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VUX Vital Energy Inc

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  • 0.245
  • 0.0000.00%
15min DelayTrading Nov 25 11:34 ET
20.26MMarket Cap-6125P/E (TTM)

Vital Energy Inc 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
25.69%4.14M
-24.24%1.51M
239.58%7.11M
239.58%7.11M
7.78%5.13M
-44.46%3.29M
-61.64%1.99M
26.08%2.1M
26.08%2.1M
693.37%4.76M
-Cash and cash equivalents
25.69%4.14M
-24.24%1.51M
-61.05%114.98K
-61.05%114.98K
700.97%5.13M
117.63%3.29M
-19.94%1.99M
-79.74%295.2K
-79.74%295.2K
66.64%639.87K
-Short term investments
--0
--0
288.89%7M
288.89%7M
--0
--0
--0
777.95%1.8M
777.95%1.8M
1,810.71%4.12M
Receivables
74.43%2.24M
118.74%2.46M
2.90%1.73M
2.90%1.73M
13.46%2.06M
-43.43%1.28M
-55.09%1.12M
-18.13%1.68M
-18.13%1.68M
-32.91%1.81M
-Accounts receivable
68.78%2.17M
100.82%2.25M
-12.77%1.32M
-12.77%1.32M
13.46%2.06M
-43.43%1.28M
-55.09%1.12M
-26.08%1.52M
-26.08%1.52M
-32.91%1.81M
-Taxes receivable
--72.6K
--201.19K
148.66%405.27K
148.66%405.27K
----
----
----
--162.98K
--162.98K
----
Prepaid assets
710.23%402.86K
197.79%234.41K
225.42%218.94K
225.42%218.94K
-73.72%35.92K
-90.79%49.72K
15.21%78.72K
292.40%67.28K
292.40%67.28K
214.01%136.66K
Total current assets
46.57%6.78M
31.50%4.2M
135.89%9.06M
135.89%9.06M
7.66%7.22M
-47.05%4.63M
-58.86%3.19M
2.99%3.84M
2.99%3.84M
100.32%6.71M
Non current assets
Net PPE
34.14%22.05M
22.95%21.31M
16.91%20.11M
16.91%20.11M
-13.05%15.97M
24.72%16.44M
53.54%17.33M
43.48%17.2M
43.48%17.2M
67.90%18.37M
-Gross PPE
26.85%59.47M
21.23%56.77M
19.04%54.55M
19.04%54.55M
9.53%47.58M
24.53%46.88M
33.67%46.83M
30.98%45.83M
30.98%45.83M
24.56%43.44M
-Accumulated depreciation
-22.92%-37.42M
-20.23%-35.46M
-20.32%-34.45M
-20.32%-34.45M
-26.07%-31.61M
-24.43%-30.44M
-24.22%-29.5M
-24.47%-28.63M
-24.47%-28.63M
-4.75%-25.07M
Non current prepaid assets
1.05%575.23K
0.79%572.98K
0.53%570.73K
0.53%570.73K
0.66%569.98K
0.53%569.23K
0.65%568.48K
0.64%567.73K
0.64%567.73K
0.50%566.23K
Total non current assets
33.04%22.63M
22.24%21.88M
16.39%20.68M
16.39%20.68M
-12.64%16.54M
23.73%17.01M
51.02%17.9M
41.55%17.77M
41.55%17.77M
64.59%18.93M
Total assets
35.93%29.41M
23.64%26.08M
37.63%29.74M
37.63%29.74M
-7.33%23.76M
-3.78%21.64M
7.54%21.09M
32.72%21.61M
32.72%21.61M
72.65%25.64M
Liabilities
Current liabilities
Current debt and capital lease obligation
7,814.27%9.06M
7,869.93%9.06M
7,925.40%9.06M
7,925.40%9.06M
121.42%115.27K
169.15%114.45K
124.93%113.64K
126.72%112.84K
126.72%112.84K
-98.65%52.06K
-Current debt
14,900.00%9M
14,900.00%9M
14,900.00%9M
14,900.00%9M
--60K
--60K
--60K
--60K
--60K
----
-Current capital lease obligation
6.17%57.81K
6.17%56.95K
6.17%56.1K
6.17%56.1K
6.17%55.27K
28.05%54.45K
6.17%53.64K
6.17%52.84K
6.17%52.84K
6.17%52.06K
Current provisions
-75.67%50K
-75.67%50K
-76.53%50K
-76.53%50K
-49.30%155K
-23.40%205.5K
-20.53%205.5K
-17.63%213K
-17.63%213K
--305.74K
Current deferred liabilities
----
----
----
----
----
----
----
----
----
-92.22%133.67K
Current liabilities
706.68%12.68M
716.11%11.27M
510.00%15.32M
510.00%15.32M
-48.06%2.63M
-34.42%1.57M
-37.94%1.38M
5.10%2.51M
5.10%2.51M
-28.67%5.07M
Non current liabilities
