Ha Giang Mineral Mechanics JSC (HNX:HGM)
Vietnam flag Vietnam · Delayed Price · Currency is VND
313,000
-2,000 (-0.63%)
At close: May 13, 2025

HNX:HGM Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2017 - 2019
Period Ending
Mar '25 Dec '24 Jan '24 Dec '22 Dec '21 Dec '20 2017 - 2019
Cash & Equivalents
124,419105,18123,05120,12418,26918,130
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Short-Term Investments
214,699202,70094,00069,00073,50330,600
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Cash & Short-Term Investments
339,118307,881117,05189,12491,77248,730
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Cash Growth
198.08%163.03%31.34%-2.89%88.33%-17.88%
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Accounts Receivable
25,3473,8616,2914,134593.5611,966
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Other Receivables
9,8425,7182,7149,0791,750858.03
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Receivables
35,1899,5799,00513,2122,34312,824
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Inventory
22,16223,84634,69339,64831,62536,514
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Prepaid Expenses
--100.96102.5101.7103.67
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Other Current Assets
2,4712,5382,1061,5892,251942.81
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Total Current Assets
398,940343,844162,956143,676128,09399,114
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Property, Plant & Equipment
27,29725,86419,74720,38716,67619,343
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Long-Term Investments
46,86446,86446,37041,20570,73744,897
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Other Intangible Assets
3,5443,8775,2286,6198,0429,593
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Other Long-Term Assets
4,3554,4114,5403,6223,4912,729
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Total Assets
480,999424,861238,841215,509227,040175,675
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Accounts Payable
7,2509,2247,5336,1593,4454,899
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Accrued Expenses
26,50944,47816,53710,1287,2953,106
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Short-Term Debt
-----1,000
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Current Income Taxes Payable
25,47713,9272,2953,7578,1323,820
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Other Current Liabilities
6,7661,2412,012470.481,2241,038
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Total Current Liabilities
66,00168,87028,37720,51520,09513,863
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Other Long-Term Liabilities
12,82712,83012,93312,96813,19713,211
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Total Liabilities
78,82881,70041,31133,48233,29227,074
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Common Stock
126,000126,000126,000126,000126,000126,000
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Additional Paid-In Capital
9,4789,4784,500---
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Retained Earnings
265,590206,579108,76193,257104,97859,832
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Treasury Stock
---42,834-42,834-42,834-42,834
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Comprehensive Income & Other
1,1031,1031,1035,6035,6035,603
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Shareholders' Equity
402,172343,161197,531182,026193,747148,601
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Total Liabilities & Equity
480,999424,861238,841215,509227,040175,675
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Total Debt
-----1,000
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Net Cash (Debt)
339,118307,881117,05189,12491,77247,730
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Net Cash Growth
198.08%163.03%31.34%-2.89%92.27%-19.57%
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Net Cash Per Share
27642.0325469.539819.157101.887313.723801.65
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Filing Date Shares Outstanding
12.612.610.7812.5514.0912.56
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Total Common Shares Outstanding
12.612.610.7812.5514.0912.56
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Working Capital
332,939274,974134,579123,161107,99985,251
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Book Value Per Share
31918.3927234.9918320.7614504.8813749.8411832.13
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Tangible Book Value
398,628339,284192,303175,408185,705139,009
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Tangible Book Value Per Share
31637.1326927.2817835.8713977.4713179.1111068.34
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Buildings
30,77029,52828,717---
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Machinery
56,77253,90246,836---
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Construction In Progress
10,23611,93310,4769,7486,8738,810
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Updated Mar 11, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.