美股市場個股詳情

AMPYW AMPLIFY ENERGY CORP C/WTS 04/05/2022(TO PUR COM)

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延時15分鐘行情收盤價 07/25 09:30 (美東)
0總市值0.00市盈率TTM

AMPLIFY ENERGY CORP C/WTS 04/05/2022(TO PUR COM)關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2021/12/31
(Q4)2021/12/31
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
(Q2)2020/06/30
(Q1)2020/03/31
資產
流動資產
現金及現金等價物和短期投資
81.39%1,879.9萬
81.39%1,879.9萬
28.27%1,734.4萬
14.76%1,515萬
787.06%1,680.1萬
--1,036.4萬
--1,036.4萬
82.52%1,352.1萬
175.21%1,320.2萬
164.16%189.4萬
-現金和現金等價物
81.39%1,879.9萬
81.39%1,879.9萬
28.27%1,734.4萬
14.76%1,515萬
787.06%1,680.1萬
--1,036.4萬
--1,036.4萬
82.52%1,352.1萬
175.21%1,320.2萬
164.16%189.4萬
應收款項
197.62%9,196.7萬
197.62%9,196.7萬
66.31%4,474.8萬
46.13%3,964.7萬
43.68%3,542.4萬
-6.77%3,090.1萬
-6.77%3,090.1萬
-17.35%2,690.7萬
88.95%2,713.2萬
22.36%2,465.4萬
-應收賬款
26.47%3,242.8萬
26.47%3,242.8萬
66.31%4,474.8萬
46.13%3,964.7萬
43.68%3,542.4萬
-22.64%2,564萬
-22.64%2,564萬
-17.35%2,690.7萬
127.62%2,713.2萬
40.73%2,465.4萬
-應收關聯方款項
-20.47%540.9萬
-20.47%540.9萬
----
----
----
--680.1萬
--680.1萬
----
----
----
-其他應收款
--5,576.5萬
--5,576.5萬
----
----
----
----
----
----
----
----
-應收賬款調整額
-6.17%-163.5萬
-6.17%-163.5萬
----
----
----
---154萬
---154萬
----
----
----
預付費用
-3.56%1,501.8萬
-3.56%1,501.8萬
-11.66%1,074萬
2.84%1,257萬
7.62%1,229.7萬
17.63%1,557.2萬
17.63%1,557.2萬
-23.63%1,215.8萬
--1,222.3萬
--1,142.6萬
受限制現金
----
----
----
----
----
----
----
--0
--0
--0
流動資產合計
121.31%1.26億
121.31%1.26億
16.53%7,283.2萬
-20.53%6,736.7萬
-44.56%6,452.2萬
8.08%5,683.7萬
8.08%5,683.7萬
-18.74%6,250.2萬
273.05%8,477.3萬
390.87%1.16億
非流動資產
固定資產淨額
1.02%3.23億
1.02%3.23億
-6.46%3.26億
-8.89%3.21億
-9.85%3.18億
-60.43%3.2億
-60.43%3.2億
-56.90%3.49億
-30.70%3.52億
-35.00%3.53億
-固定資產
3.04%9.57億
3.04%9.57億
2.93%9.54億
2.09%9.42億
2.09%9.35億
-2.16%9.29億
-2.16%9.29億
-1.25%9.27億
9.79%9.23億
10.22%9.16億
-累計折舊
-4.10%-6.34億
-4.10%-6.34億
-8.59%-6.28億
-8.88%-6.21億
-9.59%-6.17億
-331.01%-6.09億
-331.01%-6.09億
-346.61%-5.78億
-71.81%-5.7億
-95.66%-5.63億
關聯方資產
-20.47%540.9萬
-20.47%540.9萬
----
----
----
--680.1萬
