Financial information

Yearly
Unit: Bil VND
SCALE INDICATORS
  • 2018
    Năm 2017
    Năm 2015
    Năm 2012
    Năm 2016
    Năm 2014
    Năm 2013
    Năm 2011
    Năm 2010
    Total Assets
    1.313.038
    1.202.284
    850.670
    484.785
    1.006.404
    650.340
    548.386
    405.755
    366.267
  • Owner's equity
    54.551
    48.834
    42.335
    26.494
    44.144
    33.271
    32.039
    24.390
    24.220
  • Customer deposit and valuable papers issued
    1.029.662
    943.696
    658.701
    331.116
    797.689
    501.909
    416.726
    244.838
    251.924
  • Loans and advances to customers
    988.739
    866.885
    598.434
    339.923
    723.697
    445.693
    391.035
    293.937
    254.192
ASSET QUALITY AND CAPITAL ADEQUACY INDICATORS
  • 2018
    Năm 2017
    Năm 2015
    Năm 2012
    Năm 2016
    Năm 2014
    Năm 2013
    Năm 2011
    Năm 2010
    NPL Ratio
    1.9%
    1,62%
    1,68%
    2,91%
    1,95%
    2,03%
    2,37%
    2,96%
    2,72%
  • CAR
    >9%
    >9,00%
    >9,00%
    >9,00%
    >9,00%
    >9,00%
    >9,00%
    >9,00%
    >9,00%
EFFICIENCY INDICATORS
  • 2018
    Năm 2017
    Năm 2015
    Năm 2012
    Năm 2016
    Năm 2014
    Năm 2013
    Năm 2011
    Năm 2010
    Total operating incomes
    44.483
    39.017
    24.712
    16.677
    30.434
    21.906
    19.209
    15.414
    (5.546)
  • Total operating expenses
    (16.117)
    (15.504)
    (11.087)
    (6.765)
    (13.527)
    (8.624)
    (7.436)
    (6.652)
    (1.317)
  • Provisions charged to expenses
    (18.894)
    (14.847)
    (5.676)
    (5.587)
    (9.199)
    (7.391)
    (6.483)
    (4.542)
    4.625
  • Profit before tax
    9.473
    8.665
    7.473
    4.325
    7.709
    6.297
    5.290
    4.220
    3.758
  • Net profit after tax
    7.358
    6.786
    5.822
    3.265
    6.229
    4.948
    4.030
    3.209
    3.758
  • ROE
    14,6%
    14,9%
    15,50%
    12,38%
    14,41%
    15,27%
    13,80%
    13,16%
    17,95%
  • ROA
    0,6%
    0,63%
    0,79%
    0,74%
    0,67%
    0,83%
    0,78%
    0,83%
    1,13%
Yearly
Quarterly
Unitx 1,000,000,000
  • x 1,000,000,000
  • x 1,000,000
Unit: VND
TOTAL ASSETS
  • Quý 2/2019
    Năm 2018
    Quý 1/2019
    Quý 4/2018
    Quý 3/2018
    Quý 2/2018
    Quý 1/2018
    Quý 4/2017
    Quý 3/2017
    Quý 2/2017
    Quý 1/2017
    Năm 2017
    Năm 2010
    Năm 2009
    Năm 2008
    Năm 2007
    Năm 2013
    Năm 2012
    Quý 4/2016
    Quý 4/2013
    Quý 4/2012
    Quý 4/2011
    Quý 3/2016
    Quý 3/2013
    Quý 3/2012
    Quý 3/2011
    Quý 2/2016
    Quý 2/2013
    Quý 2/2012
    Quý 1/2016
    Quý 1/2013
    Quý 1/2012
    Quý 4/2015
    Quý 3/2015
    Quý 2/2015
    Quý 1/2015
    Năm 2015
    Quý 4/2014
    Quý 3/2014
    Quý 2/2014
    Quý 1/2014
    Năm 2016
    Năm 2014
    Năm 2011
    TOTAL ASSETS
    1.400.186,02
    1.313.037,67
    1.342.938,58
    1.313.037,67
    1.268.412,62
    1.268.266,72
    1.226.942,71
    1.201.661,65
    1.125.908,67
    1.099.210,26
    1.026.251,64
    1.202.283,84
    366.267,77
    296.432,09
    246.519,68
    204.511,15
    548.386,08
    484.784,56
    1.006.635,17
    548.511,39
    484.695,98
    405.755,45
    950.377,91
    535.794,17
    456.156,59
    398.583,89
    930.457,63
    520.714,65
    444.635,89
    858.962,42
    485.923,02
    419.111,35
    850.748,06
    786.161,31
    724.761,90
    662.205,69
    850.506,94
    650.363,74
    598.942,48
    578.648,86
    572.262,67
    1.006.404,15
    650.340,37
    405.755,45
  • Cash and Precious Metals
    10.274,11
    10.507,56
    9.808,40
    10.507,56
    8.722,39
    8712,48
    9.441,77
    8.185,37
    7.853,19
    8.522,00
    8.441,62
    8.203,02
    3.253,38
    2.875,77
    2.303,87
    1.975,97
    3.862,66
    3.295,07
    7.106,55
    3.862,69
    3.326,47
    3.628,60
    7.044,29
    3.862,88
    4.110,06
    3.664,65
    7.322,91
    4.230,05
    3.891,38
    6.636,53
    3.883,14
    3.568,09
    6.588,86
    5.953,43
    6.668,61
    5.688,20
    6.588,85
    5.393,85
    4.417,07
    4.736,26
    4.376,77
    7.106,55
    5.393,48
    3.628,60
  • Balances with the SBV
    15.351,81
    50.185,16
    32.963,98
    50.185,16
    34.107,35
    20.930,74
    33.804,08
    29.350,96
    29.516,92
    31.171,13
    25.725,94
    29.418,56
    8.109,79
    5.679,70
    12.620,93
    8.758,17
    12.834,85
    16.380,92
    35.824,41
    12.834,85
    16.311,92
    7.240,21
    14.740,19
    10.893,62
    10.735,29
    11.956,42
    27.425,76
    12.349,36
    7.020,61
    10.485,48
    9.081,81
    11.795,45
    21.705,30
    20.870,00
    25.470,62
    13.506,65
    21.718,72
    23.097,74
    9.661,71
    7.462,05
    5.222,71
    36.710,77
    23.097,74
    7.240,21
  • Placements with and loans to other credit institutions
    141.853,19
    104.113,34
    112.271,07
    104.113,34
    81.842,84
    101.895,74
    119.261,31
    118.249,06
    85.093,48
    78.258,20
    63.945,76
    118.355,29
    57.788,69
    40.197,50
    29.619,73
    25.933,73
    47.656,26
    54.317,10
    62.862,79
    47.658,56
    53.770,29
    57.580,36
    77.178,12
    50.176,56
    42.549,15
    59.231,31
    65.176,52
    47.882,19
    38.648,23
    59.857,03
    46.665,54
    47.264,12
    67.188,97
    65.374,43
    49.051,71
    42.726,26
    67.097,94
    50.062,37
    58.136,90
    57.060,07
    58.123,90
    61.865,17
    50.062,37
    57.580,36
  • Trading Securities, net
    1.369,69
    673,64
    4.436,78
    673,64
    1.055,74
    4.131,05
    15.448,29
    9.613,76
    11.452,53
    9.057,30
    3.756,90
    9.613,77
    1.336,21
    948,63
    2.025,15
    781,69
    1.557,98
    4.104,91
    10.016,26
    1.557,98
    4.104,91
    1.039,50
    11.758,14
    2.378,21
    3.465,91
    1.219,70
    11.273,43
    7.434,73
    3.028,88
    8.790,50
    6.887,45
    2.810,20
    8.872,22
    8.128,14
    3.523,94
    12.475,05
    8.872,71
    8.430,82
    4.280,29
    9.660,20
    6.848,90
    10.016,12
    8.430,77
    1.039,50
    Trading Securities
    1.453,56
    790,21
    4.534,36
    790,21
    1.067,19
    4.151,50
    15.465,07
    9.672,28
    11.536,74
    9.129,18
    3.821,25
    9.708,25
    1.367,46
    1.089,19
    2.613,26
