加拿大市场个股详情

Ivanhoe Electric Inc (IE)

添加自选
  • 20.300
  • +0.200+1.00%
延时15分钟行情已收盘 05/13 16:00 (美东)
32.13亿总市值-50.25市盈率TTM

Ivanhoe Electric Inc (IE) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q1)2026/03/31
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资
267.50%2.9亿
322.89%1.73亿
322.89%1.73亿
-22.17%5,297.9万
-42.17%6,535万
-47.13%7,886.3万
-80.02%4,097.1万
-80.02%4,097.1万
-71.12%6,807.3万
77.13%1.13亿
-现金和现金等价物
267.50%2.9亿
322.89%1.73亿
322.89%1.73亿
-22.17%5,297.9万
-42.17%6,535万
-47.13%7,886.3万
-80.02%4,097.1万
-80.02%4,097.1万
-71.12%6,807.3万
77.13%1.13亿
应收款项
-48.12%590万
-97.56%52.6万
-97.56%52.6万
299.93%1,109.4万
336.44%1,142.6万
163.32%1,137.3万
548.50%2,156.9万
548.50%2,156.9万
15.20%277.4万
22.91%261.8万
-应收账款
41.44%15.7万
-98.16%1.4万
-98.16%1.4万
-97.08%8.1万
-99.69%8,000
-97.43%11.1万
-26.80%76.2万
-26.80%76.2万
15.20%277.4万
22.91%261.8万
-其他应收款
-49.01%574.3万
-97.54%51.2万
-97.54%51.2万
--1,101.3万
--1,141.8万
--1,126.2万
810.59%2,080.7万
810.59%2,080.7万
----
----
存货
----
----
----
----
----
----
--0
--0
--0
18.94%550.7万
预付费用
63.82%374.5万
40.95%339.4万
40.95%339.4万
-16.19%312.7万
-29.57%357.1万
-19.87%228.6万
-22.42%240.8万
-22.42%240.8万
--373.1万
--507万
受限制现金
-90.80%200万
-30.61%301万
-30.61%301万
7.79%2,047.7万
15.10%2,394万
-28.04%2,173.3万
--433.8万
--433.8万
42.84%1,899.8万
--2,080万
持有待售资产
----
----
----
----
----
----
----
----
--1,116.1万
----
流动资产合计
163.85%3.01亿
160.07%1.8亿
160.07%1.8亿
-16.29%8,767.7万
-29.06%1.04亿
-40.44%1.14亿
-68.00%6,928.6万
-68.00%6,928.6万
-59.84%1.05亿
92.07%1.47亿
非流动资产
固定资产净额
-7.49%2.19亿
-0.90%2.33亿
-0.90%2.33亿
0.32%2.34亿
3.76%2.35亿
5.41%2.37亿
5.66%2.36亿
5.66%2.36亿
5.43%2.33亿
5.72%2.26亿
投资和预付款
2.91%6,282.8万
-10.52%5,962万
-10.52%5,962万
93.22%6,275.3万
58.94%5,952.3万
56.68%6,105.2万
58.20%6,663.2万
58.20%6,663.2万
-24.16%3,247.8万
265.25%3,744.9万
-长期股权投资
3.12%6,105.4万
-10.00%5,839.9万
-10.00%5,839.9万
100.06%6,089.7万
61.00%5,675.3万
61.19%5,920.5万
65.82%6,488.7万
65.82%6,488.7万
-26.09%3,043.9万
320.56%3,525.1万
-其他投资
-3.95%177.4万
-30.03%122.1万
-30.03%122.1万
-8.97%185.6万
26.02%277万
-17.36%184.7万
-41.62%174.5万
-41.62%174.5万
24.25%203.9万
17.48%219.8万
其他非流动资产
379.56%1,095.8万
188.85%1,002.6万
188.85%1,002.6万
-61.67%201万
-64.33%203.2万
-59.90%228.5万
-38.96%347.1万
-38.96%347.1万
-35.66%524.4万
-35.79%569.7万
非流动资产合计
-2.43%2.93亿
-0.84%3.03亿
-0.84%3.03亿
10.26%2.98亿
