CTG vs VNM (2020)
KEY RATIOS
ROE (%)
CTG
16.13
VNM
33.39
ROA (%)
CTG
1.03
VNM
23.2
Gross Margin (%)
CTG
β
VNM
46.33
Net Margin (%)
CTG
16.47
VNM
18.81
Debt/Equity
CTG
14.7
VNM
0.44
Equity Multiplier
CTG
15.7
VNM
1.44
Balance Sheet
| Item | CTG | VNM |
|---|---|---|
| Total Assets | 1,341,510 | 48,432 |
| Fixed Assets | 10,825 | 13,854 |
| Tangible Fixed Assets | 6,423.2 | β |
| Intangible Fixed Assets | 4,401.8 | β |
| Total Liabilities | 1,256,071 | 14,785 |
| Owner's Equity | 85,439 | 33,647 |
| Current Assets | β | 29,666 |
| Non-Current Assets | β | 18,767 |
| Current Liabilities | β | 14,213 |
| Non-Current Liabilities | β | 572.7 |
Income Statement
| Item | CTG | VNM |
|---|---|---|
| Revenue | 83,677 | 59,723 |
| Profit Attr. to Parent | 13,720 | 11,099 |
| G&A Expenses | -16,069 | -1,958.2 |
| Profit Before Tax | 17,120 | 13,519 |
| Net Profit After Tax | 13,785 | 11,236 |
| Cost of Goods Sold | β | -31,968 |
| Gross Profit | β | 27,669 |
| Selling Expenses | β | -13,447 |
| Operating Profit | β | 13,539 |
Cash Flow
| Item | CTG | VNM |
|---|---|---|
| Capex | -715.5 | -1,264.8 |
| Investing Cash Flow | -517.4 | -4,802.0 |
| Financing Cash Flow | -1,881.2 | -5,926.5 |
| Net Change in Cash | 5,447.0 | -548.4 |
| Ending Cash Balance | 160,175 | 2,111.2 |
| Operating Cash Flow | 7,845.6 | 10,180 |
| Dividends Paid | -1,881.2 | -7,927.7 |
| Depreciation | β | 2,208.9 |
| Interest Paid | β | -212.8 |
| Tax Paid | β | -2,286.3 |
| Proceeds From Borrowings | β | 7,769.1 |
| Repayment Of Borrowings | β | -5,753.6 |