KIDO Group Corporation (HOSE:KDC)
Vietnam flag Vietnam · Delayed Price · Currency is VND
56,000
0.00 (0.00%)
At close: May 12, 2025

KIDO Group 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
Mar '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2015 - 2019
Cash & Equivalents
1,931,3371,352,6732,185,0221,100,1521,281,2951,102,117
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Short-Term Investments
14,000173,700618,378522,372480,812687,000
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Trading Asset Securities
400.2400.2399.93399.62400.82400.41
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Cash & Short-Term Investments
1,945,7371,526,7742,803,8001,622,9241,762,5091,789,517
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Cash Growth
-5.21%-45.55%72.76%-7.92%-1.51%59.36%
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Accounts Receivable
314,607383,937370,801508,714532,379435,780
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Other Receivables
1,147,371144,858166,196361,723263,661175,923
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Receivables
3,344,7782,268,7951,276,9971,128,436796,041641,704
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Inventory
1,186,5111,274,4401,072,2802,212,3062,494,6561,211,416
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Prepaid Expenses
30,01224,79616,31423,67421,58515,010
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Other Current Assets
120,9021,204,4511,794,7451,993,0481,938,8021,819,850
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Total Current Assets
6,627,9406,299,2556,964,1366,980,3887,013,5925,477,497
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Property, Plant & Equipment
1,002,3911,008,707999,5951,004,253913,808834,401
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Long-Term Investments
2,274,1532,252,8542,042,6993,975,4583,953,3593,753,689
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Goodwill
809,278837,624537,341143,630174,329205,028
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Other Intangible Assets
1,621,6001,649,0151,758,2081,698,6611,794,7611,898,105
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Long-Term Deferred Tax Assets
69,02979,02761,67976,46673,03035,102
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Other Long-Term Assets
1,344,7711,353,054137,18395,936149,826145,334
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Total Assets
13,749,16313,479,53512,500,84114,004,79314,072,70612,349,155
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Accounts Payable
673,071691,553426,194548,949779,149545,808
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Accrued Expenses
411,145571,510718,111525,077563,281350,763
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Short-Term Debt
3,423,1172,888,3472,575,1543,919,8213,499,7802,539,987
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Current Portion of Long-Term Debt
-299,773251,061248,4831,5381,006
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Current Income Taxes Payable
26,29758,55287,02376,05589,38126,399
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Current Unearned Revenue
7,0324,951187.95187.95187.95857.41
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Other Current Liabilities
118,52667,274156,332108,608463,926340,525
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Total Current Liabilities
4,659,1884,581,9614,214,0625,427,1805,397,2433,805,345
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Long-Term Debt
1,139,674872,796501,059751,915997,5768,877
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Long-Term Unearned Revenue
6,3616,361----
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Long-Term Deferred Tax Liabilities
666,891673,716566,466721,532728,047785,185
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Other Long-Term Liabilities
79,17379,53532,17051,43855,19750,361
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Total Liabilities
6,551,2876,214,3695,313,7586,952,0657,178,0634,649,768
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Common Stock
2,898,0632,898,0632,898,0632,797,4142,797,4142,797,414
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Additional Paid-In Capital
2,292,2542,292,2543,157,4973,107,1702,970,9193,850,410
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Retained Earnings
1,356,0601,415,4141,588,0741,694,2611,865,044914,884
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Treasury Stock
---865,273-865,273-1,080,464-1,959,479
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Comprehensive Income & Other
-16,13616,136119,910119,910119,910
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Total Common Equity
6,546,3766,621,8676,794,4976,853,4806,672,8225,723,139
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Minority Interest
651,500643,300392,586199,247221,8211,976,249
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Shareholders' Equity
7,197,8767,265,1667,187,0837,052,7286,894,6437,699,387
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Total Liabilities & Equity
13,749,16313,479,53512,500,84114,004,79314,072,70612,349,155
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Total Debt
4,562,7914,060,9163,327,2734,920,2194,498,8932,549,869
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Net Cash (Debt)
-2,617,054-2,534,143-523,473-3,297,295-2,736,385-760,352
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Net Cash Per Share
-9614.16-9413.88-2025.29-12818.77-11864.60-3347.62
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Filing Date Shares Outstanding
269.61289.81267.29257.22276.79251.62
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Total Common Shares Outstanding
269.61289.81267.29257.22276.79251.62
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Working Capital
1,968,7521,717,2942,750,0741,553,2081,616,3491,672,152
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Book Value Per Share
24281.0422849.2825420.0426644.0224108.2022744.80
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Tangible Book Value
4,115,4984,135,2284,498,9485,011,1894,703,7323,620,006
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Tangible Book Value Per Share
15264.7114268.9416831.7719481.8116994.0814386.57
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Buildings
-906,250943,408874,782729,180721,836
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Machinery
-1,316,5191,232,2731,704,7551,569,8111,494,959
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Construction In Progress
77,86665,0164,90274,959167,73855,936
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.