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INDICATIVE · SAMPLE DATA
XMC56

Xuan Mai Investment and Construction Corp

Construction MaterialsVerified

Xuan Mai Investment and Construction Corp has a debt-to-equity ratio of 1.69, indicating a relatively high level of leverage. The company's liquidity position is assessed as medium, with a current ratio of 1.13, suggesting it has just enough current assets to cover its current liabilities. However, the company has no cash and equivalents, and its free cash flow is negative at -46,426,102,190 VND, indicating a cash outflow after capital expenditures. The company's profitability is weak, with a return on equity of -0.61% and a return on assets of -0.16%, both significantly below the industry median for construction materials firms. The operating income is negative at -2,455,797,980 VND, and the net income is also negative at -5,275,253,530 VND, reflecting a challenging operating environment. The company's revenue is concentrated in a single business segment, with no disclosed geographic diversification. This lack of diversification increases exposure to regional economic fluctuations and regulatory changes. The operating cash flow is positive at 47,661,441,880 VND, but this is insufficient to cover the free cash outflow, indicating a need for external financing or operational improvements. The company's growth trajectory is uncertain, with no disclosed revenue growth in the current fiscal year. The capital expenditure of -2,199,347,130 VND suggests ongoing investment in infrastructure, but the negative net income and free cash flow indicate that these investments are not yet generating returns. The company's ability to sustain operations and fund future growth is contingent on improving profitability and managing debt levels. The risk assessment highlights liquidity as a medium concern, with the company's net cash position being negative after subtracting total debt. The dilution risk is assessed as low, with no significant dilution expected in the near term. However, the company's high leverage and negative free cash flow suggest a potential need for additional financing, which could lead to future dilution. Recent events and filings do not indicate any major operational or financial changes. The company's financial performance remains a concern, with no significant improvements in profitability or liquidity. The lack of disclosed strategic initiatives or capital restructuring plans suggests that the company may need to implement cost-cutting measures or seek external financing to stabilize its financial position.

30-day price · XMC-200.00 (-2.2%)
Low$8900.00High$9700.00Close$9000.00As of15 May, 00:00 UTC
Profile
CompanyXuan Mai Investment and Construction Corp
TickerXMC.HNO
SectorBasic Materials
BusinessMineral Resources
Industry groupMineral Resources
IndustryConstruction Materials
AI analysis

Business. Xuan Mai Investment and Construction Corp operates in the construction materials industry, primarily engaged in mineral resources, and generates revenue through the production and sale of construction materials.

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.