--680.1萬
----
----
----
金融資產
--0
--0
--0
--0
-94.46%152.2萬
-86.28%87.3萬
-86.28%87.3萬
-82.99%301.4萬
8,357.41%913.4萬
--2,745.5萬
其他非流動資產
-13.53%631.5萬
-13.53%631.5萬
-7.51%683.5萬
-6.60%696.8萬
-29.43%716.4萬
-30.17%730.3萬
-30.17%730.3萬
-31.04%739萬
37.26%746萬
76.17%1,015.1萬
非流動資產合計
0.43%3.29億
0.43%3.29億
-7.27%3.33億
-11.10%3.28億
-16.30%3.27億
-60.25%3.28億
-60.25%3.28億
-57.12%3.59億
-28.21%3.69億
-28.84%3.91億
總資產
18.28%4.55億
18.28%4.55億
-3.74%4.06億
-12.86%3.95億
-22.79%3.92億
-56.15%3.85億
-56.15%3.85億
-53.89%4.22億
-15.46%4.54億
-11.47%5.07億
負債
流動負債
應付款項
120.43%5,747萬
120.43%5,747萬
17.97%3,407.8萬
24.93%3,715.3萬
7.87%3,469.8萬
-31.38%2,607.2萬
-31.38%2,607.2萬
-19.24%2,888.6萬
495.24%2,973.8萬
551.02%3,216.7萬
-應付賬款
4,137.97%3,381.9萬
4,137.97%3,381.9萬
291.04%916.6萬
155.45%1,438.2萬
61.24%636.4萬
-90.40%79.8萬
-90.40%79.8萬
-63.78%234.4萬
38.64%563萬
11.62%394.7萬
-應付稅費
20.88%327.7萬
20.88%327.7萬
62.56%381.7萬
130.65%361.2萬
208.46%339萬
421.35%271.1萬
421.35%271.1萬
-7.60%234.8萬
67.49%156.6萬
-21.78%109.9萬
-其他應付款
-9.70%2,037.4萬
-9.70%2,037.4萬
-12.81%2,109.5萬
-15.01%1,915.9萬
-8.03%2,494.4萬
-22.64%2,256.3萬
-22.64%2,256.3萬
-9.57%2,419.4萬
--2,254.2萬
--2,712.1萬
應計費用
423.54%4,348.5萬
423.54%4,348.5萬
140.27%1,220.8萬
162.36%1,249.6萬
-27.68%671.4萬
-4.63%830.6萬
-4.63%830.6萬
-49.27%508.1萬
-63.37%476.3萬
-40.55%928.4萬
現行撥備
139.62%101.6萬
139.62%101.6萬
109.24%74.7萬
19.90%74.7萬
-31.94%42.4萬
-31.94%42.4萬
-31.94%42.4萬
-25.16%35.7萬
--62.3萬
--62.3萬
短期借款與租賃負債
-10.57%1,004.8萬
-10.57%1,004.8萬
-29.56%1,146.6萬
-70.20%920.5萬
-22.27%1,002.2萬
-16.81%1,123.6萬
-16.81%1,123.6萬
22.45%1,627.7萬
515.36%3,088.5萬
219.55%1,289.4萬
-短期借款
----
----
----
----
----
----
----
--500萬
--2,000萬
----
-短期租賃負債
-10.57%1,004.8萬
-10.57%1,004.8萬
1.68%1,146.6萬
-15.43%920.5萬
-22.27%1,002.2萬
-16.81%1,123.6萬
-16.81%1,123.6萬
-15.17%1,127.7萬
116.88%1,088.5萬
219.55%1,289.4萬
其他流動負債
390.98%5,314.4萬
390.98%5,314.4萬
10,536.01%8,359.9萬
7,934.52%6,307.1萬
4,304.49%3,039.1萬
4,178.26%1,082.4萬
4,178.26%1,082.4萬
276.08%78.6萬
138.60%78.5萬
-24.01%69萬
流動負債總額
190.46%1.65億
190.46%1.65億
176.53%1.42億
83.66%1.23億
47.78%8,224.9萬