    781,69
    1.590,27
    4.232,23
    10.086,21
    1.590,27
    4.232,23
    1.262,11
    12.048,69
    2.413,22
    3.596,45
    1.381,17
    11.563,62
    7.469,90
    3.146,49
    8.816,97
    6.933,33
    2.973,27
    8.903,19
    8.180,57
    3.563,06
    12.511,16
    8.903,68
    8.461,18
    4.304,66
    9.685,70
    6.875,21
    10.086,03
    8.461,17
    1.262,11
    Provision for diminution in value of Trading Securities
    -83,87
    (116,57)
    -97,58
    -116,57
    -11,46
    -20,45
    -16,78
    -58,52
    -84,21
    -71,88
    -64,35
    -94,48
    -31,26
    -140,56
    -588,11
    0
    -32,28
    -127,32
    -69,95
    -32,28
    -127,32
    -222,61
    -290,56
    -35,01
    -130,55
    -161,47
    -290,19
    -35,16
    -117,62
    -26,47
    -45,88
    -163,07
    -30,97
    -52,43
    -39,12
    -36,12
    -30,97
    -30,36
    -24,37
    -25,50
    -26,31
    -69,91
    -30,41
    -222,61
    Derivatives and other financial liabilities
    95,02
    79,75
    130,1
    79,76
    12,39
    0
    239,86
    150,12
    295,30
    198,49
    24,41
    193,70
    32,91
    0
    3,56
    31,64
    239,87
    0
    0
    239,87
    0
    27,21
    77,77
    153,05
    26,79
    29,91
    78,11
    0
    19,29
    55,21
    0
    28,29
    0
    0
    13,48
    81,77
    101,88
    0
    0
    79,33
    196,29
    0
    0
    27,21
  • Loans and advances to customers, net
    1.049.717,38
    976.333,89
    1.011.891,19
    976.333,89
    953.925,13
    917.403,84
    867.289,61
    854.948,49
    813.528,14
    793.605,18
    746.941,42
    855.535,53
    248.898,48
    200.999,43
    156.870,05
    129.079,35
    384.889,84
    334.009,14
    713.681,56
    384.837,32
    334.079,22
    288.079,64
    664.598,29
    365.890,28
    327.615,71
    269.367,02
    647.649,62
    357.424,63
    318.127,32
    614.994,65
    338.146,08
    295.705,60
    591.091,13
    541.668,71
    509.015,60
    457.574,96
    590.917,43
    439.154,34
    405.158,20
    389.653,36
    391.709,21
    713.633,46
    439.070,13
    288.079,64
    Loans and advances to customers, net
    1.065.030,36
    988.738,78
    1.024.434,94
    988.738,78
    968.752,33
    929.167,96
    878.752,98
    866.000,04
    828.007,02
    806.444,87
    758.530,12
    866.885,31
    254.191,58
    206.401,91
    160.982,52
    131.983,55
    391.035,05
    339.923,67
    723.697,41
    391.036,38
    339.931,09
    293.937,12
    675.211,93
    373.204,76
    335.452,15
    277.054,38
    657.574,38
    364.771,31
    325.756,22
    623.740,52
    344.893,38
    301.585,22
    598.456,60
    550.302,44
    518.252,94
    465.174,75
    598.434,48
    445.693,10
    412.433,58
    397.428,42
    398.286,83
    723.697,41
    445.693,10
    293.937,12
    Less: Provision for losses on loans and advances to customers
    -15.312,98
    (12.404,89)
    -12.543,75
    -12.404,89
    -14.827,20
    -11.764,12
    -11.463,37
    -11.051,56
    -14.478,89
    -12.839,69
    -11.588,70
    -11.349,78
    -5.293,09
    -5.402,47
    -4.112,48
    -2.904,20
    -6.145,22
    -5.914,53
    -10.015,85
    -6.199,06
    -5.851,87
    -5.857,48
    -10.613,64
    -7.314,48
    -7.836,44
    -7.687,36
    -9.924,76
    -7.346,68
    -7.628,90
    -8.745,86
    -6.747,30
    -5.879,61
    -7.365,47
    -8.633,72
    -9.237,34
    -7.599,79
    -7.517,05
    -6.538,76
    -7.275,38
    -7.775,06
    -6.577,62
    -10.063,94
    -6.622,97
    -5.857,48
  • Investment Securities
    140.931,41
    133.142,95
    132.222,42
    133.142,95
    150.499,16
    177.539,26
    144.638,71
    146.105,71
    144.127,88
    146.031,51
    143.447,55
    146.477,35
    31.020,30
    31.477,25
    31.394,91
    27.811,80
    68.072,44
    48.964,82
    144.192,81
    68.072,44
    48.984,52
    31.683,52
    139.745,96
    73.779,41
    44.456,84
    30.798,37
    137.351,66
    64.778,64
    51.236,88
    123.414,89
    55.358,07
    39.635,83
    121.404,98
    109.990,72
    98.957,50
    95.913,98
    121.564,77
    91.635,10
    82.628,44
    77.445,31
    73.672,32
    144.412,97
    91.817,00
    31.683,52
    Available-for Sales Securities
    122.325,99
    111.419,19
    111.939,65
    111.419,20
    124.015,32
    149.533,20
    114.362,10
    118.097,62
    116.449,65
    115.495,78
    113.427,13
    118.097,62
    29.540,33
    29.214,66
    29.303,52
    25.502,94
    56.842,10
    47.827,25
    113.149,62
    56.842,10
    47.827,25
    30.641,97
    105.790,81
    65.557,84
    43.207,42
    29.379,08
    102.097,42
    58.292,29
    50.084,82
    87.201,83
    54.009,17
    38.612,87
    87.437,08
    75.754,51
    70.910,51
    76.404,66
    87.421,28
    73.993,12
    66.138,74
    63.457,78
    60.212,38
    113.657,16
    73.993,13
    30.641,97
    Held-to-Maturity Securities
    26.973,41
    29.847,62
    28.530,36
    29.847,63
    36.346,89
    37.003,69
    37.710,60
    38.364,14
    36.942,96
    38.247,25
    36.981,77
    38.385,96
    1.773,27
    2.406,41
    2.350,85
    2.309,73
    11.565,43
    1.570,91
    37.332,99
    11.565,43
    1.570,91
    1.550,00
    39.054,95
    8.605,32
    1.676,12
    1.715,46
    38.988,35
    6.900,11
    1.579,92
    39.276,19
    1.782,23
    1.550,00
    36.860,98
    36.642,07
    30.241,97
    21.210,95
    36.848,57
    19.528,13
    17.506,58
    15.012,29
    13.795,03
    36.823,52
    19.528,13
    1.550,00
    Less: Provision for diminution in value of investment securities
    -8.367,99
    (8.123,87)
    -8.247,59
    -8.123,87
    -9.863,05
    -8.997,63
    -7.433,99
    -10.356,04
    -9.264,73
    -7.711,52
    -6.961,35
    -10.006,22
    -293,30
    -143,83
    -259,46
    -0,86
    -335,10
    -433,33
    -6.289,81
    -335,10
    -413,64
    -508,45
    -5.099,80
    -383,75
    -426,71
    -296,17
    -3.734,10
    -413,75
    -427,86
    -3.063,12
    -433,33
    -527,05
    -2.893,08
    -2.405,86
    -2.194,98
    -1.701,63
    (-2.705,07)
    -1.886,15
    -1.016,88
    -1.024,76
    -335,10
    -6.067,70
    -1.704,26
    -508,45
  • Investment in other entities and long term investments
    2.619,65
    2.613,52
    2.657,37
    2.613,52
    2.682,20
