美股市场个股详情

TRLED TRILLION ENERGY INTERNATIONAL INC

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延时15分钟行情收盘价 10/20 16:00 (美东)
4050.80万总市值-10.61市盈率TTM

TRILLION ENERGY INTERNATIONAL INC关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
(Q2)2022/06/30
(Q1)2022/03/31
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
经营活动现金流量(间接法)
持续经营活动现金净额
22.61%-411.34万
1,186.99%525.17万
476.13%703.2万
1,742.54%1,250.27万
170.48%32.77万
-1,272.71%-531.53万
-88.61%-48.31万
-13.26%-186.95万
-46.24%-76.12万
-10.15%-46.5万
持续经营净收入
-4,909.59%-222.42万
217.62%227.14万
-25.11%-612.18万
38.85%-177.2万
-145.25%-246.49万
-97.58%4.62万
79.36%-193.12万
-38.49%-489.31万
-156.52%-289.77万
560.31%544.72万
持续经营损益
98.71%-3,009
-100.08%-401
-68.40%55.66万
-81.22%39.34万
98.35%-10.13万
92.23%-23.31万
-94.35%49.76万
686.13%176.1万
1,201.33%209.5万
-5,761.77%-613.51万
折旧和摊销
709.74%93.22万
2,644.14%213.3万
256.70%159.61万
1,490.05%132.78万
-35.21%7.54万
-12.40%11.51万
-33.05%7.77万
61.75%44.75万
110.59%8.35万
32.66%11.64万
其他非现金项目
-3,208.00%-318.91万
-858.75%-249.01万
-237.71%-142.13万
-8,710.29%-170.35万
-74.39%5.05万
-127.88%-9.64万
-30.07%32.82万
70.16%103.21万
-92.25%1.98万
54.48%19.72万
营运资金变化
87.84%-62.61万
592.44%318.38万
1,341.77%687.08万
4,566.70%1,058.04万
1,178.58%97.77万
-5,217.00%-514.71万
240.88%45.98万
-278.00%-55.33万
-64.26%-23.69万
-133.54%-9.07万
-应收款项(增)减
131.33%19.75万
533.41%159.84万
-742.96%-395.98万
-1,601.55%-308.52万
-32.45%12.46万
-239.30%-63.04万
-28.46%-36.88万
-99.92%-46.98万
34.97%-18.13万
716.43%18.44万
-预付费用(增)减
110.38%49.88万
-1,324.15%-49.16万
-1,140.51%-88.33万
1,019.64%380.76万
179.18%14.79万
-2,937.43%-480.42万
91.24%-3.45万
-1,341.95%-7.12万
21,209.37%34.01万
-371.71%-18.68万
-应付款项及应计费用(减)增
-560.91%-132.23万
140.77%207.7万
62,779.13%1,170.85万
2,517.21%985.41万
968.23%70.48万
148.11%28.69万
143.31%86.26万
-103.46%-1.87万
-399.26%-40.77万
-135.08%-8.12万
-其他营运资本变化
----
----
-14.02%5,438
-67.44%3,920
106.07%433
--601
--484
--6,325
--1.2万
---7,139
非持续经营活动现金净额
经营活动现金净额
22.61%-411.34万
1,186.99%525.17万
476.13%703.2万
1,742.54%1,250.27万
170.48%32.77万
-1,272.71%-531.53万
-88.61%-48.31万
-13.26%-186.95万
-46.24%-76.12万
-10.15%-46.5万
投资活动现金流量
持续投资活动现金净额
-1,638.96%-601.3万
-978.90%-594.18万
-20,482.19%-3,742.77万
-18,489.53%-2,407.59万
-29,079.00%-1,319.18万
6,225.07%39.07万
-74,021.27%-55.07万
-130.74%-18.18万
-608.67%-12.95万
-409.87%-4.52万
资本性支出
----
----
-285.60%-69.69万
9,784.99%1,250.56万
----
----
----
---18.07万
---12.91万
----
固定资产交易的净现金流
90.46%-1.38万
-215.06%-4.73万
-0.66%6.46万
225.32%21.38万
2,821.52%1.08万
-690,461.90%-14.5万
-4,281.05%-1.5万
188.19%6.5万
259.79%6.57万
---395
其他投资活动的净现金流
---599.92万
-1,000.33%-589.44万
-55,547.65%-3,679.53万
----
----
----
-133,823.50%-53.57万
-1,200.59%-6.61万
----
----
非持续投资活动现金净额
投资活动现金净额
-1,638.96%-601.3万
-978.90%-594.18万
-20,482.19%-3,742.77万
-18,489.53%-2,407.59万
-29,079.00%-1,319.18万
6,225.07%39.07万
-74,021.27%-55.07万
-130.74%-18.18万
-608.67%-12.95万
-409.87%-4.52万
融资活动现金流量
持续融资活动现金净额
-46.84%836.42万
-82.56%217.45万
1,034.00%3,011.53万
