) before taxes 3.144 1.258 1.966 382 1.490 2.015
-
(46) (171) (111) (125) (125) (162) (139) (83) (112) (172) (153) (138) (144) (166) (195) (194) (174) (352) (226) (207) Taxes (958) (699) (575) (509) (453) (453)
61 204 (78) 850 (24) 28 60 (191) 734 268 812 (423) 75 193 197 94 43 1.383 553 207 Profit (loss) 2.186 559 1.391 (127) 1.037 1.562
Profit (loss) attributable to:
8
19
- (1) 11 22 14 6 71 29 15 13 21 38 23 12 12 10 22 11 Non-controlling interests 55 94 128 53 26 26
53 185 (78) 851 (35) 6 46 (197) 663 239 797 (436) 54 155 174 82 30 1.373 531 196 Owners of the parent 2.130 465 1.263 (180) 1.011 1.536
Earnings per share (NOK)
0,25 0,86 (0,36) 3,97 (0,16) 0,03 0,21 (0,92) 3,08 1,11 3,68 (1,93) 0,24 0,69 0,77 0,36 0,13 6,07 2,35 0,85 Basic 9,36 2,05 5,79 (0,84) 4,72 7,16
0,25 0,86 (0,36) 3,97 (0,16) 0,03 0,21 (0,92) 3,08 1,11 3,67 (1,92) 0,24 0,69 0,77 0,36 0,13 6,06 2,34 0,85 Diluted 9,35 2,05 5,78 (0,84) 4,71 7,16
0,27 0,83 0,63 0,22 (0,34) 0,13 (0,27) (0,25) 2,10 0,62 0,06 0,41 0,29 1,04 0,93 0,44 0,15 0,96 1,45 0,88 Basic - adjusted 3,43 2,70 3,17 (0,73) 1,95 1,95
0,27 0,83 0,63 0,22 (0,34) 0,13 (0,27) (0,25) 2,10 0,62 0,06 0,41 0,29 1,04 0,93 0,44 0,15 0,96 1,45 0,88 Diluted - adjusted 3,43 2,69 3,16 (0,73) 1,95 1,95
NOK million
31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12
CONDENSED CONSOLIDATED 2013 2013 2013 2013 2013 2013 2013 2013 2014 2014 2014 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017
STATEMENT OF FINANCIAL POSITION reported reported reported reported restated restated restated restated
Intangible assets 9.301 9.646 10.056 10.337 9.221 9.561 9.958 10.212 10.240 10.366 10.074 11.906 11.493 11.855 14.511 14.292 14.054 13.920 13.470 14.100 14.835 16.456 16.084 16.983
Investment property and property, plant and equipment 1.819 1.795 1.659 1.507 1.812 1.788 1.651 1.499 1.564 1.608 1.373 1.287 1.239 1.196 1.168 1.137 1.116 1.069 1.043 1.019 1.020 1.004 1.009 988
Investments in joint ventures and associates 507 469 478 1.074 625 610 578 654 557 548 502 547 1.251 1.199 969 929 942 964 978 954 929 4.519 4.481 4.514
Other non-current assets 322 351 303 297 342 370 354 319 212 195 273 536 515 458 462 425 315 346 463 353 352 441 414 364
Non-current assets 11.949 12.261 12.496 13.215 12.000 12.329 12.541 12.684 12.573 12.717 12.222 14.276 14.498 14.708 17.110 16.783 16.427 16.299 15.954 16.426 17.136 22.420 21.987 22.850
Trade receivables and other current assets 2.939 2.954 2.776 2.676 2.800 2.806 2.666 2.565 2.710 2.781 2.761 2.853 2.911 2.898 3.061 2.942 2.972 2.779 2.804 2.714 2.860 3.059 3.091 3.141
Current financial assets 64 53 - 28 64 53 - - - - - - - - - - - - - -
Cash and cash equivalents 596 1.140 561 1.240 541 1.066 473 1.202 307 458 831 745 285 469 2.854 1.891 1.624 1.411 1.388 1.268 751 495 783 1.626
