XNAS

Estados financieros de VinFast Auto Ltd.

VinFast Auto Ltd. · VFSWW

$0.21

▲ +0.02 (+8.57%)

Última operación · 10/10/2026, 18:35:44 UTC

Cuenta de resultados anual

Millones de VND

Partida20252024202320222021
Ingresos90,427,61144,019,01527,883,82113,927,74616,028,182
Costo de ventas128,888,54069,296,65441,594,73226,974,52525,283,958
Beneficio bruto(38,460,929)(25,277,639)(13,710,911)(13,046,779)(9,255,776)
Margen bruto-42.5%-57.4%-49.2%-93.7%-57.7%
Investigación y desarrollo9,899,17710,025,32914,516,96219,939,8989,255,376
Gastos generales y de venta21,295,13516,888,03111,273,2859,333,1824,628,399
Beneficio operativo(71,609,773)(55,399,158)(41,970,653)(44,556,247)(27,067,401)
Margen operativo-79.2%-125.9%-150.5%-319.9%-168.9%
EBITDA(63,101,380)(44,185,295)(34,376,273)(37,362,069)(18,171,081)
Gastos por intereses22,314,53915,661,16512,073,4336,527,8703,442,117
Beneficio antes de impuestos(96,873,163)(77,384,644)(60,173,423)(51,896,362)(32,009,724)
Impuestos372,571(29,695)76,9251,062,335209,237
Beneficio neto(97,041,887)(77,265,364)(60,168,126)(52,887,812)(32,183,727)
Margen neto-107.3%-175.5%-215.8%-379.7%-200.8%
BPA diluido-41,486.00-33,042.00-24,838.00-21,438.09-13,859.08
Acciones (diluidas)2,3392,3382,3112,3222,322

Cuenta de resultados trimestral

Millones de VND

PartidaT1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024
Ingresos23,111,05239,411,70818,100,21816,609,30916,306,37616,496,37612,326,5378,670,238
Costo de ventas40,115,94455,143,69228,267,78323,434,19922,042,86629,550,77115,284,42314,106,687
Beneficio bruto(17,004,892)(15,731,984)(10,167,565)(6,824,890)(5,736,490)(13,054,395)(2,957,886)(5,436,449)
Margen bruto-73.6%-39.9%-56.2%-41.1%-35.2%-79.1%-24.0%-62.7%
Investigación y desarrollo2,535,4222,869,3572,679,1092,335,1252,015,5862,678,3702,091,7252,662,530
Gastos generales y de venta2,539,5439,811,9904,332,0413,400,5053,750,5996,532,8453,461,2103,836,791
Beneficio operativo(22,861,608)(29,042,481)(17,387,054)(13,120,075)(12,060,163)(23,852,111)(8,121,371)(13,396,437)
Margen operativo-98.9%-73.7%-96.1%-79.0%-74.0%-144.6%-65.9%-154.5%
EBITDA(20,036,229)(26,333,791)(15,079,632)(11,822,733)(9,865,224)(19,923,086)(5,610,329)(11,674,697)
Gastos por intereses5,118,4085,684,1055,995,4785,581,3505,053,6061,990,0214,991,8294,514,558
Beneficio antes de impuestos(28,141,109)(35,229,197)(23,837,521)(20,107,928)(17,698,517)(30,634,978)(13,278,844)(18,694,011)
Impuestos(33,127)(29,928)173,570233,677(4,748)(40,167)(26,900)70,316
Beneficio neto(28,059,960)(35,101,196)(23,952,814)(20,316,088)(17,671,789)(30,575,583)(13,227,273)(18,741,226)
Margen neto-121.4%-89.1%-132.3%-122.3%-108.4%-185.3%-107.3%-216.2%
BPA diluido-11,994.00-15,005.00-10,239.00-8,686.00-7,556.00-13,074.00-5,656.00-8,015.00
Acciones (diluidas)2,3402,3392,3392,3392,3392,3392,3392,338

Balance

Millones de VND

Partida20252024202320222021
Efectivo e inversiones a corto plazo10,403,7884,125,7684,099,5774,275,3443,025,085
Cuentas por cobrar25,192,63219,407,112566,715671,067599,987
Inventarios34,882,64927,907,03030,141,38121,607,2776,683,685
Activo corriente85,439,74864,781,62950,583,48944,838,62026,692,502
Propiedad, planta y equipo85,570,59283,829,74074,753,75961,747,65054,120,096
Fondo de comercio e intangibles1,206,6181,164,6351,291,7201,733,2743,435,791
Activo total182,622,042155,966,496146,857,721113,605,29985,321,456
Pasivo corriente164,758,965171,508,908152,036,02266,225,20287,305,265
Deuda total129,965,692146,396,473126,649,31768,497,01275,750,039
Pasivo total275,017,820250,871,239212,269,436150,275,758162,262,654
Patrimonio neto(173,936,583)(164,711,670)(142,782,394)(114,109,832)(76,926,520)
Deuda neta119,561,904142,270,705122,549,74064,221,66872,724,954

Flujo de caja

Millones de VND

Partida20252024202320222021
Flujo de caja operativo(44,461,239)(30,468,461)(53,649,366)(47,867,646)(28,969,088)
Inversión en activos fijos(22,979,265)(16,689,295)(24,953,280)(23,337,793)(6,007,925)
Flujo de caja libre(67,440,504)(47,157,756)(78,602,646)(71,205,439)(34,977,013)
Dividendos pagados0000(498,959)
Recompra de acciones00000
Flujo de inversión(30,261,216)(16,025,837)(23,017,340)(21,124,819)2,420,050
Flujo de financiación77,179,28548,998,57177,420,66470,317,46928,855,195
Variación de caja2,667,4772,429,503487,6391,336,7152,197,174

Ejercicios fiscales de la empresa, que no siempre coinciden con el año natural. Las cifras negativas van entre paréntesis. BPA en unidades de la moneda de reporte.

Fuentes: Financial Modeling Prep, a partir de los informes de la empresa. Esta página tiene fines informativos y no constituye asesoría financiera.