VinFast Auto Ltd. logo

VinFast Auto Ltd.

VFS | NASDAQ
Chart Builder DCF Calculator
$3.27
+$0.04 (+1.24%)
Sep 21, 2026, 12:00 PM ET · Market open
TTM
Period Ending
Q1 2026
Mar 30, 2026
Q4 2025
Dec 30, 2025
Q3 2025
Sep 29, 2025
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Cash & Equivalents
6.79T 10.92T 8.8T 13.77T 2.4T 3.31T 1.89T 2.38T 2.96T 4.1T 3.15T 1.6T 3.74T 4.27T 1.85T
Short-Term Investments
2.35T 32.23B 2.79T 2.51T 2.1T 818.98B 4.08B 4.16B 4.11B 4.11B 4.05B 3.99B 3.88B 3.9B n/a
Long-Term Investments
8.99T 10.32T 1.95T 1.96T 2.12T 2.08T 2.11T 2.1T 2.15T 2.2T n/a 309.61B 289.32B 696.33B 833.19B
Other Long-Term Assets
2.04T 187.03B 3.63T 3.45T 4.38T 4.11T 7.26T 7.29T 6.15T 18.19T 5.67T 4.99T 4.86T 3.81T 1.32T
Receivables
9.64T 13.16T 25.56T 22T 19.77T 19.41T 15.52T 15.42T 12.36T 566.72B 1.18T 376.8B 444.56B 671.07B 331.08B
Inventory
49.04T 45.79T 37.67T 34.98T 32.87T 27.91T 31.52T 29.64T 26.71T 30.14T 24.41T 24.02T 24.78T 21.61T 12.51T
Other Current Assets
15.79T 14.09T 769.19B 1.64T 780.98B 3.8T 709.5B 1.29T 697.52B 10.68T 11.13T 13.2T 15.18T 8.98T 11.79T
Total Current Assets
83.61T 83.99T 87.81T 86.05T 67.91T 64.78T 55.33T 52.53T 47.07T 50.58T 46.76T 39.2T 44.16T 44.84T 36.86T
Property-Plant & Equipment
89.2T 86.01T 88.74T 88.98T 82.76T 83.83T 85.94T 86.12T 87.88T 74.65T 70.61T 70.23T 68.73T 61.75T 65.64T
Goodwill & Intangibles
1.17T 1.21T 1.06T 1.03T 1.08T 1.16T 1.17T 1.22T 1.31T 1.3T 1.81T 1.79T 1.81T 1.73T 1.56T
Total Long-Term Assets
101.4T 97.72T 95.37T 95.42T 90.33T 91.18T 96.48T 96.73T 98.5T 96.27T 78.08T 77.63T 75.94T 68.77T 68.52T
Total Assets
185T 181.71T 183.18T 181.46T 158.24T 155.97T 151.81T 149.26T 145.57T 146.86T 124.84T 116.83T 120.09T 113.61T 105.38T
Account Payables
37.19T 32.38T 28.3T 22.04T 19.93T 20.79T 14.32T 10.81T 7.69T 12.15T 10.55T 15.95T 17.9T 16.64T 70.31T
Deferred Revenue
n/a 98.62B 2.15T 2.02T 1.89T 3.69T 2.35T n/a 810.34B 1.34T 760.07B 614.97B 1.34T 1.68T 1.45T
Short-Term Debt
62.6T 60.74T 33.34T 31.25T 34.29T 94.01T 48.99T 48.42T 48.77T 87.24T 21.15T 15.17T 39.69T 15.3T 42.73T
Other Current Liabilities
75.39T 70.93T 35.6T 33.75T 31.4T 28.06T 25.82T 93.07T 33.4T 21.2T 54.89T 4.13T 11.6T 8.26T 4.44T
Total Current Liabilities
175.19T 164.15T 174.28T 184.44T 178.18T 171.51T 169.17T 163.23T 159.6T 152.04T 98.81T 91.69T 83.55T 66.23T 126.99T
Long-Term Debt
n/a 47.07T 46.84T 43.44T 26.42T 46.82T 21.25T 22.88T 24.77T 32.56T 45.68T 40.73T 44.66T 49.17T 48.21T
Other Long-Term Liabilities
102.74T 53.38T 50.95T 43.36T 43.92T 24.81T 48.67T 40.27T 33.28T 19.75T 39.85T 41T 37.38T 30.17T 32.15T
Total Long-Term Liabilities
109.7T 107.6T 108.18T 97.25T 77.94T 79.36T 77.64T 67.98T 65.97T 60.23T 90.57T 88.47T 87.35T 84.05T 83.21T
Total Liabilities
284.89T 271.76T 282.47T 281.7T 256.12T 250.87T 246.81T 231.21T 225.57T 212.27T 189.37T 180.15T 170.9T 150.28T 210.2T
Total Debt
68.3T 109.86T 87.72T 82.62T 65.95T 146.4T 76.12T 77.72T 80.24T 126.65T 73.21T 62.29T 91.12T 68.5T 94.43T
Book Value
-99.89T -90.04T -99.28T -100.23T -97.87T -94.9T -95T -81.95T -80.01T -65.41T -64.53T -63.32T -50.81T -36.67T -104.82T
Book Value Per Share
-42.7K -38.49K -42.44K -42.86K -41.85K -40.58K -40.62K -35.05K -34.22K -28.02K -27.95K -27.27K -21.88K -15.79K -45.14K
Common Stock
n/a 9.87T 9.87T 9.87T 9.87T 9.87T 9.87T 9.86T 9.86T 9.85T 7.62T 871.02B 871.02B 871.02B 553.89B
Retained Earnings
-394.87T -364.76T -329.73T -305.78T -285.46T -267.79T -237.19T -223.97T -205.24T -184.29T -168.79T -153.79T -141.27T -127.19T -111.91T
Comprehensive Income
n/a -572.45B -976.75B -727.56B -711.76B -460.64B -253.08B -464.22B -348.29B -487.42B -101.4B -101.46B -122.89B -104.07B -55.61B
Shareholders Equity
-191.3T -171.56T -150.92T -179.99T -177.66T -164.71T -172.3T -159.28T -157.35T -142.78T -141.91T -140.7T -128.21T -114.11T -104.77T
Total Investments
11.35T 10.36T 4.74T 4.47T 4.22T 2.9T 2.12T 2.11T 2.15T 2.2T 4.05B 313.6B 293.21B 700.23B 833.19B

© 2026 bestshares.com. All rights reserved.