Xuan Mai Investment and Construction Corp has a debt-to-equity ratio of 1.69, indicating a relatively high level of leverage. The company's liquidity position is assessed as medium, with a current ratio of 1.13, suggesting it has just enough current assets to cover its current liabilities. However, the company has no cash and equivalents, and its free cash flow is negative at -46,426,102,190 VND, indicating a cash outflow after capital expenditures. The company's profitability is weak, with a return on equity of -0.61% and a return on assets of -0.16%, both significantly below the industry median for construction materials firms. The operating income is negative at -2,455,797,980 VND, and the net income is also negative at -5,275,253,530 VND, reflecting a challenging operating environment. The company's revenue is concentrated in a single business segment, with no disclosed geographic diversification. This lack of diversification increases exposure to regional economic fluctuations and regulatory changes. The operating cash flow is positive at 47,661,441,880 VND, but this is insufficient to cover the free cash outflow, indicating a need for external financing or operational improvements. The company's growth trajectory is uncertain, with no disclosed revenue growth in the current fiscal year. The capital expenditure of -2,199,347,130 VND suggests ongoing investment in infrastructure, but the negative net income and free cash flow indicate that these investments are not yet generating returns. The company's ability to sustain operations and fund future growth is contingent on improving profitability and managing debt levels. The risk assessment highlights liquidity as a medium concern, with the company's net cash position being negative after subtracting total debt. The dilution risk is assessed as low, with no significant dilution expected in the near term. However, the company's high leverage and negative free cash flow suggest a potential need for additional financing, which could lead to future dilution. Recent events and filings do not indicate any major operational or financial changes. The company's financial performance remains a concern, with no significant improvements in profitability or liquidity. The lack of disclosed strategic initiatives or capital restructuring plans suggests that the company may need to implement cost-cutting measures or seek external financing to stabilize its financial position.
Key takeaways
  • Xuan Mai Investment and Construction Corp has a high debt-to-equity ratio of 1.69, indicating significant leverage.
  • The company's return on equity and return on assets are negative, reflecting poor profitability.
  • The company has no cash and equivalents and a negative free cash flow, signaling liquidity concerns.
  • Revenue is concentrated in a single business segment, increasing exposure to regional risks.
  • The company's growth trajectory is uncertain, with no disclosed revenue growth in the current fiscal year.
  • The risk assessment highlights liquidity as a medium concern and dilution as low in the near term.
  • --
  • ## RATIONALES
Financial snapshot
PeriodHA-latest
CurrencyVND
Revenue$474.37B
Gross profit$43.19B
Operating income-$2.46B
Net income-$5.28B
R&D
SG&A
D&A
SBC
Operating cash flow$47.66B
CapEx-$2.20B
Free cash flow-$46.43B
Total assets$3.31T
Total liabilities$2.46T
Total equity$858.25B
Cash & equivalents$0.00
Long-term debt$1.45T
Annual history (last 5)
PeriodRevenueOp IncomeNet IncomeFCF
FY-4$1.61T$71.29B$66.35B$36.58B
FY-3$1.97T$76.45B$65.84B$34.69B
FY-2$2.19T$53.51B$45.18B$72.88B
FY-1$1.59T$14.04B$7.82B-$9.89B
FY0$2.01T$27.88B$24.71B-$29.92B
PeriodGross %Op %Net %FCF %
FY-4
FY-3
FY-2
FY-1
FY0
PeriodAssetsEquityCashDebt
FY-4$4.26T$893.99B$7.97B
FY-3$4.24T$873.49B$7.00B
FY-2$3.58T$912.37B$0.00
FY-1$2.94T$867.82B$11.00B
FY0$3.47T$890.29B$14.20B
PeriodOCFCapExFCFSBC
FY-4$353.93B-$28.50B$36.58B
FY-3$74.78B-$34.39B$34.69B
FY-2$133.99B-$7.93B$72.88B
FY-1$356.86B-$3.98B-$9.89B
FY0$243.73B-$45.83B-$29.92B
Quarterly history (last 4)
PeriodRevenueOp IncomeNet IncomeFCF
FQ-7$474.37B-$2.46B-$5.28B-$46.43B
FQ-6$505.51B$6.01B$8.25B$18.85B
FQ-5$291.49B$2.36B$341.3M$3.66B
FQ-4$318.20B$8.13B$4.50B$14.03B
FQ-3$263.68B-$6.83B-$8.05B-$31.33B
FQ-2$566.18B$14.54B$12.64B$12.00B
FQ-1$622.89B$8.04B$6.62B$3.25B
FQ0$555.23B$12.12B$13.51B-$13.83B
PeriodGross %Op %Net %FCF %
FQ-7
FQ-6
FQ-5
FQ-4
FQ-3
FQ-2
FQ-1
FQ0
PeriodAssetsEquityCashDebt
FQ-7$3.31T$858.25B$0.00
FQ-6$3.24T$862.98B$8.00B
FQ-5$3.11T$863.32B$2.00B
FQ-4$2.94T$867.82B$11.00B
FQ-3$3.08T$857.48B$5.00B
FQ-2$3.16T$870.16B$9.00B
FQ-1$3.44T$876.90B$9.00B
FQ0$3.47T$890.29B$14.20B
PeriodOCFCapExFCFSBC
FQ-7$47.66B-$2.20B-$46.43B
FQ-6$352.42B-$3.16B$18.85B
FQ-5$337.67B-$4.68B$3.66B
FQ-4$356.86B-$3.98B$14.03B
FQ-3-$34.08B-$9.44B-$31.33B
FQ-2-$63.15B-$15.61B$12.00B
FQ-1-$86.42B-$20.71B$3.25B
FQ0$243.73B-$45.83B-$13.83B
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$858.25B
Net cash-$1.45T
Current ratio1.1
Debt/Equity1.7
ROA-0.2%
ROE-0.6%
Cash conversion-9.0%
CapEx/Revenue-0.5%
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
MetricXMCActivity
Op margin-0.5%5.2% medp25 -0.7% · p75 12.4%below median
Net margin-1.1%3.2% medp25 -2.1% · p75 9.0%below median
Gross margin9.1%20.1% medp25 12.6% · p75 28.8%bottom quartile
CapEx / revenue-0.5%-5.0% medp25 -10.5% · p75 -2.2%top quartile
Debt / equity169.0%30.5% medp25 8.5% · p75 73.3%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 00:13 UTC#f019f632
Source: analysis-pipeline (hybrid)Generated: 2026-05-30 02:00 UTCJob: 4635d200