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Hai Phat Investment JSC (HPX)

Hai Phat Investment JSC (HPX)

Ho Chi Minh
28,700.0 -50.0 -0.17%
03:27:01 - Closed. Currency in VND
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For the three months ended 31 March 2020, Hai Phat Investment JSC revenues increased 7% to VND359.79B. Net income applicable to common stockholders increased from VND15.06B to VND31.65B. Revenues reflect an increase in demand for the Company's products and services due to favorable market conditions. Net income benefited from Interest Income - Non-Bank increase from VND1.34B to VND3.38B (income).

Income Statement

Total Revenue Net Income
Mar 31, 2020 Dec 31, 2019 Sep 30, 2019 Jun 30, 2019
359790.78 1788709.39 480036.33 828415.9
74337.02 317000.18 79670.95 64636.9
46226.36 467350.96 41896.66 96137.45
33422.72 324570.24 32271.86 72413.86
Period Ending:
Total Revenue
Gross Profit
Operating Income
Net Income
Gross marginTTM 15.49%
Operating marginTTM 18.85%
Net Profit marginTTM 13.56%
Return on InvestmentTTM 10.03%

Balance Sheet

Total Assets Total Liabilities
Mar 31, 2020 Dec 31, 2019 Sep 30, 2019 Jun 30, 2019
6704784.51 6829641.46 7424349.75 7521166.58
3718998.98 3874904.02 4757964.11 4885282.8
2985785.54 2954737.44 2666385.64 2635883.78
Period Ending:
Total Assets
Total Liabilities
Total Equity
Quick RatioMRQ 0.89
Current RatioMRQ 1.85
LT Debt to EquityMRQ 38.38%
Total Debt to EquityMRQ 66.9%

Cash Flow

Cash Net Change in Cash
Mar 31, 2020 3 Months Dec 31, 2019 12 Months Sep 30, 2019 9 Months Jun 30, 2019 6 Months
-61635.32 1384069.29 495411.22 750500.74
-133849.47 -1181344.62 -510099.37 -910878.16
-18492.03 -215178.35 -210852.45 -61958.85
-213976.82 -12453.68 -225540.6 -222336.27
Period Ending:
Cash From Operating Activities
Cash From Investing Activities
Cash From Financing Activities
Net Change in Cash
Cash Flow/ShareTTM 2,060.99
Revenue/ShareTTM 15,030.6
Operating Cash Flow -2.89%

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