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VFS
VinFast Auto Ltd.
3.09
2 x 2.27
2 x 3.98
bid
ask
-
0.03
0.96%
2 @ 07:36 AM
3.09 +0.00 (0.00%)
Ytd-7.49%
1y-13.20%
3.08
day range
3.17
2.78
52 week range
5.29
Open3.13Prev Close3.12Low3.08High3.17Mkt Cap7.23B
Vol334.40KAvg Vol786.05KEPS-1.78P/EN/AForward P/E-3.04
Beta0.90Short Ratio4.09Inst. Own0.18%DividendN/ADiv YieldN/A
Ex Div DateN/AEarning09-0350-d Avg3.63200-d Avg3.441yr Est6.05
Income Statement
Total Revenue23.11T
Revenues (USD)879.28M
Cost of Revenue40.12T
Gross Profit-17.00T
Operating Expenses5.86T
Research and Development Expense2.54T
Selling, General and Administrative Expense2.54T
Operating Income-22.86T
Interest Expense5.12T
Income Tax Expense-33.13B
Net Income-28.11T
Net Income Common Stock-28.11T
Net Income Common Stock (USD)-1.07B
Consolidated Income-28.16T
Net Income to Non-Controlling Interests-48.02B
Earnings per Basic Share-11.99K
Earnings per Basic Share (USD)-0.46
Earnings per Diluted Share-11.99K
Earning Before Interest & Taxes (EBIT)-23.02T
Earning Before Interest & Taxes (USD)-875.92M
Weighted Average Shares2.34B
Weighted Average Shares Diluted2.34B
Balance Sheet
Cash and Equivalents6.79T
Cash and Equivalents (USD)258.38M
Investments10.76T
Investments Current2.38T
Investments Non-Current8.38T
Trade and Non-Trade Receivables18.41T
Current Assets83.68T
Property, Plant & Equipment Net89.28T
Total Assets185.18T
Debt Current62.66T
Total Debt116.72T
Current Liabilities175.35T
Debt Non-Current54.06T
Total Liabilities285.16T
Accumulated Retained Earnings (Deficit)-395.24T
Accumulated Other Comprehensive Income141.28B
Shareholders Equity-191.47T
Shareholders Equity (USD)-7.28B
Assets Non-Current101.49T
Total Debt (USD)4.44B
Deferred Revenue4.90T
Deposit Liabilities2.35T
Goodwill and Intangible Assets1.17T
Inventory37.16T
Liabilities Non-Current109.81T
Trade and Non-Trade Payables37.23T
Tax Liabilities1.26T
Cash Flow
Depreciation, Amortization & Accretion2.99T
Net Cash Flow from Financing16.66T
Net Cash Flow / Change in Cash & Cash Equivalents-2.29T
Capital Expenditure-4.81T
Issuance (Purchase) of Equity Shares5.00T
Issuance (Repayment) of Debt Securities 11.66T
Net Cash Flow from Investing-5.60T
Net Cash Flow - Investment Acquisitions and Disposals-789.91B
Net Cash Flow from Operations-13.35T
Effect of Exchange Rate Changes on Cash 693.93B