-6.92%5,686.2萬
-6.92%5,686.2萬
-14.01%5,138.7萬
154.75%6,679.4萬
101.27%5,565.8萬
非流動負債
長期撥備
5.87%1.02億
5.87%1.02億
6.09%1.01億
6.25%9,941.2萬
6.76%9,820.1萬
6.92%9,672.5萬
6.92%9,672.5萬
6.93%9,527.5萬
1,013.37%9,356.8萬
1,015.71%9,197.9萬
長期借款與租賃負債
-11.03%2.32億
-11.03%2.32億
-12.85%2.32億
-11.83%2.35億
-12.33%2.56億
-9.36%2.61億
-9.36%2.61億
-5.28%2.66億
314.09%2.67億
362.60%2.92億
-長期借款
-11.71%2.3億
-11.71%2.3億
-13.38%2.3億
-11.49%2.35億
-11.89%2.56億
-8.59%2.61億
-8.59%2.61億
-4.49%2.66億
338.44%2.66億
391.03%2.9億
-長期租賃負債
658.27%201.7萬
658.27%201.7萬
149.94%213.2萬
-77.70%30.1萬
-78.75%40.4萬
-90.22%26.6萬
-90.22%26.6萬
-73.46%85.3萬
-65.27%135萬
-52.96%190.1萬
衍生品負債
1,040.97%966.4萬
1,040.97%966.4萬
1,443.04%2,083.1萬
867.76%1,773.9萬
179.93%535.5萬
177.70%84.7萬
177.70%84.7萬
176.07%135萬
--183.3萬
662.15%191.3萬
其他非流動負債
226.19%1,069.9萬
226.19%1,069.9萬
203.02%993萬
125.01%757.6萬
-13.16%310.7萬
-12.60%328萬
-12.60%328萬
-18.38%327.7萬
--336.7萬
--357.8萬
非流動負債總額
-1.90%3.55億
-1.90%3.55億
-0.63%3.64億
-1.53%3.6億
-6.88%3.63億
-5.39%3.62億
-5.39%3.62億
-2.28%3.66億
401.90%3.66億
443.85%3.89億
總負債
24.24%5.2億
24.24%5.2億
21.17%5.06億
11.63%4.83億
-0.04%4.45億
-5.60%4.18億
-5.60%4.18億
-3.89%4.18億
336.49%4.32億
348.40%4.45億
所有者權益
股本
1.06%38.2萬
1.06%38.2萬
81.82%38萬
82.30%38.1萬
82.30%38.1萬
80.86%37.8萬
80.86%37.8萬
0.00%20.9萬
1.46%20.9萬
1.46%20.9萬
-普通股股本
1.06%38.2萬
1.06%38.2萬
81.82%38萬
82.30%38.1萬
82.30%38.1萬
80.86%37.8萬
80.86%37.8萬
0.00%20.9萬
1.46%20.9萬
1.46%20.9萬
-優先股股本
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
留存收益
-6.93%-4.95億
-6.93%-4.95億
-24.84%-5.31億
-26.96%-5.17億
-31.72%-4.82億
-9,727.93%-4.63億
-9,727.93%-4.63億
-1,162.28%-4.25億
-408.64%-4.08億
-748.22%-3.66億
資本公積
0.23%4.25億
0.23%4.25億
0.30%4.26億
0.25%4.25億
0.15%4.24億
-0.07%4.24億
-0.07%4.24億
-2.48%4.24億
-12.24%4.24億
-12.17%4.23億
其他權益
0.00%478.8萬
0.00%478.8萬
0.00%478.8萬
0.00%478.8萬
-0.04%478.8萬
-0.04%478.8萬
-0.04%478.8萬
-0.04%478.8萬
-87.17%478.8萬
-87.17%479萬
股東權益總額
-92.20%-6,484.1萬
-92.20%-6,484.1萬
-2,581.44%-1億
-511.08%-8,737.5萬
-185.79%-5,327.4萬
-107.77%-3,373.7萬
-107.77%-3,373.7萬
-99.16%403.6萬
-95.14%2,125.5萬
