X20 JSC (HNX:X20)
Vietnam flag Vietnam · Delayed Price · Currency is VND
13,800
-200 (-1.43%)
At close: Aug 15, 2025

X20 JSC Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020
Period Ending
Jun '25 Dec '24 Jan '24 Dec '22 Dec '21 Dec '20
Cash & Equivalents
121,412231,08655,569111,060126,86357,714
Short-Term Investments
410706.97311.55,122--
Cash & Short-Term Investments
121,822231,79355,880116,182126,86357,714
Cash Growth
20.73%314.81%-51.90%-8.42%119.82%-
Accounts Receivable
34,12753,61289,50849,33531,90123,665
Other Receivables
711.791,130548.541,5692,0607,688
Receivables
34,83954,74290,05750,90433,96031,352
Inventory
143,447178,245219,540171,508205,718194,204
Prepaid Expenses
2,8271,627464.931,815590.92568.4
Other Current Assets
10,08532,19514,9614,95419,8549,251
Total Current Assets
313,020498,602380,903345,362386,987293,089
Property, Plant & Equipment
173,093163,136184,745180,603202,783223,135
Long-Term Investments
3,7793,6123,3483,4443,2582,916
Other Intangible Assets
11,63011,13611,22311,4295,7925,313
Long-Term Deferred Tax Assets
--537.27790.66522.671,745
Other Long-Term Assets
10,02412,5879,00810,8091,4282,291
Total Assets
511,546689,073589,764552,438600,770528,488
Accounts Payable
88,434189,113232,405139,45088,57075,572
Accrued Expenses
57,825120,54580,92869,07466,34360,374
Short-Term Debt
----4,15021,095
Current Portion of Long-Term Debt
1,3862,772----
Current Income Taxes Payable
3,1936,4602,3275,9983,8465,562
Current Unearned Revenue
669.85202.554.453,248386.53600.02
Other Current Liabilities
68,98462,18611,37974,873171,180109,274
Total Current Liabilities
220,491381,278327,094292,642334,475272,477
Long-Term Debt
10,48710,487--12,2397,672
Long-Term Unearned Revenue
-513.46-185.13--
Other Long-Term Liabilities
3,7347,0993,4643,0643,295998
Total Liabilities
234,712399,378330,557295,891350,008281,147
Common Stock
172,500172,500172,500172,500172,500172,500
Retained Earnings
104,334117,19586,70784,04778,26174,841
Shareholders' Equity
276,834289,695259,207256,547250,761247,341
Total Liabilities & Equity
511,546689,073589,764552,438600,770528,488
Total Debt
11,87313,259--16,38928,767
Net Cash (Debt)
109,949218,53455,880116,182110,47428,947
Net Cash Growth
8.97%291.08%-51.90%5.17%281.65%-
Net Cash Per Share
6373.8612668.643239.42---
Filing Date Shares Outstanding
17.2517.2517.25---
Total Common Shares Outstanding
17.2517.2517.25---
Working Capital
92,529117,32353,80952,72052,51220,612
Book Value Per Share
16048.3316793.9115026.47---
Tangible Book Value
265,204278,559247,984245,118244,969242,028
Tangible Book Value Per Share
15374.1516148.3514375.87---
Buildings
289,170287,265287,070---
Machinery
235,700212,756207,005---
Construction In Progress
78.242,4891,324559.81122.21151.9
Source: S&P Global Market Intelligence. Standard template. Financial Sources.