Petrovietnam Chemical and Services Corporation (HNX:PVC)
12,800
-200 (-1.54%)
At close: Aug 15, 2025
HNX:PVC Cash Flow Statement
Financials in millions VND. Fiscal year is January - December.
Millions VND. Fiscal year is Jan - Dec.
Fiscal Year | TTM | FY 2024 | FY 2023 | FY 2022 | FY 2021 | FY 2020 | 2015 - 2019 |
---|---|---|---|---|---|---|---|
Period Ending | Jun '25 Jun 30, 2025 | Dec '24 Dec 31, 2024 | Dec '23 Dec 31, 2023 | Jan '23 Jan 1, 2023 | Jan '22 Jan 1, 2022 | Jan '21 Jan 1, 2021 | 2015 - 2019 |
Net Income | 9,270 | 3,299 | 20,483 | 11,503 | 7,570 | 5,385 | Upgrade
|
Depreciation & Amortization | 21,710 | 21,598 | 21,188 | 22,891 | 24,586 | 26,205 | Upgrade
|
Other Amortization | 82.15 | 54.94 | - | - | - | - | Upgrade
|
Loss (Gain) From Sale of Assets | -22,716 | 3,810 | -20,993 | -16,846 | -15,759 | -13,740 | Upgrade
|
Other Operating Activities | 17,729 | 6,696 | 2,771 | 6,508 | -2,232 | -25,031 | Upgrade
|
Change in Accounts Receivable | -267,980 | 301,127 | 174,961 | -366,498 | -72,223 | 54,767 | Upgrade
|
Change in Inventory | -144,593 | -81,408 | 39,414 | -103,781 | -98,127 | 176,868 | Upgrade
|
Change in Accounts Payable | 281,278 | -2,256 | -135,964 | 274,864 | 37,750 | 30,680 | Upgrade
|
Change in Other Net Operating Assets | -105.77 | 7,387 | -3,654 | -4,487 | 529.65 | 866.08 | Upgrade
|
Operating Cash Flow | -105,326 | 260,308 | 98,208 | -175,846 | -117,905 | 256,000 | Upgrade
|
Operating Cash Flow Growth | - | 165.06% | - | - | - | 22.66% | Upgrade
|
Capital Expenditures | -21,046 | -27,667 | -15,038 | -4,331 | -4,464 | -2,540 | Upgrade
|
Sale of Property, Plant & Equipment | - | - | 276.35 | 243.65 | - | - | Upgrade
|
Investment in Securities | 42,068 | - | - | - | -222,620 | 51,000 | Upgrade
|
Other Investing Activities | -7,794 | -2,308 | 21,576 | 17,329 | 11,909 | 13,555 | Upgrade
|
Investing Cash Flow | -34,083 | -77,286 | -23,507 | 63,070 | -215,175 | 62,015 | Upgrade
|
Short-Term Debt Issued | - | 465,055 | 1,225,212 | 881,729 | 612,838 | 458,257 | Upgrade
|
Total Debt Issued | 786,184 | 465,055 | 1,225,212 | 881,729 | 612,838 | 458,257 | Upgrade
|
Short-Term Debt Repaid | - | -870,598 | -1,066,895 | -752,159 | -475,912 | -543,830 | Upgrade
|
Total Debt Repaid | -769,407 | -870,598 | -1,066,895 | -752,159 | -475,912 | -543,830 | Upgrade
|
Net Debt Issued (Repaid) | 16,776 | -405,544 | 158,317 | 129,570 | 136,926 | -85,573 | Upgrade
|
Issuance of Common Stock | - | - | 211,575 | 39,684 | - | - | Upgrade
|
Repurchase of Common Stock | - | - | - | - | -8.23 | -9.19 | Upgrade
|
Common Dividends Paid | -6,793 | -6,409 | -23,229 | -30,548 | -38,792 | -55,349 | Upgrade
|
Financing Cash Flow | 9,983 | -411,953 | 346,663 | 138,705 | 98,125 | -140,931 | Upgrade
|
Foreign Exchange Rate Adjustments | 166.11 | 373.22 | -123.47 | -470.39 | 63.52 | 2.64 | Upgrade
|
Net Cash Flow | -129,259 | -228,557 | 421,241 | 25,459 | -234,891 | 177,086 | Upgrade
|
Free Cash Flow | -126,372 | 232,641 | 83,170 | -180,177 | -122,369 | 253,460 | Upgrade
|
Free Cash Flow Growth | - | 179.72% | - | - | - | 21.78% | Upgrade
|
Free Cash Flow Margin | -3.19% | 7.87% | 2.58% | -6.14% | -4.43% | 11.63% | Upgrade
|
Free Cash Flow Per Share | -3843.04 | 2865.23 | 1262.11 | -2823.34 | -2146.82 | 4446.67 | Upgrade
|
Cash Interest Paid | 8,152 | 4,380 | 7,341 | 11,000 | 4,902 | 11,790 | Upgrade
|
Cash Income Tax Paid | 11,545 | 8,614 | 16,957 | 9,525 | 11,895 | 7,409 | Upgrade
|
Levered Free Cash Flow | -204,907 | 173,968 | 147,758 | -224,614 | -113,378 | 244,066 | Upgrade
|
Unlevered Free Cash Flow | -199,786 | 175,895 | 150,364 | -222,911 | -112,716 | 245,395 | Upgrade
|
Change in Working Capital | -131,401 | 224,850 | 74,758 | -199,902 | -132,070 | 263,182 | Upgrade
|
Source: S&P Global Market Intelligence. Standard template. Financial Sources.