10.00%2.96亿
11.45%3亿
12.89%3.06亿
12.89%3.06亿
-0.52%2.71亿
15.45%2.69亿
总资产
43.42%5.94亿
28.90%4.83亿
28.90%4.83亿
2.86%3.86亿
-3.80%4亿
-10.14%4.14亿
-23.05%3.75亿
-23.05%3.75亿
-29.55%3.75亿
34.39%4.16亿
负债
流动负债
短期借款与资本租赁负债
150.29%3,495.6万
163.91%3,481.8万
163.91%3,481.8万
186.82%4,863万
-7.88%1,483万
-3.28%1,396.6万
-1.33%1,319.3万
-1.33%1,319.3万
-54.99%1,695.5万
-55.09%1,609.8万
-短期借款
161.66%3,445.8万
171.88%3,373.8万
171.88%3,373.8万
196.24%4,769.2万
-6.86%1,393.6万
-4.69%1,316.9万
-2.08%1,240.9万
-2.08%1,240.9万
-56.54%1,609.9万
-57.35%1,496.2万
-短期资本租赁负债
-37.52%49.8万
37.76%108万
37.76%108万
9.58%93.8万
-21.30%89.4万
27.93%79.7万
12.16%78.4万
12.16%78.4万
37.40%85.6万
47.92%113.6万
应付款项
----
-28.43%984.4万
-28.43%984.4万
-34.65%948.1万
-47.31%1,128.2万
-5.75%2,101.1万
-32.79%1,375.5万
-32.79%1,375.5万
--1,450.9万
--2,141.1万
-应付账款
----
23.51%779.2万
23.51%779.2万
-34.65%948.1万
-47.31%1,128.2万
-51.68%1,077.3万
-50.94%630.9万
-50.94%630.9万
--1,450.9万
--2,141.1万
-应付关联方款项
----
-74.29%184.5万
-74.29%184.5万
--0
--0
--1,023.8万
27.14%717.7万
27.14%717.7万
--0
--0
-其他应付款
----
-23.05%20.7万
-23.05%20.7万
----
----
----
-86.30%26.9万
-86.30%26.9万
----
----
应计费用
----
173.13%646.5万
173.13%646.5万
----
----
----
-32.00%236.7万
-32.00%236.7万
----
----
递延负债
-17.92%180.9万
-32.99%274.8万
-32.99%274.8万
-33.14%388.6万
-61.54%103.5万
-11.13%220.4万
70.59%410.1万
70.59%410.1万
107.94%581.2万
-4.23%269.1万
其他流动负债
----
----
----
----
----
----
----
----
--465.5万
----
流动负债总额
29.71%4,822.8万
61.23%5,387.5万
61.23%5,387.5万
47.85%6,199.7万
-32.47%2,714.7万
-5.18%3,718.1万
-15.88%3,341.6万
-15.88%3,341.6万
-32.89%4,193.1万
-35.69%4,020万
非流动负债
长期借款与租赁负债
-99.28%41万
-98.10%107.9万
-98.10%107.9万
-62.74%2,540.5万
-14.90%5,776.3万
-14.35%5,722万
-13.90%5,666.6万
-13.90%5,666.6万
-10.78%6,819.1万
-10.08%6,787.7万
-长期借款
----
----
----
-63.67%2,416.3万
-14.29%5,643.3万
-14.51%5,576.5万
-14.72%5,510.5万
-14.72%5,510.5万
-12.24%6,651.1万
-12.52%6,584万
-长期租赁负债
-71.82%41万
-30.88%107.9万
-30.88%107.9万
-26.07%124.2万
-34.71%133万
-7.97%145.5万
30.19%156.1万
30.19%156.1万
162.09%168万
843.06%203.7万
递延负债
--0
17.34%475.1万
17.34%475.1万
2.55%457.6万
-2.03%438.7万
-11.68%425.8万
-16.43%404.9万
-16.43%404.9万
1.32%446.2万
5.14%447.8万
其他非流动负债
----
----
----
-30.52%41.2万
-33.16%39.7万
-33.97%38.3万
-34.16%37万
-34.16%37万
-25.88%59.3万
-22.56%59.4万
非流动负债总额
-99.34%41万
-90.46%583万
-90.46%583万
