City Auto Corporation (HOSE:CTF)
Vietnam flag Vietnam · Delayed Price · Currency is VND
16,500
-800 (-4.62%)
At close: Jul 3, 2026

City Auto Balance Sheet

Millions VND. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Mar '26 Dec '25 Jan '25 Dec '23 Jan '23 Dec '21
Cash & Equivalents
96,771165,51769,03061,18074,54955,475
Short-Term Investments
10,40010,400----
Cash & Short-Term Investments
107,171175,91769,03061,18074,54955,475
Cash Growth
364.58%154.84%12.83%-17.93%34.38%40.15%
Accounts Receivable
795,853917,894987,4741,019,572560,045227,222
Other Receivables
717,438571,546535,986475,970326,599244,753
Receivables
1,513,2911,489,4401,523,4601,570,804920,898545,562
Inventory
902,075881,229613,979613,891476,409325,138
Prepaid Expenses
6,1607,87311,76417,46520,3544,708
Other Current Assets
348,935434,137562,282328,652241,596265,354
Total Current Assets
2,877,6322,988,5962,780,5162,591,9931,733,8071,196,237
Property, Plant & Equipment
125,679135,080165,655144,796110,35274,993
Long-Term Investments
358,365331,361414,840408,438115,93648,000
Goodwill
59,51663,05477,20791,360105,51271,840
Other Intangible Assets
103,710103,91086,70186,95787,58084,659
Other Long-Term Assets
346,479328,207392,712333,912373,508286,362
Total Assets
3,871,3813,950,2073,917,6313,657,4572,526,6961,762,092
Accounts Payable
335,899155,299217,057220,538128,283138,332
Accrued Expenses
29,64840,51943,06827,03338,21430,029
Short-Term Debt
2,013,5092,274,8442,041,6831,786,5321,171,421595,166
Current Portion of Long-Term Debt
82,431--71,80616,35710,836
Current Income Taxes Payable
317.7212,4738,6758,71225,8268,792
Current Unearned Revenue
539.51509.91507.61328.42--
Other Current Liabilities
85,580135,259106,969105,35493,194100,155
Total Current Liabilities
2,548,9142,618,9032,417,9592,220,3041,473,296883,309
Long-Term Debt
229,868241,495361,590329,495128,75566,954
Other Long-Term Liabilities
3,5005,95015,57033,000--
Total Liabilities
2,783,3832,866,3492,795,1192,582,7991,602,051950,263
Common Stock
956,539956,539956,539893,965760,175723,978
Additional Paid-In Capital
19,00419,00419,00419,004--
Retained Earnings
25,74122,79761,50977,652132,44556,928
Comprehensive Income & Other
1,2151,2151,2151,2151,2151,215
Total Common Equity
1,002,500999,5551,038,267991,836893,835782,121
Minority Interest
85,49984,30384,24582,82230,81029,708
Shareholders' Equity
1,087,9991,083,8581,122,5121,074,658924,645811,828
Total Liabilities & Equity
3,871,3813,950,2073,917,6313,657,4572,526,6961,762,092
Total Debt
2,327,8982,516,3402,403,2732,187,8331,316,533672,956
Net Cash (Debt)
-2,220,727-2,340,423-2,334,243-2,126,653-1,241,984-617,482
Net Cash Per Share
-23216.28-24467.62-24402.93-22373.37-14036.13-6980.48
Filing Date Shares Outstanding
95.6595.6595.6595.6591.191.1
Total Common Shares Outstanding
95.6595.6595.6595.6591.191.1
Working Capital
328,718369,693362,557371,690260,511312,928
Book Value Per Share
10480.4910449.7110854.4210368.979811.658585.34
Tangible Book Value
839,274832,591874,360813,519700,743625,622
Tangible Book Value Per Share
8774.078704.219140.878504.797692.066867.45
Buildings
84,19483,92183,68775,01057,16251,037
Machinery
126,009133,831124,95997,55788,98173,327
Construction In Progress
1,2831,28337,70841,92124,571197.93