TSG

Thông tin Tín hiệu Đường sắt Sài Gòn ·UPCOM ·2025Q4

▲ Slightly positive

Price
10,000
Latest close
30 Mar 2026
P/E
P/B
EPS
BVPS
ROE 16.0%
ROA 6.7%
Profit Margin 3.3%
Asset Turnover 2.07x
Equity Mult. 2.38x

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

What Is Changing

On a Năm 2025 basis, TSG posted slightly higher profit versus the same period, but the increase is thin and not yet paired with clear improvement in revenue or margins — the growth momentum has held across consecutive periods. The point still to be proven is whether this profit level holds without further revenue momentum.

TTM REVENUE
VND 211bn
+20.5%YoY
NET MARGIN
3.25%
−0.5ppYoY
TTM NET PROFIT
VND 7bn
+3.2%YoY

Quarterly snapshot data is not available yet.

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 3.25% −0.5pp
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.

Inventory ended the period at 25.6bn, roughly 22.7% of total assets.

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

Working Capital Drivers

TTM YoY · Prior -> TTM

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 -> TTM

Receivables
Inventory
Payables
Cash Conversion Cycle

Is financial risk significant?

High leverage combined with negative operating cash flow — this area needs close monitoring.

Statement Data

Item 2025 2024 2023 2022
Net Revenue
211.2 175.3 241.3 292.0
Cost of Goods Sold
183.3 148.4 199.5 254.9
Gross Profit
27.8 26.9 41.8 37.1
Financial Expenses
0.4 0.5 0.2 0.4
Selling Expenses
0.0 0.0 0.0
General and Administrative Expenses
18.7 18.0 32.5 26.1
Operating Profit
8.9 8.7 9.6 11.0
Profit Before Tax
8.9 8.6 8.7 8.3
Net Income
6.9 6.7 6.7 6.3
Profit Attributable to Parent
6.9 6.7 6.7 6.3
Earnings per Share
1,354.00 1,302.00 1,484.00 1,417.00

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