Licogi 13 JSC (HNX:LIG)
Vietnam flag Vietnam · Delayed Price · Currency is VND
5,300.00
+400.00 (8.16%)
At close: Aug 15, 2025

Licogi 13 JSC Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2014 FY 2013
Period Ending
Jun '25 Dec '24 Jan '24 Dec '14 Dec '13
Cash & Equivalents
22,59336,63640,94013,26817,966
Short-Term Investments
62,49967,93773,8312,7252,725
Cash & Short-Term Investments
85,093104,574114,77115,99320,691
Cash Growth
-13.70%-8.88%617.63%-22.71%-
Accounts Receivable
1,583,2181,636,1901,611,968533,113310,805
Other Receivables
774,001706,158882,36236,9113,756
Receivables
2,357,2192,342,3482,494,330570,023314,561
Inventory
763,417569,399825,125403,613562,911
Prepaid Expenses
1,6161,6783,617774.051,015
Other Current Assets
951,660716,012720,285202,057139,687
Total Current Assets
4,159,0053,734,0104,158,1291,192,4611,038,865
Property, Plant & Equipment
1,677,2041,483,9141,465,714252,692206,029
Long-Term Investments
482,788490,742232,9962,7312,794
Goodwill
50,91156,72666,962688.5803.25
Other Intangible Assets
1,6791,6872,8691,143-
Long-Term Accounts Receivable
3,5173,43922,485--
Other Long-Term Assets
175,302286,209634,8827,77812,796
Total Assets
6,577,4056,083,7266,584,0361,457,4931,261,287
Accounts Payable
974,184895,4951,073,999432,325300,780
Accrued Expenses
196,970203,260366,84543,37144,840
Short-Term Debt
1,846,7561,471,5041,396,564421,481392,909
Current Portion of Long-Term Debt
-190,824219,991--
Current Portion of Leases
-12,0909,043--
Current Income Taxes Payable
-9,20713,57747,26054,335
Current Unearned Revenue
1,9841,4448,111--
Other Current Liabilities
536,629654,935507,009217,309216,128
Total Current Liabilities
3,556,5243,438,7573,595,1381,161,7451,008,994
Long-Term Debt
1,011,2891,136,0521,172,9478,55436,698
Long-Term Leases
-54,58550,273--
Long-Term Unearned Revenue
---54,852515.29
Other Long-Term Liabilities
720,989311,387370,021680.94272.33
Total Liabilities
5,288,8024,940,7815,188,3791,225,8331,046,479
Common Stock
950,846950,846950,846120,000120,000
Additional Paid-In Capital
308.55308.55308.5519,36219,362
Retained Earnings
35,13526,46728,37443,08728,050
Treasury Stock
-12,035-12,035-12,035-12,034-12,034
Comprehensive Income & Other
90.7394.7790.73--
Total Common Equity
974,345965,681967,584170,415155,378
Minority Interest
314,257177,263428,07361,24559,430
Shareholders' Equity
1,288,6021,142,9451,395,657231,660214,807
Total Liabilities & Equity
6,577,4056,083,7266,584,0361,457,4931,261,287
Total Debt
2,858,0452,865,0552,848,818430,035429,607
Net Cash (Debt)
-2,772,953-2,760,481-2,734,046-414,042-408,916
Net Cash Per Share
-29230.83-29298.04-29017.48-28109.85-27635.00
Filing Date Shares Outstanding
91.994.22347.9814.7414.72
Total Common Shares Outstanding
91.994.22347.9814.7414.72
Working Capital
602,481295,253562,99230,71529,871
Book Value Per Share
10602.5210249.142780.5811562.3110553.45
Tangible Book Value
921,756907,269897,753168,584154,575
Tangible Book Value Per Share
10030.269629.192579.9011438.0510498.89
Machinery
424242--
Construction In Progress
1,445,1211,253,0281,189,26824,52113,614
Source: S&P Global Market Intelligence. Standard template. Financial Sources.