Hoa Binh Construction Group JSC
VN:HBC
Balance Sheet
Balance Sheet Decomposition
Hoa Binh Construction Group JSC
Hoa Binh Construction Group JSC
Balance Sheet
Hoa Binh Construction Group JSC
| Dec-2003 | Dec-2004 | Dec-2005 | Dec-2006 | Dec-2007 | Dec-2008 | Dec-2009 | Dec-2010 | Dec-2011 | Dec-2012 | Dec-2013 | Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | Dec-2024 | Dec-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||||||||||||||||
| Cash & Cash Equivalents |
3 475
|
7 100
|
8 493
|
13 581
|
200 050
|
79 595
|
183 774
|
258 119
|
299 792
|
605 656
|
755 407
|
678 650
|
148 980
|
572 302
|
494 961
|
314 606
|
574 332
|
244 043
|
734 366
|
496 253
|
388 634
|
268 157
|
344 782
|
|
| Cash |
3 475
|
7 100
|
8 493
|
13 581
|
200 050
|
29 595
|
11 859
|
58 218
|
44 741
|
114 721
|
425 062
|
348 525
|
143 980
|
338 810
|
411 771
|
227 496
|
547 239
|
238 003
|
668 764
|
207 300
|
299 816
|
261 657
|
337 638
|
|
| Cash Equivalents |
0
|
0
|
0
|
0
|
0
|
50 000
|
171 915
|
199 901
|
255 051
|
490 935
|
330 345
|
330 125
|
5 000
|
233 492
|
83 189
|
87 110
|
27 093
|
6 040
|
65 602
|
288 953
|
88 818
|
6 500
|
7 144
|
|
| Short-Term Investments |
29
|
28
|
73
|
8 352
|
57 104
|
0
|
0
|
1 394
|
325 056
|
14 758
|
44 191
|
696 164
|
799 677
|
1 198 070
|
696 917
|
108 741
|
16 158
|
14 399
|
70 461
|
43 770
|
15 706
|
14 117
|
12 296
|
|
| Total Receivables |
39 474
|
32 431
|
30 485
|
61 995
|
189 654
|
303 011
|
479 430
|
789 516
|
1 439 390
|
2 489 600
|
2 578 585
|
2 326 086
|
3 103 062
|
5 317 912
|
8 191 597
|
10 629 647
|
11 130 123
|
10 486 400
|
11 240 362
|
10 260 596
|
9 665 257
|
9 930 601
|
9 472 329
|
|
| Accounts Receivables |
34 567
|
31 600
|
28 441
|
54 434
|
99 224
|
161 276
|
203 647
|
319 894
|
413 955
|
728 472
|
802 932
|
563 427
|
873 561
|
1 971 022
|
2 899 602
|
5 779 914
|
5 925 237
|
5 130 159
|
4 986 622
|
4 530 886
|
4 756 182
|
4 954 471
|
5 177 938
|
|
| Other Receivables |
4 907
|
831
|
2 044
|
7 561
|
90 430
|
141 735
|
275 783
|
469 622
|
1 025 435
|
1 761 128
|
1 775 653
|
1 762 659
|
2 229 501
|
3 346 890
|
5 291 995
|
4 849 734
|
5 204 887
|
5 356 241
|
6 253 740
|
5 729 709
|
4 909 074
|
4 976 130
|
4 294 391
|
|
| Inventory |
1 635
|
5 510
|
10 698
|
9 456
|
24 456
|
395 996
|
193 612
|
150 352
|
198 546
|
221 371
|
212 492
|
561 238
|
923 007
|
1 228 871
|
1 179 856
|
1 840 741
|
1 909 221
|
2 498 252
|
2 392 129
|
2 217 966
|
2 278 108
|
2 357 127
|
2 258 694
|
|
| Other Current Assets |
669
|
2 175
|
4 950
|
3 761
|
30 942
|
18 731
|
17 556
|
73 700
|
286 919
|
429 129
|
395 113
|
783 274
|
1 171 674
|
1 582 813
|
