加拿大市場個股詳情

VUX Vital Energy Inc

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  • 0.245
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延時15分鐘行情已收盤 11/20 16:00 (美東)
2026.15萬總市值-6125市盈率TTM

Vital Energy Inc關鍵統計數據

季報+年報
顯示同比 yoy
隱藏空行 yoy
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
(Q3)2022/09/30
資產
流動資產
現金及現金等價物和短期投資
25.69%413.87萬
-24.24%150.89萬
239.58%711.5萬
239.58%711.5萬
7.78%512.52萬
-44.46%329.28萬
-61.64%199.17萬
26.08%209.52萬
26.08%209.52萬
693.37%475.53萬
-現金和現金等價物
25.69%413.87萬
-24.24%150.89萬
-61.05%11.5萬
-61.05%11.5萬
700.97%512.52萬
117.63%329.28萬
-19.94%199.17萬
-79.74%29.52萬
-79.74%29.52萬
66.64%63.99萬
-短期投資
--0
--0
288.89%700萬
288.89%700萬
--0
--0
--0
777.95%180萬
777.95%180萬
1,810.71%411.54萬
應收款項
74.43%223.91萬
118.74%245.56萬
2.90%172.76萬
2.90%172.76萬
13.46%205.91萬
-43.43%128.37萬
-55.09%112.26萬
-18.13%167.88萬
-18.13%167.88萬
-32.91%181.49萬
-應收賬款
68.78%216.65萬
100.82%225.44萬
-12.77%132.23萬
-12.77%132.23萬
13.46%205.91萬
-43.43%128.37萬
-55.09%112.26萬
-26.08%151.59萬
-26.08%151.59萬
-32.91%181.49萬
-應收稅費
--7.26萬
--20.12萬
148.66%40.53萬
148.66%40.53萬
----
----
----
--16.3萬
--16.3萬
----
預付費用
710.23%40.29萬
197.79%23.44萬
225.42%21.89萬
225.42%21.89萬
-73.72%3.59萬
-90.79%4.97萬
15.21%7.87萬
292.40%6.73萬
292.40%6.73萬
214.01%13.67萬
流動資產合計
46.57%678.07萬
31.50%419.89萬
135.89%906.15萬
135.89%906.15萬
7.66%722.02萬
-47.05%462.61萬
-58.86%319.31萬
2.99%384.13萬
2.99%384.13萬
100.32%670.68萬
非流動資產
固定資產淨額
34.14%2,205.37萬
22.95%2,130.59萬
16.91%2,010.96萬
16.91%2,010.96萬
-13.05%1,597.11萬
24.72%1,644.03萬
53.54%1,732.94萬
43.48%1,720.04萬
43.48%1,720.04萬
67.90%1,836.83萬
-固定資產
26.85%5,947.37萬
21.23%5,676.71萬
19.04%5,455.49萬
19.04%5,455.49萬
9.53%4,758.12萬
24.53%4,688.4萬
33.67%4,682.51萬
30.98%4,582.91萬
30.98%4,582.91萬
24.56%4,344.12萬
-累計折舊
-22.92%-3,742萬
-20.23%-3,546.13萬
-20.32%-3,444.54萬
-20.32%-3,444.54萬
-26.07%-3,161萬
-24.43%-3,044.37萬
-24.22%-2,949.56萬
-24.47%-2,862.87萬
-24.47%-2,862.87萬
-4.75%-2,507.29萬
長期預付費用
1.05%57.52萬
0.79%57.3萬
0.53%57.07萬
0.53%57.07萬
0.66%57萬
0.53%56.92萬
0.65%56.85萬
0.64%56.77萬
0.64%56.77萬
0.50%56.62萬
非流動資產合計
33.04%2,262.9萬
22.24%2,187.89萬
16.39%2,068.03萬
16.39%2,068.03萬
-12.64%1,654.11萬
23.73%1,700.96萬
51.02%1,789.79萬
41.55%1,776.82萬
41.55%1,776.82萬
64.59%1,893.46萬
總資產
35.93%2,940.96萬
23.64%2,607.77萬
37.63%2,974.18萬
37.63%2,974.18萬
-7.33%2,376.13萬
-3.78%2,163.57萬
7.54%2,109.1萬
32.72%2,160.95萬
32.72%2,160.95萬