    2.651,74
    2.617,45
    2.580,78
    2.590,54
    2.772,63
    4.567,79
    2.579,51
    2.497,45
    3.228,12
    2.778,62
    2.251,23
    4.392,75
    3.851,76
    4.332,54
    4.392,18
    3.950,32
    3.676,71
    4.444,53
    4.474,70
    4.119,43
    3.991,64
    4.434,94
    4.415,37
    4.097,05
    4.472,02
    4.321,89
    4.018,08
    5.250,65
    5.333,20
    5.052,32
    4.600,92
    5.250,68
    4.797,06
    4.773,36
    4.503,29
    4.452,75
    4.329,80
    4.782,59
    3.676,71
    Investment in joint ventures
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    1.534,92
    0
    0
    0
    3.285,99
    0
    0
    3.285,99
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    2.921,75
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    Investments in associate companies
    2.526,35
    2533,84
    2.565,46
    2.522,84
    2.536,35
    2.489,90
    2.447,55
    2.410,87
    2.416,88
    2.584,87
    4.267,80
    2.409,60
    205,24
    1.603,97
    1.398,34
    2.251,23
    516,01
    3.212,31
    3.994,12
    516,01
    3.299,99
    3.001,17
    4.106,52
    3.857,10
    3.393,18
    3.193,32
    4.078,07
    3.794,42
    2.972,51
    4.098,66
    3.693,41
    420,78
    4.870,44
    4.906,50
    4.608,57
    4.318,31
    4.871,17
    4.314,38
    4.279,50
    3.894,89
    3.890,33
    3.994,12
    4.300,01
    3.001,17
    Other long-term investments
    214,72
    213,32
    213,32
    213,32
    234,04
    253,04
    253,04
    253,04
    255,71
    269,74
    434,89
    253,04
    952,26
    1.714,03
    1.636,40
    0
    919,19
    1.001,10
    457,47
    919,19
    1.001,09
    975,01
    445,31
    996,55
    975,00
    999,74
    464,17
    996,10
    1.399,96
    532,94
    996,09
    975,00
    539,66
    592,60
    609,65
    421,87
    539,16
    621,83
    769,79
    884,34
    890,86
    457,47
    621,84
    975,01
    Less: Provision for diminuation in value of long term investments
    -121,41
    (122,63)
    -121,41
    -122,63
    -88,20
    -88,20
    -83,13
    -83,13
    -82,04
    -81,98
    -134,90
    -83,13
    -194,97
    -89,88
    -256,11
    0
    -328,44
    -361,64
    -119,04
    -329,01
    -350,77
    -299,46
    -107,30
    -378,95
    -248,76
    -201,42
    -107,30
    -375,15
    -275,42
    -159,58
    -367,62
    -299,46
    -159,45
    -165,90
    -165,90
    -139,26
    -159,65
    -139,16
    -275,94
    -275,94
    -328,44
    -121,79
    -139,26
    -299,46
  • Fixed assets
    10.391,74
    10.666.712
    10.578,24
    10.666,71
    10.079,11
    10.184,78
    10.157,58
    10.319,32
    9.913,18
    9.910,46
    9.525,35
    10.348,52
    3.496,77
    2.304,26
    2.008,81
    1.753,22
    5.201,10
    4.229,00
    9.721,97
    5.201,10
    4.233,09
    3.640,94
    8.388,06
    3.941,36
    1.389,95
    3.246,79
    8.334,74
    3.978,99
    3.568,69
    8.459,97
    4.121,45
    3.535,38
    8.535,14
    7.539,73
    7.655,82
    6.597,85
    8.535,31
    6.672,04
    5.305,59
    5.110,43
    5.143,85
    9.721,94
    6.672,04
    3.640,94
    Tangible fixed assets
    6.084,02
    6.352,25
    6.248,94
    6.352,25
    5.800,58
    5.862,46
    5.800,66
    5.921,01
    5.541,41
    5.480,67
    5.216,39
    5.949,27
    1.486,51
    1.198,42
    1.002,27
    900,60
    2.682,62
    1.759,39
    5.373,52
    2.682,62
    1.763,48
    1.512,68
    4.426,56
    1.554,45
    1.389,95
    1.341,81
    4.348,05
    1.581,81
    1.449,47
    4.512,99
    1.692,91
    1.449,93
    4.554,71
    3.787,91
    3.880,06
    3.390,73
    4.554,89
    3.458,41
    3.046,55
    2.846,38
    2.635,45
    5.373,50
    3.458,41
    1.512,68
    Leased assets
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    451,96
    407,64
    508,20
    496,69
    240,71
    296,21
    0
    240,71
    296,21
    432,75
    0
    222,80
    324,76
    342,80
    0
    241,34
    362,15
    0
    268,92
    396,42
    0
    0
    0
    0
    0
    0
    0
    0
    231,16
    0
    0
    432,75
    Intagible fixed assets
    4.307,72
    4.314,46
    4.329,30
    4.314,46
    4.278,53
    4.322,32
    4.356,92
    4.398,31
    4.371,77
    4.429,79
    4.308,96
    4.399,25
    1.558,30
    698,20
    498,34
    355,93
    2.277,77
    2.173,40
    4.348,45
    2.277,77
    2.173,40
    1.695,51
    3.961,50
    2.164,11
    1.764,22
    1.562,18
    3.986,69
    2.155,84
    1.757,08
    3.946,98
    2.159,61
    1.689,04
    3.980,43
    3.751,83
    3.775,76
    3.207,12
    3.980,43
    3.213,64
    2.259,04
    2.264,05
    2.277,23
    4.348,45
    3.213,64
    1.695,51
  • Investment in properties
    0
    null
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
  • Other Assets
    27.582,03
    24.721.152
    25.979,05
    24.721,15
    25.486,32
    24.817,09
    24.044,05
    22.158,10
    21.537,52
    19.683,38
    19.874,91
    21.558,59
    9.833,78
    8.721,41
    6.894,06
    6.134,35
    19.678,33
    15.631,83
    18.896,28
    19.854,40
    15.935,24
    9.158,75
    22.402,57
    20.244,08
    15.598,48
    15.078,08
    21.409,96
    18.220,68
    14.997,56
    21.796,14
    17.457,60
    10.750,31
    20.110,82
    21.302,95
    19.352,30
    23.040,06
    19.858,66
    21.120,43
    24.580,92
    22.938,57
    22.515,98
    18.607,37
    21.014,26
    9.158,75
LIABILITIES AND OWNERSHIP
  • Quý 2/2019
    Năm 2018
    Quý 1/2019
    Quý 4/2018
    Quý 3/2018
    Quý 2/2018
    Quý 1/2018
    Quý 4/2017
    Quý 3/2017
    Quý 2/2017
    Quý 1/2017
    Năm 2017
    Năm 2010
    Năm 2009
    Năm 2008
    Năm 2007
    Năm 2013
    Năm 2012
    Quý 4/2016
    Quý 4/2013
    Quý 4/2012
    Quý 4/2011
    Quý 3/2016
    Quý 3/2013
    Quý 3/2012
    Quý 3/2011
    Quý 2/2016
    Quý 2/2013
    Quý 2/2012
    Quý 1/2016
    Quý 1/2013
    Quý 1/2012
    Quý 4/2015
    Quý 3/2015
    Quý 2/2015
    Quý 1/2015
    Năm 2015
    Quý 4/2014
    Quý 3/2014
    Quý 2/2014
    Quý 1/2014
    Năm 2016
    Năm 2014
    Năm 2011
    LIABILITIES AND SHAREHOLDER'S EQUITY
    1.400.186,02
    1.313.037,67
    1.342.938,58
    1.313.037,67
    1.268.412,62
    1.268.266,72
    1.226.942,71
    1.201.661,65
    1.125.908,67
    1.099.210,26
    1.026.251,64