1 129 659
|
628 894
|
793 050
|
365 174
|
440 018
|
585 238
|
1 101 673
|
1 164 788
|
1 173 827
|
|
| Total Current Assets |
45 282
|
47 244
|
54 699
|
97 145
|
502 207
|
797 333
|
874 372
|
1 273 081
|
2 549 704
|
3 760 515
|
3 985 787
|
5 045 412
|
6 146 400
|
9 899 968
|
11 692 990
|
13 522 628
|
14 422 884
|
13 608 269
|
14 877 337
|
13 603 824
|
13 449 275
|
13 734 791
|
13 261 929
|
|
| PP&E Net |
10 566
|
19 925
|
27 881
|
33 038
|
295 894
|
247 302
|
351 938
|
472 655
|
454 685
|
489 270
|
421 668
|
402 135
|
671 408
|
1 067 092
|
1 431 735
|
1 416 101
|
1 329 591
|
1 149 798
|
949 170
|
961 434
|
705 815
|
657 790
|
1 911 236
|
|
| PP&E Gross |
10 566
|
19 925
|
27 881
|
33 038
|
295 894
|
247 302
|
351 938
|
472 655
|
454 685
|
489 270
|
421 668
|
402 135
|
671 408
|
1 067 092
|
1 431 735
|
1 416 101
|
1 329 591
|
1 149 798
|
949 170
|
961 434
|
705 815
|
657 790
|
1 911 236
|
|
| Accumulated Depreciation |
1 793
|
2 458
|
5 056
|
8 514
|
14 007
|
27 017
|
47 678
|
83 964
|
123 584
|
185 817
|
240 478
|
295 514
|
362 453
|
494 193
|
630 056
|
758 983
|
888 641
|
1 018 790
|
1 144 192
|
1 306 724
|
1 405 087
|
1 030 824
|
1 098 302
|
|
| Intangible Assets |
962
|
975
|
499
|
486
|
5 264
|
5 648
|
5 758
|
6 213
|
5 900
|
9 198
|
10 549
|
10 331
|
8 718
|
44 206
|
42 736
|
45 239
|
54 560
|
51 558
|
53 211
|
50 155
|
54 035
|
50 435
|
45 298
|
|
| Goodwill |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
7 233
|
0
|
0
|
0
|
0
|
0
|
57 789
|
51 599
|
45 410
|
39 220
|
29 616
|
24 057
|
20 651
|
13 665
|
12 254
|
6 065
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
4 100
|
0
|
0
|
9 445
|
37 951
|
34 579
|
55 992
|
87 528
|
84 679
|
82 973
|
369 745
|
381 190
|
256 105
|
122 038
|
|
| Long-Term Investments |
363
|
0
|
5
|
280
|
120 524
|
95 480
|
90 090
|
111 494
|
214 585
|
253 137
|
248 785
|
268 954
|
276 026
|
177 331
|
385 218
|
414 408
|
379 285
|
246 045
|
204 995
|
190 842
|
344 185
|
468 809
|
460 778
|
|
| Other Long-Term Assets |
29
|
2 333
|
1 447
|
2 220
|
16 176
|
17 530
|
33 777
|
42 282
|
60 523
|
64 196
|
59 996
|
76 649
|
179 234
|
165 461
|
359 566
|
400 725
|
408 229
|
382 285
|
384 877
|
397 581
|
301 692
|
231 574
|
280 695
|
|
| Other Assets |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
7 233
|
0
|
0
|
0
|
0
|
0
|
57 789
|
51 599
|
45 410
|
39 220
|
29 616
|
24 057
|
20 651
|
13 665
|
12 254
|
6 065
|
|
| Total Assets |
57 202
N/A
|
70 477
+23%
|
84 532
+20%
|
133 169
+58%
|
940 066
+606%
|
1 163 293
+24%
|
1 355 935
+17%
|
1 912 959
+41%
|
3 285 396
+72%
|
4 580 416
+39%
|
4 726 785
+3%
|
5 803 481
+23%
|
7 291 231