Long term debt and capital lease obligation
-92.08%4.98K
-74.25%19.75K
-62.05%34.31K
-62.05%34.31K
-70.32%48.65K
-66.25%62.78K
-59.70%76.7K
-55.52%90.41K
-55.52%90.41K
-24.10%163.92K
-Long term debt
----
----
----
----
----
----
----
----
----
0.00%60K
-Long term capital lease obligation
-92.08%4.98K
-74.25%19.75K
-62.05%34.31K
-62.05%34.31K
-53.18%48.65K
-50.17%62.78K
-41.15%76.7K
-36.89%90.41K
-36.89%90.41K
-33.37%103.92K
Long term provisions
32.32%2.76M
29.88%2.74M
36.80%2.81M
36.80%2.81M
23.53%1.95M
40.49%2.08M
37.00%2.11M
32.27%2.05M
32.27%2.05M
-13.63%1.58M
Total non current liabilities
28.68%2.76M
26.22%2.76M
32.63%2.84M
32.63%2.84M
14.70%2M
28.59%2.15M
26.36%2.19M
22.10%2.14M
22.10%2.14M
-14.73%1.74M
Total liabilities
315.37%15.44M
293.44%14.03M
290.16%18.16M
290.16%18.16M
-32.00%4.63M
-8.56%3.72M
-9.83%3.57M
12.30%4.66M
12.30%4.66M
-25.56%6.81M
Shareholders'equity
Share capital
0.00%31.96M
0.00%31.96M
0.00%31.96M
0.00%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.00%31.74M
-common stock
0.00%31.96M
0.00%31.96M
0.00%31.96M
0.00%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.69%31.96M
0.00%31.74M
Additional paid-in capital
0.00%1.3M
0.00%1.3M
0.00%1.3M
0.00%1.3M
-7.48%1.3M
-7.48%1.3M
-7.48%1.3M
-7.48%1.3M
-7.48%1.3M
0.00%1.41M
Retained earnings
-25.74%-19.29M
-34.82%-21.21M
-32.96%-21.68M
-32.96%-21.68M
1.30%-14.13M
-4.17%-15.34M
10.03%-15.74M
22.39%-16.31M
22.39%-16.31M
47.83%-14.32M
Total stockholders'equity
-22.04%13.97M
-31.26%12.05M
-31.70%11.58M
-31.70%11.58M
1.59%19.13M
-2.72%17.92M
11.92%17.52M
39.70%16.95M
39.70%16.95M
230.20%18.83M
Total equity
-22.04%13.97M
-31.26%12.05M
-31.70%11.58M
-31.70%11.58M
1.59%19.13M
-2.72%17.92M
11.92%17.52M
39.70%16.95M
39.70%16.95M
230.20%18.83M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
(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 25.69%4.14M-24.24%1.51M239.58%7.11M239.58%7.11M7.78%5.13M-44.46%3.29M-61.64%1.99M26.08%2.1M26.08%2.1M693.37%4.76M
-Cash and cash equivalents 25.69%4.14M-24.24%1.51M-61.05%114.98K-61.05%114.98K700.97%5.13M117.63%3.29M-19.94%1.99M-79.74%295.2K-79.74%295.2K66.64%639.87K
-Short term investments --0--0288.89%7M288.89%7M--0--0--0777.95%1.8M777.95%1.8M1,810.71%4.12M
Receivables 74.43%2.24M118.74%2.46M2.90%1.73M2.90%1.73M13.46%2.06M-43.43%1.28M-55.09%1.12M-18.13%1.68M-18.13%1.68M-32.91%1.81M
-Accounts receivable 68.78%2.17M100.82%2.25M-12.77%1.32M-12.77%1.32M13.46%2.06M-43.43%1.28M-55.09%1.12M-26.08%1.52M-26.08%1.52M-32.91%1.81M
-Taxes receivable --72.6K--201.19K148.66%405.27K148.66%405.27K--------------162.98K--162.98K----
Prepaid assets 710.23%402.86K197.79%234.41K225.42%218.94K225.42%218.94K-73.72%35.92K-90.79%49.72K15.21%78.72K292.40%67.28K292.40%67.28K214.01%136.66K
Total current assets 46.57%6.78M31.50%4.2M135.89%9.06M135.89%9.06M7.66%7.22M-47.05%4.63M-58.86%3.19M2.99%3.84M2.99%3.84M100.32%6.71M
Non current assets
Net PPE 34.14%22.05M22.95%21.31M16.91%20.11M16.91%20.11M-13.05%15.97M24.72%16.44M53.54%17.33M43.48%17.2M43.48%17.2M67.90%18.37M
-Gross PPE 26.85%59.47M21.23%56.77M19.04%54.55M19.04%54.55M9.53%47.58M24.53%46.88M33.67%46.83M30.98%45.83M30.98%45.83M24.56%43.44M