72.65%2,564.14萬
負債
流動負債
短期借款與資本租賃負債
7,814.27%905.78萬
7,869.93%905.69萬
7,925.40%905.61萬
7,925.40%905.61萬
121.42%11.53萬
169.15%11.44萬
124.93%11.36萬
126.72%11.28萬
126.72%11.28萬
-98.65%5.21萬
-短期借款
14,900.00%900萬
14,900.00%900萬
14,900.00%900萬
14,900.00%900萬
--6萬
--6萬
--6萬
--6萬
--6萬
----
-短期資本租賃負債
6.17%5.78萬
6.17%5.69萬
6.17%5.61萬
6.17%5.61萬
6.17%5.53萬
28.05%5.44萬
6.17%5.36萬
6.17%5.28萬
6.17%5.28萬
6.17%5.21萬
現行撥備
-75.67%5萬
-75.67%5萬
-76.53%5萬
-76.53%5萬
-49.30%15.5萬
-23.40%20.55萬
-20.53%20.55萬
-17.63%21.3萬
-17.63%21.3萬
--30.57萬
遞延負債
----
----
----
----
----
----
----
----
----
-92.22%13.37萬
流動負債總額
706.68%1,267.88萬
716.11%1,127.42萬
510.00%1,531.9萬
510.00%1,531.9萬
-48.06%263.26萬
-34.42%157.17萬
-37.94%138.14萬
5.10%251.13萬
5.10%251.13萬
-28.67%506.83萬
非流動負債
長期借款與租賃負債
-92.08%4,975
-74.25%1.98萬
-62.05%3.43萬
-62.05%3.43萬
-70.32%4.87萬
-66.25%6.28萬
-59.70%7.67萬
-55.52%9.04萬
-55.52%9.04萬
-24.10%16.39萬
-長期借款
----
----
----
----
----
----
----
----
----
0.00%6萬
-長期租賃負債
-92.08%4,975
-74.25%1.98萬
-62.05%3.43萬
-62.05%3.43萬
-53.18%4.87萬
-50.17%6.28萬
-41.15%7.67萬
-36.89%9.04萬
-36.89%9.04萬
-33.37%10.39萬
長期撥備
32.32%275.56萬
29.88%273.84萬
36.80%280.89萬
36.80%280.89萬
23.53%195.03萬
40.49%208.25萬
37.00%210.84萬
32.27%205.33萬
32.27%205.33萬
-13.63%157.88萬
非流動負債總額
28.68%276.06萬
26.22%275.81萬
32.63%284.32萬
32.63%284.32萬
14.70%199.9萬
28.59%214.53萬
26.36%218.51萬
22.10%214.37萬
22.10%214.37萬
-14.73%174.27萬
負債總額
315.37%1,543.93萬
293.44%1,403.23萬
290.16%1,816.22萬
290.16%1,816.22萬
-32.00%463.16萬
-8.56%371.7萬
-9.83%356.66萬
12.30%465.51萬
12.30%465.51萬
-25.56%681.1萬
所有者權益
股本
0.00%3,195.86萬
0.00%3,195.86萬
0.00%3,195.86萬
0.00%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.00%3,174.09萬
-普通股股本
0.00%3,195.86萬
0.00%3,195.86萬
0.00%3,195.86萬
0.00%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.69%3,195.86萬
0.00%3,174.09萬
資本公積
0.00%130.13萬
0.00%130.13萬
0.00%130.13萬
0.00%130.13萬
-7.48%130.13萬
-7.48%130.13萬
-7.48%130.13萬
-7.48%130.13萬
-7.48%130.13萬
0.00%140.65萬
留存收益
-25.74%-1,928.96萬
-34.82%-2,121.44萬
-32.96%-2,168.03萬
-32.96%-2,168.03萬
1.30%-1,413.01萬
-4.17%-1,534.11萬
10.03%-1,573.54萬
22.39%-1,630.54萬
22.39%-1,630.54萬
47.83%-1,431.7萬
股東權益總額
-22.04%1,397.03萬
-31.26%1,204.55萬
-31.70%1,157.96萬
-31.70%1,157.96萬
1.59%1,912.97萬
-2.72%1,791.87萬
11.92%1,752.44萬
39.70%1,695.44萬
39.70%1,695.44萬
230.20%1,883.04萬
總權益
-22.04%1,397.03萬
-31.26%1,204.55萬
-31.70%1,157.96萬
