Unit: 1.000.000đ
  2019 2020 2021 2022 2023
I. Cashflow from operating activities
1. Proceeds from sales 9,548,284 2,628,836 1,468,505 4,317,475 6,369,342
2. Payment to suppliers -8,533,620 -2,800,298 -1,566,867 -3,775,739 -6,135,700
3. Payroll -300,492 -137,662 -112,024 -91,272 -137,671
4. Interest expense -13,131 -100,697 -89,254 -74,590 -40,129
5. Business income tax paid -15,745 -9,190 -1,954 -210
6. VAT Paid
7. Other receipts from operating activities 1,927,938 1,161,844 1,286,569 516,537 1,255,252
8. Other payments from oprerating activities -2,716,124 -275,270 -1,864,334 -790,006 -1,481,862
Net cashflow from operating activities -102,890 467,563 -879,359 102,404 -170,979
II. Cashflow from investing activities
1. Purchases of fixed assets -27,678 -19,409 -43,299 -2,228 -908
2. Proceeds from disposals of fixed assets -179 1,958 203 450
3. Purchases of debt instruments of other entities -700,300 -730,000 -215,242 -10,000 -46,395
4. Proceeds from sales of debt instruments of other entities 3,765 757,803 0
5. Investment in other entities -37,188 -6,528
6. Proceeds from disinvestment in other entities 2,600 28,211 501,117
7. Dividends and interest received 2,118 29,295 64,161 506 634
Net cashflow from investing activities -756,862 -724,684 591,837 489,395 -46,218
III. Cashflow from financing activities
1. Proceeds from issue of shares 5,472 28,846 6,500 2,450 71,912
2. Purchase issued shares from other entities -3,632 -2,213
3. Proceeds from borrowings 1,190,832 816,885 1,622,504 465,417 1,362,759
4. Repayments of borrowing -348,917 -662,708 -1,322,333 -1,091,496 -1,205,783
5. Purchases of fixed assets and investment properties
6. Repayments of financial leases
7. Dividends paid -19,661 -534 -123 -4 -9
8. Purchase of funds
Net cashflow from financing activities 824,094 180,276 306,548 -623,633 228,878
Net cashflow of the year -35,658 -76,845 19,025 -31,835 11,681
Cash and cash equivalents at the beginning of year 203,392 167,893 91,231 110,518 77,654
Effect of foreign exchange differences 141 182 262 -1,028 1,160
Cash and cash equivalents at the end of year 167,874 91,231 110,518 77,654 90,496