-86.89%6,209.6萬
總權益
-92.20%-6,484.1萬
-92.20%-6,484.1萬
-2,581.44%-1億
-511.08%-8,737.5萬
-185.79%-5,327.4萬
-107.77%-3,373.7萬
-107.77%-3,373.7萬
-99.16%403.6萬
-95.14%2,125.5萬
-86.89%6,209.6萬
貨幣單位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
無保留意見
--
--
--
--
無保留意見
--
--
--
--
(FY)2021/12/31(Q4)2021/12/31(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30(Q2)2020/06/30(Q1)2020/03/31
資產
流動資產
現金及現金等價物和短期投資 81.39%1,879.9萬81.39%1,879.9萬28.27%1,734.4萬14.76%1,515萬787.06%1,680.1萬--1,036.4萬--1,036.4萬82.52%1,352.1萬175.21%1,320.2萬164.16%189.4萬
-現金和現金等價物 81.39%1,879.9萬81.39%1,879.9萬28.27%1,734.4萬14.76%1,515萬787.06%1,680.1萬--1,036.4萬--1,036.4萬82.52%1,352.1萬175.21%1,320.2萬164.16%189.4萬
應收款項 197.62%9,196.7萬197.62%9,196.7萬66.31%4,474.8萬46.13%3,964.7萬43.68%3,542.4萬-6.77%3,090.1萬-6.77%3,090.1萬-17.35%2,690.7萬88.95%2,713.2萬22.36%2,465.4萬
-應收賬款 26.47%3,242.8萬26.47%3,242.8萬66.31%4,474.8萬46.13%3,964.7萬43.68%3,542.4萬-22.64%2,564萬-22.64%2,564萬-17.35%2,690.7萬127.62%2,713.2萬40.73%2,465.4萬
-應收關聯方款項 -20.47%540.9萬-20.47%540.9萬--------------680.1萬--680.1萬------------
-其他應收款 --5,576.5萬--5,576.5萬--------------------------------
-應收賬款調整額 -6.17%-163.5萬-6.17%-163.5萬---------------154萬---154萬------------
預付費用 -3.56%1,501.8萬-3.56%1,501.8萬-11.66%1,074萬2.84%1,257萬7.62%1,229.7萬17.63%1,557.2萬17.63%1,557.2萬-23.63%1,215.8萬--1,222.3萬--1,142.6萬
受限制現金 ------------------------------0--0--0
流動資產合計 121.31%1.26億121.31%1.26億16.53%7,283.2萬-20.53%6,736.7萬-44.56%6,452.2萬8.08%5,683.7萬8.08%5,683.7萬-18.74%6,250.2萬273.05%8,477.3萬390.87%1.16億
非流動資產
固定資產淨額 1.02%3.23億1.02%3.23億-6.46%3.26億-8.89%3.21億-9.85%3.18億-60.43%3.2億-60.43%3.2億-56.90%3.49億-30.70%3.52億-35.00%3.53億
-固定資產 3.04%9.57億3.04%9.57億2.93%9.54億2.09%9.42億2.09%9.35億-2.16%9.29億-2.16%9.29億-1.25%9.27億9.79%9.23億10.22%9.16億
-累計折舊 -4.10%-6.34億-4.10%-6.34億-8.59%-6.28億-8.88%-6.21億-9.59%-6.17億-331.01%-6.09億-331.01%-6.09億-346.61%-5.78億-71.81%-5.7億-95.66%-5.63億
關聯方資產 -20.47%540.9萬-20.47%540.9萬--------------680.1萬--680.1萬------------
金融資產 --0--0--0--0-94.46%152.2萬-86.28%87.3萬-86.28%87.3萬-82.99%301.4萬8,357.41%913.4萬--2,745.5萬
