Sai Gon - Mien Trung Beer JSC (HOSE:SMB)
Vietnam flag Vietnam · Delayed Price · Currency is VND
42,400
+50 (0.12%)
At close: Aug 4, 2025

HOSE:SMB Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2017 FY 2016
Period Ending
Jun '25 Dec '24 Jan '24 Dec '17 Dec '16
Cash & Equivalents
196,648267,019139,3026,0792,655
Short-Term Investments
220,000113,000223,614--
Cash & Short-Term Investments
416,648380,019362,9176,0792,655
Cash Growth
6753.80%4.71%5869.93%128.98%-
Accounts Receivable
30,38045,39246,63839,61541,376
Other Receivables
7,6693,5355,9634,33511,303
Receivables
38,04948,92752,60043,94952,678
Inventory
211,913237,954213,591142,990111,977
Prepaid Expenses
3,4153,3724,0912,3406,493
Other Current Assets
7,9604,2174,99710,36315,242
Total Current Assets
677,986674,490638,196205,721189,045
Property, Plant & Equipment
287,160293,786312,361478,095393,572
Long-Term Investments
975.86975.86975.86975.86975.86
Other Intangible Assets
3,5654,0121,340582.67729.67
Long-Term Deferred Tax Assets
1,9841,9842,0113,3263,653
Other Long-Term Assets
72,64364,53561,68369,81758,672
Total Assets
1,044,3141,039,7821,016,567758,517646,648
Accounts Payable
47,16238,56248,26919,76831,477
Accrued Expenses
184,919151,256170,50723,24617,725
Short-Term Debt
90,887130,400129,00029,53051,441
Current Income Taxes Payable
19,52728,99525,030124,69366,844
Current Unearned Revenue
4,3673,4732,49264.74-
Other Current Liabilities
24,10368,80325,67414,87313,115
Total Current Liabilities
370,966421,490400,973212,174180,603
Long-Term Debt
---49,223-
Long-Term Unearned Revenue
262.51,050---
Other Long-Term Liabilities
18,03717,85517,21619,89220,483
Total Liabilities
389,265440,395418,188281,289201,086
Common Stock
298,466298,466298,466298,466298,466
Additional Paid-In Capital
12.2312.2312.23--
Retained Earnings
356,571300,908299,900178,749147,083
Comprehensive Income & Other
---12.2312.23
Shareholders' Equity
655,049599,387598,378477,228445,562
Total Liabilities & Equity
1,044,3141,039,7821,016,567758,517646,648
Total Debt
90,887130,400129,00078,75351,441
Net Cash (Debt)
325,762249,619233,917-72,674-48,786
Net Cash Growth
-6.71%---
Net Cash Per Share
10914.058363.407837.29-2435.05-1303.93
Filing Date Shares Outstanding
29.8529.8529.8529.8437.42
Total Common Shares Outstanding
29.8529.8529.8529.8437.42
Working Capital
307,021253,000237,223-6,4538,442
Book Value Per Share
21947.1720082.2120048.4215990.2211908.61
Tangible Book Value
651,484595,375597,038476,645444,832
Tangible Book Value Per Share
21827.7119947.8120003.5215970.6911889.11
Buildings
264,545263,766263,344--
Machinery
1,323,2651,315,4141,295,024--
Construction In Progress
18,26911,045215.14334.271,266
Source: S&P Global Market Intelligence. Standard template. Financial Sources.