OSEBX1,423.56+0.84%
EQNR284.60+4.20%
DNB198.35-1.15%
MOWI172.80+0.45%
Brent$71.24-0.32%
EUR/USD1.0824-0.14%
DXY104.18+0.08%
INDICATIVE · SAMPLE DATA
CNT55

CNT Group Corp

Construction MaterialsVerified

CNT Group Corp maintains a strong capital structure with a debt-to-equity ratio of 0.01, indicating minimal leverage and a conservative approach to financing. The company's liquidity position is assessed as medium, with a current ratio of 3.51, suggesting it has sufficient short-term assets to cover its liabilities. However, the company reported negative operating cash flow of -40,679,250,610.0, which raises concerns about its ability to fund operations from core business activities. In terms of profitability, CNT Group Corp demonstrates a return on equity (ROE) of 10.7% and a return on assets (ROA) of 7.73%. These figures are strong and suggest the company is effectively utilizing its equity and assets to generate returns. The company's operating income of 81,029,975,540.0 and net income of 67,576,045,880.0 further support its profitability. The company's revenue is concentrated in the construction materials segment, with no disclosed geographic diversification. This concentration may expose the company to regional economic fluctuations and regulatory changes. The absence of cash and equivalents also suggests a reliance on credit or asset sales to fund operations. Looking ahead, the company is expected to maintain its growth trajectory, supported by a strong revenue base of 105,419,159,500.0. However, the negative operating cash flow and the absence of cash reserves may pose challenges in sustaining this growth without external financing. The company's capital expenditure of -934,830,300.0 indicates ongoing investment in infrastructure, which could support future revenue growth. The risk assessment highlights a medium liquidity risk, primarily due to the negative net cash position after accounting for total debt. The dilution risk is assessed as low, with no immediate pressure for share issuance. The company's conservative debt levels and strong equity position mitigate credit risk, but the negative operating cash flow introduces some uncertainty. Recent financial filings and transcripts do not indicate any major events that would significantly impact the company's operations or financial health. The company continues to operate within its established business model, with no significant changes in strategy or market position.

30-day price · CNT-700.00 (-11.1%)
Low$5600.00High$6900.00Close$5600.00As of20 May, 00:00 UTC
Profile
CompanyCNT Group Corp
TickerCNT.HNO
SectorBasic Materials
BusinessMineral Resources
Industry groupMineral Resources
IndustryConstruction Materials
AI analysis

Business. CNT Group Corp is a construction materials company that generates revenue primarily through the production and sale of mineral resources.

Classification. The company is classified under the Basic Materials economic sector, Mineral Resources business sector, and Construction Materials industry with a confidence level of 0.92.