    1.202.283,84
    366.267,77
    296.432,09
    246.519,68
    204.511,15
    548.386,08
    484.784,56
    1.006.635,17
    548.511,39
    484.695,98
    405.755,45
    950.377,91
    535.794,17
    456.156,59
    398.583,89
    930.457,63
    520.714,65
    444.635,89
    858.962,42
    485.923,02
    419.111,35
    850.748,06
    786.161,31
    724.761,90
    662.205,69
    850.506,94
    650.363,74
    598.942,48
    578.648,86
    572.262,67
    1.006.404,15
    650.340,37
    405.755,45
  • Total Liabilities
    1.342.596,71
    1.258.486,21
    1.286.286,28
    1.258.344,57
    1.214.692,69
    1.215.066,82
    1.176.139,47
    1.152.676,02
    1.079.372,56
    1.051.070,53
    980.500,67
    1.153.449,83
    341.898,61
    278.792,76
    233.035,67
    192.534,75
    516.093,52
    458.081,13
    962.417,76
    516.190,11
    457.584,34
    381.158,04
    904.464,86
    504.100,74
    429.891,58
    373.716,50
    886.036,77
    492.377,89
    418.651,02
    815.199,18
    458.051,26
    391.803,96
    808.419,33
    746.180,70
    689.243,67
    626.954,32
    808.171,48
    616.661,02
    566.567,03
    545.214,94
    538.513,17
    962.259,90
    616.734,17
    381.158,04
    Due to Gov and borrowings from SBV
    90.275,15
    105.297,4
    98.575,15
    105.297,40
    84.628,07
    72.982,25
    81.334,73
    77.510,66
    58.313,25
    52.302,80
    40.751,63
    77.535,40
    16.665,29
    22.931,07
    16.985,61
    18.229,03
    16.495,83
    11.429,94
    43.392,14
    16.495,83
    11.429,94
    26.799,13
    46.421,48
    11.045,18
    10.900,33
    26.066,47
    38.135,00
    10.567,92
    14.242,94
    20.688,43
    8.750,60
    30.409,85
    45.401,60
    17.864,80
    15.028,32
    14.830,01
    45.401,60
    20.120,99
    22.597,07
    18.169,20
    13.818,59
    43.392,14
    20.120,99
    26.799,13
    Deposits and borrowings from other credit institutions
    95.908,17
    79.198,15
    85.946,99
    79.198,15
    74.093,89
    78.010,12
    78.920,21
    91.057,41
    91.634,53
    95.909,47
    86.689,53
    91.978,86
    28.282,28
    14.542,80
    8.763,81
    7.886,84
    47.798,57
    39.550,18
    92.449,72
    47.565,28
    38.430,52
    35.704,90
    78.678,46
    50.805,41
    37.073,70
    27.709,07
    76.737,11
    45.326,78
    33.374,19
    86.516,84
    39.763,90
    31.005,73
    79.750,57
    81.232,25
    74.043,35
    87.986,47
    79.758,32
    86.186,21
    60.113,44
    60.267,90
    60.532,72
    92.499,22
    86.186,21
    35.704,90
    Deposits from customers
    1.059.790,49
    989.671,15
    1.014.934,56
    989.671,16
    953.512,83
    964.542,96
    910.053,50
    859.785,72
    823.073,42
    810.131,07
    762.402,02
    859.985,17
    244.700,64
    187.280,39
    163.396,95
    135.335,70
    338.902,13
    303.059,54
    726.185,08
    339.135,42
    303.576,07
    240.507,63
    709.881,03
    340.844,00
    293.196,57
    243.632,92
    692.818,66
    335.008,85
    282.395,82
    612.338,87
    320.039,35
    248.724,01
    564.588,89
    543.117,60
    531.062,89
    463.566,17
    564.692,85
    440.471,59
    399.573,61
    385.786,48
    357.856,43
    726.021,70
    440.471,59
    240.507,63
    Derivatives and other financial liabilities
    0
    0
    0
    0
    0
    45,55
    0
    0
    0
    0
    0
    0
    0
    202,92
    0
    0
    0
    16,32
    103,32
    0
    16,32
    0
    0
    0
    0
    0
    0
    201,95
    0
    0
    206,72
    0
    4,07
    16,57
    0
    0
    0
    74,76
    143,53
    0
    0
    103,32
    74,76
    0
    Funds received from Gov, international and other institutions
    12.598,27
    12.296,2
    12.598,88
    12.296,20
    11.995,11
    11.902,93
    11.726,91
    11.722,73
    11.595,99
    11.554,42
    11.471,87
    11.722,73
    36.449,57
    28.150,95
    15.130,37
    18.088,67
    67.245,42
    65.334,06
    11.361,96
    67.245,42
    65.334,06
    64.319,29
    11.436,06
    71.671,49
    65.236,50
    60.787,13
    18.271,44
    71.967,83
    66.399,58
    30.289,57
    60.900,06
    60.705,23
    35.295,25
    33.178,18
    34.561,25
    31.403,27
    35.295,25
    35.445,27
    43.255,53
    44.154,99
    62.488,42
    11.361,96
    35.445,27
    64.319,29
    Convertible bonds/CDs and other valuable papers issued
    48.978,42
    39.991,36
    42.102,48
    39.991,36
    56.207,88
    57.504,34
    64.808,94
    83.738,43
    69.224,12
    55.445,71
    55.491,21
    83.738,43
    7.223,09
    16.017,82
    17.650,69
    6.521,76
    33.254,35
    28.055,82
    66.642,04
    33.254,35
    28.055,53
    4.329,85
    37.280,41
    17.707,79
    14.181,47
    5.325,85
    40.778,13
    16.746,81
    8.668,01
    46.367,52
    16.832,87
    8.847,21
    65.542,24
    52.010,76
    15.037,91
    15.462,75
    65.542,24
    20.077,03
    25.315,03
    22.412,45
    30.279,33
    66.642,04
    20.077,03
    4.329,85
    Other liabilities
    35.046,21
    31.890,31
    32.128,22
    31.890,31
    34.254,91
    30.078,67
    29.295,18
    28.861,07
    25.531,26
    25.727,05
    23.694,42
    28.489,24
    8.577,74
    9.666,81
    11.108,23
    6.472,74
    12.397,22
    10.635,27
    22.283,51
    12.493,81
    10.741,89
    9.497,24
    20.767,42
    12.026,87
    9.303,00
    10.195,07
    19.296,43
    12.557,76
    13.570,48
    18.997,96
    11.557,75
    12.111,94
    17.836,72
    18.760,55
    19.509,96
    13.705,64
    17.481,22
    14.285,17
    15.568,82
    14.423,93
    13.537,67
    22.239,53
    14.358,33
    9.497,24
  • Shareholders’ Equity
    57.589,31
    1.313.037,67
    56.652,30
    54.693,11
    53.719,93
    53.199,90
    50.803,25
    48.985,63
    46.536,11
    48.139,74
    45.750,97
    48.834,01
    24.219,73
    17.639,33
    13.484,01
    11.634,79
    32.039,98
    26.494,45
    44.217,40
    32.069,64
    26.902,58
    24.390,46
    45.913,05
    31.445,53
    26.055,43
    24.648,19
    44.420,86
    28.121,80
    25.778,86
    43.763,24
    27.658,45
    27.089,04
    40.933,71
    39.699,86
    35.244,25
    34.905,84
    42.335,46
    33.367,04
    32.047,63
    33.132,94
    33.450,45
    44.144,25
    33.271,27
    24.390,46
    Capital
