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nasdaq-vfs
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VinFast Auto Ltd
VFS
3.550
USD
+0.020
+0.57%
Cierre 07/11, 16:00(ET)
Cotizaciones retrasadas 15 min
USD
0.000
Fuera de horario (ET)
8.30B
Cap. mercado
Pérdida
P/E TTM
VinFast Auto Ltd
3.550
+0.020
+0.57%
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Descripción general
Compañía
Finanzas
Informes
Cuenta de resultados
Balance general
Estado de flujo de efectivo
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
50.51%
4.56T
1.75%
4.26T
-37.21%
2.00T
51.69%
2.47T
-19.17%
3.03T
-2.19%
4.19T
71.77%
3.19T
--
1.63T
--
3.75T
--
4.28T
--
1.85T
Efectivo y equivalentes de efectivo
-18.95%
2.40T
-19.26%
3.31T
-40.01%
1.89T
48.82%
2.38T
-20.89%
2.96T
-4.12%
4.10T
70.10%
3.15T
--
1.60T
--
3.74T
--
4.27T
--
1.85T
-Inversiones a corto plazo
2880.83%
2.16T
940.50%
953.69B
248.27%
107.91B
234.43%
83.96B
596.94%
72.62B
880.29%
91.66B
--
30.98B
--
25.11B
--
10.42B
--
9.35B
--
--
Por cobrar
91.40%
7.47T
247.26%
9.88T
17.61%
5.84T
806.00%
6.77T
331.94%
3.90T
8.11%
2.84T
55.61%
4.97T
--
747.47B
--
903.58B
--
2.63T
--
3.19T
-Cuentas y pagarés por cobrar
473.88%
3.02T
1092.77%
5.61T
141.86%
2.80T
195.45%
1.05T
20.28%
526.86B
-28.03%
469.92B
249.70%
1.16T
--
355.68B
--
438.02B
--
652.92B
--
331.08B
-Otros por cobrar
31.71%
4.45T
79.93%
4.27T
-20.13%
3.04T
1360.30%
5.72T
625.16%
3.38T
20.03%
2.37T
33.16%
3.81T
--
391.78B
--
465.56B
--
1.98T
--
2.86T
Inventario
23.07%
32.87T
-7.41%
27.91T
29.15%
31.52T
23.40%
29.64T
7.80%
26.71T
39.50%
30.14T
95.04%
24.41T
--
24.02T
--
24.78T
--
21.61T
--
12.51T
Gastos prepago
74.69%
22.22T
58.15%
20.18T
15.24%
15.25T
2.89%
12.36T
-8.60%
12.72T
-17.28%
12.76T
-15.69%
13.24T
--
12.01T
--
13.92T
--
15.43T
--
15.70T
Otros activos corrientes
--
780.98B
2203.50%
2.37T
824.31%
330.59B
--
368.34B
--
--
--
102.93B
857.33%
35.77B
--
--
--
--
--
--
--
3.74B
Total de activos corrientes
44.29%
67.91T
28.07%
64.78T
18.33%
55.33T
34.01%
52.53T
6.59%
47.07T
12.81%
50.58T
26.87%
46.76T
--
39.20T
--
44.16T
--
44.84T
--
36.86T
Activos no corrientes
Activos fijos netos
-5.83%
82.76T
-2.75%
83.83T
21.72%
85.94T
22.63%
86.12T
27.86%
87.88T
39.61%
86.20T
7.57%
70.61T
--
70.23T
--
68.73T
--
61.75T
--
65.64T
Fondo de comercio y otros activos intangibles
-17.73%
1.08T
-13.50%
1.16T
-35.24%
1.17T
-31.60%
1.22T
-27.75%
1.31T
-22.32%
1.35T
15.91%
1.81T
--
1.79T
--
1.81T
--
1.73T
--
1.56T
Gastos prepago a largo plazo
200.74%
644.41B
213.35%
680.54B
2456.83%
902.46B
2791.68%
1.10T
494.63%
214.27B
2753.50%
217.18B
--
35.30B
--
37.92B
--
36.03B
--
7.61B
--
--
Otros activos no actuales
-56.21%
2.78T
-57.12%
2.46T
19.94%
6.03T
25.68%
6.32T
29.91%
6.36T
29.52%
5.74T
1150.07%
5.03T
--
5.03T
--
4.90T
--
4.43T
--
402.36B
Total de activos no actuales
-8.29%
90.33T
-5.29%
91.18T
23.56%
96.48T
24.61%
96.73T
29.71%
98.50T
40.00%
96.27T
13.95%
78.08T
--
77.63T
--
75.94T
--
68.77T
--
68.52T
Total de activos
8.71%
158.24T
6.20%
155.97T
21.60%
151.81T
27.76%
149.26T
21.21%
145.57T
29.27%
146.86T
18.47%
124.84T
--
116.83T
--
120.09T
--
113.61T
--
105.38T
Pasivos
Pasivos corrientes
-Otros por pagar
-4.61%
86.09T
16.62%
73.73T
66.86%
91.60T
96.10%
90.88T
189.42%
90.25T
193.99%
63.22T
-32.27%
54.89T
--
46.34T
--
31.18T
--
21.50T
--
81.05T
Gastos acumulados
16.61%
12.29T
-3.24%
11.06T
4.21%
10.53T
-24.05%
9.35T
-8.82%
10.54T
3.39%
11.43T
35.98%
10.10T
--
12.31T
--
11.56T
--
11.06T
--
7.43T
Deuda a corto plazo y pasivos por arrendamiento
-27.87%
34.29T
-11.31%