+26%
|
11 449 798
+57%
|
13 998 424
+22%
|
15 900 503
+14%
|
16 721 297
+5%
|
15 552 250
-7%
|
16 576 621
+7%
|
15 594 230
-6%
|
15 249 857
-2%
|
15 411 758
+1%
|
16 088 039
+4%
|
|
| Liabilities | ||||||||||||||||||||||||
| Accounts Payable |
6 808
|
7 818
|
6 308
|
9 503
|
132 185
|
142 614
|
132 349
|
327 008
|
406 343
|
948 365
|
661 412
|
904 760
|
1 229 271
|
2 046 992
|
2 895 179
|
4 421 454
|
3 889 909
|
3 128 619
|
3 649 112
|
4 738 070
|
4 801 023
|
4 170 739
|
4 165 698
|
|
| Accrued Liabilities |
348
|
118
|
1 019
|
1 680
|
33 655
|
43 907
|
121 609
|
84 892
|
255 136
|
344 277
|
501 013
|
547 529
|
810 366
|
1 450 116
|
1 956 233
|
1 840 609
|
1 517 334
|
1 070 584
|
1 452 842
|
1 169 426
|
1 371 071
|
1 352 976
|
1 529 927
|
|
| Short-Term Debt |
8 210
|
1 379
|
1 293
|
22 199
|
108 049
|
117 218
|
302 117
|
514 463
|
881 030
|
1 366 615
|
1 349 528
|
1 808 279
|
0
|
0
|
0
|
3 884 406
|
4 552 184
|
4 809 865
|
4 601 689
|
5 058 802
|
3 981 519
|
3 645 194
|
0
|
|
| Current Portion of Long-Term Debt |
2 000
|
802
|
179
|
414
|
3 650
|
5 731
|
11 403
|
17 348
|
13 053
|
22 717
|
14 899
|
4 476
|
1 890 231
|
2 719 542
|
4 279 478
|
193 204
|
190 254
|
162 345
|
97 469
|
45 508
|
13 813
|
173 114
|
3 921 604
|
|
| Other Current Liabilities |
1 793
|
9 494
|
12 080
|
28 646
|
67 130
|
153 299
|
133 056
|
235 504
|
916 701
|
877 738
|
1 152 307
|
1 244 185
|
1 875 865
|
2 668 939
|
1 774 254
|
1 973 494
|
1 894 315
|
1 576 233
|
1 843 352
|
1 628 822
|
3 535 839
|
3 068 658
|
3 716 603
|
|
| Total Current Liabilities |
19 159
|
19 610
|
20 879
|
62 441
|
344 670
|
462 769
|
700 533
|
1 179 214
|
2 472 263
|
3 559 713
|
3 679 158
|
4 509 229
|
5 805 733
|
8 885 589
|
10 905 144
|
12 313 167
|
12 043 996
|
10 747 646
|
11 644 463
|
12 640 628
|
13 703 265
|
12 410 682
|
13 333 833
|
|
| Long-Term Debt |
0
|
179
|
0
|
683
|
62 925
|
109 467
|
17 402
|
17 745
|
9 911
|
19 094
|
9 691
|
104 215
|
156 190
|
433 858
|
333 838
|
264 053
|
218 639
|
145 356
|
398 468
|
1 026 588
|
722 676
|
532 421
|
66 495
|
|
| Deferred Income Tax |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
80 736
|
85 755
|
92 435
|
172 770
|
234 470
|
217 597
|
413 649
|
491 506
|
523 055
|
549 592
|
|
| Minority Interest |
1 245
|
1 248
|
1 266
|
661
|
692
|
54 701
|
55 922
|
27 647
|
6 091
|
8 609
|
6 561
|
1 104
|
1 270
|
213 612
|
218 454
|
207 140
|
371 915
|
549 379
|
395 804
|
22 055
|
36 513
|
19 746
|
17 150
|
|
| Other Liabilities |
0
|
0
|
0
|
0
|
926
|
866
|
679
|
22 960
|
75 537
|
221 725
|
80 876
|
192 861
|
254 907
|
219 456
|
206 726
|
308 021
|
326 128
|
276 753