-31.70%1,157.96萬
1.59%1,912.97萬
-2.72%1,791.87萬
11.92%1,752.44萬
39.70%1,695.44萬
39.70%1,695.44萬
230.20%1,883.04萬
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
--
--
帶解釋段的無保留意見
--
--
--
--
無保留意見
--
--
(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31(Q3)2022/09/30
資產
流動資產
現金及現金等價物和短期投資 25.69%413.87萬-24.24%150.89萬239.58%711.5萬239.58%711.5萬7.78%512.52萬-44.46%329.28萬-61.64%199.17萬26.08%209.52萬26.08%209.52萬693.37%475.53萬
-現金和現金等價物 25.69%413.87萬-24.24%150.89萬-61.05%11.5萬-61.05%11.5萬700.97%512.52萬117.63%329.28萬-19.94%199.17萬-79.74%29.52萬-79.74%29.52萬66.64%63.99萬
-短期投資 --0--0288.89%700萬288.89%700萬--0--0--0777.95%180萬777.95%180萬1,810.71%411.54萬
應收款項 74.43%223.91萬118.74%245.56萬2.90%172.76萬2.90%172.76萬13.46%205.91萬-43.43%128.37萬-55.09%112.26萬-18.13%167.88萬-18.13%167.88萬-32.91%181.49萬
-應收賬款 68.78%216.65萬100.82%225.44萬-12.77%132.23萬-12.77%132.23萬13.46%205.91萬-43.43%128.37萬-55.09%112.26萬-26.08%151.59萬-26.08%151.59萬-32.91%181.49萬
-應收稅費 --7.26萬--20.12萬148.66%40.53萬148.66%40.53萬--------------16.3萬--16.3萬----
預付費用 710.23%40.29萬197.79%23.44萬225.42%21.89萬225.42%21.89萬-73.72%3.59萬-90.79%4.97萬15.21%7.87萬292.40%6.73萬292.40%6.73萬214.01%13.67萬
流動資產合計 46.57%678.07萬31.50%419.89萬135.89%906.15萬135.89%906.15萬7.66%722.02萬-47.05%462.61萬-58.86%319.31萬2.99%384.13萬2.99%384.13萬100.32%670.68萬
非流動資產
固定資產淨額 34.14%2,205.37萬22.95%2,130.59萬16.91%2,010.96萬16.91%2,010.96萬-13.05%1,597.11萬24.72%1,644.03萬53.54%1,732.94萬43.48%1,720.04萬43.48%1,720.04萬67.90%1,836.83萬
-固定資產 26.85%5,947.37萬21.23%5,676.71萬19.04%5,455.49萬19.04%5,455.49萬9.53%4,758.12萬24.53%4,688.4萬33.67%4,682.51萬30.98%4,582.91萬30.98%4,582.91萬24.56%4,344.12萬
-累計折舊 -22.92%-3,742萬-20.23%-3,546.13萬-20.32%-3,444.54萬-20.32%-3,444.54萬-26.07%-3,161萬-24.43%-3,044.37萬-24.22%-2,949.56萬-24.47%-2,862.87萬-24.47%-2,862.87萬-4.75%-2,507.29萬
長期預付費用 1.05%57.52萬0.79%57.3萬0.53%57.07萬0.53%57.07萬0.66%57萬0.53%56.92萬0.65%56.85萬0.64%56.77萬0.64%56.77萬0.50%56.62萬
非流動資產合計 33.04%2,262.9萬22.24%2,187.89萬16.39%2,068.03萬16.39%2,068.03萬-12.64%1,654.11萬23.73%1,700.96萬51.02%1,789.79萬41.55%1,776.82萬41.55%1,776.82萬64.59%1,893.46萬
總資產 35.93%2,940.96萬23.64%2,607.77萬37.63%2,974.18萬37.63%2,974.18萬-7.33%2,376.13萬-3.78%2,163.57萬7.54%2,109.1萬32.72%2,160.95萬32.72%2,160.95萬72.65%2,564.14萬
負債
流動負債
短期借款與資本租賃負債 7,814.27%905.78萬7,869.93%905.69萬7,925.40%905.61萬7,925.40%905.61萬121.42%11.53萬169.15%11.44萬124.93%11.36萬126.72%11.28萬126.72%11.28萬-98.65%5.21萬