Assets held for sale - - 76 - - - 76 - - - - - - - - - - - - -
Current assets 3.599 4.147 3.413 3.944 3.405 3.925 3.215 3.767 3.017 3.239 3.592 3.598 3.196 3.367 5.915 4.833 4.596 4.190 4.192 3.982 3.610 3.553 3.873 4.767
Total assets 15.548 16.408 15.909 17.159 15.405 16.254 15.756 16.451 15.590 15.956 15.814 17.874 17.694 18.075 23.025 21.616 21.023 20.489 20.146 20.408 20.747 25.974 25.860 27.617
Equity attributable to owners of the parent 6.075 6.248 6.085 7.850 6.075 6.248 6.085 7.325 7.179 6.897 6.419 6.560 7.012 6.930 11.195 10.776 10.676 10.276 9.878 10.235 10.394 11.638 11.549 14.793
Non-controlling interests 281 252 261 261 281 252 261 261 265 187 196 230 241 136 297 314 332 322 287 305 323 257 252 261
Equity 6.356 6.500 6.346 8.111 6.356 6.500 6.346 7.586 7.444 7.084 6.615 6.790 7.253 7.066 11.492 11.090 11.008 10.598 10.165 10.540 10.717 11.895 11.802 15.054
Non-current interest-bearing borrowings 1.941 2.712 2.574 1.971 1.941 2.712 2.561 1.971 1.941 2.551 2.495 2.132 1.908 2.334 3.012 2.365 1.856 1.838 1.822 1.814 2.313 5.510 5.203 4.212
Other non-current liabilities 2.038 2.030 2.509 2.313 2.032 2.024 2.500 2.263 2.109 2.076 2.515 3.641 2.944 2.886 2.817 2.743 2.500 2.493 2.793 2.447 2.450 2.610 2.732 2.586
Non-current liabilities 3.979 4.742 5.083 4.284 3.973 4.736 5.061 4.234 4.050 4.627 5.010 5.773 4.852 5.220 5.829 5.108 4.356 4.331 4.615 4.261 4.763 8.121 7.935 6.798
Current interest-bearing borrowings 577 592 549 428 577 592 549 346 137 90 13 696 844 1.162 719 318 557 541 540 528 28 626 626 28
Other current liabilities 4.636 4.574 3.780 4.336 4.499 4.426 3.649 4.285 3.959 4.155 4.176 4.615 4.745 4.627 4.985 5.100 5.102 5.019 4.826 5.079 5.240 5.332 5.497 5.736
Liabilities held for sale - - 151 - - - 151 - - - - - - - - - - -
Current liabilities 5.213 5.166 4.480 4.764 5.076 5.018 4.349 4.631 4.096 4.245 4.189 5.311 5.589 5.789 5.704 5.418 5.659 5.560 5.366 5.607 5.268 5.958 6.124 5.764
Total equity and liabilities 15.548 16.408 15.909 17.159 15.405 16.254 15.756 16.451 15.590 15.956 15.814 17.874 17.694 18.075 23.025 21.616 21.023 20.489 20.146 20.408 20.747 25.974 25.860 27.617
NOK million
31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12 31.03 30.06 30.09 31.12
CONDENSED CONSOLIDATED 2013 2013 2013 2013 2014 2014 2014 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017
STATEMENT OF CASH FLOWS restated restated restated restated
Profit (loss) before taxes 107 482 515 1.490 101 291 490 382 846 1.286 2.251 1.966 219 578 970 1.258 216 1.952 2.730 3.144
Gain on remeasurement in business combinations achieved in stages and remeasurement
of contingent consideration - - (2) (2) (37) (40) (40) (91) - - (784) (778) - - - - - - - -
