Unit: 1.000.000đ
  2019 2020 2021 2022 2023
I. Cash flows from operating activities
- Cash received from interst income and similar income 7,596,349 9,066,391 8,428,001 8,808,777 11,539,198
- Interest expense and similar expenses paid -6,675,098 -7,673,840 -7,533,736 -7,745,018 -9,497,434
- Cash received from services provided 72,725 59,761 64,859 91,130 104,852
- Difference between cash received and cash paid from operating activities (foreign currency, gold and securities) 1,311,402 1,233,966 1,387,713 1,218,992 1,636,782
- Other cash received 15,030 -10,824 -77,612 -50,056 -3,170
- Cash received from absolved debts which were covered by risk provisions 66,211 75,775 158,629 147,381 92,723
- Cash paid to employees and administration actitivities -1,023,352 -1,157,051 -1,269,903 -1,550,268 -1,933,784
- Income tax paid -179,585 -159,699 -182,810 -183,320 -170,915
Cashflow from operating activities before changes in operating assests and working capital 1,183,682 1,434,479 975,141 737,618 1,768,252
1. Changes in operating assets
- Increase/(Decrease) in placements with and loans to other credit institutions -457,781 -143,215 -1,314,708 1,058,125 -902,684
- Increase/(Decrease) in trading securities and securities investment -1,061,394 -187,819 -1,391,260 3,115,581 -13,718,244
- Increase/(Decrease) in derivatives and other financial assets 55,250 17,901 4,642 -97,926 103,023
- Increase/(Decrease) in loans and advances to customers -8,953,898 -6,507,110 -5,157,956 -9,522,221 -5,733,375
- Increase/(Decrease) in provision to compensate for damages -4,758 -453,133 11,178 -109,748 -6,133
- Increase/(Decrease) in other operating assets -66,933 -54,524 10,600 -461,346 235,853
2. Changes in operating liabilities
- Increase/(Decrease) in borrowings from the government and State Bank of Vietnam 83,556 -48,510 -52,033 -42,920 -28,468
- Increase/(Decrease) in placements and borrowings from other credit institutions 1,252,566 -1,426,485 -4,145,396 2,003,571 68,614
- Increase/(Decrease) in deposits from customers 3,628,849 10,278,952 6,998,176 3,464,203 21,572,322
- Increase/(Decrease) in valuapapers issued 4,800,406 -244,419 -575,870 2,288,516 -1,800,531
- Increase/Decrease in trusted funds which the bank has to incur credit risk -6,880 -2,467 551 -551 6,687
- Increase/(Decrease) in derivatives and funds received from other institutions 0 0 0 97,173
- Increase/(Decrease) in other operating liabilities -95,893 -114,140 -249,807 -118,296 -6,382
- Cash paid from funds of credit institution 86,494 111,973 87,773 108,563
Net cash flows from operating activities 443,266 2,661,483 -4,798,969 2,423,169 1,656,107
II. Cash flows from investment activities
- Money decrease due to selling sub-company 0 0 0
- Purchase of fixed assets -46,735 -84,276 -70,091 -41,465 -337,318
- Proceeds from disposal of fix assets 0 0 966 -2,821 0
- Payment on disposal of fixed assets 0 -3,177 0 10,778 -829
- Purchase of investment properties 0 0 -10,778
- Proceeds from disposal of investment properties 0 4,119 0
- Payment on disposal of investment properties 0 0 0
- Investment in other entities 0 0 0
- Proceeds from disinvestment in other entities 0 75,000 32,815
- Dividends and interest received 15,297 18,110 1,978 6,907 27,639
Net cash flows from investment activities -31,438 9,776 -45,110 -26,601 -310,508
III. Cash flows from financing activities
- Proceeds from share issuances 1,000,000 585,000 446,355 602,508 300,294
- Capital form issuances of long-term bonds which are considered as the tier 2 and long-term debts 0 0 0 235,400 1,025,000
- Repayment of long-term bonds which are considered as the tier 2 and long-term debts 0 0 0
- Dividends paid -984,925 -585,000 -446,355 -602,508
- Purchase treasury shares 0 0 0
- Proceeds from reissue of treasury shares 0 0 0
Net cash flows from financing activities 15,075 0 0 235,400 1,325,294
IV. Net cash flows of the year 426,903 2,671,259 -4,844,079 2,631,968 2,670,893
V. Cash and cash equivalents at the beginning of year 12,699,354 13,584,038 15,797,516 10,953,437 12,535,431
VI. Effect of foreign exchange differences 0 0 0
VII. Cash and cash equivalents at the end of year 13,126,257 15,797,516 10,953,437 13,585,405 15,206,324