Phat Dat Real Estate Development Corporation (HOSE:PDR)
Vietnam flag Vietnam · Delayed Price · Currency is VND
24,550
+350 (1.45%)
At close: Aug 14, 2025

HOSE:PDR 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
25,200343,676505,107261,762494,03053,166
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Short-Term Investments
102,545115,37015,3709,37021,59012,180
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Cash & Short-Term Investments
127,746459,046520,477271,133515,62165,347
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Cash Growth
-89.40%-11.80%91.96%-47.42%689.05%-89.89%
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Accounts Receivable
1,953,6862,787,7292,301,4572,075,830663,370169,191
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Other Receivables
908,965984,879897,4362,571,6811,125,0231,346,331
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Receivables
2,887,6513,797,6093,228,8934,677,5121,788,3931,515,522
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Inventory
14,106,01014,077,66412,199,56012,181,24112,192,0389,331,028
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Prepaid Expenses
7,7823,3525,08933,7445,5784,700
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Other Current Assets
4,333,4853,144,854962,3501,052,913835,43412,538
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Total Current Assets
21,462,67421,482,52416,916,36918,216,54315,337,06310,929,134
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Property, Plant & Equipment
871,423864,6051,181,8011,073,2191,090,291931,853
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Long-Term Investments
23,64738,0341,201,7511,776,2161,129,4281,733,949
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Other Intangible Assets
400,500400,6603,8677,7509,911400.97
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Long-Term Accounts Receivable
----1,028,00050,000
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Long-Term Deferred Tax Assets
1,241101,7177,9547,981677.9665.09
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Other Long-Term Assets
1,129,5001,098,0121,756,0811,761,5871,956,5081,895,687
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Total Assets
24,226,36423,985,55221,067,82322,843,29620,551,87915,617,490
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Accounts Payable
143,385348,223243,383456,503147,769288,280
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Accrued Expenses
384,147435,941151,233123,582106,139262,635
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Short-Term Debt
-38,2381,802,003--1,096,358
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Current Portion of Long-Term Debt
904,1131,382,725814,6812,667,967806,8501,413,560
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Current Income Taxes Payable
170,940217,559208,569326,768265,659314,544
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Current Unearned Revenue
50,835133,5386,6551,242,5651,694,912619,995
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Other Current Liabilities
5,939,2216,006,1485,950,4646,211,4095,709,844390,889
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Total Current Liabilities
7,592,6408,562,3729,176,98711,028,7948,731,1734,386,260
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Long-Term Debt
4,777,9753,960,6402,311,4382,553,9673,402,195485,245
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Other Long-Term Liabilities
5.1404,0315.15.1274,0005,551,707
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Total Liabilities
12,370,62012,927,04311,488,43113,582,76612,407,36810,423,212
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Common Stock
9,072,3518,731,4017,388,1086,716,4624,927,7193,961,699
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Additional Paid-In Capital
410,42570,47571,12171,68071,68011,680
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Retained Earnings
2,314,7482,198,4262,061,9921,362,4652,054,6071,128,932
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Total Common Equity
11,797,52411,000,3029,521,2218,150,6077,054,0065,102,311
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Minority Interest
58,22058,20758,1711,109,9221,090,50591,966
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Shareholders' Equity
11,855,74411,058,5099,579,3929,260,5308,144,5115,194,277
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Total Liabilities & Equity
24,226,36423,985,55221,067,82322,843,29620,551,87915,617,490
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Total Debt
5,682,0885,381,6034,928,1225,221,9334,209,0452,995,163
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Net Cash (Debt)
-5,554,342-4,922,556-4,407,645-4,950,801-3,693,424-2,929,816
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Net Cash Per Share
-6207.22-5617.97-6077.99-6825.13-5091.72-4088.79
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Filing Date Shares Outstanding
979.81942.99797.92725.38725.38716.55
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Total Common Shares Outstanding
979.81942.99797.92725.38725.38716.55
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Working Capital
13,870,03412,920,1527,739,3827,187,7496,605,8906,542,874
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Book Value Per Share
12040.5811665.3311932.6111236.369724.577120.66
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Tangible Book Value
11,397,02410,599,6429,517,3548,142,8587,044,0955,101,910
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Tangible Book Value Per Share
11631.8311240.4511927.7711225.689710.907120.10
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Buildings
366,027366,02734,32534,325139,06434,020
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Machinery
44,65844,65844,51344,55140,22535,525
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Construction In Progress
533,458533,4581,169,5101,052,153960,352898,176
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Source: S&P Global Market Intelligence. Standard template. Financial Sources.