-短期借款 14,900.00%900萬14,900.00%900萬14,900.00%900萬14,900.00%900萬--6萬--6萬--6萬--6萬--6萬----
-短期資本租賃負債 6.17%5.78萬6.17%5.69萬6.17%5.61萬6.17%5.61萬6.17%5.53萬28.05%5.44萬6.17%5.36萬6.17%5.28萬6.17%5.28萬6.17%5.21萬
現行撥備 -75.67%5萬-75.67%5萬-76.53%5萬-76.53%5萬-49.30%15.5萬-23.40%20.55萬-20.53%20.55萬-17.63%21.3萬-17.63%21.3萬--30.57萬
遞延負債 -------------------------------------92.22%13.37萬
流動負債總額 706.68%1,267.88萬716.11%1,127.42萬510.00%1,531.9萬510.00%1,531.9萬-48.06%263.26萬-34.42%157.17萬-37.94%138.14萬5.10%251.13萬5.10%251.13萬-28.67%506.83萬
非流動負債
長期借款與租賃負債 -92.08%4,975-74.25%1.98萬-62.05%3.43萬-62.05%3.43萬-70.32%4.87萬-66.25%6.28萬-59.70%7.67萬-55.52%9.04萬-55.52%9.04萬-24.10%16.39萬
-長期借款 ------------------------------------0.00%6萬
-長期租賃負債 -92.08%4,975-74.25%1.98萬-62.05%3.43萬-62.05%3.43萬-53.18%4.87萬-50.17%6.28萬-41.15%7.67萬-36.89%9.04萬-36.89%9.04萬-33.37%10.39萬
長期撥備 32.32%275.56萬29.88%273.84萬36.80%280.89萬36.80%280.89萬23.53%195.03萬40.49%208.25萬37.00%210.84萬32.27%205.33萬32.27%205.33萬-13.63%157.88萬
非流動負債總額 28.68%276.06萬26.22%275.81萬32.63%284.32萬32.63%284.32萬14.70%199.9萬28.59%214.53萬26.36%218.51萬22.10%214.37萬22.10%214.37萬-14.73%174.27萬
負債總額 315.37%1,543.93萬293.44%1,403.23萬290.16%1,816.22萬290.16%1,816.22萬-32.00%463.16萬-8.56%371.7萬-9.83%356.66萬12.30%465.51萬12.30%465.51萬-25.56%681.1萬
所有者權益
股本 0.00%3,195.86萬0.00%3,195.86萬0.00%3,195.86萬0.00%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.00%3,174.09萬
-普通股股本 0.00%3,195.86萬0.00%3,195.86萬0.00%3,195.86萬0.00%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.69%3,195.86萬0.00%3,174.09萬
資本公積 0.00%130.13萬0.00%130.13萬0.00%130.13萬0.00%130.13萬-7.48%130.13萬-7.48%130.13萬-7.48%130.13萬-7.48%130.13萬-7.48%130.13萬0.00%140.65萬
留存收益 -25.74%-1,928.96萬-34.82%-2,121.44萬-32.96%-2,168.03萬-32.96%-2,168.03萬1.30%-1,413.01萬-4.17%-1,534.11萬10.03%-1,573.54萬22.39%-1,630.54萬22.39%-1,630.54萬47.83%-1,431.7萬
股東權益總額 -22.04%1,397.03萬-31.26%1,204.55萬-31.70%1,157.96萬-31.70%1,157.96萬1.59%1,912.97萬-2.72%1,791.87萬11.92%1,752.44萬39.70%1,695.44萬39.70%1,695.44萬230.20%1,883.04萬
總權益 -22.04%1,397.03萬-31.26%1,204.55萬-31.70%1,157.96萬-31.70%1,157.96萬1.59%1,912.97萬-2.72%1,791.87萬11.92%1,752.44萬39.70%1,695.44萬39.70%1,695.44萬230.20%1,883.04萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ----帶解釋段的無保留意見--------無保留意見----

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

熱議
加拿大
綜合熱度
股票代碼
最新價
升跌幅

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