Financials in millions USD. Fiscal year is February - January.
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Revenue
67,512,279
44,019,015
27,883,821
13,927,746
16,028,182
13,690,348
Revenue Growth (YoY)
81%
57.99%
100%
-13%
17%
--
Cost of Revenue
103,295,619
69,296,654
41,594,732
26,974,525
25,283,958
20,385,478
Gross Profit
-35,783,340
-25,277,639
-13,710,911
-13,046,779
-9,255,776
-6,695,130
Selling, General & Admin
18,015,990
16,888,031
11,273,285
9,433,465
8,968,721
2,553,102
Research & Development
9,708,190
10,025,329
15,414,442
21,196,862
9,255,376
3,929,797
Operating Expenses
30,636,063
28,515,555
27,483,527
30,550,113
18,146,999
6,629,650
Other Non Operating Income (Expenses)
--
-3,445,222
-3,636,306
-2,196,930
-1,150,263
-852,183
Pretax Income
-92,278,944
-77,384,644
-60,173,423
-51,896,362
-32,009,724
-18,862,477
Income Tax Expense
362,332
-29,695
76,925
1,062,335
209,237
87,766
Net Income
-92,516,274
-77,265,364
-60,168,126
-52,887,812
-32,183,727
-18,949,885
Net Income Growth
42%
28%
14%
64%
70%
--
Shares Outstanding (Diluted)
2,339.42
2,338.41
2,310.82
2,299
2,307.17
2,307.17
Shares Change (YoY)
0%
1%
1%
0%
0%
--
EPS (Diluted)
-39,546.51
-33,041.76
-26,037.53
-23,004.62
-13,949.43
-8,213.47
EPS Growth
42%
27%
13%
65%
70%
--
Free Cash Flow
-58,499,605
-47,157,756
-74,798,563
-53,310,085
-34,977,013
-19,021,380
Free Cash Flow Per Share
--
--
--
--
--
--
Gross Margin
-53%
-57.42%
-49.17%
-93.67%
-57.74%
-48.9%
Operating Margin
-98.38%
-122.2%
-147.73%
-313.02%
-170.96%
-97.32%
Profit Margin
-137.03%
-175.52%
-215.78%
-379.72%
-200.79%
-138.41%
Free Cash Flow Margin
-86.65%
-107.13%
-268.25%
-382.76%
-218.22%
-138.94%
EBITDA
-55,581,821
-43,916,717
-34,212,519
-37,330,384
-22,523,824
-9,035,461
EBITDA Margin
-82.32%
-99.76%
-122.69%
-268.02%
-140.52%
-65.99%
D&A For EBITDA
10,837,582
9,876,477
6,981,919
6,266,508
4,878,951
4,289,319
EBIT
-66,419,403
-53,793,194
-41,194,438
-43,596,892
-27,402,775
-13,324,780
EBIT Margin
-98.38%
-122.2%
-147.73%
-313.02%
-170.96%
-97.32%
Effective Tax Rate
-0.39%
0.03%
-0.12%
-2.04%
-0.65%
-0.46%
Follow-Up Questions
What are VinFast Auto Ltd's key financial statements?
What are the key financial ratios for VFS?
How is VinFast Auto Ltd's revenue broken down by segment or geography?
Is VinFast Auto Ltd profitable?
Does VinFast Auto Ltd have any liabilities?
How many outstanding shares for VinFast Auto Ltd?
Key Stats
Prev.Close
$3.19
Open
$3.15
Day's Range
$3.12 - $3.16
52 week range
$2.56 - $3.82
Volume
195.6K
Avg.Volume
297.0K
EPS (TTM)
-39554.23
Dividend yield
--
Market Cap
$7.2B
What is VFS?
VinFast Auto Ltd. engages in designing and manufacturing electric vehicles. The company employs 13,953 full-time employees The company went IPO on 2023-08-15. The company offers a full-scale mobility platform focused primarily on designing and manufacturing EVs, e-scooters and e-buses. The firm's designs feature its signature lighting that frames its V logo and sweeps out to the corners of the car. The EV platform consists of models, such as VF e34, VF 8, VF 9, VF 5, VF 6, VF 7, and VF 3. The firm offers two trims of the VF 8: the Eco and Plus, and three trims of the VF 8 model in Vietnam, the S, S Lux and Lux Plus. The Eco, S and S Lux trims offer a longer driving range. The Plus and Lux Plus trims offer horsepower and luxury features including eco-friendly vegan leather and a power-assisted tailgate. The Plus and Lux Plus trims offer higher horsepower and luxury features including eco-friendly vegan leather and a power-assisted tailgate. The VF 9 is an advanced E-segment electric SUV featuring three rows of seats. The Company’s VF e34 is an EV offering for the C-segment electric SUV.