CNT Group Corp maintains a strong capital structure with a debt-to-equity ratio of 0.01, indicating minimal leverage and a conservative approach to financing. The company's liquidity position is assessed as medium, with a current ratio of 3.51, suggesting it has sufficient short-term assets to cover its liabilities. However, the company reported negative operating cash flow of -40,679,250,610.0, which raises concerns about its ability to fund operations from core business activities. In terms of profitability, CNT Group Corp demonstrates a return on equity (ROE) of 10.7% and a return on assets (ROA) of 7.73%. These figures are strong and suggest the company is effectively utilizing its equity and assets to generate returns. The company's operating income of 81,029,975,540.0 and net income of 67,576,045,880.0 further support its profitability. The company's revenue is concentrated in the construction materials segment, with no disclosed geographic diversification. This concentration may expose the company to regional economic fluctuations and regulatory changes. The absence of cash and equivalents also suggests a reliance on credit or asset sales to fund operations. Looking ahead, the company is expected to maintain its growth trajectory, supported by a strong revenue base of 105,419,159,500.0. However, the negative operating cash flow and the absence of cash reserves may pose challenges in sustaining this growth without external financing. The company's capital expenditure of -934,830,300.0 indicates ongoing investment in infrastructure, which could support future revenue growth. The risk assessment highlights a medium liquidity risk, primarily due to the negative net cash position after accounting for total debt. The dilution risk is assessed as low, with no immediate pressure for share issuance. The company's conservative debt levels and strong equity position mitigate credit risk, but the negative operating cash flow introduces some uncertainty. Recent financial filings and transcripts do not indicate any major events that would significantly impact the company's operations or financial health. The company continues to operate within its established business model, with no significant changes in strategy or market position.
Key takeaways
  • CNT Group Corp has a strong return on equity (10.7%) and return on assets (7.73%), indicating effective use of capital.
  • The company maintains a conservative debt-to-equity ratio of 0.01, suggesting a low financial risk profile.
  • Negative operating cash flow of -40,679,250,610.0 raises concerns about the company's ability to fund operations from core business activities.
  • The company's revenue is concentrated in the construction materials segment, with no disclosed geographic diversification.
  • The absence of cash and equivalents suggests a reliance on credit or asset sales to fund operations.
  • The company's capital expenditure of -934,830,300.0 indicates ongoing investment in infrastructure, which could support future revenue growth.
  • --
  • ## RATIONALES
Financial snapshot
PeriodHA-latest
CurrencyVND
Revenue$105.42B
Gross profit$82.53B
Operating income$81.03B
Net income$67.58B
R&D
SG&A
D&A
SBC
Operating cash flow-$40.68B
CapEx-$934.8M
Free cash flow$67.56B
Total assets$874.63B
Total liabilities$243.16B
Total equity$631.48B
Cash & equivalents$0.00
Long-term debt$4.11B
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$305.92B$117.85B$106.43B$101.01B
FY-3$411.06B$236.21B$196.74B$194.77B
FY-2$364.10B$250.74B$214.84B$207.70B
FY-1$233.27B$164.14B$134.95B$115.78B
FY0$55.29B$22.03B$16.90B$9.23B
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$864.91B$154.66B
FY-3$955.65B$351.48B$10.00B
FY-2$908.08B$565.96B$28.00B
FY-1$844.16B$697.11B$180.00B
FY0$776.16B$703.95B$154.50B
PeriodOCFCapExFCFSBC
FY-4$220.34B-$9.02B$101.01B
FY-3$145.79B-$5.76B$194.77B
FY-2-$49.90B-$10.20B$207.70B
FY-1-$156.34B-$18.63B$115.78B
FY0-$273.88B-$510.1M$9.23B
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$105.42B$81.03B$67.58B$67.56B
FQ-6$58.56B$41.07B$33.76B$22.93B
FQ-5$39.70B$23.85B$20.35B$15.71B
FQ-4$29.59B$18.18B$13.27B$13.58B
FQ-3$6.27B$762.2M$2.61B$3.07B
FQ-2$12.00B$3.23B$972.1M$1.72B
FQ-1$11.63B$5.92B$6.75B$7.31B
FQ0$25.40B$12.12B$6.57B$7.16B
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$874.63B$631.48B$0.00
FQ-6$868.76B$667.29B$0.00
FQ-5$859.42B$683.65B$63.00B
FQ-4$844.16B$697.11B$180.00B
FQ-3$810.68B$699.72B$79.00B
FQ-2$794.43B$690.64B$313.00B
FQ-1$787.97B$697.38B$131.00B
FQ0$776.16B$703.95B$154.50B
PeriodOCFCapExFCFSBC
FQ-7-$40.68B-$934.8M$67.56B
FQ-6-$25.40B-$12.79B$22.93B
FQ-5-$71.01B-$18.49B$15.71B
FQ-4-$156.34B-$18.63B$13.58B
FQ-3-$38.78B-$252.0M$3.07B
FQ-2-$55.20B-$216.2M$1.72B
FQ-1-$107.20B-$376.1M$7.31B
FQ0-$273.88B-$510.1M$7.16B
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$631.48B
Net cash-$4.11B
Current ratio3.5
Debt/Equity0.0
ROA7.7%
ROE10.7%
Cash conversion-60.0%
CapEx/Revenue-0.9%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Mineral Resources · cohort 379 companies
MetricCNTActivity
Op margin76.9%5.2% medp25 -0.7% · p75 12.4%top quartile
Net margin64.1%3.2% medp25 -2.1% · p75 9.0%top quartile
Gross margin78.3%20.1% medp25 12.6% · p75 28.8%top quartile
CapEx / revenue-0.9%-5.0% medp25 -10.5% · p75 -2.2%top quartile
Debt / equity1.0%30.5% medp25 8.5% · p75 73.3%bottom quartile
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod FQ-7 · history via verified-market-data
no public URL
2026-05-02 01:42 UTC#ae993f82
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 16:22 UTCJob: 83a4dbf5