Depreciation, amortisation and impairment losses 117 238 362 629 123 235 359 598 124 246 389 1.000 123 294 437 609 145 309 470 685
Net effect pension liabilities (61) (46) (29) (65) (87) (74) (77) (91)
Share of loss (profit) of joint ventures and associates, net of dividends received 26 85 125 182 202 445 707 877 (354) (232) (108) (25) 43 102 155 199 58 87 102 134
Taxes paid (145) (494) (516) (636) (301) (496) (615) (635) (213) (532) (681) (738) (179) (366) (521) (577) (178) (525) (678) (828)
Sales losses (gains) non-current assets and other non-cash losses (gains) (1) (12) 203 (943) (10) (11) (121) (121) (291) (418) (435) (437) (24) (35) (80) (137) - (1.310) (1.547) (1.697)
Change in working capital and provisions (484) (444) (506) (4) (139) (76) (15) 220 (130) 12 58 5 47 274 69 219 6 (88) (46) (57)
Net cash flow from operating activities (380) (145) 181 716 (61) 348 765 1.230 (18) 362 690 993 168 801 1.001 1.506 159 351 954 1.290
Net cash flow from investing activities (158) (251) (478) 471 (446) (790) (728) (1.580) (289) (616) (1.310) (1.513) (166) (487) (677) (1.248) (675) (4.161) (4.144) -
(4.546)
Net cash flow before financing activities (538) (396) (297) 1.187 (507) (442) 37 (350) (307) (254) (620) (520) 2 314 324 258 (516) (3.811) (3.190) (3.256)
Net cash flow from financing activities 60 397 (296) (1.116) (365) (305) (382) (116) (117) 20 2.758 1.683 (251) (771) (819) (877) (6) 3.018 2.704 3.558
Effect of exchange rate changes on cash and cash equivalents 41 87 112 153 (23) 3 (26) 9 (36) (42) (29) (17) (18) (23) (8) (4) 4 18 1 55
Net increase (decrease) in cash and cash equivalents (437) 88 (481) 224 (895) (744) (371) (457) (460) (276) 2.109 1.146 (267) (480) (503) (623) (518) (774) (486) 357
-
Cash and cash equivalents at start of period
Cash and cash equivalents at end of period
978
541
978
1.066
978
497
978
1.202
1.202
307
1.202
458
1.202
831
1.202
745
745
285
745
469
745
2.854
745
1.891
1.891
1.624
1.891
1.411
1.891
1.388
1.891
1.268
1.268
751
1.268
495
1.268
783
1.268
1.626
NOK million
1 quarter 2 quarter 3 quarter 4 quarter 1 quarter 2 quarter 3 quarter 4 quarter Full year Full year
2016 2016 2016 2016 2017 2017 2017 2017 SCHIBSTED MEDIA GROUP 2017 2016
REVENUES
3.883 4.113 3.798 4.060 4.000 4.327 4.161 4.455 SCHIBSTED MEDIA GROUP 16.943 15.854
1.572 1.708 1.566 1.621 1.721 1.932 1.864 1.995 MARKETPLACES 7.512 6.467
2.052 2.171 1.949 2.137 1.964 2.084 1.978 2.134 PUBLISHING 8.160 8.309
387 403 415 436 436 470 460 470 GROWTH 1.835 1.641
89 79 79 82 110 119 161 178 OTHER AND HEADQUARTERS 568 329
-217 -248 -211 -216 -230 -279 -302 -322 ELIMINATIONS -1.133 -892
EBITDA
421 636 573 501 434 694 783 695 SCHIBSTED MEDIA GROUP 2.606 2.132
427 531 475 416 409 608 656 623 MARKETPLACES 2.297 1.849
