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VFSWW VinFast Auto/WTS 16/07/2026 (TO PUR COM)

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  • 0.467
  • -0.063-11.87%
Close Aug 2 16:00 ET
0Market Cap0.00P/E (TTM)

VinFast Auto/WTS 16/07/2026 (TO PUR COM) Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
15.20%-12.41T
-50.58%-53.65T
20.69%-8.01T
-145.80%-24.45T
-2.18%-6.55T
-59.61%-14.63T
-22.99%-35.63T
-60.12%-10.1T
-9.95T
-6.41T
Net income from continuing operations
-3.46%-14.84T
-15.29%-57.47T
-3.25%-15.81T
-33.69%-15T
9.82%-12.31T
-48.50%-14.35T
-54.72%-49.85T
-7.70%-15.31T
---11.22T
---13.65T
Operating gains losses
-3.37%3.6T
161.05%14.43T
408.56%5.31T
149.54%7.37T
-182.65%-1.98T
531.45%3.73T
-20.70%5.53T
-83.79%1.04T
--2.95T
--2.39T
Depreciation and amortization
71.09%2.1T
0.78%6.32T
53.35%1.83T
4.09%1.86T
-13.71%1.4T
-26.37%1.23T
28.11%6.27T
-18.10%1.2T
--1.79T
--1.62T
Deferred tax
-312.27%-26.84B
-102.35%-22.29B
79.39%-13.71B
1,974.39%18.44B
-221.42%-20.52B
-100.64%-6.51B
528.91%946.74B
---66.52B
---984M
---6.38B
Other non cash items
41.94%294.87B
159.05%1.16T
493.24%339.18B
23.83%252.94B
211.09%362.36B
193.73%207.74B
64.18%448.65B
-25.60%57.17B
--204.27B
--116.48B
Change In working capital
32.84%-4.43T
-882.70%-22.35T
-102.07%-28.63B
-400.95%-16.09T
-88.94%366.89B
-75.35%-6.59T
78.47%-2.27T
-13.66%1.38T
---3.21T
--3.32T
-Change in receivables
-163.99%-1.11T
110.95%1.31T
-27.58%3.05T
-23.86%-5.79T
46.68%2.32T
452.06%1.74T
108.41%622.71B
657.98%4.21T
---4.67T
--1.58T
-Change in inventory
116.98%1.09T
38.04%-12.54T
43.12%-6.1T
99.59%-23.03B
100.67%21.45B
-779.27%-6.44T
-424.71%-20.24T
-893.44%-10.72T
---5.56T
---3.22T
-Change in prepaid assets
148.23%7.91B
-1,921.71%-547.48B
-813.47%-484.81B
-534.89%-408.28B
1,341.84%362.02B
57.64%-16.41B
-116.29%-27.08B
17.27%-53.07B
--93.88B
---29.15B
-Change in payables and accrued expense
-156.19%-4.17T
-154.29%-9.66T
-52.09%3.83T
-237.86%-9.85T
-139.51%-2.01T
33.22%-1.63T
2,240.86%17.79T
614.80%7.99T
--7.14T
--5.09T
-Change in other current liabilities
-1.10%-245.99B
-116.58%-911.53B
-650.91%-321.25B
88.58%-24.87B
-211.45%-322.1B
-327.89%-243.32B
-87.82%-420.88B
16.15%-42.78B
---217.81B
---103.42B
Cash from discontinued investing activities
Operating cash flow
15.20%-12.41T
-50.58%-53.65T
20.69%-8.01T
-145.80%-24.45T
-2.18%-6.55T
-59.61%-14.63T
-22.99%-35.63T
-60.12%-10.1T
---9.95T
---6.41T
Investing cash flow
Cash flow from continuing investing activities
73.94%-4.3T
-43.51%-23.02T
9.60%-4.46T
25.71%-4.3T
170.93%2.23T
-658.35%-16.49T
-762.75%-16.04T
-1,208.72%-4.94T
-5.78T
-3.15T
Net PPE purchase and sale
22.54%-4.81T
-47.21%-23.95T
5.34%-4.85T
25.75%-4.3T
-190.58%-8.6T
-158.49%-6.21T
-173.00%-16.27T
-177.68%-5.12T
---5.79T
---2.96T
Net business purchase and sale
--0
-208.04%-6.9B
---6.9B
--0
--480.8B
---480.8B
97.09%-2.24B
--0
--0
----
Net investment purchase and sale
--0
--0
----
----
--10.48T
---10.48T
99.88%-3.9B
----
----
----
Net other investing changes
-24.79%509.82B
298.21%939.33B
106.79%393.93B
--0
25.83%-132.5B
198.81%677.9B
-97.95%235.89B
-95.76%190.5B
---2.84B
---178.64B