其他非流動資產 -13.53%631.5萬-13.53%631.5萬-7.51%683.5萬-6.60%696.8萬-29.43%716.4萬-30.17%730.3萬-30.17%730.3萬-31.04%739萬37.26%746萬76.17%1,015.1萬
非流動資產合計 0.43%3.29億0.43%3.29億-7.27%3.33億-11.10%3.28億-16.30%3.27億-60.25%3.28億-60.25%3.28億-57.12%3.59億-28.21%3.69億-28.84%3.91億
總資產 18.28%4.55億18.28%4.55億-3.74%4.06億-12.86%3.95億-22.79%3.92億-56.15%3.85億-56.15%3.85億-53.89%4.22億-15.46%4.54億-11.47%5.07億
負債
流動負債
應付款項 120.43%5,747萬120.43%5,747萬17.97%3,407.8萬24.93%3,715.3萬7.87%3,469.8萬-31.38%2,607.2萬-31.38%2,607.2萬-19.24%2,888.6萬495.24%2,973.8萬551.02%3,216.7萬
-應付賬款 4,137.97%3,381.9萬4,137.97%3,381.9萬291.04%916.6萬155.45%1,438.2萬61.24%636.4萬-90.40%79.8萬-90.40%79.8萬-63.78%234.4萬38.64%563萬11.62%394.7萬
-應付稅費 20.88%327.7萬20.88%327.7萬62.56%381.7萬130.65%361.2萬208.46%339萬421.35%271.1萬421.35%271.1萬-7.60%234.8萬67.49%156.6萬-21.78%109.9萬
-其他應付款 -9.70%2,037.4萬-9.70%2,037.4萬-12.81%2,109.5萬-15.01%1,915.9萬-8.03%2,494.4萬-22.64%2,256.3萬-22.64%2,256.3萬-9.57%2,419.4萬--2,254.2萬--2,712.1萬
應計費用 423.54%4,348.5萬423.54%4,348.5萬140.27%1,220.8萬162.36%1,249.6萬-27.68%671.4萬-4.63%830.6萬-4.63%830.6萬-49.27%508.1萬-63.37%476.3萬-40.55%928.4萬
現行撥備 139.62%101.6萬139.62%101.6萬109.24%74.7萬19.90%74.7萬-31.94%42.4萬-31.94%42.4萬-31.94%42.4萬-25.16%35.7萬--62.3萬--62.3萬
短期借款與租賃負債 -10.57%1,004.8萬-10.57%1,004.8萬-29.56%1,146.6萬-70.20%920.5萬-22.27%1,002.2萬-16.81%1,123.6萬-16.81%1,123.6萬22.45%1,627.7萬515.36%3,088.5萬219.55%1,289.4萬
-短期借款 ------------------------------500萬--2,000萬----
-短期租賃負債 -10.57%1,004.8萬-10.57%1,004.8萬1.68%1,146.6萬-15.43%920.5萬-22.27%1,002.2萬-16.81%1,123.6萬-16.81%1,123.6萬-15.17%1,127.7萬116.88%1,088.5萬219.55%1,289.4萬
其他流動負債 390.98%5,314.4萬390.98%5,314.4萬10,536.01%8,359.9萬7,934.52%6,307.1萬4,304.49%3,039.1萬4,178.26%1,082.4萬4,178.26%1,082.4萬276.08%78.6萬138.60%78.5萬-24.01%69萬
流動負債總額 190.46%1.65億190.46%1.65億176.53%1.42億83.66%1.23億47.78%8,224.9萬-6.92%5,686.2萬-6.92%5,686.2萬-14.01%5,138.7萬154.75%6,679.4萬101.27%5,565.8萬
非流動負債
長期撥備 5.87%1.02億5.87%1.02億6.09%1.01億6.25%9,941.2萬6.76%9,820.1萬6.92%9,672.5萬6.92%9,672.5萬6.93%9,527.5萬1,013.37%9,356.8萬1,015.71%9,197.9萬