|
259 565
|
294 813
|
239 029
|
197 700
|
164 644
|
|
| Total Liabilities |
20 404
N/A
|
21 037
+3%
|
22 146
+5%
|
63 786
+188%
|
409 213
+542%
|
627 804
+53%
|
774 537
+23%
|
1 247 566
+61%
|
2 563 802
+106%
|
3 809 140
+49%
|
3 776 286
-1%
|
4 807 408
+27%
|
6 218 099
+29%
|
9 833 251
+58%
|
11 749 916
+19%
|
13 184 815
+12%
|
13 133 448
0%
|
11 953 604
-9%
|
12 915 897
+8%
|
14 397 733
+11%
|
15 192 989
+6%
|
13 683 604
-10%
|
14 131 713
+3%
|
|
| Equity | ||||||||||||||||||||||||
| Common Stock |
36 037
|
47 056
|
56 400
|
56 400
|
135 000
|
151 195
|
151 195
|
167 310
|
209 425
|
413 061
|
518 755
|
573 686
|
755 598
|
954 465
|
1 298 508
|
1 960 750
|
2 308 754
|
2 308 754
|
2 424 158
|
2 741 333
|
2 741 333
|
3 472 133
|
3 472 133
|
|
| Retained Earnings |
67
|
1 380
|
1 989
|
6 160
|
16 923
|
3 889
|
38 917
|
104 066
|
133 608
|
180 562
|
148 213
|
135 049
|
115 202
|
535 242
|
823 017
|
627 792
|
835 654
|
846 359
|
793 008
|
2 100 698
|
3 240 327
|
2 299 314
|
2 071 142
|
|
| Additional Paid In Capital |
0
|
0
|
0
|
0
|
368 383
|
368 383
|
368 383
|
368 383
|
368 383
|
198 683
|
301 199
|
301 199
|
106 043
|
30 494
|
30 494
|
30 494
|
346 669
|
346 669
|
346 669
|
458 969
|
458 969
|
458 569
|
458 569
|
|
| Treasury Stock |
1 840
|
2 056
|
0
|
0
|
0
|
0
|
0
|
17 948
|
57 608
|
110 073
|
110 073
|
110 073
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Equity |
2 668
|
3 059
|
3 997
|
6 823
|
10 547
|
12 022
|
22 902
|
43 581
|
67 785
|
89 043
|
92 406
|
96 212
|
96 289
|
96 346
|
96 489
|
96 652
|
96 772
|
96 864
|
96 889
|
96 893
|
96 893
|
96 766
|
96 766
|
|
| Total Equity |
36 798
N/A
|
49 439
+34%
|
62 386
+26%
|
69 384
+11%
|
530 853
+665%
|
535 490
+1%
|
581 397
+9%
|
665 393
+14%
|
721 594
+8%
|
771 277
+7%
|
950 500
+23%
|
996 073
+5%
|
1 073 132
+8%
|
1 616 546
+51%
|
2 248 508
+39%
|
2 715 688
+21%
|
3 587 849
+32%
|
3 598 646
+0%
|
3 660 724
+2%
|
1 196 497
-67%
|
56 868
-95%
|
1 728 154
+2 939%
|
1 956 326
+13%
|
|
| Total Liabilities & Equity |
57 202
N/A
|
70 477
+23%
|
84 532
+20%
|
133 169
+58%
|
940 066
+606%
|
1 163 293
+24%
|
1 355 935
+17%
|
1 912 959
+41%
|
3 285 396
+72%
|
4 580 416
+39%
|
4 726 785
+3%
|
5 803 481
+23%
|
7 291 231
+26%
|
11 449 798
+57%
|
13 998 424
+22%
|
15 900 503
+14%
|
16 721 297
+5%
|
15 552 250
-7%
|
16 576 621
+7%
|
15 594 230
-6%
|
15 249 857
-2%
|
15 411 758
+1%
|
16 088 039
+4%
|
|
| Shares Outstanding | ||||||||||||||||||||||||
| Common Shares Outstanding |
107
|
107
|
107
|
107
|
176
|
176
|
176
|
172
|
160
|
144
|
184
|
187
|
203
|
228
|
230
|
231
|
259
|
259
|
259
|
274
|
274
|
347
|
347
|
|