AVF

Việt An ·UPCOM ·2020Q3

Price
Latest close
P/E
P/B
EPS
BVPS -45,240
ROE
ROA
Profit Margin
Asset Turnover
Equity Mult.

TTM · Applied to: EPS, ROE, ROA, Net Margin, Asset Turnover, Debt/Equity

Metric Q3'20 Q2'20 Q1'20
Revenue 7.5 0.2 12.2
Growth +3851% -98%
Net Income -17.1 -28.1 -28.4
Net Margin -226.91% -14770.80% -232.91%

Financial Highlights

Detailed analysis of each financial dimension

Is the profit sustainable?

Margins are broadly flat — earnings quality is the factor to watch.

very positive positive stable watch under pressure

What is driving the margin?

Track net margin changes and the operating components against the same period last year.

Profitability trend

Net Margin -369.74%
Gross Margin
SG&A / Revenue

Is capital being used efficiently?

Evaluate capital, asset, and working-capital efficiency.

Balance Sheet

Focus on inventory, liability structure, and year-end cash balance.

Over the last 12 months, working capital released 0.0bn of cash.

Working Capital Drivers

TTM YoY · Prior -> 2020Q3

Receivables were broadly stable → neutral CFO:
Inventories were broadly stable → neutral CFO:
Payables were broadly stable → neutral CFO:

Working Capital Efficiency

Track receivable, inventory, and payable turns to judge working-capital efficiency.

Track DSO, DIO, DPO components to evaluate working capital turnover efficiency.

Working Capital Efficiency

TTM YoY · Prior -> 2020Q3

Receivables
Inventory
Payables
Cash Conversion Cycle

Is financial risk significant?

Check leverage, liquidity, and cash-flow conversion.

Leverage & Liquidity

Track net leverage, interest coverage, and the liquidity buffer on the balance sheet.

At present, short-term debt accounts for 100.0% of total debt, cash equals 0.0% of debt, and total debt stands at 1,006.3bn.

Watchpoints

Short-term refinancing pressure is meaningful

Short-term debt accounts for 100.0% of total debt, raising near-term refinancing needs.

Cash buffer is thin relative to debt

Cash / debt stands at 0.0%, leaving limited liquidity buffer to monitor.

Leverage and liquidity trend

Net Debt / Equity -0.51x
Interest Coverage
Cash / Debt 0.0%
Short-term Debt / Total Debt 100.0%

TTM YoY · Prior -> 2020Q3

Investment Takeaway

The business does not yet provide a clear enough conclusion — not due to lack of data, but because the industry's nature makes many indicators prone to cyclical distortion. The reasonable reading is to keep the thesis in wait-for-confirmation mode. The brighter spot is balance-sheet flexibility, with net cash/equity at about -0.51x. The main risk still sits in leverage and liquidity, with interest coverage at 0.00x.

Improvement: the balance sheet remains flexible, with a net cash position equivalent to 0.51x of equity.

Key risk: leverage and liquidity still require discipline, with interest coverage only at 0.00x.

Statement Data

Item 2020
Net Revenue
19.9
Cost of Goods Sold
0.0
Gross Profit
1.0
Financial Expenses
-68.0
Selling Expenses
0.0
General and Administrative Expenses
-4.9
Operating Profit
-72.0
Profit Before Tax
-73.6
Net Income
-73.6
Profit Attributable to Parent
-73.6
Earnings per Share
-1,987.00

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