424.93%150.47万
-45.11%40.54万
6,270.85%1,573.47万
801.42%1,247.05万
158.16%265.57万
9.09%28.66万
343.64%73.86万
债务发行/偿还的净现金流
3,797.97%815.84万
718.44%199.53万
-348.76%-36.54万
551.23%19.59万
90.71%-1.8万
-1,795.01%-22.06万
-181.54%-32.26万
500.11%14.69万
-537.57%-4.34万
-276.44%-19.37万
职工行使股票期权收到的现金
318.51%16.62万
779.94%13.78万
-9.40%177.93万
2,329.81%130.05万
-67.58%42.34万
-83.88%3.97万
-95.62%1.57万
--196.39万
--5.35万
--130.61万
其他融资活动的净现金流额
-99.75%3.96万
-99.68%4.14万
5,167.45%2,870.13万
-97.02%8,243
100.00%1
130,881.99%1,591.56万
1,928.34%1,277.74万
-45.74%54.49万
9.38%27.65万
-271.48%-37.38万
非持续融资活动现金净额
融资活动现金净额
-46.84%836.42万
-82.56%217.45万
1,034.00%3,011.53万
424.93%150.47万
-45.11%40.54万
6,270.85%1,573.47万
801.42%1,247.05万
158.16%265.57万
9.09%28.66万
343.64%73.86万
现金净流量
期初现金流
-81.10%238.89万
-9.83%92.61万
406.63%102.7万
693.82%1,163.4万
2,066.73%2,350.25万
849.15%1,263.85万
378.84%102.7万
-78.88%20.27万
498.51%146.56万
84.64%108.47万
当期现金流变化
-116.30%-176.21万
-87.02%148.44万
-146.41%-28.05万
-1,566.83%-1,006.85万
-5,554.29%-1,245.87万
7,473.47%1,081.02万
915.22%1,143.66万
186.23%60.43万
-160.03%-60.41万
186.35%22.84万
利率变动影响
31.98%7.1万
-112.33%-2.16万
-18.40%17.95万
-486.43%-63.94万
287.16%59.02万
160.80%5.38万
1,954.61%17.5万
592.51%22万
-18.04%16.55万
295.29%15.24万
期末现金流
-97.03%69.78万
-81.10%238.89万
-9.83%92.61万
-9.83%92.61万
693.82%1,163.4万
2,066.73%2,350.25万
849.15%1,263.85万
378.84%102.7万
378.84%102.7万
498.51%146.56万
自由现金流
24.41%-412.72万
1,144.69%520.43万
408.98%633.5万
2,928.00%2,515.76万
-2,388.20%-1,286.41万
-1,310.23%-546.02万
-94.22%-49.82万
-18.90%-205.03万
-78.84%-88.96万
-21.09%-51.7万
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
审计意见
--
--
无保留意见
--
--
--
--
带解释段的无保留意见
--
--
(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30(Q2)2022/06/30(Q1)2022/03/31(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30
经营活动现金流量(间接法)
持续经营活动现金净额 22.61%-411.34万1,186.99%525.17万476.13%703.2万1,742.54%1,250.27万170.48%32.77万-1,272.71%-531.53万-88.61%-48.31万-13.26%-186.95万-46.24%-76.12万-10.15%-46.5万
持续经营净收入 -4,909.59%-222.42万217.62%227.14万-25.11%-612.18万38.85%-177.2万-145.25%-246.49万-97.58%4.62万79.36%-193.12万-38.49%-489.31万-156.52%-289.77万560.31%544.72万
持续经营损益 98.71%-3,009-100.08%-401-68.40%55.66万-81.22%39.34万98.35%-10.13万92.23%-23.31万-94.35%49.76万686.13%176.1万1,201.33%209.5万-5,761.77%-613.51万
折旧和摊销 709.74%93.22万2,644.14%213.3万256.70%159.61万1,490.05%132.78万-35.21%7.54万-12.40%11.51万-33.05%7.77万61.75%44.75万110.59%8.35万32.66%11.64万
其他非现金项目 -3,208.00%-318.91万-858.75%-249.01万-237.71%-142.13万-8,710.29%-170.35万-74.39%5.05万-127.88%-9.64万-30.07%32.82万70.16%103.21万-92.25%1.98万54.48%19.72万
营运资金变化 87.84%-62.61万592.44%318.38万1,341.77%687.08万4,566.70%1,058.04万1,178.58%97.77万-5,217.00%-514.71万240.88%45.98万-278.00%-55.33万-64.26%-23.69万-133.54%-9.07万
-应收款项(增)减 131.33%19.75万533.41%159.84万-742.96%-395.98万-1,601.55%-308.52万-32.45%12.46万-239.30%-63.04万-28.46%-36.88万-99.92%-46.98万34.97%-18.13万716.43%18.44万
