Dam Sen Water Park Corporation (HOSE:DSN)
Vietnam flag Vietnam · Delayed Price · Currency is VND
45,550
+150 (0.33%)
At close: Aug 15, 2025

Dam Sen Water Park 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
Jun '25 Dec '24 Jan '24 Jan '23 Jan '22 Jan '21 2015 - 2019
Cash & Equivalents
2,94271,65938,76890,55172,45437,750
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Short-Term Investments
284,601224,600231,050163,000105,850153,100
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Trading Asset Securities
42,06742,06742,0670.060.067,084
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Cash & Short-Term Investments
329,610338,326311,885253,551178,304197,934
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Cash Growth
1.60%8.48%23.01%42.20%-9.92%-22.93%
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Accounts Receivable
298.1328.08-55.35341297.48
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Other Receivables
3,3215,7797,1125,9753,2445,338
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Receivables
3,6205,8077,1126,0303,5855,635
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Inventory
1,9471,2671,2181,018650.95590.58
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Prepaid Expenses
558.86599.44309.53198.66456.3319.62
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Other Current Assets
3,3942,9406,8732,2471,8493,444
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Total Current Assets
339,130348,939327,399263,045184,845207,923
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Property, Plant & Equipment
19,63921,49315,31211,25911,9709,145
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Long-Term Investments
200-----
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Other Intangible Assets
27.6148.3289.74131.16172.593,000
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Other Long-Term Assets
3,5303,6783,7088,9003,7214,154
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Total Assets
362,526374,158346,508283,336200,709224,222
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Accounts Payable
1,954748.91718.22,939318.98354.57
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Accrued Expenses
29,36022,80322,09223,55314,4228,501
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Current Portion of Long-Term Debt
-----354.31
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Current Income Taxes Payable
9,5082,8764,2112,8641,3343,073
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Other Current Liabilities
1,31530,4201,7032,4721,163889.47
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Total Current Liabilities
42,13756,84928,72431,82817,23813,172
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Long-Term Debt
-----4,794
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Long-Term Deferred Tax Liabilities
1,002919.7755.76569.26357.27129.71
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Other Long-Term Liabilities
14014014014015515
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Total Liabilities
43,27957,90929,62032,53817,75118,111
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Common Stock
120,830120,830120,830120,830120,830120,830
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Retained Earnings
197,951194,908195,455129,26561,30781,602
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Total Common Equity
318,781315,738316,285250,095182,137202,432
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Minority Interest
465.82511.5602.58703.57821.013,679
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Shareholders' Equity
319,247316,250316,888250,798182,958206,111
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Total Liabilities & Equity
362,526374,158346,508283,336200,709224,222
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Total Debt
-----5,148
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Net Cash (Debt)
329,610338,326311,885253,551178,304192,785
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Net Cash Growth
1.60%8.48%23.01%42.20%-7.51%-24.93%
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Net Cash Per Share
27278.8128000.1825811.8820984.0814756.5715955.09
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Filing Date Shares Outstanding
12.0812.0812.0812.0812.0812.08
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Total Common Shares Outstanding
12.0812.0812.0812.0812.0812.08
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Working Capital
296,993292,091298,675231,217167,606194,751
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Book Value Per Share
26382.5926130.7726176.0420698.0515073.8416753.44
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Tangible Book Value
318,753315,690316,196249,964181,965199,432
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Tangible Book Value Per Share
26380.3126126.7726168.6120687.2015059.5616505.16
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Buildings
51,89151,89141,35035,99129,73629,450
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Machinery
53,12752,76352,33748,88749,09449,029
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Construction In Progress
216--2,4949,0775,051
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.