Development Investment Construction Joint Stock financials at a glance

Year Year 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
₫1.63T ₫1.19T ₫770.10B ₫768.86B ₫753.02B ₫691.03B ₫655.23B ₫1.15T ₫1.59T ₫2.35T ₫2.12T ₫2.49T ₫2.57T ₫1.90T ₫1.03T ₫0.00M
GM % Gross Margin %
43.49% 50.83% 30.30% 23.83% 21.61% 21.74% 25.03% 27.66% 23.04% 24.08% 30.28% 25.75% 66.24% 33.34% 23.75% 0.00%
OM Operating Margin
35.96% 39.03% 11.57% 3.85% 3.15% 5.31% -0.75% 14.04% 13.02% 13.39% 14.41% 13.92% 52.55% 18.79% 4.65% 0.00%
EPS Earnings Per Share
₫1.13k ₫350.01 ₫61.51 ₫23.31 ₫764.72 ₫853.97 ₫1.37k ₫1.57k ₫239.89 ₫205.00 ₫0.00
Div. Dividends
₫0.00 ₫404.71 ₫122.77 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00 ₫0.00
PR % Payout Ratio %
0 35.69% 35.08% 0 0 0 0 0 0 0 0 0.00% 0 0 0 0
Sha. Shares
236.05m 230.93m 236.05m 232.05m 232.05m 232.05m 257.88m 257.88m 265.11m 265.11m 314.94m 487.12m 341.26m 499.89m 0m 609.85m
OCF Operating Cash Flow
₫-446744.58M ₫-346955.78M ₫-516568.64M ₫-214416.13M ₫-203254.25M ₫-43381.30M ₫-370143.60M ₫-365207.51M ₫-262976.31M ₫430.58B ₫-245407.25M ₫-504296.44M ₫-1966481.28M ₫-2205947.00M ₫2.86T ₫0.00M
FCF Free Cash Flow
₫-456476.18M ₫-373324.42M ₫-546769.17M ₫-223667.80M ₫-231831.94M ₫-57764.93M ₫-388891.51M ₫-386635.98M ₫-280861.73M ₫375.09B ₫-295311.85M ₫-515877.28M ₫-1992470.68M ₫-2245685.08M ₫2.84T ₫0.00M
FCFS Free Cash Flow Per Share
₫-2261.09 ₫-1617.82 ₫-2356.26 ₫-963.89 ₫-999.08 ₫-246.90 ₫-1602.53 ₫-1553.13 ₫-1059.42 ₫1.34k ₫-978.82 ₫-1053.59 ₫-3673.90 ₫-3682.34 ₫4.65k ₫0.00