-预付费用(增)减 110.38%49.88万-1,324.15%-49.16万-1,140.51%-88.33万1,019.64%380.76万179.18%14.79万-2,937.43%-480.42万91.24%-3.45万-1,341.95%-7.12万21,209.37%34.01万-371.71%-18.68万
-应付款项及应计费用(减)增 -560.91%-132.23万140.77%207.7万62,779.13%1,170.85万2,517.21%985.41万968.23%70.48万148.11%28.69万143.31%86.26万-103.46%-1.87万-399.26%-40.77万-135.08%-8.12万
-其他营运资本变化 ---------14.02%5,438-67.44%3,920106.07%433--601--484--6,325--1.2万---7,139
非持续经营活动现金净额
经营活动现金净额 22.61%-411.34万1,186.99%525.17万476.13%703.2万1,742.54%1,250.27万170.48%32.77万-1,272.71%-531.53万-88.61%-48.31万-13.26%-186.95万-46.24%-76.12万-10.15%-46.5万
投资活动现金流量
持续投资活动现金净额 -1,638.96%-601.3万-978.90%-594.18万-20,482.19%-3,742.77万-18,489.53%-2,407.59万-29,079.00%-1,319.18万6,225.07%39.07万-74,021.27%-55.07万-130.74%-18.18万-608.67%-12.95万-409.87%-4.52万
资本性支出 ---------285.60%-69.69万9,784.99%1,250.56万---------------18.07万---12.91万----
固定资产交易的净现金流 90.46%-1.38万-215.06%-4.73万-0.66%6.46万225.32%21.38万2,821.52%1.08万-690,461.90%-14.5万-4,281.05%-1.5万188.19%6.5万259.79%6.57万---395
其他投资活动的净现金流 ---599.92万-1,000.33%-589.44万-55,547.65%-3,679.53万-------------133,823.50%-53.57万-1,200.59%-6.61万--------
非持续投资活动现金净额
投资活动现金净额 -1,638.96%-601.3万-978.90%-594.18万-20,482.19%-3,742.77万-18,489.53%-2,407.59万-29,079.00%-1,319.18万6,225.07%39.07万-74,021.27%-55.07万-130.74%-18.18万-608.67%-12.95万-409.87%-4.52万
融资活动现金流量
持续融资活动现金净额 -46.84%836.42万-82.56%217.45万1,034.00%3,011.53万424.93%150.47万-45.11%40.54万6,270.85%1,573.47万801.42%1,247.05万158.16%265.57万9.09%28.66万343.64%73.86万
债务发行/偿还的净现金流 3,797.97%815.84万718.44%199.53万-348.76%-36.54万551.23%19.59万90.71%-1.8万-1,795.01%-22.06万-181.54%-32.26万500.11%14.69万-537.57%-4.34万-276.44%-19.37万
职工行使股票期权收到的现金 318.51%16.62万779.94%13.78万-9.40%177.93万2,329.81%130.05万-67.58%42.34万-83.88%3.97万-95.62%1.57万--196.39万--5.35万--130.61万
其他融资活动的净现金流额 -99.75%3.96万-99.68%4.14万5,167.45%2,870.13万-97.02%8,243100.00%1130,881.99%1,591.56万1,928.34%1,277.74万-45.74%54.49万9.38%27.65万-271.48%-37.38万
非持续融资活动现金净额
融资活动现金净额 -46.84%836.42万-82.56%217.45万1,034.00%3,011.53万424.93%150.47万-45.11%40.54万6,270.85%1,573.47万801.42%1,247.05万158.16%265.57万9.09%28.66万343.64%73.86万
现金净流量
期初现金流 -81.10%238.89万-9.83%92.61万406.63%102.7万693.82%1,163.4万2,066.73%2,350.25万849.15%1,263.85万378.84%102.7万-78.88%20.27万498.51%146.56万84.64%108.47万
当期现金流变化 -116.30%-176.21万-87.02%148.44万-146.41%-28.05万-1,566.83%-1,006.85万-5,554.29%-1,245.87万7,473.47%1,081.02万915.22%1,143.66万186.23%60.43万-160.03%-60.41万186.35%22.84万
利率变动影响 31.98%7.1万-112.33%-2.16万-18.40%17.95万-486.43%-63.94万287.16%59.02万160.80%5.38万1,954.61%17.5万592.51%22万-18.04%16.55万295.29%15.24万
期末现金流 -97.03%69.78万-81.10%238.89万-9.83%92.61万-9.83%92.61万693.82%1,163.4万2,066.73%2,350.25万849.15%1,263.85万378.84%102.7万378.84%102.7万498.51%146.56万
自由现金流 24.41%-412.72万1,144.69%520.43万408.98%633.5万2,928.00%2,515.76万-2,388.20%-1,286.41万-1,310.23%-546.02万-94.22%-49.82万-18.90%-205.03万-78.84%-88.96万-21.09%-51.7万
货币单位 美元美元美元美元美元美元美元美元美元美元
审计意见 ----无保留意见--------带解释段的无保留意见----
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