CA Stock MarketDetailed Quotes

TPC Tenth Avenue Petroleum Corp

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  • 0.140
  • +0.030+27.27%
15min DelayMarket Closed Oct 3 16:00 ET
5.59MMarket Cap-4666P/E (TTM)

Tenth Avenue Petroleum Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-33.84%240.48K
-85.82%80.76K
-68.88%219.12K
-68.88%219.12K
-65.15%295.03K
-65.97%363.5K
-80.37%569.46K
1,523.67%704.22K
1,523.67%704.22K
2,016.62%846.65K
-Cash and cash equivalents
-33.84%240.48K
-85.82%80.76K
-68.88%219.12K
-68.88%219.12K
-65.15%295.03K
-65.97%363.5K
-80.37%569.46K
1,523.67%704.22K
1,523.67%704.22K
2,016.62%846.65K
-Accounts receivable
-24.46%193.9K
-29.76%284.11K
-5.05%227.27K
-5.05%227.27K
98.75%487.46K
-61.57%256.68K
-12.91%404.48K
164.53%239.37K
164.53%239.37K
--245.27K
-Due from related parties current
--60.05K
--40.15K
-73.83%27.1K
-73.83%27.1K
----
----
----
--103.55K
--103.55K
----
Total current assets
0.04%915.09K
-41.86%718.99K
-38.63%840.27K
-38.63%840.27K
-13.51%1.08M
-48.50%914.7K
-63.81%1.24M
922.93%1.37M
922.93%1.37M
3,021.41%1.25M
Non current assets
-Accumulated depreciation
-37.45%-4.06M
-40.52%-3.89M
-49.08%-3.8M
-49.08%-3.8M
-526.98%-3.15M
-716.92%-2.96M
-1,296.23%-2.77M
-2,508.89%-2.55M
-2,508.89%-2.55M
---503.05K
-Including:Held to maturity investments
--47.39K
--0
--68.6K
--68.6K
--24.47K
----
----
--0
--0
----
Regulatory assets
73.21%444.59K
17.98%477.22K
-13.10%382.59K
-13.10%382.59K
98.75%487.46K
-61.57%256.68K
-12.91%404.48K
386.52%440.24K
386.52%440.24K
--245.27K
Total assets
--4.23K
--0
--0
--0
----
----
----
--29.44K
--29.44K
----
Liabilities
Current liabilities
-Total tax payable
3.62%3.5M
-0.94%3.35M
7.69%3.51M
7.69%3.51M
7.22%3.16M
42.74%3.38M
26.48%3.38M
217.04%3.26M
217.04%3.26M
3,084.39%2.95M
-Other payable
--60.08K
--59.29K
5.05%58.54K
5.05%58.54K
----
----
----
--55.72K
--55.72K
----
Current liabilities
38.28%1.17M
-13.30%685.77K
-19.65%740.3K
-19.65%740.3K
1,055.37%997.41K
703.97%846.72K
-72.08%790.99K
1,124.95%921.34K
1,124.95%921.34K
--86.33K
Non current liabilities
Non current accrued expenses
-12.60%4.98M
-16.13%4.74M
-11.07%5.02M
-11.07%5.02M
-22.65%5.33M
1.60%5.7M
-2.98%5.66M
225.30%5.64M
225.30%5.64M
776.56%6.89M
Total non current liabilities
10.56%4.67M
-3.29%4.03M
1.66%4.25M
1.66%4.25M
37.02%4.16M
70.91%4.23M
-24.25%4.17M
278.93%4.18M
278.93%4.18M
1,562.50%3.04M
Shareholders'equity
Share capital
0.00%17.68M
0.00%17.68M
0.17%17.68M
0.17%17.68M
0.26%17.68M
2.35%17.68M
6.99%17.68M
31.37%17.65M
31.37%17.65M
31.92%17.64M
-common stock
0.00%17.68M
0.00%17.68M
0.17%17.68M
0.17%17.68M
0.26%17.68M
2.35%17.68M
6.99%17.68M
31.37%17.65M
31.37%17.65M
31.92%17.64M
Additional paid-in capital
0.19%10.74M
1.22%10.72M
1.52%10.67M
1.52%10.67M
2.69%10.76M
3.10%10.72M
4.28%10.59M
3.13%10.51M
3.13%10.51M
2.82%10.48M
