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INDICATIVE · SAMPLE DATA
TPP.HN55

Tan Phu Viet Nam JSC

Non-Paper Containers & PackagingVerified

Tan Phu Viet Nam JSC maintains a debt-to-equity ratio of 2.07, indicating a capital structure that is significantly leveraged. The company's liquidity position is characterized by a current ratio of 1.04, suggesting that it has just enough current assets to cover its current liabilities. However, the company's free cash flow is negative at -26.47 billion VND, which may limit its ability to fund operations or invest in growth without external financing. In terms of profitability, the company's return on equity is 1.68%, and its return on assets is 0.42%, both of which are below the industry median for the Non-Paper Containers & Packaging sector. This suggests that the company is not generating returns as efficiently as its peers, which could be a concern for investors looking for strong profitability metrics. The company's revenue is primarily concentrated in Vietnam, with no significant international operations disclosed in the available data. This geographic concentration may expose the company to local economic and regulatory risks, which could impact its revenue stability. Looking at the growth trajectory, the company's capital expenditure is -72.38 billion VND, indicating a reduction in investment in new assets or facilities. This may suggest a conservative approach to growth or a focus on maintaining existing operations rather than expanding. The company's operating cash flow is positive at 145.68 billion VND, which is a positive sign for its ability to generate cash from operations. The risk assessment indicates a medium liquidity risk, with the company's net cash position being negative after subtracting total debt. The dilution risk is assessed as low, suggesting that the company is not expected to issue additional shares in the near term that would dilute existing shareholders. However, the company's high debt levels may increase its financial risk, particularly if interest rates rise or if there is a downturn in the industry. Recent events, as reflected in the financial data, show that the company has a strong operating cash flow but is facing challenges with free cash flow and capital expenditures. The company's financial health is also impacted by its high debt levels, which could affect its ability to respond to market changes or invest in new opportunities.

30-day price · TPP.HN-1100.00 (-10.0%)
Low$9200.00High$11000.00Close$9900.00As of29 May, 00:00 UTC
Profile
CompanyTan Phu Viet Nam JSC
TickerTPP.HN
SectorBasic Materials
BusinessApplied Resources
Industry groupApplied Resources
IndustryNon-Paper Containers & Packaging
AI analysis

Business. Tan Phu Viet Nam JSC is a manufacturer and distributor of non-paper containers and packaging products, primarily serving the food and beverage industry in Vietnam.

Classification. The company is classified under the Basic Materials economic sector, Applied Resources business sector, and Non-Paper Containers & Packaging industry with a confidence level of 0.92.

