City Auto Corporation (HOSE:CTF)
Vietnam flag Vietnam · Delayed Price · Currency is VND
20,150
-50 (-0.25%)
At close: Oct 31, 2025

City Auto Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2016FY 2015
Period Ending
Sep '25 Dec '24 Dec '23 Dec '16 Jan '16
Cash & Equivalents
88,89569,03061,1809,08216,386
Cash & Short-Term Investments
88,89569,03061,1809,08216,386
Cash Growth
45.30%12.83%573.64%-44.57%-
Accounts Receivable
1,035,424987,4741,019,572171,548109,577
Other Receivables
697,789426,387475,97022,56119,123
Receivables
1,733,2131,509,2561,570,804199,246128,700
Inventory
890,094613,979613,891269,371103,624
Prepaid Expenses
12,68611,76417,4653,1841,624
Other Current Assets
306,436576,487328,65226,9539,865
Total Current Assets
3,031,3242,780,5162,591,993507,835260,199
Property, Plant & Equipment
133,379165,655144,79634,80417,813
Long-Term Investments
415,242414,840408,438--
Goodwill
66,59277,20791,360--
Other Intangible Assets
104,01986,70186,95784,11184,403
Other Long-Term Assets
365,359392,712333,91252,77850,192
Total Assets
4,115,9143,917,6313,657,457679,529412,607
Accounts Payable
285,201217,057220,53835,95120,740
Accrued Expenses
42,18343,06827,03310,5278,733
Short-Term Debt
2,183,8401,941,6071,786,532369,659159,655
Current Portion of Long-Term Debt
-100,07571,806480-
Current Income Taxes Payable
-8,6758,7122,305346.26
Current Unearned Revenue
505.25507.61328.42--
Other Current Liabilities
187,698106,969105,35430,73919,318
Total Current Liabilities
2,699,4282,417,9592,220,304449,662208,792
Long-Term Debt
275,649361,590329,495780-
Long-Term Deferred Tax Liabilities
---2,2552,651
Other Long-Term Liabilities
16,27015,57033,000--0
Total Liabilities
2,991,3472,795,1192,582,799452,697211,444
Common Stock
956,539956,539893,965180,000180,000
Additional Paid-In Capital
19,00419,00419,004--
Retained Earnings
63,65161,50977,65231,08414,018
Comprehensive Income & Other
1,2151,2151,215407.762.74
Total Common Equity
1,040,4101,038,267991,836211,492194,081
Minority Interest
84,15884,24582,82215,3407,083
Shareholders' Equity
1,124,5671,122,5121,074,658226,832201,164
Total Liabilities & Equity
4,115,9143,917,6313,657,457679,529412,607
Total Debt
2,459,4892,403,2732,187,833370,919159,655
Net Cash (Debt)
-2,370,594-2,334,243-2,126,653-361,837-143,269
Net Cash Per Share
-23272.08-24365.65-25058.18-13105.26-5189.01
Filing Date Shares Outstanding
81.4995.6584.8727.6127.61
Total Common Shares Outstanding
81.4995.6584.8727.6127.61
Working Capital
331,896362,557371,69058,17351,407
Book Value Per Share
12768.0410854.4211686.727659.967029.36
Tangible Book Value
869,799874,360813,519127,381109,678
Tangible Book Value Per Share
10674.299140.879585.634613.583972.41
Buildings
-83,68775,0108,5767,462
Machinery
-124,95997,55735,25619,646
Construction In Progress
10,73137,70841,9212,886-
Updated Sep 30, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.