Total equity
-9.95%5.96M
-19.88%5.52M
-16.29%5.92M
-16.29%5.92M
-21.25%6.41M
-10.44%6.62M
-25.45%6.89M
278.26%7.07M
278.26%7.07M
885.31%8.14M
(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -33.84%240.48K-85.82%80.76K-68.88%219.12K-68.88%219.12K-65.15%295.03K-65.97%363.5K-80.37%569.46K1,523.67%704.22K1,523.67%704.22K2,016.62%846.65K
-Cash and cash equivalents -33.84%240.48K-85.82%80.76K-68.88%219.12K-68.88%219.12K-65.15%295.03K-65.97%363.5K-80.37%569.46K1,523.67%704.22K1,523.67%704.22K2,016.62%846.65K
-Accounts receivable -24.46%193.9K-29.76%284.11K-5.05%227.27K-5.05%227.27K98.75%487.46K-61.57%256.68K-12.91%404.48K164.53%239.37K164.53%239.37K--245.27K
-Due from related parties current --60.05K--40.15K-73.83%27.1K-73.83%27.1K--------------103.55K--103.55K----
Total current assets 0.04%915.09K-41.86%718.99K-38.63%840.27K-38.63%840.27K-13.51%1.08M-48.50%914.7K-63.81%1.24M922.93%1.37M922.93%1.37M3,021.41%1.25M
Non current assets
-Accumulated depreciation -37.45%-4.06M-40.52%-3.89M-49.08%-3.8M-49.08%-3.8M-526.98%-3.15M-716.92%-2.96M-1,296.23%-2.77M-2,508.89%-2.55M-2,508.89%-2.55M---503.05K
-Including:Held to maturity investments --47.39K--0--68.6K--68.6K--24.47K----------0--0----
Regulatory assets 73.21%444.59K17.98%477.22K-13.10%382.59K-13.10%382.59K98.75%487.46K-61.57%256.68K-12.91%404.48K386.52%440.24K386.52%440.24K--245.27K
Total assets --4.23K--0--0--0--------------29.44K--29.44K----
Liabilities
Current liabilities
-Total tax payable 3.62%3.5M-0.94%3.35M7.69%3.51M7.69%3.51M7.22%3.16M42.74%3.38M26.48%3.38M217.04%3.26M217.04%3.26M3,084.39%2.95M
-Other payable --60.08K--59.29K5.05%58.54K5.05%58.54K--------------55.72K--55.72K----
Current liabilities 38.28%1.17M-13.30%685.77K-19.65%740.3K-19.65%740.3K1,055.37%997.41K703.97%846.72K-72.08%790.99K1,124.95%921.34K1,124.95%921.34K--86.33K
Non current liabilities
Non current accrued expenses -12.60%4.98M-16.13%4.74M-11.07%5.02M-11.07%5.02M-22.65%5.33M1.60%5.7M-2.98%5.66M225.30%5.64M225.30%5.64M776.56%6.89M
Total non current liabilities 10.56%4.67M-3.29%4.03M1.66%4.25M1.66%4.25M37.02%4.16M70.91%4.23M-24.25%4.17M278.93%4.18M278.93%4.18M1,562.50%3.04M
Shareholders'equity
Share capital 0.00%17.68M0.00%17.68M0.17%17.68M0.17%17.68M0.26%17.68M2.35%17.68M6.99%17.68M31.37%17.65M31.37%17.65M31.92%17.64M
-common stock 0.00%17.68M0.00%17.68M0.17%17.68M0.17%17.68M0.26%17.68M2.35%17.68M6.99%17.68M31.37%17.65M31.37%17.65M31.92%17.64M
Additional paid-in capital 0.19%10.74M1.22%10.72M1.52%10.67M1.52%10.67M2.69%10.76M3.10%10.72M4.28%10.59M3.13%10.51M3.13%10.51M2.82%10.48M
Total equity -9.95%5.96M-19.88%5.52M-16.29%5.92M-16.29%5.92M-21.25%6.41M-10.44%6.62M-25.45%6.89M278.26%7.07M278.26%7.07M885.31%8.14M

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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