    34.396,61
    34.396,60
    34.396,61
    34.396,61
    34.396,61
    34.369,93
    34.369,93
    34.369,89
    34.328,96
    34.304,55
    34.304,55
    34.369,93
    16.559,86
    12.414,66
    10.352,69
    9.114,04
    28.142,02
    24.429,61
    34.304,55
    28.142,02
    24.429,61
    15.061,92
    34.271,78
    28.142,02
    24.429,61
    14.969,96
    34.271,78
    24.429,61
    24.385,06
    34.271,78
    24.429,61
    16.399,87
    34.271,78
    34.271,78
    31.565,86
    28.142,33
    34.271,78
    28.142,33
    28.142,33
    28.142,33
    28.142,02
    34.304,55
    28.142,33
    15.061,92
    Reserves
    5.737,92
    4.617,99
    4.645,34
    4.617,99
    4.599,04
    4.598,34
    4.454,84
    4.427,47
    3.552,45
    3.460,97
    3.377,46
    4.445,83
    5.895,92
    4.201,17
    2.088,79
    1.207,19
    379,68
    375,85
    3.366,96
    377,91
    420,46
    7.944,33
    2.508,28
    378,15
    0,46
    6.510,47
    2.468,00
    378,44
    0,46
    2.464,01
    375,85
    8.818,72
    2.462,39
    1.688,19
    1.688,38
    1.656,81
    2.464,09
    1.654,97
    953,45
    953,10
    379,08
    3.376,58
    1.656,81
    7.944,33
    Foreign Currency Difference reserve
    179,6
    156,58
    220,26
    156,58
    359,61
    333,44
    73,82
    54,27
    0
    72,01
    68,31
    53,52
    383,63
    220,60
    84,33
    55,18
    -57,41
    -57,11
    -110,57
    -57,41
    20,28
    302,45
    -7,18
    9,73
    12,66
    349,21
    63,46
    -32,55
    -0,61
    -0,01
    -31,81
    276,38
    -42,49
    166,43
    -71,03
    -9,71
    (-42,65)
    -30,51
    -136,32
    -129,52
    -178,45
    -111,57
    -44,89
    302,45
    Difference upon Assets Revaluation
    0
    0
    0
    0
    0
    0
    0
    0
    -74,82
    0
    0
    0
    11,23
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    Retained Earnings
    14.195,87
    12.483,07
    14.294,63
    12.483,07
    11.212,82
    10.790,13
    8.931,16
    7.261,94
    5.955,43
    7.361,00
    6.368,99
    7.092,01
    1.369,10
    802,89
    958,21
    1.258,39
    3.575,70
    1.746,09
    5.052,98
    3.607,12
    2.032,23
    1.081,76
    7.742,15
    2.915,62
    1.612,71
    2.818,54
    6.233,04
    3.346,30
    1.393,96
    5.617,56
    2.884,80
    1.594,06
    4.242,03
    3.573,46
    2.061,04
    5.116,40
    4.256,50
    3.600,26
    3.088,17
    4.167,03
    5.107,80
    4.970,93
    3.517,01
    1.081,76
    Minority Interest
    3.079,31
    3.038,86
    3.095,47
    3.038,86
    3.151,85
    3.108,06
    2.973,50
    2.872,06
    2.774,08
    2.941,20
    1.631,66
    2.872,72
    0
    0
    0
    0
    0
    0
    1.603,48
    0
    0
    0
    1.398,03
    0
    0
    0
    1.384,59
    0
    0
    1.409,91
    0
    0
    0
    0
    0
    0
    1.385,74
    0
    0
    0
    0
    1.603,75
    0
    0
  • Minority Interest
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    149,43
    0
    0
    341,61
    252,58
    208,99
    0
    251,64
    209,06
    206,96
    0
    247,90
    209,58
    219,20
    0
    241,95
    206,00
    0
    213,31
    218,35
    1.395,02
    280,75
    273,97
    345,53
    0
    335,67
    327,83
    300,98
    299,06
    0
    334,93
    206,96
Yearly
Quarterly
Unitx 1,000,000,000
  • x 1,000,000,000
  • x 1,000,000
Unit: VND
INCOME / EXPENSES AND SIMILAR FIGURES
  • Quý 2/2019
    2018
    Quý 1/2019
    Quý 4/2018
    Quý 3/2018
    Quý 2/2018
    Quý 1/2018
    Quý 4/2013
    Quý 3/2013
    Quý 2/2013
    Quý 1/2013
    Năm 2013
    Quý 4/2012
    Quý 3/2012
    Quý 2/2012
    Quý 1/2012
    Năm 2012
    Quý 3/2011
    Năm 2011
    Năm 2010
    Năm 2009
    Năm 2008
    Năm 2007
    Năm 2006
    Năm 2005
    Năm 2004
    Năm 2003
    Quý 4/2017
    Quý 4/2016
    Quý 4/2015
    Quý 3/2017
    Quý 3/2016
    Quý 3/2015
    Quý 2/2017
    Quý 2/2016
    Quý 2/2015
    Quý 1/2017
    Quý 1/2016
    Quý 1/2015
    Năm 2017
    Năm 2016
    Năm 2015
    Quý 3/2014
    Quý 2/2014
    Quý 1/2014
    Quý 4/2014
    Năm 2014
    Interest income and similar items
    25.213,58
    90.074,02
    23.492,43
    23.563,44
    22.179,91
    22.167,42
    22.163,25
    11.799,93
    10.703,49
    11.147,56
    10.634,49
    43.824,72
    11.477,87
    11.204,50
    12.993,93
    12.702,74
    30.522,62
    12.879,82
    44.557,11
    29.781,86
    21.209,76
    22.139,16
    15.436,38
    10.921,07
    7.608,38
    5.760,70
    4.914,60
    20.868,72
    17.765,99
    13.638,69
    21.151,11
    16.643,55
    13.161,88
    19.014,32
    13.930,01
    10.812,49
    17.648,28
    14.617,75
    11.392,17
    78.628,52
    62.600,28
    49.005,23
    11.125,98
    11.407,43
    10.937,93
    9.537,21
    43.984,26
  • Interest expenses and equivalent characters
    -16.075,50
    -55.118,16
    -14.947,38
    -14.223,50
    -14.028,93
    -13.868,12
    -12.997,61
    -7.600,59
    -7.442,01
    -7.663,26
    -7.510,95
    -28.980,07
    -7.639,51
    -8.413,28
    -9.158,67
    -9.835,39
    -21.314,41
    -9.797,59
    -31.918,16
    -20.590,48
    -14.235,36
    -15.903,05
    -10.579,94
    -7.570,23
    -4.679,01
    -3.846,76
    -4.358,71
    -12.860,16
    -10.735,38
    -8.043,08
    -12.131,14
    -10.138,03
    -7.937,17
    -11.826,86
    -9.367,73
    -6.909,31
    -10.842,52
    -8.978,13
    -6.800,71
    -47.673,18
    -39.165,68
    -29.690,26
    -7.566,69
    -7.274,47
    -7.440,00
    -4.858,83
    -27.139,99
INCOME / NET PROFIT
  • Quý 2/2019
    2018
    Quý 1/2019
    Quý 4/2018
    Quý 3/2018
    Quý 2/2018
    Quý 1/2018
    Quý 4/2013
    Quý 3/2013
    Quý 2/2013
    Quý 1/2013
    Năm 2013
    Quý 4/2012
    Quý 3/2012
    Quý 2/2012
    Quý 1/2012
    Năm 2012
    Quý 3/2011
    Năm 2011
    Năm 2010
    Năm 2009
    Năm 2008
    Năm 2007
    Năm 2006
    Năm 2005
    Năm 2004
    Năm 2003
    Quý 4/2017
    Quý 4/2016
    Quý 4/2015
    Quý 3/2017
    Quý 3/2016
    Quý 3/2015
    Quý 2/2017
    Quý 2/2016
    Quý 2/2015
    Quý 1/2017
    Quý 1/2016
    Quý 1/2015
    Năm 2017
    Năm 2016
    Năm 2015
    Quý 3/2014
    Quý 2/2014
    Quý 1/2014
    Quý 4/2014
    Năm 2014
    Net Interest Income
    9.138,08
    34.955,86
    8.545,05
    9.339,94
