City Auto Corporation (HOSE:CTF)
Vietnam flag Vietnam · Delayed Price · Currency is VND
18,650
+50 (0.27%)
At close: Apr 10, 2026

City Auto Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2021FY 2020
Period Ending
Dec '25 Jan '25 Dec '23 Dec '21 Dec '20
Cash & Equivalents
165,51769,03061,18055,47539,583
Short-Term Investments
10,400----
Cash & Short-Term Investments
175,91769,03061,18055,47539,583
Cash Growth
154.84%12.83%10.29%40.15%335.84%
Accounts Receivable
917,894987,4741,019,572227,222268,032
Other Receivables
571,546535,986475,970244,753199,678
Receivables
1,489,4401,523,4601,570,804545,562521,721
Inventory
881,229613,979613,891325,138299,346
Prepaid Expenses
7,87311,76417,4654,7085,053
Other Current Assets
434,137562,282328,652265,354102,499
Total Current Assets
2,988,5962,780,5162,591,9931,196,237968,201
Property, Plant & Equipment
135,080165,655144,79674,99377,441
Long-Term Investments
331,361414,840408,43848,00068,736
Goodwill
63,05477,20791,36071,84081,556
Other Intangible Assets
103,91086,70186,95784,65984,743
Other Long-Term Assets
328,207392,712333,912286,362298,019
Total Assets
3,950,2073,917,6313,657,4571,762,0921,578,697
Accounts Payable
155,299217,057220,538138,332140,016
Accrued Expenses
40,51943,06827,03330,02921,695
Short-Term Debt
2,274,8442,041,6831,786,532595,166634,998
Current Portion of Long-Term Debt
--71,80610,83611,516
Current Income Taxes Payable
12,4738,6758,7128,7921,621
Current Unearned Revenue
509.91507.61328.42--
Other Current Liabilities
135,259106,969105,354100,15559,477
Total Current Liabilities
2,618,9032,417,9592,220,304883,309869,323
Long-Term Debt
241,495361,590329,49566,95477,041
Other Long-Term Liabilities
5,95015,57033,000-100,000
Total Liabilities
2,866,3492,795,1192,582,799950,2631,046,364
Common Stock
956,539956,539893,965723,978455,400
Additional Paid-In Capital
19,00419,00419,004--
Retained Earnings
22,79761,50977,65256,92848,912
Comprehensive Income & Other
1,2151,2151,2151,2151,215
Total Common Equity
999,5551,038,267991,836782,121505,527
Minority Interest
84,30384,24582,82229,70826,807
Shareholders' Equity
1,083,8581,122,5121,074,658811,828532,333
Total Liabilities & Equity
3,950,2073,917,6313,657,4571,762,0921,578,697
Total Debt
2,516,3402,403,2732,187,833672,956723,554
Net Cash (Debt)
-2,340,423-2,334,243-2,126,653-617,482-683,971
Net Cash Per Share
-24467.62-24402.93-22373.37-6980.48-7507.93
Filing Date Shares Outstanding
95.6595.6595.0591.159.24
Total Common Shares Outstanding
95.6595.6595.0591.159.24
Working Capital
369,693362,557371,690312,92898,878
Book Value Per Share
10449.7110854.4210434.578585.348534.19
Tangible Book Value
832,591874,360813,519625,622339,227
Tangible Book Value Per Share
8704.219140.878558.606867.455726.76
Buildings
83,92183,68775,01051,03746,579
Machinery
133,831124,95997,55773,32767,470
Construction In Progress
1,28337,70841,921197.931,332
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.