-Accumulated depreciation -22.92%-37.42M-20.23%-35.46M-20.32%-34.45M-20.32%-34.45M-26.07%-31.61M-24.43%-30.44M-24.22%-29.5M-24.47%-28.63M-24.47%-28.63M-4.75%-25.07M
Non current prepaid assets 1.05%575.23K0.79%572.98K0.53%570.73K0.53%570.73K0.66%569.98K0.53%569.23K0.65%568.48K0.64%567.73K0.64%567.73K0.50%566.23K
Total non current assets 33.04%22.63M22.24%21.88M16.39%20.68M16.39%20.68M-12.64%16.54M23.73%17.01M51.02%17.9M41.55%17.77M41.55%17.77M64.59%18.93M
Total assets 35.93%29.41M23.64%26.08M37.63%29.74M37.63%29.74M-7.33%23.76M-3.78%21.64M7.54%21.09M32.72%21.61M32.72%21.61M72.65%25.64M
Liabilities
Current liabilities
Current debt and capital lease obligation 7,814.27%9.06M7,869.93%9.06M7,925.40%9.06M7,925.40%9.06M121.42%115.27K169.15%114.45K124.93%113.64K126.72%112.84K126.72%112.84K-98.65%52.06K
-Current debt 14,900.00%9M14,900.00%9M14,900.00%9M14,900.00%9M--60K--60K--60K--60K--60K----
-Current capital lease obligation 6.17%57.81K6.17%56.95K6.17%56.1K6.17%56.1K6.17%55.27K28.05%54.45K6.17%53.64K6.17%52.84K6.17%52.84K6.17%52.06K
Current provisions -75.67%50K-75.67%50K-76.53%50K-76.53%50K-49.30%155K-23.40%205.5K-20.53%205.5K-17.63%213K-17.63%213K--305.74K
Current deferred liabilities -------------------------------------92.22%133.67K
Current liabilities 706.68%12.68M716.11%11.27M510.00%15.32M510.00%15.32M-48.06%2.63M-34.42%1.57M-37.94%1.38M5.10%2.51M5.10%2.51M-28.67%5.07M
Non current liabilities
Long term debt and capital lease obligation -92.08%4.98K-74.25%19.75K-62.05%34.31K-62.05%34.31K-70.32%48.65K-66.25%62.78K-59.70%76.7K-55.52%90.41K-55.52%90.41K-24.10%163.92K
-Long term debt ------------------------------------0.00%60K
-Long term capital lease obligation -92.08%4.98K-74.25%19.75K-62.05%34.31K-62.05%34.31K-53.18%48.65K-50.17%62.78K-41.15%76.7K-36.89%90.41K-36.89%90.41K-33.37%103.92K
Long term provisions 32.32%2.76M29.88%2.74M36.80%2.81M36.80%2.81M23.53%1.95M40.49%2.08M37.00%2.11M32.27%2.05M32.27%2.05M-13.63%1.58M
Total non current liabilities 28.68%2.76M26.22%2.76M32.63%2.84M32.63%2.84M14.70%2M28.59%2.15M26.36%2.19M22.10%2.14M22.10%2.14M-14.73%1.74M
Total liabilities 315.37%15.44M293.44%14.03M290.16%18.16M290.16%18.16M-32.00%4.63M-8.56%3.72M-9.83%3.57M12.30%4.66M12.30%4.66M-25.56%6.81M
Shareholders'equity
Share capital 0.00%31.96M0.00%31.96M0.00%31.96M0.00%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.00%31.74M
-common stock 0.00%31.96M0.00%31.96M0.00%31.96M0.00%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.69%31.96M0.00%31.74M
Additional paid-in capital 0.00%1.3M0.00%1.3M0.00%1.3M0.00%1.3M-7.48%1.3M-7.48%1.3M-7.48%1.3M-7.48%1.3M-7.48%1.3M0.00%1.41M
Retained earnings -25.74%-19.29M-34.82%-21.21M-32.96%-21.68M-32.96%-21.68M1.30%-14.13M-4.17%-15.34M10.03%-15.74M22.39%-16.31M22.39%-16.31M47.83%-14.32M
Total stockholders'equity -22.04%13.97M-31.26%12.05M-31.70%11.58M-31.70%11.58M1.59%19.13M-2.72%17.92M11.92%17.52M39.70%16.95M39.70%16.95M230.20%18.83M
Total equity -22.04%13.97M-31.26%12.05M-31.70%11.58M-31.70%11.58M1.59%19.13M-2.72%17.92M11.92%17.52M39.70%16.95M39.70%16.95M230.20%18.83M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion----

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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