Nam Mekong Group JSC (HNX:VC3)
Vietnam flag Vietnam · Delayed Price · Currency is VND
27,300
+200 (0.74%)
At close: Jan 29, 2026

Nam Mekong Group JSC Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Sep '25 Dec '24 Jan '24 Dec '22 Dec '21 Dec '20
Cash & Equivalents
80,76082,016313,419132,309390,086159,608
Short-Term Investments
2,930--312,000263,599200,000
Cash & Short-Term Investments
83,69182,016313,419444,309653,685359,608
Cash Growth
-1.45%-73.83%-29.46%-32.03%81.78%206.79%
Accounts Receivable
6,10548,30957,92231,10836,63133,227
Other Receivables
234,423173,9745,6287,70810,57522,630
Receivables
240,528222,28363,55038,815128,00671,944
Inventory
1,667,8791,955,1822,176,0922,422,099423,724330,221
Prepaid Expenses
10,34014,75145,61180,3701,1119.95
Other Current Assets
475,288366,417564,865508,526282,967301,558
Total Current Assets
2,477,7262,640,6483,163,5383,494,1181,489,4931,063,341
Property, Plant & Equipment
16,14313,56515,62019,6516,605145,818
Long-Term Investments
146,334146,288146,203146,060--
Goodwill
-----40,445
Other Intangible Assets
2,6422,7082,7952,8832,9703,233
Long-Term Accounts Receivable
18,02018,02018,02018,020--
Long-Term Deferred Tax Assets
1,5953,2347,83014,982--
Other Long-Term Assets
339,933262,31014,73217,63520,78878,418
Total Assets
3,002,3943,086,7723,368,7393,713,3481,519,8571,331,255
Accounts Payable
242,250414,173459,046468,88840,11762,301
Accrued Expenses
3,6559,69944,0296,09121,33038,289
Short-Term Debt
117,2443,127302,40720,4261,92012,485
Current Portion of Long-Term Debt
-113,129112,767100,000416,74335,608
Current Income Taxes Payable
35,12433,38042,29932,53417,9803,040
Current Unearned Revenue
116,465327,117547,7281,196,4662,7325,857
Other Current Liabilities
825,404766,834501,882547,09390,598176,580
Total Current Liabilities
1,340,1421,667,4582,010,1592,371,498591,420334,160
Long-Term Debt
157,339840.662,372123,541122,599155,159
Long-Term Unearned Revenue
10,28312,72015,96919,21923,07890,788
Long-Term Deferred Tax Liabilities
-----23,730
Total Liabilities
1,507,7651,681,0192,028,5002,514,258737,097603,837
Common Stock
1,364,1431,251,5091,117,4221,002,176668,118610,156
Additional Paid-In Capital
10,73110,73110,73110,7311,8971,897
Retained Earnings
99,287123,128191,750166,02492,63189,392
Comprehensive Income & Other
56.6156.6156.6156.6156.6156.61
Total Common Equity
1,474,2181,385,4261,319,9601,178,987762,703701,501
Minority Interest
20,41120,32720,27920,10320,05725,916
Shareholders' Equity
1,494,6291,405,7531,340,2391,199,091782,760727,417
Total Liabilities & Equity
3,002,3943,086,7723,368,7393,713,3481,519,8571,331,255
Total Debt
274,583117,097417,546243,968541,262203,251
Net Cash (Debt)
-190,892-35,081-104,126200,341112,423156,357
Net Cash Growth
---78.20%-28.10%-
Net Cash Per Share
-1399.34-257.16-763.312002.661236.181747.75
Filing Date Shares Outstanding
136.41136.41136.41136.4290.9490.94
Total Common Shares Outstanding
136.41136.41136.41136.4290.9490.94
Working Capital
1,137,583973,1901,153,3801,122,621898,073729,180
Book Value Per Share
10806.9210156.009676.078642.638386.537713.54
Tangible Book Value
1,471,5761,382,7181,317,1651,176,105759,733657,823
Tangible Book Value Per Share
10787.5510136.159655.588621.508353.877233.27
Buildings
14,6367,6697,6699,2427,86822,501
Machinery
19,95619,85419,85419,8546,8458,102
Construction In Progress
712.45711.72710.522,2221,619134,652
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.