Hai Phat Investment JSC (HOSE:HPX)
Vietnam flag Vietnam · Delayed Price · Currency is VND
5,430.00
-230.00 (-4.06%)
At close: Aug 15, 2025

Hai Phat Investment 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 Jan '23 Jan '22 Dec '20 2015 - 2019
Cash & Equivalents
59,7531,97124,772146,035634,722603,098
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Short-Term Investments
442,0306,7046,39320,613330,149263,020
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Cash & Short-Term Investments
501,7828,67531,165166,648964,871866,117
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Cash Growth
10.15%-72.16%-81.30%-82.73%11.40%43.92%
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Accounts Receivable
97,249-65.5296,222155,473229,484231,825
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Other Receivables
931,7621,017,4541,230,081714,291238,807900,229
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Receivables
1,580,7951,537,2201,339,737879,764478,2911,379,754
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Inventory
2,451,3462,697,1322,980,3373,777,9483,798,2802,288,377
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Prepaid Expenses
1,8601,90048,03236,5701,6483,694
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Other Current Assets
1,765,3962,035,2222,051,9351,450,4401,488,530681,451
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Total Current Assets
6,301,1806,280,1486,451,2066,311,3696,731,6205,219,394
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Property, Plant & Equipment
53,56160,58680,33597,907166,531205,211
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Long-Term Investments
86,26486,264517,689487,372777,722325,528
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Other Intangible Assets
--443.36556.55188.97384.69
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Long-Term Deferred Tax Assets
1,0441,0444,27612,01913,8865,733
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Other Long-Term Assets
1,104,5841,127,0911,083,0942,557,8071,888,6441,622,277
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Total Assets
7,692,6347,701,6028,296,9499,467,0309,578,5927,378,527
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Accounts Payable
178,761261,954384,999366,426215,145505,049
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Accrued Expenses
464,528429,661367,504247,411684,548308,214
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Short-Term Debt
266,7521,056,372835,666282,964547,765404,343
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Current Portion of Long-Term Debt
1,169,261879,268992,6881,046,5471,797,6571,067,827
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Current Income Taxes Payable
72,93347,22553,47546,12852,979104,025
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Current Unearned Revenue
3,7462,1848,51915,89714,95913,823
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Other Current Liabilities
1,064,1391,143,9301,246,4811,826,206203,452154,471
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Total Current Liabilities
3,220,1183,820,5933,889,3323,831,5793,516,5062,557,754
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Long-Term Debt
119,526104,985636,9991,988,3782,346,976968,054
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Long-Term Unearned Revenue
435.352,6063,4743,4743,9084,343
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Long-Term Deferred Tax Liabilities
---5,0504,1573,990
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Other Long-Term Liabilities
669,772139,444179,376180,953180,296223,443
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Total Liabilities
4,009,8524,067,6284,709,1826,009,4346,051,8433,757,584
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Common Stock
3,041,6863,041,6863,041,6863,041,6863,041,6862,644,946
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Additional Paid-In Capital
60,98760,98760,98760,98760,98760,987
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Retained Earnings
378,843332,721277,851154,289225,101516,430
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Comprehensive Income & Other
--1,4991,0861,086580.01
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Total Common Equity
3,481,5163,435,3943,382,0233,258,0483,328,8603,222,943
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Minority Interest
201,266198,580205,745199,548197,888398,000
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Shareholders' Equity
3,682,7823,633,9743,587,7673,457,5963,526,7483,620,943
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Total Liabilities & Equity
7,692,6347,701,6028,296,9499,467,0309,578,5927,378,527
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Total Debt
1,555,5392,040,6252,465,3533,317,8894,692,3992,440,224
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Net Cash (Debt)
-1,053,756-2,031,950-2,434,189-3,151,241-3,727,528-1,574,107
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Net Cash Per Share
-3464.38-6680.34-8002.76-10360.18-12254.81-5175.11
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Filing Date Shares Outstanding
304.17304.17304.17304.17304.17304.17
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Total Common Shares Outstanding
304.17304.17304.17304.17304.17304.17
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Working Capital
3,081,0612,459,5552,561,8732,479,7913,215,1142,661,640
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Book Value Per Share
11446.0111294.3711118.9110711.3210944.1310595.90
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Tangible Book Value
3,481,5163,435,3943,381,5793,257,4913,328,6713,222,558
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Tangible Book Value Per Share
11446.0111294.3711117.4510709.4910943.5110594.64
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Buildings
59,03159,03159,03156,51063,637115,439
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Machinery
24,38824,29124,22232,30331,12538,553
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Construction In Progress
-5,94723,42635,91695,40976,304
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Updated Jan 24, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.