Van Dien Fused Magnesium Phosphate Fertilizer JSC (HOSE:VAF)
Vietnam flag Vietnam · Delayed Price · Currency is VND
20,500
+200 (0.99%)
At close: May 9, 2025

HOSE:VAF Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2015 FY 2014 FY 2013
Period Ending
Mar '25 Dec '24 Jan '24 Dec '15 Dec '14 Jan '14
Cash & Equivalents
394,809399,24687,082188,823242,11292,426
Short-Term Investments
225,685165,685-10,16411,603151,867
Cash & Short-Term Investments
620,494564,93187,082198,987253,715244,294
Cash Growth
176.22%548.73%-56.24%-21.57%3.86%-
Accounts Receivable
10,0309.2120,07412,8601,8651,071
Other Receivables
4,4583,199487.153,5172,9007,266
Receivables
14,4873,20820,56117,5174,7648,337
Inventory
155,593440,917428,186332,292319,289352,234
Prepaid Expenses
352.5513,4307,97823,49015,8624,565
Other Current Assets
5,8219,5677,40232,62429,00742,344
Total Current Assets
796,7481,032,052551,209604,909622,639651,774
Property, Plant & Equipment
33,02833,72036,184107,98675,72175,776
Other Intangible Assets
18.1719.8423.87-55110
Long-Term Deferred Tax Assets
4,5204,5208,3724,2765,0586,077
Other Long-Term Assets
1,4381,68564,741-64.214.26
Total Assets
835,7521,071,997660,530717,172703,537733,751
Accounts Payable
39,53417,45844,26162,73264,94467,168
Accrued Expenses
86,00345,87929,56253,60549,63065,874
Current Portion of Leases
173230.67230.67---
Current Income Taxes Payable
4,6391,76413,769-3,2095,916
Current Unearned Revenue
---129,438128,000160,815
Other Current Liabilities
149,566484,79159,8832,752933.110,337
Total Current Liabilities
279,914550,123147,706248,527246,716310,110
Long-Term Leases
692.01692.01922.69---
Other Long-Term Liabilities
--7,000---
Total Liabilities
280,606550,815155,628248,527246,716310,110
Common Stock
376,653376,653376,653289,735289,735289,735
Additional Paid-In Capital
---14,89110,4216,454
Retained Earnings
175,211141,246124,967164,019156,666127,453
Comprehensive Income & Other
3,2823,2823,282---
Shareholders' Equity
555,146521,182504,902468,645456,821423,642
Total Liabilities & Equity
835,7521,071,997660,530717,172703,537733,751
Total Debt
865.02922.691,153---
Net Cash (Debt)
619,629564,00885,929198,987253,715244,294
Net Cash Growth
175.84%556.36%-56.82%-21.57%3.86%-
Net Cash Per Share
16450.8814974.192281.385283.006736.026485.88
Filing Date Shares Outstanding
37.6737.6737.6737.6737.6737.67
Total Common Shares Outstanding
37.6737.6737.6737.6737.6737.67
Working Capital
516,834481,929403,503356,382375,923341,665
Book Value Per Share
14738.9113837.1613404.9412442.2812128.3711247.48
Tangible Book Value
555,128521,162504,878468,645456,766423,532
Tangible Book Value Per Share
14738.4213836.6413404.3112442.2812126.9111244.56
Buildings
59,02059,02059,02058,80958,80958,809
Machinery
131,272129,904129,320109,070104,829100,812
Construction In Progress
25,04026,40825,88490,01256,64554,564
Updated Jan 20, 2016. Source: S&P Global Market Intelligence. Standard template. Financial Sources.