Cash from discontinued investing activities
Investing cash flow
73.94%-4.3T
-43.51%-23.02T
9.60%-4.46T
25.71%-4.3T
170.93%2.23T
-658.35%-16.49T
-762.75%-16.04T
-1,208.72%-4.94T
---5.78T
---3.15T
Financing cash flow
Cash flow from continuing financing activities
-50.31%15.5T
46.23%77.42T
-21.70%13.7T
93.60%30.31T
-77.39%2.22T
212.65%31.2T
83.49%52.95T
134.81%17.49T
15.65T
9.82T
Net issuance payments of debt
-50.52%15.44T
9.93%50.59T
-62.12%6.52T
5.58%16.53T
-139.84%-3.65T
684.23%31.2T
137.65%46.02T
335.63%17.22T
--15.65T
--9.17T
Net common stock issuance
----
264.85%25.41T
----
----
----
----
-30.28%6.96T
----
----
----
Net other financing activities
--64.65B
3,512.91%1.42T
-172.60%-18.23T
--13.78T
----
----
91.65%-41.65B
-3.04%-6.69T
----
----
Cash from discontinued financing activities
Financing cash flow
-50.31%15.5T
46.23%77.42T
-21.70%13.7T
93.60%30.31T
-77.39%2.22T
212.65%31.2T
83.49%52.95T
134.81%17.49T
--15.65T
--9.82T
Net cash flow
Beginning cash position
11.40%4.86T
41.21%4.27T
106.10%3.82T
17.71%2.27T
161.44%4.42T
44.19%4.36T
265.44%3.02T
-18.58%1.85T
--1.93T
--1.69T
Current changes in cash
-1,754.69%-1.21T
-40.99%753.96B
-50.18%1.22T
2,132.65%1.56T
-899.70%-2.1T
105.34%72.84B
-44.59%1.28T
221.20%2.46T
---76.67B
--262.73B
Effect of exchange rate changes
555.62%66.73B
-753.09%-266.32B
-627.09%-286.98B
-178.82%-3.77B
245.76%39.07B
-148.37%-14.65B
71.36%-31.22B
-122.71%-39.47B
--4.78B
---26.8B
End cash Position
-15.83%3.72T
11.42%4.76T
11.42%4.76T
106.10%3.82T
17.71%2.27T
161.44%4.42T
41.21%4.27T
41.21%4.27T
--1.85T
--1.93T
Free cash flow
17.39%-17.22T
-47.44%-78.6T
14.34%-12.94T
-68.19%-28.75T
-68.45%-16.07T
-80.14%-20.84T
-52.41%-53.31T
-84.83%-15.11T
---17.09T
---9.54T
Currency Unit
VND
VND
VND
VND
VND
VND
VND
VND
VND
VND
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 15.20%-12.41T-50.58%-53.65T20.69%-8.01T-145.80%-24.45T-2.18%-6.55T-59.61%-14.63T-22.99%-35.63T-60.12%-10.1T-9.95T-6.41T
Net income from continuing operations -3.46%-14.84T-15.29%-57.47T-3.25%-15.81T-33.69%-15T9.82%-12.31T-48.50%-14.35T-54.72%-49.85T-7.70%-15.31T---11.22T---13.65T
Operating gains losses -3.37%3.6T161.05%14.43T408.56%5.31T149.54%7.37T-182.65%-1.98T531.45%3.73T-20.70%5.53T-83.79%1.04T--2.95T--2.39T
Depreciation and amortization 71.09%2.1T0.78%6.32T53.35%1.83T4.09%1.86T-13.71%1.4T-26.37%1.23T28.11%6.27T-18.10%1.2T--1.79T--1.62T
Deferred tax -312.27%-26.84B-102.35%-22.29B79.39%-13.71B1,974.39%18.44B-221.42%-20.52B-100.64%-6.51B528.91%946.74B---66.52B---984M---6.38B
Other non cash items 41.94%294.87B159.05%1.16T493.24%339.18B23.83%252.94B211.09%362.36B193.73%207.74B64.18%448.65B-25.60%57.17B--204.27B--116.48B
Change In working capital 32.84%-4.43T-882.70%-22.35T-102.07%-28.63B-400.95%-16.09T-88.94%366.89B-75.35%-6.59T78.47%-2.27T-13.66%1.38T---3.21T--3.32T
-Change in receivables -163.99%-1.11T110.95%1.31T-27.58%3.05T-23.86%-5.79T46.68%2.32T452.06%1.74T108.41%622.71B657.98%4.21T---4.67T--1.58T
-Change in inventory 116.98%1.09T38.04%-12.54T43.12%-6.1T99.59%-23.03B100.67%21.45B-779.27%-6.44T-424.71%-20.24T-893.44%-10.72T---5.56T---3.22T