78 202 176 207 157 216 218 204 PUBLISHING 795 663
60 79 105 91 79 84 127 102 GROWTH 392 335
-143 -176 -182 -213 -211 -214 -218 -235 OTHER AND HEADQUARTERS -879 -715
Total Marketplaces
1.572
1.708
1.566
1.621
1.721
1.932
1.864
1.995 Total operating revenues
7.512
6.467
15 %
13 %
19 %
17 % YOY revenue growth (currency adjusted)
16 %
1.145
1.177
1.091
1.205
1.312
1.324
1.207
1.372 Operating expenses
5.215
4.618
427
531
475
416
409
608
656
623 EBITDA
2.297
1.849
27 %
31 %
30 %
26 %
24 %
31 %
35 %
31 % EBITDA-margin
31 %
29 %
Total developed phase
1.472
1.595
1.465
1.514
1.617
1.811
1.740
1.850 Operating revenues
7.018
6.046
10 %
14 %
19 %
22 % YOY revenue growth
16 %
834
867
797
904
953
995
939
1.054 Operating expenses
3.941
3.402
638
728
667
610
664
816
801
796 EBITDA
3.077
2.644
43 %
46 %
46 %
40 %
41 %
45 %
46 %
43 % EBITDA-margin
44 %
44 %
France developed phase
487
506
469
527
555
609
587
676 Operating revenues
2.426
1.989
21 %
20 %
24 %
21 % YOY revenue growth (local currency)
21 %
153
215
210
210
218
236
242
307 Operating expenses
1.003
789
334
291
259
316
337
373
345
369 EBITDA
1.423
1.200
69 %
57 %
55 %
60 %
61 %
61 %
59 %
55 % EBITDA-margin
59 %
60 %
Norway developed phase
352
401
352
346
392
435
409
393 Operating revenues
1.628
1.451
11 %
9 %
16 %
13 % YOY revenue growth
12 %
209
207
187
223
238
242
218
243 Operating expenses
940
827
143
193
165
123
154
193
191
150 EBITDA
688
624
41 %
48 %
47 %
35 %
39 %
44 %
47 %
38 % EBITDA-margin
42 %
43 %
Sweden developed phase
239
276
244
230
229
268
256
249 Operating revenues
1.002
989
3 %
1 %
5 %
3 % YOY revenue growth (local currency)
3 %
109
114
89
104
105
120
102
116 Operating expenses
443
416
130
162
155
126
124
148
154
133 EBITDA
559
573
54 %
59 %
63 %
55 %
54 %
55 %
60 %
54 % EBITDA-margin
56 %
58 %
Spain developed phase
255
261
253
260
288
324
323
352 Operating revenues
1.287
1.029
20 %
23 %
27 %
27 % YOY revenue growth (local currency)
24 %
218
193
180
217
245
249
223
245 Operating expenses
963
809
37
68
72
43
43
75
99
106 EBITDA
324
220
15 %
26 %
29 %
16 %
15 %
23 %
31 %
30 % EBITDA-margin
25 %
21 %
Other Developed phase
139
152
146
152
154
176
165
180 Operating revenues
674
588
11 %
16 %
13 %
19 % YOY revenue growth
15 %
145
137
131
149
147
148
154
142 Operating expenses
592
562
-6
15
15
3
7
27
11
38 EBITDA
83
26
-5 %
10 %
10 %
2 %
4 %
15 %
7 %
21 % EBITDA-margin
12 %
4 %
Investment phase
73
89
88
99
97
114
121
147 Operating revenues
478
349
32 %
28 %
38 %
48 % YOY revenue growth
37 %
279
275
270
279
325
296
240
292 Operating expenses
1.154
1.102
-205
-186
-182
-179
-228
-182
-120
-145 EBITDA
-676
-753
-279 %
-210 %
-208 %
-180 %
-236 %
-160 %
-99 %
-99 % EBITDA-margin
-141 %
-216 %
Marketplaces other / HQ
26
24
14
7
7
7
3
-1 Operating revenues / eliminations