    8.150,98
    8.299,30
    9.165,64
    4.199,34
    3.261,48
    3.484,29
    3.123,54
    14.844,65
    3.838,36
    2.791,22
    3.835,26
    2.867,35
    9.208,21
    3.082,23
    12.638,96
    9.191,39
    6.974,39
    6.236,11
    4.856,45
    3.350,84
    2.929,37
    1.913,94
    555,89
    8.008,56
    7.030,60
    5.595,61
    9.019,98
    6.505,53
    5.224,71
    7.187,46
    4.562,28
    3.903,18
    6.805,76
    5.639,62
    4.591,47
    30.955,33
    23.434,60
    19.314,97
    3.559,29
    4.132,96
    3.497,92
    4.678,38
    16.844,26
    Fees and Comission Income
    1.958,39
    6.801,84
    1.627,19
    2.046,87
    1.632,71
    1.706,37
    1.415,91
    966,41
    796,43
    883,01
    667,50
    2.419,76
    746,63
    636,28
    726,93
    646,87
    1.881,86
    578,28
    2.813,42
    2.411,23
    1.968,24
    1.260,45
    791,40
    476,17
    300,93
    223,37
    202,82
    1.676,96
    1.393,91
    1.206,53
    1.368,62
    1.085,40
    1.010,01
    1.444,78
    1.059,89
    959,44
    1.142,19
    961,50
    786,37
    5.611,62
    4.490,15
    3.962,35
    963,18
    1.011,81
    842,45
    1.250,76
    2.981,20
    Fees and Comission Expenses
    -866,45
    -3.251,05
    -750,72
    -1.037,56
    -812,49
    -730,35
    -670,65
    -301,68
    -228,76
    -174,54
    -152,56
    -852,81
    -194,23
    -132,93
    -145,30
    -142,93
    -439,18
    -177,45
    -656,22
    -634,70
    -564,11
    -257,57
    -167,21
    -83,18
    -54,33
    -42,72
    -46,36
    -830,54
    -612,09
    -479,38
    -638,84
    -520,71
    -448,68
    -608,63
    -403,87
    -367,45
    -567,97
    -459,64
    -330,31
    -2.645,85
    -1.981,01
    -1.625,82
    -318,68
    -241,96
    -237,28
    -381,68
    -1.178,47
  • Net Fee and Commission Income
    1.091,94
    3.550,8
    876,47
    1.009,31
    820,22
    976,02
    745,26
    664,73
    567,68
    708,47
    514,94
    1.566,95
    552,40
    503,35
    581,62
    503,93
    1.442,67
    400,84
    2.157,21
    1.776,53
    1.404,13
    1.002,89
    624,19
    392,99
    246,60
    180,65
    156,47
    846,43
    781,82
    727,15
    729,78
    564,69
    561,33
    836,15
    656,02
    591,99
    574,22
    501,86
    456,06
    2.965,77
    2.509,14
    2.336,53
    644,50
    769,85
    605,17
    869,08
    1.802,74
    Net gain (loss) from foreign currency and gold dealings
    412,15
    1.039,69
    322,49
    242,22
    360,68
    22,09
    214,69
    77,98
    29,43
    14,79
    40,60
    162,28
    91,65
    84,46
    92,85
    61,17
    247,36
    102,99
    314,42
    288,68
    208,87
    790,80
    139,65
    107,73
    44,22
    57,48
    49,58
    154,08
    160,10
    310,35
    209,60
    168,82
    -68,60
    181,19
    115,64
    30,97
    122,43
    89,89
    21,26
    668,13
    534,47
    293,97
    78,46
    18,60
    202,79
    -34,79
    265,19
    Net gain (loss) from trading of trading securities
    48,8
    645,46
    38,74
    -36,48
    -3,25
    156,44
    528,74
    168,33
    90,10
    67,87
    136,01
    465,64
    58,09
    2,04
    59,84
    48,65
    62,54
    -109,98
    -211,30
    -155,30
    721,64
    -839,00
    159,83
    221,51
    0,50
    11,64
    1,78
    165,67
    56,95
    65,18
    165,12
    164,77
    6,38
    56,25
    131,11
    -97,90
    103,82
    80,84
    -36,64
    481,62
    455,43
    -62,99
    156,02
    -40,84
    60,79
    32,28
    210,37
    Net gain (loss) from disposal of investment securities
    126,36
    234,08
    -389,07
    13,11
    241,85
    -4,21
    -16,67
    909,24
    41,19
    -29,84
    1,08
    924,32
    -9,65
    -17,36
    114,90
    -17,90
    -12,46
    -14,98
    -206,45
    -135,44
    0
    0
    0
    0
    599,58
    540,87
    385,48
    308,55
    433,65
    325,52
    32,18
    23,03
    -361,22
    50,33
    -48,87
    56,61
    -67,02
    -43,02
    -9,62
    331,34
    402,96
    11,29
    21,35
    -7,28
    -21,58
    1.213,45
    818,55
    Net Other income/(expenses)
    1.111,27
    3.822,73
    1.264,18
    956,59
    1.270,39
    997,75
    597,99
    472,64
    190,68
    225,70
    69,61
    862,83
    293,14
    30,75
    271,07
    21,20
    486,86
    91,70
    606,60
    387,35
    610,94
    1.059,94
    2.014,16
    654,59
    253,55
    34,17
    27,02
    1.776,00
    459,53
    724,59
    561,21
    489,52
    431,24
    731,40
    464,80
    991,06
    210,30
    326,55
    222,50
    3.279,00
    1.882,98
    2.369,39
    326,14
    381,03
    165,08
    891,72
    1.593,94
    Dividends received
    65,91
    242,01
    47,4
    99,62
    25,03
    74,66
    42,70
    15,05
    110,87
    171,91
    38,47
    337,19
    -72,96
    8,74
    119,53
    22,68
    49,90
    22,77
    115,05
    134,60
    234,00
    119,16
    16,63
    12,41
    24,53
    45,26
    9,50
    39,37
    9,55
    -17,85
    163,59
    145,96
    248,46
    -25,67
    948,73
    184,72
    137,60
    110,25
    33,66
    335,54
    1.214,49
    448,99
    127,97
    100,27
    92,93
    50,40
    371,58
  • Total operating revenue
    11.994,51
    44.490,61
    10.705,26
    11.624,32
    10.865,89
    10.722,05
    11.278,35
    6.507,31
    4.291,44
    4.643,20
    3.924,24
    19.163,86
    4.751,03
    3.403,21
    5.075,07
    3.507,09
    11.485,09
    3.575,57
    15.414,48
    11.487,80
    10.153,97
    8.369,89
    7.810,90
    4.740,07
    4.098,34
    2.784,01
    1.185,71
    11.298,66
    8.932,19
    7.730,56
    10.881,46
    8.062,32
    6.042,30
    9.017,12
    6.829,72
    5.660,63
    7.887,12
    6.705,99
    5.278,68
    39.016,72
    30.434,06
    24.712,16
    4.913,74
    5.354,59
    4.603,09
    7.700,54
    21.906,62
  • General & Admin Expenses
    -4.219,34
    -16.124,47
    -2.997,97
    -4.877,68
    -4.242,38
    -4.224,78
    -2.779,64
    -2.743,05
    -1.406,22
    -1.768,04
    -1.602,32
    -7.391,04
    -1.929,85
    -1.288,53
    -1.879,38
    -1.614,52
    -4.574,00
    -1.885,52
    -6.652,48
    -5.545,62
    -4.536,21
    -3.447,83
    -2.384,82
    -1.634,09
    -1.325,78
    -850,80
    -661,94
    -5.024,99
    -4.653,96
    -3.600,53
    -3.463,60
    -3.153,87
    -3.125,23
