Thanh Dat Investment Development JSC (HNX:DTD)
Vietnam flag Vietnam · Delayed Price · Currency is VND
22,700
0.00 (0.00%)
At close: Aug 14, 2025

HNX:DTD Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2020 FY 2019
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '20 Dec '19
Cash & Equivalents
264,617242,50862,320178,36744,194137,551
Short-Term Investments
461,843365,100569,125205,407197,111106,799
Cash & Short-Term Investments
726,460607,608631,445383,774241,305244,350
Cash Growth
10.50%-3.77%64.54%59.04%-1.25%-
Accounts Receivable
55,18452,674102,23792,857200,536131,341
Other Receivables
413.751,054716.711,117334.472,393
Receivables
55,59853,728102,95493,974200,871133,734
Inventory
94,182110,30994,043115,98478,87590,794
Prepaid Expenses
926.221,050386.62673.84--
Other Current Assets
52,434103,47528,73130,21837,62229,317
Total Current Assets
929,600876,169857,559624,623558,672498,195
Property, Plant & Equipment
723,294721,920708,651784,7251,264,759388,691
Long-Term Investments
17,72717,72715,32924,65635,74261,400
Goodwill
7,7358,83911,04913,25918,53619,889
Long-Term Deferred Tax Assets
2,0701,107744.129,3778,9741,959
Other Long-Term Assets
765,135588,031591,755579,105487,896333,260
Total Assets
2,445,5612,213,7932,185,0872,035,7452,374,5791,303,394
Accounts Payable
21,80910,80630,83497,364199,074136,033
Accrued Expenses
261,09612,63211,72819,59818,39134,939
Short-Term Debt
-33,5334,79849,08667,79599,057
Current Portion of Long-Term Debt
9,40012,4963,096---
Current Income Taxes Payable
65,0229,03246,26331,62755,17546,714
Current Unearned Revenue
6,0891,012732.512--
Other Current Liabilities
145,803174,051212,440271,846159,886203,442
Total Current Liabilities
509,219253,562309,891469,533500,322520,186
Long-Term Debt
46,37343,60556,15510,30578,60810,293
Long-Term Deferred Tax Liabilities
4,2554,2554,8642,403640.75640.75
Other Long-Term Liabilities
340,025591,577581,235599,7901,134,511245,349
Total Liabilities
899,871892,998952,1441,082,0311,714,082776,468
Common Stock
666,861574,888493,444424,153274,956245,810
Retained Earnings
578,994501,989464,996318,259196,862118,144
Total Common Equity
1,245,8551,076,876958,440742,412471,817363,954
Minority Interest
299,835243,919274,502211,302188,680162,972
Shareholders' Equity
1,545,6901,320,7951,232,942953,714660,497526,926
Total Liabilities & Equity
2,445,5612,213,7932,185,0872,035,7452,374,5791,303,394
Total Debt
55,77389,63364,04959,391146,404109,349
Net Cash (Debt)
670,687517,975567,395324,38394,901135,000
Net Cash Growth
13.51%-8.71%74.91%241.81%-29.70%-
Net Cash Per Share
11723.369074.409762.967337.86--
Filing Date Shares Outstanding
66.6966.6962.069.92--
Total Common Shares Outstanding
66.6966.6962.069.92--
Working Capital
420,381622,607547,668155,09058,350-21,990
Book Value Per Share
18682.3916148.2215443.6774811.51--
Tangible Book Value
1,238,1201,068,037947,391729,153453,281344,065
Tangible Book Value Per Share
18566.4116015.6715265.6373475.41--
Buildings
312,204305,844184,331---
Machinery
146,057183,439142,169---
Construction In Progress
380,254368,448500,032557,4661,008,258227,451
Source: S&P Global Market Intelligence. Standard template. Financial Sources.