-Change in prepaid assets 148.23%7.91B-1,921.71%-547.48B-813.47%-484.81B-534.89%-408.28B1,341.84%362.02B57.64%-16.41B-116.29%-27.08B17.27%-53.07B--93.88B---29.15B
-Change in payables and accrued expense -156.19%-4.17T-154.29%-9.66T-52.09%3.83T-237.86%-9.85T-139.51%-2.01T33.22%-1.63T2,240.86%17.79T614.80%7.99T--7.14T--5.09T
-Change in other current liabilities -1.10%-245.99B-116.58%-911.53B-650.91%-321.25B88.58%-24.87B-211.45%-322.1B-327.89%-243.32B-87.82%-420.88B16.15%-42.78B---217.81B---103.42B
Cash from discontinued investing activities
Operating cash flow 15.20%-12.41T-50.58%-53.65T20.69%-8.01T-145.80%-24.45T-2.18%-6.55T-59.61%-14.63T-22.99%-35.63T-60.12%-10.1T---9.95T---6.41T
Investing cash flow
Cash flow from continuing investing activities 73.94%-4.3T-43.51%-23.02T9.60%-4.46T25.71%-4.3T170.93%2.23T-658.35%-16.49T-762.75%-16.04T-1,208.72%-4.94T-5.78T-3.15T
Net PPE purchase and sale 22.54%-4.81T-47.21%-23.95T5.34%-4.85T25.75%-4.3T-190.58%-8.6T-158.49%-6.21T-173.00%-16.27T-177.68%-5.12T---5.79T---2.96T
Net business purchase and sale --0-208.04%-6.9B---6.9B--0--480.8B---480.8B97.09%-2.24B--0--0----
Net investment purchase and sale --0--0----------10.48T---10.48T99.88%-3.9B------------
Net other investing changes -24.79%509.82B298.21%939.33B106.79%393.93B--025.83%-132.5B198.81%677.9B-97.95%235.89B-95.76%190.5B---2.84B---178.64B
Cash from discontinued investing activities
Investing cash flow 73.94%-4.3T-43.51%-23.02T9.60%-4.46T25.71%-4.3T170.93%2.23T-658.35%-16.49T-762.75%-16.04T-1,208.72%-4.94T---5.78T---3.15T
Financing cash flow
Cash flow from continuing financing activities -50.31%15.5T46.23%77.42T-21.70%13.7T93.60%30.31T-77.39%2.22T212.65%31.2T83.49%52.95T134.81%17.49T15.65T9.82T
Net issuance payments of debt -50.52%15.44T9.93%50.59T-62.12%6.52T5.58%16.53T-139.84%-3.65T684.23%31.2T137.65%46.02T335.63%17.22T--15.65T--9.17T
Net common stock issuance ----264.85%25.41T-----------------30.28%6.96T------------
Net other financing activities --64.65B3,512.91%1.42T-172.60%-18.23T--13.78T--------91.65%-41.65B-3.04%-6.69T--------
Cash from discontinued financing activities
Financing cash flow -50.31%15.5T46.23%77.42T-21.70%13.7T93.60%30.31T-77.39%2.22T212.65%31.2T83.49%52.95T134.81%17.49T--15.65T--9.82T
Net cash flow
Beginning cash position 11.40%4.86T41.21%4.27T106.10%3.82T17.71%2.27T161.44%4.42T44.19%4.36T265.44%3.02T-18.58%1.85T--1.93T--1.69T
Current changes in cash -1,754.69%-1.21T-40.99%753.96B-50.18%1.22T2,132.65%1.56T-899.70%-2.1T105.34%72.84B-44.59%1.28T221.20%2.46T---76.67B--262.73B
Effect of exchange rate changes 555.62%66.73B-753.09%-266.32B-627.09%-286.98B-178.82%-3.77B245.76%39.07B-148.37%-14.65B71.36%-31.22B-122.71%-39.47B--4.78B---26.8B
End cash Position -15.83%3.72T11.42%4.76T11.42%4.76T106.10%3.82T17.71%2.27T161.44%4.42T41.21%4.27T41.21%4.27T--1.85T--1.93T
Free cash flow 17.39%-17.22T-47.44%-78.6T14.34%-12.94T-68.19%-28.75T-68.45%-16.07T-80.14%-20.84T-52.41%-53.31T-84.83%-15.11T---17.09T---9.54T
Currency Unit VNDVNDVNDVNDVNDVNDVNDVNDVNDVND
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Analysis

Analyst Rating

No Data

Price Target

No Data

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