    -3.618,08
    -3.076,28
    -2.334,68
    -3.261,86
    -2.637,77
    -2.026,74
    -15.504,24
    -13.526,62
    -11.087,18
    -1.883,56
    -2.667,85
    -1.959,43
    -2.894,40
    -8.623,90
  • Operating Profit before Provision
    7.775,18
    28.366,14
    7.707,29
    6.746,64
    6.623,52
    6.497,28
    8.498,71
    3.764,26
    2.885,22
    2.875,16
    2.321,93
    11.772,82
    2.821,17
    2.114,68
    3.195,68
    1.892,57
    6.911,08
    1.690,05
    8.762,00
    5.942,18
    5.617,75
    4.922,05
    5.426,08
    3.105,98
    2.772,57
    1.933,21
    523,77
    6.273,67
    4.278,22
    4.130,03
    7.417,86
    4.908,45
    2.917,07
    5.399,05
    3.753,43
    3.325,95
    4.625,26
    4.068,22
    3.251,94
    23.512,48
    16.907,44
    13.624,99
    3.030,18
    2.686,74
    2.643,66
    4.806,14
    13.282,73
    Provision for credit losses
    -5.523,71
    -18.893,64
    -5.186,55
    -4.528,17
    -4.339,73
    -4.012,70
    -6.013,04
    -2.513,83
    -1.403,83
    -1.810,86
    -807,37
    -6.482,86
    -1.073,09
    -1.675,44
    -2.872,86
    -27,10
    -3.521,16
    -1.117,50
    -4.542,13
    -1.316,62
    -2.012,28
    -2.553,52
    -3.397,84
    -1.993,49
    -2.031,69
    -1.121,67
    0
    -3.028,20
    -2.301,55
    -1.716,56
    -5.555,96
    -2.478,19
    -499,30
    -3.982,77
    -2.503,23
    -2.481,65
    -2.348,20
    -1.990,74
    -978,83
    -14.847,31
    -9.198,82
    -5.676,33
    -1.046,94
    -2.172,25
    -694,88
    -2.945,92
    -6.985,70
  • Profit before tax
    2.251,47
    9.472,5
    2.520,74
    2.218,47
    2.283,79
    2.484,58
    2.485,67
    1.250,43
    1.481,38
    1.064,30
    1.514,55
    5.289,96
    1.748,09
    439,25
    322,83
    1.865,47
    3.389,92
    572,55
    4.219,87
    4.625,57
    3.605,47
    2.368,54
    2.028,25
    1.112,49
    740,88
    811,53
    523,77
    3.245,46
    1.976,68
    2.413,47
    1.861,90
    2.430,27
    2.417,77
    1.416,27
    1.250,20
    844,30
    2.277,07
    2.077,48
    2.273,12
    8.665,18
    7.708,61
    7.948,66
    1.983,24
    514,49
    1.948,79
    1.860,22
    6.297,03
    Tax For the Year
    -450,13
    -1.930,67
    -496,01
    -493,36
    -473,46
    -499,29
    -464,56
    -301,03
    -342,87
    -232,77
    -368,92
    -1.238,95
    -443,74
    -98,03
    -51,51
    -463,49
    -817,98
    -125,54
    -1.020,27
    -864,85
    -787,97
    -371,21
    -496,83
    -110,78
    -180,89
    -210,36
    -162,69
    -495,34
    -412,39
    -550,44
    -378,90
    -440,86
    -400,50
    -438,63
    -238,46
    -212,88
    -428,15
    -394,92
    -408,08
    -1.719,59
    -1.479,76
    -1.571,90
    -397,38
    -110,17
    -404,07
    -403,03
    -1.311,37
    Minority Interest
    -33,67
    -183,96
    -55,37
    -11,02
    -57,29
    -72,73
    -42,93
    -4,50
    -6,10
    -3,83
    -4,11
    -20,30
    0,48
    -3,71
    -5,81
    -7,38
    -1,12
    11,87
    9,55
    -3,02
    0
    0
    -1,91
    0
    0
    0
    0
    -68,57
    -25,70
    -45,73
    22,11
    -23,44
    -7,60
    -85,64
    -16,51
    -14,97
    -25,24
    -23,28
    -10,39
    -158,88
    -91,31
    -554,49
    -11,86
    -9,09
    -8,24
    -8,09
    -37,78
  • Net Profit For the Year
    1.767,67
    7.357,87
    1.969,36
    1.714,09
    1.753,04
    1.912,56
    1.978,18
    944,90
    1.132,41
    827,69
    1.141,53
    4.030,71
    1.304,82
    337,51
    265,51
    1.394,60
    2.570,82
    458,88
    3.209,16
    3.757,69
    2.817,50
    1.997,33
    1.529,51
    1.001,71
    559,99
    601,17
    361,08
    2.681,56
    1.538,59
    1.817,31
    1.505,11
    1.965,97
    2.009,67
    892,01
    995,24
    616,46
    1.823,68
    1.659,28
    1.854,65
    6.786,71
    6.137,55
    5.822,26
    1.574,00
    395,23
    1.536,48
    1.449,10
    4.947,89
Yearly
Quarterly
Unitx 1,000,000,000
  • x 1,000,000,000
  • x 1,000,000
Unit: VND
CASH FLOW
  • Quý 2/2019
    Năm 2018
    Quý 1/2019
    Quý 4/2018
    Quý 3/2018
    Quý 2/2018
    Quý 1/2018
    Quý 4/2013
    Quý 3/2013
    Quý 2/2013
    Quý 1/2013
    Năm 2013
    Quý 2/2012
    Quý 1/2012
    Năm 2012
    Quý 3/2011
    Năm 2011
    Năm 2010
    Năm 2009
    Năm 2008
    Năm 2006
    Năm 2005
    Năm 2004
    Năm 2003
    Quý 4/2017
    Quý 4/2016
    Quý 3/2017
    Quý 3/2016
    Quý 2/2017
    Quý 2/2016
    Quý 1/2017
    Quý 1/2016
    Năm 2017
    Năm 2016
    Quý 4/2015
    Quý 3/2015
    Quý 2/2015
    Quý 1/2015
    Năm 2015
    Quý 2/2014
    Quý 1/2014
    Năm 2014
    Operating profit before changes in working capital
    8.172,92
    28.780.41
    6.941,07
    7.997,92
    6.519,86
    6.819,49
    7.033,56
    3.251,62
    893,18
    2.415,54
    2.403,07
    9.417,06
    2.244,93
    1.858,34
    6.177,01
    5.377,60
    8.331,50
    5.432,47
    3.094,19
    5.328,12
    4.226,34
    2.309,81
    1.846,93
    1.188,07
    9.385,42
    6.295,63
    5.549,78
    4.743,77
    6.937,37
    4.080,85
    4.879,47
    3.466,54
    26.787,50
    19.307,21
    4.101,25
    3.503,97
    4.026,84
    1.737,10
    13.418,40
    2.232,69
    2.360,36
    11.759,44
    Working Capital Change
    12.323,72
    9.329,45
    -23.601,97
    22.195,19
    -30.257,95
    3.003,84
    -3.860,43
    335,90
    -5.467,89
    -827,27
    -586,14
    -6.139,47
    -15.223,49
    -7.290,73
    -12.152,38
    -2.068,87
    -12.398,48
    8.748,38
    -4.176,26
    6.733,51
    20.059,15
    -7.340,38
    4.177,19
    -1.423,78
    10.703,29
    6.588,72
    7.666,60
    -8.929,71
    6.744,96
    16.662,21
    -16.496,78
    -22.458,82
    9.180,84
    -8.652,31
    -15.746,03
    6.299,39
    24.569,60
    -20.464,62
    -6.702,48
    -5.199,93
    1.555,52
    433,90
  • Net Cash Flows from Operating Activities before BIT
    20.496,65
    19.451,47
    -16.660,90
    30.193,11
    -23.738,09
    9.823,33
    3.173,13
    3.587,52
    -4.574,71
    1.588,28
    1.816,93
    3.277,60
    -12.978,56
    -5.432,40
    -5.975,37
    3.308,73
    -4.066,98
    14.180,85
    -1.082,06
    12.061,63
    24.285,49
    -5.030,58
    6.024,12
    -235,71
    20.088,70
    12.884,34
    13.216,38
    -4.185,94
    13.682,33
    20.743,07
    -11.617,31
