Net Detergent JSC (HNX:NET)
Vietnam flag Vietnam · Delayed Price · Currency is VND
79,200
0.00 (0.00%)
At close: May 12, 2025

Net Detergent JSC Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2015 - 2019
Period Ending
Mar '25 Dec '24 Jan '24 Jan '23 Jan '22 Jan '21 2015 - 2019
Cash & Equivalents
446,169346,842263,530192,32341,41139,564
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Short-Term Investments
45,31385,203119,1037,53994,97585,300
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Cash & Short-Term Investments
491,482432,045382,633199,861136,386124,864
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Cash Growth
27.79%12.91%91.45%46.54%9.23%24.82%
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Accounts Receivable
54,73047,83662,61170,21664,70358,609
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Other Receivables
6,0341,7592,3742,8831,7551,523
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Receivables
60,76449,59564,98573,09966,45960,132
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Inventory
189,755227,904175,460204,562201,793198,920
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Prepaid Expenses
2,5071,171479.3724.64--
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Other Current Assets
1,4444,1741,6042,9591,2714,837
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Total Current Assets
745,952714,889625,161481,207405,908388,753
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Property, Plant & Equipment
214,359211,649217,448226,193245,368250,040
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Other Intangible Assets
3,5783,736290.54354.04417.54481.04
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Long-Term Deferred Tax Assets
4,0609,3451,892---
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Other Long-Term Assets
45,62146,68749,02351,19352,81656,367
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Total Assets
1,013,569986,305893,814758,947704,510695,641
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Accounts Payable
129,647208,855157,056228,667250,018201,953
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Accrued Expenses
33,95566,38571,62344,96062,42864,704
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Short-Term Debt
245,355144,379213,367142,77720,35820,699
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Current Income Taxes Payable
15,27223,2788,842-5,2855,001
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Other Current Liabilities
7,77813,3868,4528,1898,23016,061
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Total Current Liabilities
432,007456,282459,341424,593346,319308,418
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Other Long-Term Liabilities
1,0971,097178.71100100100
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Total Liabilities
433,103457,378459,520424,693346,419308,518
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Common Stock
223,984223,984223,984223,984223,984223,984
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Retained Earnings
356,482304,943210,311110,270134,107163,139
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Shareholders' Equity
580,466528,927434,294334,254358,091387,123
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Total Liabilities & Equity
1,013,569986,305893,814758,947704,510695,641
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Total Debt
245,355144,379213,367142,77720,35820,699
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Net Cash (Debt)
246,127287,666169,26557,084116,028104,165
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Net Cash Growth
24.25%69.95%196.52%-50.80%11.39%14.99%
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Net Cash Per Share
10988.6012843.187557.042548.605180.204650.57
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Filing Date Shares Outstanding
22.422.422.422.422.422.4
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Total Common Shares Outstanding
22.422.422.422.422.422.4
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Working Capital
313,945258,608165,82056,61459,58980,334
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Book Value Per Share
25915.5323614.5319389.5514923.1415987.3617283.51
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Tangible Book Value
576,888525,191434,004333,900357,673386,641
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Tangible Book Value Per Share
25755.8023447.7419376.5814907.3315968.7217262.03
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Buildings
229,899229,899228,309228,053228,053227,562
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Machinery
179,517177,852172,203173,759172,239157,555
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Construction In Progress
17,90111,8698,009-206.61727.47
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Updated Mar 3, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.