16
71
32
35
24
22
34
32
28
26 Operating expenses
120
113
-6
-11
-10
-15
-27
-25
-24
-28 EBITDA
-104
-42
Proportional result from Joint Ventures and Associates
50
56
63
70
75
83
93
107 Operating revenues
358
240
50 %
48 %
48 %
52 % YOY revenue growth
49 %
86
70
83
90
86
84
100
110 Operating expenses
379
329
(35)
(14)
(20)
(20)
(10)
(1)
(7)
(3) EBITDA
(21)
(89)
4
12
6
7
8
10
7
4 - EBITDA Developed phase
28
29
(39)
(26)
(25)
(27)
(18)
(10)
(14)
(6) - EBITDA Investment phase
(49)
(117)
-70 %
-25 %
-31 %
-28 %
-13 %
-1 %
-8 %
-3 % EBITDA-margin
-6 %
-37 %
Total Marketplaces including Joint Ventures and Associates
1.622
1.764
1.629
1.691
1.796
2.015
1.957
2.102 Operating revenues
7.870
6.707
16 %
14 %
20 %
19 % YOY revenue growth (currency adjusted)
17 %
1.231
1.247
1.174
1.295
1.397
1.407
1.308
1.482 Operating expenses
5.594
4.947
392
517
455
396
399
607
649
620 EBITDA
2.276
1.760
642
740
673
618
672
826
807
800 - EBITDA Developed phase
3.105
2.673
(244)
(212)
(207)
(206)
(247)
(193)
(134)
(152) - EBITDA Investment phase
(725)
(870)
24 %
29 %
28 %
23 %
22 %
30 %
33 %
29 % EBITDA-margin
29 %
26 %
Currency rates
9,53
9,32
9,29
9,04
8,99
9,37
9,35
9,62 EUR/NOK
9,33
9,29
1,02
1,00
0,98
0,93
0,95
0,97
0,98
0,98 NOK / SEK
0,97
0,98
France developed phase in EUR
51,2
54,3
50,5
58,3
61,8
65,0
62,7
70,3 Operating revenues
260
214
21 %
20 %
24 %
21 % YOY revenue growth
21 %
16,1
23,1
22,6
23,3
24,3
25,2
25,9
32,0 Operating expenses
107
85
35,1
31,2
27,9
35,0
37,5
39,8
36,9
38,3 EBITDA
153
129
69 %
57 %
55 %
60 %
61 %
61 %
59 %
55 % EBITDA-margin
59 %
60 %
Spain developed phase in EUR
26,8
28,0
27,2
28,8
32,1
34,6
34,5
36,6 Operating revenues
138
111
20 %
23 %
27 %
27 % YOY revenue growth
24 %
22,9
20,8
19,4
24,0
27,3
26,6
23,9
25,5 Operating expenses
103
87
3,9
7,3
7,8
4,7
4,8
8,0
10,6
11,1 EBITDA
35
24
15 %
26 %
29 %
16 %
15 %
23 %
31 %
30 % EBITDA-margin
25 %
21 %
Sweden developed phase in SEK
234
274
250
248
242
277
262
254 Operating revenues
1.035
1.007
3 %
1 %
5 %
3 % YOY revenue growth
3 %
107
113
91
112
111
124
105
118 Operating expenses
458
423
128
161
159
136
131
153
157
136 EBITDA
577
584
NOK million
1 quarter
2016
2 quarter
2016
3 quarter
2016
4 quarter
2016
1 quarter
2017
2 quarter
2017
3 quarter
2017
4 quarter
2017
MARKETPLACES Full year
2017
Full year
2016
54 % 59 % 63 % 55 % 54 % 55 % 60 % 54 % EBITDA-margin 56 % 58 %
NOK million
1 quarter
2016
2 quarter
2016
3 quarter
2016
4 quarter
2016
1 quarter
2017
2 quarter
2017
3 quarter
2017
4 quarter
2017
PUBLISHING Full year
2017
Full year
2016
Total Publishing
2.052 2.171 1.949 2.137 1.964 2.084 1.978 2.134 Operating revenues 8.160 8.309
590 660 574 696 624 690 648 771 - online 2.734 2.520
1.463 1.512 1.375 1.440 1.340 1.394 1.330 1.363 - offline 5.427 5.789