長期借款與租賃負債 -11.03%2.32億-11.03%2.32億-12.85%2.32億-11.83%2.35億-12.33%2.56億-9.36%2.61億-9.36%2.61億-5.28%2.66億314.09%2.67億362.60%2.92億
-長期借款 -11.71%2.3億-11.71%2.3億-13.38%2.3億-11.49%2.35億-11.89%2.56億-8.59%2.61億-8.59%2.61億-4.49%2.66億338.44%2.66億391.03%2.9億
-長期租賃負債 658.27%201.7萬658.27%201.7萬149.94%213.2萬-77.70%30.1萬-78.75%40.4萬-90.22%26.6萬-90.22%26.6萬-73.46%85.3萬-65.27%135萬-52.96%190.1萬
衍生品負債 1,040.97%966.4萬1,040.97%966.4萬1,443.04%2,083.1萬867.76%1,773.9萬179.93%535.5萬177.70%84.7萬177.70%84.7萬176.07%135萬--183.3萬662.15%191.3萬
其他非流動負債 226.19%1,069.9萬226.19%1,069.9萬203.02%993萬125.01%757.6萬-13.16%310.7萬-12.60%328萬-12.60%328萬-18.38%327.7萬--336.7萬--357.8萬
非流動負債總額 -1.90%3.55億-1.90%3.55億-0.63%3.64億-1.53%3.6億-6.88%3.63億-5.39%3.62億-5.39%3.62億-2.28%3.66億401.90%3.66億443.85%3.89億
總負債 24.24%5.2億24.24%5.2億21.17%5.06億11.63%4.83億-0.04%4.45億-5.60%4.18億-5.60%4.18億-3.89%4.18億336.49%4.32億348.40%4.45億
所有者權益
股本 1.06%38.2萬1.06%38.2萬81.82%38萬82.30%38.1萬82.30%38.1萬80.86%37.8萬80.86%37.8萬0.00%20.9萬1.46%20.9萬1.46%20.9萬
-普通股股本 1.06%38.2萬1.06%38.2萬81.82%38萬82.30%38.1萬82.30%38.1萬80.86%37.8萬80.86%37.8萬0.00%20.9萬1.46%20.9萬1.46%20.9萬
-優先股股本 --0--0--0--0--0--0--0--0--0--0
留存收益 -6.93%-4.95億-6.93%-4.95億-24.84%-5.31億-26.96%-5.17億-31.72%-4.82億-9,727.93%-4.63億-9,727.93%-4.63億-1,162.28%-4.25億-408.64%-4.08億-748.22%-3.66億
資本公積 0.23%4.25億0.23%4.25億0.30%4.26億0.25%4.25億0.15%4.24億-0.07%4.24億-0.07%4.24億-2.48%4.24億-12.24%4.24億-12.17%4.23億
其他權益 0.00%478.8萬0.00%478.8萬0.00%478.8萬0.00%478.8萬-0.04%478.8萬-0.04%478.8萬-0.04%478.8萬-0.04%478.8萬-87.17%478.8萬-87.17%479萬
股東權益總額 -92.20%-6,484.1萬-92.20%-6,484.1萬-2,581.44%-1億-511.08%-8,737.5萬-185.79%-5,327.4萬-107.77%-3,373.7萬-107.77%-3,373.7萬-99.16%403.6萬-95.14%2,125.5萬-86.89%6,209.6萬
總權益 -92.20%-6,484.1萬-92.20%-6,484.1萬-2,581.44%-1億-511.08%-8,737.5萬-185.79%-5,327.4萬-107.77%-3,373.7萬-107.77%-3,373.7萬-99.16%403.6萬-95.14%2,125.5萬-86.89%6,209.6萬
貨幣單位 美元美元美元美元美元美元美元美元美元美元
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 無保留意見--------無保留意見--------

分析

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目標價預測

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