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Reference Price (VND)

Open (VND)

Highest (VND)

Lowest (VND)

Close (VND)

Volume (Shares)

Net Foreign Trading (Shares)

Foreign Shares Available

Current Foreign Ownership (%)

Maximum Foreign Ownership (%)

52-wk Low

52-wk High

EPS Trailing (VND)

P/E

P/B

30-Days Average Volume (Shares)

Outstanding Shares (Shares)

Market Cap. (VND bn)

Financial Ratio

Profitability

ROA (%)

ROE (%)

Gross Margin

Pre-Tax Profit Margin

After-Tax Profit Margin

EBITDA (VND bn)

EBIT (VND bn)

Dividend Yield

Financial Ratios For Fy 2017

Leverage Ratios

Long-Term Liabilities/Owners' Equity (Times)

Fixed Asset-To-Equity

Net Debt/ Equity (Times)

Owners' Equity/Charter Capital


Business Efficiency

Inventory Turnover (Days)

Asset Turnover (Times)

Most Recent Interim 2017

Company Profile

Financial Summary
VNDbn 2013 2014 2015 2016 2017
Revenue 30,948.60 35,072.02 40,080.38 46,794.34 51,041.08
Gross Profit 11,182.81 11,391.82 16,262.41 22,335.71 24,234.14
Net Profit For The Year 6,534.11 6,068.20 7,769.55 9,363.83 10,278.17
EPS 7,839 4,556 5,837 5,831 6,355
  2013 2014 2015 2016 2017
Asset
Cash 2,745.65 1,527.88 1,358.68 655.42 963.34
Inventories 3,217.48 3,554.82 3,810.10 4,521.77 4,021.06
Accounts Receivable 2,728.42 2,777.10 2,685.47 2,866.68 4,591.70
Fixed Assets 8,918.42 8,086.40 8,214.13 8,321.05 10,609.31
Other 295.11 495.01 584.86 618.03 1,117.46
Total Assets 22,875.41 25,770.14 27,478.18 29,378.66 34,667.32

  2013 2014 2015 2016 2017
Equity
Current Liabilities 4,956.40 5,453.28 6,004.32 6,457.50 10,195.56
Long-Term Liabilities 350.66 516.62 549.94 515.21 598.70
Other Long-Term Payables 5.04 8.19 2.81 0.59 16.57
Shareholders’ Equity 17,545.49 19,680.28 20,923.92 22,405.95 23,873.06
Charter Capital 8,339.56 10,006.41 12,006.62 14,514.53 14,514.53
Total Resources 22,875.41 25,770.14 27,478.18 29,378.66 34,667.32
VNDbn 2013 2014 2015 2016 2017
Net Cash From Operating Activities 6,251.74 5,328.32 7,659.15 8,389.78 9,601.59
Net Cash From Investing Activities -1,589.79 -3,872.72 -2,126.68 -1,945.79 -1,770.99
Net Cash From Financing Activities -3,167.76 -2,673.32 -5,704.30 -7,141.00 -7,535.35
Net Cash Flows During The Period 1,494.19 -1,217.71 -171.83 -697.00 295.26
Cash And Cash Equivalents At End Of Year 2,745.65 1,527.88 1,358.68 655.42 963.34


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