-4 % -4 % 1 % 0 % YOY revenue growth -2 %
1.974 1.969 1.773 1.930 1.807 1.868 1.760 1.929 Operating expenses 7.365 7.647
78 202 176 207 157 216 218 204 EBITDA 795 663
4 % 9 % 9 % 10 % 8 % 10 % 11 % 10 % EBITDA-margin 10 % 8 %
VG (Verdens Gang)
428 422 402 449 431 439 428 447 Operating revenues 1.746 1.700
162 163 160 198 205 216 203 240 - online 863 683
266 259 242 251 226 224 225 207 - offline 882 1.017
1 % 4 % 6 % 0 % YOY revenue growth 3 %
370 358 336 363 343 352 341 372 Operating expenses 1.407 1.428
57 63 66 85 88 87 87 76 EBITDA 339 272
13 % 15 % 16 % 19 % 21 % 20 % 20 % 17 % EBITDA-margin 19 % 16 %
Aftonbladet
477 510 459 474 419 470 457 484 Operating revenues 1.830 1.920
209 234 197 241 190 226 213 259 - online 887 880
268 276 262 233 230 244 244 225 - offline 943 1.040
-6 % -5 % -1 % -4 % YOY revenue growth (currency adjusted) -4 %
431 442 396 410 387 400 391 391 Operating expenses 1.568 1.680
46 68 63 63 32 70 67 93 EBITDA 262 240
10 % 13 % 14 % 13 % 8 % 15 % 15 % 19 % EBITDA-margin 14 % 12 %
Subscription based newspapers (Norway and Sweden)
926 967 854 963 867 902 837 919 Operating revenues 3.525 3.710
183 205 179 232 200 211 199 230 - online 840 798
743 762 675 731 667 691 638 689 - offline 2.685 2.911
-6 % -7 % -2 % -5 % YOY revenue growth -5 %
907 903 814 876 826 819 774 853 Operating expenses 3.272 3.500
18 64 40 87 41 83 62 67 EBITDA 253 210
2 % 7 % 5 % 9 % 5 % 9 % 7 % 7 % EBITDA-margin 7 % 6 %
Publishing other / HQ
222 272 234 251 247 273 256 283 Operating revenues 1.060 980
266 266 228 280 252 297 254 315 Operating expenses 1.118 1.039
-44 7 6 -28 -5 -24 2 -31 EBITDA -59 -59
NOK million
1 quarter
2016
2 quarter
2016
3 quarter
2016
4 quarter
2016
1 quarter
2017
2 quarter
2017
3 quarter
2017
4 quarter
2017
GROWTH Full year
2017
Full year
2016
Total Growth
387 403 415 436 436 470 460 470 Operating revenues 1.835 1.641
12 % 17 % 11 % 8 % YOY revenue growth 12 %
328 323 310 344 356 387 333 367 Operating expenses 1.443 1.306
60 79 105 91 79 84 127 102 EBITDA 392 335
15 % 20 % 25 % 21 % 18 % 18 % 28 % 22 % EBITDA-margin 21 % 20 %
Lendo Group
105 109 125 120 147 165 201 191 Operating revenues 704 459
40 % 52 % 60 % 60 % YOY revenue growth 53 %
27 35 52 53 55 60 91 87 EBITDA 293 168
26 % 33 % 41 % 44 % 37 % 37 % 45 % 45 % EBITDA-margin 42 % 37 %
Hitta (divested Q3 2017)
64 64 61 63 59 65 21 Operating revenues 145 252
18 16 17 16 10 15 5 EBITDA 30 67
29 % 25 % 28 % 26 % 18 % 23 % 22 % EBITDA-margin 21 % 27 %
Total Growth excl. Hitta
323 339 354 373 377 405 439 470 Operating revenues 1.690 1.389
17 % 20 % 24 % 26 % YOY revenue growth 22 %
42 63 88 75 69 69 122 102 EBITDA 362 268
13 % 19 % 25 % 20 % 18 % 17 % 28 % 22 % EBITDA-margin 21 % 19 %

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