    -18.992,28
    35.968,34
    10.654,91
    -11.644,78
    9.803,36
    28.596,44
    -18.727,52
    6.715,92
    -2.967,25
    3.915,88
    12.193,34
    Business Income Tax paid
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    Payment from reserves
    -0,18
    -0,51
    0
    -0,14
    0
    -0,19
    -0,19
    -0,24
    -0,29
    0
    0
    -0,53
    0
    0
    0
    -0,42
    0
    -728,64
    -542,33
    -287,24
    0
    0
    0
    0
    -0,20
    -0,15
    -0,19
    -0,17
    -0,20
    0
    0
    -0,08
    -0,59
    -0,44
    -0,16
    -0,19
    -0,16
    0
    -0,51
    -0,20
    0
    -0,68
  • Net Cash flows from operating activities
    20.496,47
    19.450,96
    -16.660,90
    30.192,96
    -23.738,09
    9.823,14
    3.172,94
    3.587,28
    -4.575,00
    1.588,28
    1.816,93
    3.277,07
    -12.978,56
    -5.432,40
    -5.975,37
    3.308,31
    -4.066,98
    13.452,21
    -1.624,40
    11.774,39
    24.285,49
    -5.030,58
    6.024,12
    -235,71
    20.088,50
    12.884,19
    13.216,19
    -4.186,11
    13.682,13
    20.743,07
    -11.617,31
    -18.992,36
    35.967,75
    10.654,47
    -11.644,94
    9.803,17
    28.596,28
    -18.727,52
    6.715,40
    -2.967,45
    3.915,88
    12.192,66
    Gain on Dividend
    95,14
    192,67
    4,9
    51,86
    95,07
    35,07
    10,67
    111,47
    33,98
    82,80
    -430,58
    -201,87
    31,68
    -295,09
    77,24
    -1.110,70
    -1.749,35
    765,18
    82,23
    -659,13
    -74,15
    -29,78
    32,56
    1,90
    33,92
    93,11
    418,47
    -689,58
    1.002,09
    210,18
    20,30
    1.686,93
    1.471,51
    1.296,16
    72,47
    127,02
    -200,96
    229,05
    190,56
    133,06
    31,38
    150,50
    Purchase of fixed assets
    9,78
    1.114,4
    -142,39
    1.804,82
    -172,76
    -187,72
    -329,94
    -468,13
    -786,31
    69,80
    -282,56
    -1.467,29
    -6,53
    -11,63
    -1.172,43
    -124,52
    -597,54
    -1.212,29
    -537,52
    -703,87
    -919,91
    -386,21
    -364,74
    -179,43
    -206,26
    -731,84
    -326,21
    -460,72
    -229,68
    -506,88
    -421,55
    -502,81
    -1.438,15
    -2.298,62
    -269,71
    -296,40
    -189,35
    -424,37
    -1.079,97
    -450,29
    -370,33
    -1.383,67
  • Net Cash Flows from Investing Activities
    104,92
    1307,07
    -137,48
    1.856,69
    -77,70
    -152,65
    -319,27
    -356,66
    -752,34
    152,60
    -713,13
    -1.669,16
    25,15
    -306,72
    -1.095,19
    -1.235,22
    -2.346,90
    -447,11
    -455,29
    -1.363,00
    -994,05
    -415,99
    -332,18
    -177,53
    -172,34
    -638,74
    92,26
    -1.150,30
    772,41
    -296,70
    -401,26
    1.184,11
    33,36
    -1.002,45
    -197,24
    -169,37
    -390,30
    -195,31
    -889,42
    -317,23
    -338,95
    -1.233,17
    Increase in charter captial
    0
    0
    0
    0
    0
    0
    0
    0
    3.668,32
    0
    0
    2.670,56
    0
    0
    0
    44,55
    0
    3.614,80
    0
    0
    62,39
    44,55
    0
    96,30
    0
    0
    0
    0
    223,91
    0
    0
    0
    223,95
    0
    0
    127,74
    0
    0
    1.187,25
    0
    0
    0
    Other financing activities
    -17,81
    -92,6
    0
    -92,61
    0
    0
    0
    0
    -532,44
    0
    0
    -532,90
    0
    0
    0
    0
    -1.652,15
    0
    1.741,25
    863,22
    -127,10
    -4,46
    -26,08
    -47,15
    -10,38
    -2.930,52
    -2.469,78
    -0,02
    -11,45
    -9,85
    0
    0
    -2.546,17
    -2.940,38
    -59,38
    -2.762,22
    -121,56
    0
    -2.883,91
    0
    0
    -2.389,52
  • Cash flows from financial activities
    -17,81
    -92,6
    0
    -92,61
    0
    0
    0
    0
    3.135,88
    0
    0
    2.137,66
    0
    0
    0
    44,55
    -1.652,15
    3.614,80
    1.741,25
    863,22
    -64,71
    40,09
    -26,08
    49,15
    -10,38
    -2.930,52
    -2.469,78
    -0,02
    212,46
    -9,85
    0
    0
    -2.322,21
    -2.940,38
    -59,38
    -2.634,48
    -121,56
    0
    -1.696,66
    0
    0
    -2.389,52
  • Net increase/decrease in cash and cash equivalents
    20.583,57
    20.665,42
    -16.798,38
    31.957,04
    -23.815,79
    9.670,50
    2.853,67
    3.230,61
    -2.191,45
    1.740,88
    1.103,80
    3.745,57
    -12.953,41
    -5.739,11
    -7.070,56
    2.117,64
    -8.066,03
    16.619,91
    -338,43
    11.274,61
    23.226,72
    -5.406,47
    5.665,86
    -364,09
    19.905,78
    9.314,94
    10.838,67
    -5.336,42
    14.667,00
    20.436,52
    -12.018,57
    -17.808,25
    33.678,90
    6.711,63
    -11.901,56
    6.999,32
    28.084,41
    -18.922,83
    4.129,33
    -3.284,68
    3.576,92
    8.569,97
    Cash and cash equivalents
    104.608,72
    100.741,68
    121.407,10
    89.450,06
    113.265,85
    103.595,35
    100.741,68
    38.540,39
    40.731,85
    38.990,97
    37.887,18
    37.887,18
    44.957,73
    48.919,27
    44.957,73
    56.985,30
    56.985,30
    40.365,39
    40.703,83
    29.429,22
    12.805,92
    8.897,84
    3.231,98
    3.596,07
    80.549,87
    53.260,70
    69.711,21
    58.597,12
    53.503,22
    38.160,61
    65.521,79
    55.968,85
    65.521,79
    55.806,15
    67.840,94
    60.841,63
    31.279,88
    50.202,71
    50.202,71
    45.209,66
    41.632,74
    41.632,74
    Foreign exchange differences Adjustment
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    0
    1.540,99
    0
    0
    0
    1.540,99
    3.004,01
    0
    0
    1.477,34
    0
    1.477,34
    0
    0
    0
  • Cash and Cash Equivalents at the end of period
    125.192,29
    121.407,1
    104.608,72
    121.407,10
    89.450,06
    113.265,85
    103.595,35
    41.771,01
    38.540,39
    40.731,85
    38.990,97
    41.632,74
    32.004,32
    43.180,16
    37.887,18
    59.102,94
    48.919,27
    56.985,30
    40.365,39
    40.703,83
    36.032,64
    3.491,37
    8.897,84
    3.231,98
    100.455,65
    62.575,64
    80.549,87
    53.260,70
    69.711,21
    58.597,12
    53.503,22
    38.160,61
    100.741,68
    65.521,79
    55.939,39
    67.840,94
    60.841,63
    31.279,88
    55.809,38
    41.924,98
    45.209,66
    50.202,71
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