Petrovietnam Securities Incorporated (HNX:PSI)
Vietnam flag Vietnam · Delayed Price · Currency is VND
9,500.00
-100.00 (-1.04%)
At close: Aug 7, 2026

Petrovietnam Securities Income Statement

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2020
Period Ending
Jun '26 Dec '25 Jan '25 Jan '24 Dec '22 Dec '20
Interest and Dividend Income
408.5113.24640.94845.11,9533,475
Total Interest Expense
134,011113,68393,68543,63387,92332,566
Net Interest Income
-133,602-113,670-93,044-42,788-85,971-29,091
Brokerage Commission
90,47087,81949,54043,62869,31433,620
Trading & Principal Transactions
-2,973-2,814-2,799-17,126-61,623-4,071
Asset Management Fee
7,2287,9337,8957,4137,5456,618
Underwriting & Investment Banking Fee
7,7736,80710,7309,48233,99215,470
Gain on Sale of Investments (Rev)
163,365173,350115,891123,011207,98230,501
Other Revenue
213,807201,206158,838115,240161,37567,698
346,067360,630247,052238,859332,614120,744
Revenue Growth
20.36%45.97%3.43%-28.19%175.47%5.62%
Cost of Services Provided
205,085200,330151,336161,177183,086104,075
Total Operating Expenses
205,085200,330151,336161,177183,086104,075
Operating Income
140,981160,30195,71677,682149,52816,669
Currency Exchange Gains
--101.6519.09136.71-9.38
Other Non-Operating Income (Expenses)
1,639815.73-179.562,1171,7921,211
EBT Excluding Unusual Items
142,621161,11695,63879,818151,45717,871
Gain (Loss) on Sale of Investments
-57,887-105,828-64,026-49,044-124,880-11,270
Other Unusual Items
--1,560---
Pretax Income
84,89655,45033,17330,77426,5776,601
Income Tax Expense
17,11710,8517,2686,318--228.16
Net Income
67,77944,59925,90424,45626,5776,829
Net Income to Common
67,77944,59925,90424,45626,5776,829
Net Income Growth
160.22%72.17%5.92%-7.98%289.19%7.63%
Shares Outstanding (Basic)
606060606060
Shares Outstanding (Diluted)
606060606060
Shares Change
-0.07%-----
EPS (Basic)
1132.65745.29432.88408.69444.13114.12
EPS (Diluted)
1132.65745.29432.88408.69444.13114.12
EPS Growth
160.39%72.17%5.92%-7.98%289.19%-

Additional Metrics

Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2020
Period Ending
Jun '26 Dec '25 Jan '25 Jan '24 Dec '22 Dec '20
Free Cash Flow
-820,331-419,589-113,015421,525392,546-261,568
Free Cash Flow Per Share
-13708.44-7011.69-1888.597044.056559.79-4371.02
Operating Margin
40.74%44.45%38.74%32.52%44.95%13.80%
Profit Margin
19.59%12.37%10.48%10.24%7.99%5.66%
Free Cash Flow Margin
-237.04%-116.35%-45.75%176.47%118.02%-216.63%
Effective Tax Rate
20.16%19.57%21.91%20.53%--
Revenue as Reported
483,050477,128343,536299,619482,161157,381