39.12T
130.35%
48.73T
210.61%
47.12T
136.40%
47.54T
202.58%
44.11T
-15.60%
21.15T
--
15.17T
--
20.11T
--
14.58T
--
25.07T
-Deuda a corto plazo
--
--
-0.52%
24.21T
--
--
--
--
--
--
--
24.34T
--
--
--
--
--
--
--
--
--
--
Pasivos diferidos
-13.62%
126.54B
-17.23%
123.95B
12.54%
146.30B
13.17%
143.79B
25.98%
146.50B
39.37%
149.75B
--
130.00B
--
127.05B
--
116.29B
--
107.45B
--
--
Otros pasivos corrientes
-3.39%
87.98T
19.91%
77.41T
68.81%
93.95T
98.19%
93.07T
180.03%
91.06T
178.48%
64.56T
-32.54%
55.65T
--
46.96T
--
32.52T
--
23.18T
--
82.49T
Total pasivos corrientes
11.64%
178.18T
12.81%
171.51T
71.22%
169.17T
78.04%
163.23T
91.02%
159.60T
129.57%
152.04T
-22.19%
98.81T
--
91.69T
--
83.55T
--
66.23T
--
126.99T
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
0.78%
30.17T
-24.12%
26.94T
-49.24%
25.74T
-39.52%
27.71T
-35.68%
29.94T
-20.90%
35.50T
35.81%
50.71T
--
45.82T
--
46.55T
--
44.88T
--
37.34T
-Deuda a largo plazo
6.69%
26.42T
-24.22%
22.86T
-53.48%
21.25T
-43.83%
22.88T
-39.94%
24.77T
-27.52%
30.17T
32.45%
45.68T
--
40.73T
--
41.24T
--
41.62T
--
34.49T
-Pasivos por arrendamiento a largo plazo
-27.55%
3.75T
-23.52%
4.08T
-10.73%
4.49T
-5.04%
4.83T
-2.60%
5.17T
63.69%
5.33T
76.29%
5.04T
--
5.09T
--
5.31T
--
3.26T
--
2.86T
Pasivos diferidos
64.92%
2.91T
73.45%
2.72T
143.19%
2.24T
164.15%
1.90T
236.80%
1.76T
214.33%
1.57T
457.55%
920.01B
--
721.01B
--
523.54B
--
499.39B
--
165.01B
Gastos acumulados a largo plazo
127.15%
407.44B
165.82%
329.27B
-7.75%
123.88B
920.35%
246.80B
5166.32%
179.37B
673.83%
123.87B
--
134.29B
--
24.19B
--
3.41B
--
16.01B
--
--
Pasivos derivados
-49.64%
29.23B
-73.50%
36.33B
--
--
--
--
-99.62%
58.05B
-99.10%
137.06B
--
--
--
--
--
15.45T
--
15.18T
--
15.34T
Otros pasivos no corrientes
33.29%
46.40T
118.02%
51.12T
30.96%
50.79T
-6.46%
39.00T
42.61%
34.81T
1.83%
23.45T
31.37%
38.78T
--
41.70T
--
24.41T
--
23.02T
--
29.52T
Total pasivos no corrientes
18.14%
77.94T
31.76%
79.36T
-14.28%
77.64T
-23.16%
67.98T
-24.48%
65.97T
-28.34%
60.23T
8.84%
90.57T
--
88.47T
--
87.35T
--
84.05T
--
83.21T
Total pasivos
13.54%
256.12T
18.19%
250.87T
30.33%
246.81T
28.34%
231.21T
31.99%
225.57T
41.25%
212.27T
-9.91%
189.37T
--
180.15T
--
170.90T
--
150.28T
--
210.20T
Capital de los accionistas
Capital ordinario
124.99%
108.52T
115.24%
103.54T
141.46%
65.14T
394.23%
65.15T
265.88%
48.23T
264.92%
48.11T
274.67%
26.98T
--
13.18T
--
13.18T
--
13.18T
--
7.20T
Ganancias retenidas
-39.09%
-285.46T
-40.57%
-267.79T
-40.53%
-237.19T
-45.64%
-223.97T
-45.28%
-205.24T
-49.78%
-190.50T
-50.82%
-168.79T
--
-153.79T
--
-141.27T
--
-127.19T
--
-111.91T
Reservas de capital
157.10%
98.65T
144.84%
93.67T
185.56%
55.27T
349.09%
55.29T
211.66%
38.37T
210.75%
38.26T
191.22%
19.36T
--
12.31T
--
12.31T
--
12.31T
--
6.65T
Pérdidas de ganancias que no afectan a las ganancias retenidas
-104.36%
-711.76B
-19.38%
-460.64B
-149.58%
-253.08B
-357.55%
-464.22B
-183.42%
-348.29B
-270.80%
-385.87B
-82.33%
-101.40B
--
-101.46B
--
-122.89B
--
-104.06B
--
-55.61B
Intereses no controladores
3.15%
79.78T
-9.78%
69.81T
-0.10%
77.30T
-0.07%
77.32T
-0.07%
77.35T
-0.09%
77.37T
148792.66%
77.38T
--
77.38T
--
77.40T
--
77.44T
--
-52.04B
Capital total
-22.33%
-97.87T
-45.09%
-94.90T
-47.22%
-95.00T
-29.42%
-81.95T
-57.46%
-80.01T
-78.38%
-65.41T
38.44%
-64.53T
--
-63.32T
--
-50.81T
--
-36.67T
--
-104.82T
Unidad monetaria
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Opiniones de evaluación
--
--
--
--
--
--
--
--
--
--
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