Viglacera Corporation (HOSE:VGC)
Vietnam flag Vietnam · Delayed Price · Currency is VND
65,300
+1,300 (2.03%)
At close: Aug 15, 2025

Viglacera 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
2,017,8122,860,1231,841,6532,018,7452,711,4671,950,330
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Short-Term Investments
937,247433,383626,587128,955230,57580,876
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Cash & Short-Term Investments
2,955,0593,293,5052,468,2402,147,7002,942,0422,031,206
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Cash Growth
58.57%33.43%14.92%-27.00%44.84%-27.47%
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Accounts Receivable
566,013618,244650,281891,078414,453568,074
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Other Receivables
230,821158,582185,604-176,734122,507137,333
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Receivables
797,284777,275836,385715,145538,409707,306
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Inventory
4,709,1294,375,9514,739,8294,235,0473,657,3793,415,167
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Prepaid Expenses
93,74129,72942,99054,357100,70653,664
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Other Current Assets
1,078,299987,8071,017,366955,727702,964608,707
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Total Current Assets
9,633,5139,464,2679,104,8108,107,9757,941,4996,816,049
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Property, Plant & Equipment
11,546,45911,954,06911,454,24310,992,18910,330,3527,528,911
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Long-Term Investments
217,021365,095438,308688,508618,205820,201
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Other Intangible Assets
151,83392,16489,98293,19589,08894,661
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Long-Term Accounts Receivable
4,2674,267----
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Long-Term Deferred Tax Assets
21,63511,62315,58313,984--
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Long-Term Deferred Charges
67,98368,33086,65588,49393,45795,483
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Other Long-Term Assets
3,859,4022,867,6052,910,6082,974,5782,924,4512,621,906
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Total Assets
25,502,11124,827,41924,100,19022,958,92121,997,05117,977,212
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Accounts Payable
1,834,0061,753,5911,575,9711,590,4371,304,2581,100,572
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Accrued Expenses
823,245779,336738,080799,389808,006775,671
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Short-Term Debt
1,948,7421,959,8692,477,2481,609,203999,9091,196,259
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Current Portion of Long-Term Debt
787,922549,324356,881298,484408,376262,845
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Current Portion of Leases
-62,77863,35551,72738,68137,345
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Current Income Taxes Payable
243,781259,242272,652103,17287,149120,391
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Current Unearned Revenue
107,07041,00441,49138,69760,42469,015
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Other Current Liabilities
2,616,7693,341,0232,811,5293,899,6614,583,3343,706,744
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Total Current Liabilities
8,361,5348,746,1678,337,2068,390,7708,290,1377,268,843
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Long-Term Debt
2,240,8482,116,0242,088,9271,552,5781,641,350328,605
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Long-Term Leases
109,009124,202148,363104,566100,78672,905
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Long-Term Unearned Revenue
2,556,4382,538,9762,629,2042,717,9392,738,5292,787,982
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Long-Term Deferred Tax Liabilities
243,476187,316160,519144,423118,48761,125
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Other Long-Term Liabilities
1,115,3221,161,7331,211,653963,216750,919359,611
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Total Liabilities
14,626,62814,874,41914,575,87213,873,49213,640,20810,879,072
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Common Stock
4,483,5004,483,5004,483,5004,483,5004,483,5004,483,500
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Additional Paid-In Capital
929,867929,867929,867929,867929,867931,908
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Retained Earnings
3,715,7843,022,0372,583,8732,353,1281,841,7341,158,720
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Treasury Stock
-1.71-1.71-1.71-1.71-1.71-2.47
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Comprehensive Income & Other
-107,485-126,452-143,994-150,622-158,702-139,941
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Total Common Equity
9,021,6648,308,9507,853,2457,615,8727,096,3986,434,185
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Minority Interest
1,853,8191,644,0491,671,0731,469,5571,260,446663,955
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Shareholders' Equity
10,875,4839,953,0009,524,3189,085,4298,356,8447,098,140
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Total Liabilities & Equity
25,502,11124,827,41924,100,19022,958,92121,997,05117,977,212
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Total Debt
5,086,5214,812,1975,134,7733,616,5593,189,1021,897,959
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Net Cash (Debt)
-2,131,462-1,518,692-2,666,533-1,468,859-247,060133,246
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Net Cash Growth
------79.06%
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Net Cash Per Share
-4754.01-3387.29-5947.44-3276.14-551.04297.19
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Filing Date Shares Outstanding
448.35448.35448.35448.35448.35448.35
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Total Common Shares Outstanding
448.35448.35448.35448.35448.35448.35
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Working Capital
1,271,979718,100767,604-282,795-348,637-452,794
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Book Value Per Share
20121.9218532.2917515.8816986.4415827.8114350.81
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Tangible Book Value
8,869,8318,216,7867,763,2627,522,6777,007,3106,339,523
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Tangible Book Value Per Share
19783.2718326.7217315.1816778.5815629.1114139.68
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Buildings
6,075,4275,657,5194,555,1694,255,563--
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Machinery
8,963,6247,601,6187,374,7527,052,1446,642,3715,250,708
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Construction In Progress
5,767,3886,093,9336,229,3775,774,8425,205,7853,901,628
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Updated Feb 19, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.