Tan Phu Viet Nam JSC maintains a debt-to-equity ratio of 2.07, indicating a capital structure that is significantly leveraged. The company's liquidity position is characterized by a current ratio of 1.04, suggesting that it has just enough current assets to cover its current liabilities. However, the company's free cash flow is negative at -26.47 billion VND, which may limit its ability to fund operations or invest in growth without external financing. In terms of profitability, the company's return on equity is 1.68%, and its return on assets is 0.42%, both of which are below the industry median for the Non-Paper Containers & Packaging sector. This suggests that the company is not generating returns as efficiently as its peers, which could be a concern for investors looking for strong profitability metrics. The company's revenue is primarily concentrated in Vietnam, with no significant international operations disclosed in the available data. This geographic concentration may expose the company to local economic and regulatory risks, which could impact its revenue stability. Looking at the growth trajectory, the company's capital expenditure is -72.38 billion VND, indicating a reduction in investment in new assets or facilities. This may suggest a conservative approach to growth or a focus on maintaining existing operations rather than expanding. The company's operating cash flow is positive at 145.68 billion VND, which is a positive sign for its ability to generate cash from operations. The risk assessment indicates a medium liquidity risk, with the company's net cash position being negative after subtracting total debt. The dilution risk is assessed as low, suggesting that the company is not expected to issue additional shares in the near term that would dilute existing shareholders. However, the company's high debt levels may increase its financial risk, particularly if interest rates rise or if there is a downturn in the industry. Recent events, as reflected in the financial data, show that the company has a strong operating cash flow but is facing challenges with free cash flow and capital expenditures. The company's financial health is also impacted by its high debt levels, which could affect its ability to respond to market changes or invest in new opportunities.
Key takeaways
  • Tan Phu Viet Nam JSC has a high debt-to-equity ratio, indicating a leveraged capital structure.
  • The company's return on equity and return on assets are below the industry median, suggesting lower profitability.
  • The company's revenue is primarily concentrated in Vietnam, which may expose it to local economic and regulatory risks.
  • The company's free cash flow is negative, which may limit its ability to fund operations or invest in growth without external financing.
  • The company's liquidity position is moderate, with a current ratio of 1.04.
  • # RATIONALES
  • **margin_outlook_rationale**: The company's gross profit margin is 15.92%, which is in line with the industry median, but its operating margin is 1.32%, which is below the industry median, indicating potential cost management issues.
  • **rd_outlook_rationale**: The company's R&D expenditure is not disclosed in the available data, making it difficult to assess its investment in innovation and product development.
Financial snapshot
PeriodHA-latest
CurrencyVND
Revenue$821.95B
Gross profit$130.89B
Operating income$10.85B
Net income$8.86B
R&D
SG&A
D&A
SBC
Operating cash flow$145.68B
CapEx-$72.38B
Free cash flow-$26.47B
Total assets$2.10T
Total liabilities$1.57T
Total equity$526.14B
Cash & equivalents$270.00B
Long-term debt$1.09T
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$1.37T$10.95B$8.24B$32.68B
FY-3$2.11T$24.12B$14.70B-$152.87B
FY-2$2.51T$26.53B$19.98B$62.33B
FY-1$3.17T$54.10B$41.59B-$36.27B
FY0$3.15T$92.53B$229.65B$271.55B
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$1.24T$329.47B
FY-3$1.94T$493.98B$80.00B
FY-2$1.97T$513.96B$170.00B
FY-1$2.41T$555.56B$330.00B
FY0$3.17T$963.81B$450.00B
PeriodOCFCapExFCFSBC
FY-4-$109.95B-$22.19B$32.68B
FY-3-$116.95B-$224.72B-$152.87B
FY-2-$110.00B-$30.09B$62.33B
FY-1$84.65B-$167.09B-$36.27B
FY0-$120.22B-$70.52B$271.55B
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$821.95B$10.85B$8.86B-$26.47B
FQ-6$743.26B$12.01B$9.63B-$34.26B
FQ-5$913.54B$27.16B$19.79B$19.71B
FQ-4$752.71B$12.00B$6.17B-$18.86B
FQ-3$859.13B$30.56B$24.91B$53.08B
FQ-2$737.87B$48.04B$39.82B$62.53B
FQ-1$803.59B$1.93B$158.75B$174.80B
FQ0$756.30B$8.51B$8.89B$2.34B
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$2.10T$526.14B$270.00B
FQ-6$2.14T$535.77B$0.00
FQ-5$2.41T$555.56B$330.00B
FQ-4$2.60T$561.73B$100.00B
FQ-3$2.67T$586.64B$440.00B
FQ-2$2.72T$626.46B$235.30B
FQ-1$3.17T$963.81B$450.00B
FQ0$3.11T$972.69B$370.00B
PeriodOCFCapExFCFSBC
FQ-7$145.68B-$72.38B-$26.47B
FQ-6-$192.68B-$140.48B-$34.26B
FQ-5$84.65B-$167.09B$19.71B
FQ-4-$173.71B-$51.38B-$18.86B
FQ-3-$198.28B-$49.63B$53.08B
FQ-2-$191.05B-$54.89B$62.53B
FQ-1-$120.22B-$70.52B$174.80B
FQ0-$165.28B-$25.13B$2.34B
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$526.14B
Net cash-$819.26B
Current ratio1.0
Debt/Equity2.1
ROA0.4%
ROE1.7%
Cash conversion16.4%
CapEx/Revenue-8.8%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Non-Paper Containers & Packaging · cohort 237 companies
MetricTPP.HNActivity
Op margin1.3%4.7% medp25 1.0% · p75 8.5%below median
Net margin1.1%3.2% medp25 -0.3% · p75 6.5%below median
Gross margin15.9%18.0% medp25 13.3% · p75 24.7%below median
R&D / revenue1.5% medp25 0.9% · p75 2.2%
CapEx / revenue-8.8%-5.9% medp25 -11.5% · p75 -2.7%below median
Debt / equity207.0%40.9% medp25 14.1% · p75 80.1%top 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
2026-05-07 00:50 UTC#165e2837
Source: analysis-pipeline (hybrid)Generated: 2026-05-29 18:41 UTCJob: 5b61db39