GELEX Group JSC (HOSE:GEX)
Vietnam flag Vietnam · Delayed Price · Currency is VND
56,300
+300 (0.54%)
At close: Aug 14, 2025

GELEX Group 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
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
3,817,2084,074,2023,312,6623,156,2514,906,1081,559,240
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Short-Term Investments
1,997,767519,035769,376351,864337,610133,940
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Trading Asset Securities
4,990,7614,523,6573,353,9932,168,8407,036,0921,617,326
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Cash & Short-Term Investments
10,805,7379,116,8947,436,0315,676,95512,279,8103,310,506
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Cash Growth
30.80%22.60%30.99%-53.77%270.94%51.06%
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Accounts Receivable
1,970,2731,844,8312,172,1442,185,3343,319,3913,873,328
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Other Receivables
474,014254,670476,511278,453425,09874,360
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Receivables
2,557,2362,214,5772,653,1562,478,5873,759,9373,961,688
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Inventory
10,115,8948,684,6008,323,6289,110,74911,533,2623,236,253
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Prepaid Expenses
140,54861,50766,63276,609124,79028,173
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Other Current Assets
2,955,5442,751,3301,819,6022,457,3902,105,5332,534,403
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Total Current Assets
26,574,95822,828,90820,299,04919,800,28929,803,33313,071,024
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Property, Plant & Equipment
21,644,70321,194,04425,498,23224,365,58823,106,8926,532,055
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Long-Term Investments
3,041,0802,989,7582,658,1321,818,2031,783,0485,809,361
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Goodwill
1,012,2551,057,9731,265,7401,473,5071,681,274578,197
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Other Intangible Assets
665,110606,683627,112660,498709,830476,152
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Long-Term Accounts Receivable
6,65910,4117,168---
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Long-Term Deferred Tax Assets
186,501160,892128,28630,99532,26912,173
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Other Long-Term Assets
5,079,1173,828,5774,071,6404,220,7554,072,701673,131
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Total Assets
59,261,20653,782,31855,076,87652,384,83561,189,34727,152,093
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Accounts Payable
3,289,5803,369,3692,354,1593,544,1703,902,7083,020,708
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Accrued Expenses
2,352,8812,151,1142,003,3082,004,8681,885,143442,655
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Short-Term Debt
7,605,0447,145,7438,717,6515,862,22710,732,0336,093,773
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Current Portion of Long-Term Debt
1,708,6171,093,3212,916,3282,639,8291,639,047773,300
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Current Income Taxes Payable
512,208506,575336,994154,194139,95364,870
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Current Unearned Revenue
1,700,0662,247,7511,860,1542,673,6143,798,135324,629
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Other Current Liabilities
708,745483,480402,371397,107616,305111,360
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Total Current Liabilities
17,877,14216,997,35218,590,96417,276,00922,713,32610,831,294
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Long-Term Debt
10,675,6971,136,4401,133,7289,489,57913,641,2267,752,211
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Long-Term Leases
129,1207,170,1418,998,128156,294108,506-
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Long-Term Unearned Revenue
3,236,0343,095,0043,099,9422,757,2262,779,99442,554
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Long-Term Deferred Tax Liabilities
665,321630,632607,842594,422587,323136,935
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Other Long-Term Liabilities
1,391,7381,494,7881,422,5131,067,927861,171173,911
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Total Liabilities
33,975,05230,524,35833,853,11731,341,45740,691,54518,936,906
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Common Stock
9,023,9898,594,2988,514,9588,514,9588,514,9584,882,440
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Additional Paid-In Capital
662,913663,004663,218663,218663,21813,075
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Retained Earnings
4,821,8714,607,7533,048,1342,776,2692,735,1641,976,106
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Treasury Stock
------102,998
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Comprehensive Income & Other
139,658130,959126,042122,611125,97183,887
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Total Common Equity
14,648,43213,996,01412,352,35212,077,05612,039,3116,852,509
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Minority Interest
10,637,7229,261,9478,871,4068,966,3228,458,4911,362,677
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Shareholders' Equity
25,286,15423,257,96121,223,75821,043,37820,497,8028,215,187
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Total Liabilities & Equity
59,261,20653,782,31855,076,87652,384,83561,189,34727,152,093
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Total Debt
20,118,47816,545,64521,765,83518,147,92826,120,81314,619,284
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Net Cash (Debt)
-9,312,742-7,428,751-14,329,805-12,470,974-13,841,002-11,308,778
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Net Cash Per Share
-10435.58-8285.50-16027.60-13948.53-19053.30-19690.12
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Filing Date Shares Outstanding
902.4902.4894.07894.07894.07551.61
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Total Common Shares Outstanding
902.4902.4894.07894.07894.07551.61
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Working Capital
8,697,8175,831,5561,708,0852,524,2807,090,0082,239,729
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Book Value Per Share
16232.7715509.7413815.8613507.9413465.7312422.66
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Tangible Book Value
12,971,06612,331,35810,459,5019,943,0519,648,2075,798,160
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Tangible Book Value Per Share
14373.9813665.0511698.7411121.1010791.3310511.27
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Buildings
14,234,93313,256,91212,615,4239,837,8879,150,8074,484,907
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Machinery
12,798,32211,376,65116,820,53816,248,77216,071,3434,692,037
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Construction In Progress
8,120,8977,928,7737,325,8958,071,9806,546,3651,131,588
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Updated Mar 4, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.