-58.51%3,039.3万
-14.26%6,254.7万
-14.33%6,186.1万
-14.23%6,108.5万
-14.23%6,108.5万
-10.27%7,324.6万
-9.39%7,294.9万
负债总额
-50.89%4,863.8万
-36.82%5,970.5万
-36.82%5,970.5万
-19.78%9,239万
-20.73%8,969.4万
-11.11%9,904.2万
-14.82%9,450.1万
-14.82%9,450.1万
-20.08%1.15亿
-20.88%1.13亿
所有者权益
股本
23.08%1.6万
25.00%1.5万
25.00%1.5万
8.33%1.3万
8.33%1.3万
8.33%1.3万
0.00%1.2万
0.00%1.2万
0.00%1.2万
33.33%1.2万
-普通股股本
23.08%1.6万
25.00%1.5万
25.00%1.5万
8.33%1.3万
8.33%1.3万
8.33%1.3万
0.00%1.2万
0.00%1.2万
0.00%1.2万
33.33%1.2万
资本公积
30.77%11.39亿
31.63%10.56亿
31.63%10.56亿
10.72%8.85亿
10.72%8.81亿
10.12%8.71亿
3.11%8.02亿
3.11%8.02亿
7.39%8亿
81.03%7.96亿
留存收益
-6.00%-5.94亿
-19.97%-6.36亿
-19.97%-6.36亿
-10.05%-6.02亿
-16.02%-5.84亿
-22.67%-5.61亿
-32.03%-5.3亿
-32.03%-5.3亿
-54.38%-5.47亿
-82.23%-5.04亿
不影响留存收益的损益
-31.50%-429.2万
-10.29%-361.3万
-10.29%-361.3万
-28.02%-309.8万
-14.76%-293.9万
-40.51%-326.4万
-58.03%-327.6万
-58.03%-327.6万
-24.49%-242万
-24.44%-256.1万
股东权益总额
76.00%5.4亿
54.90%4.16亿
54.90%4.16亿
12.02%2.8亿
1.45%2.93亿
-7.40%3.07亿
-28.22%2.69亿
-28.22%2.69亿
-35.58%2.5亿
79.68%2.89亿
非控制性权益
-35.57%539.6万
-36.76%745.6万
-36.76%745.6万
33.96%1,363.3万
24.85%1,744万
-54.07%837.5万
480.50%1,179万
480.50%1,179万
1,622.00%1,017.7万
140.02%1,396.9万
总权益
73.04%5.46亿
51.04%4.24亿
51.04%4.24亿
12.88%2.94亿
2.52%3.11亿
-9.83%3.15亿
-25.47%2.8亿
-25.47%2.8亿
-33.06%2.6亿
81.79%3.03亿
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
--
无保留意见
--
--
--
--
无保留意见
--
--
--
(Q1)2026/03/31(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30
资产
流动资产
现金及现金等价物和短期投资 267.50%2.9亿322.89%1.73亿322.89%1.73亿-22.17%5,297.9万-42.17%6,535万-47.13%7,886.3万-80.02%4,097.1万-80.02%4,097.1万-71.12%6,807.3万77.13%1.13亿
-现金和现金等价物 267.50%2.9亿322.89%1.73亿322.89%1.73亿-22.17%5,297.9万-42.17%6,535万-47.13%7,886.3万-80.02%4,097.1万-80.02%4,097.1万-71.12%6,807.3万77.13%1.13亿
应收款项 -48.12%590万-97.56%52.6万-97.56%52.6万299.93%1,109.4万336.44%1,142.6万163.32%1,137.3万548.50%2,156.9万548.50%2,156.9万15.20%277.4万22.91%261.8万
-应收账款 41.44%15.7万-98.16%1.4万-98.16%1.4万-97.08%8.1万-99.69%8,000-97.43%11.1万-26.80%76.2万-26.80%76.2万15.20%277.4万22.91%261.8万
-其他应收款 -49.01%574.3万-97.54%51.2万-97.54%51.2万--1,101.3万--1,141.8万--1,126.2万810.59%2,080.7万810.59%2,080.7万--------
存货 --------------------------0--0--018.94%550.7万
预付费用 63.82%374.5万40.95%339.4万40.95%339.4万-16.19%312.7万-29.57%357.1万-19.87%228.6万-22.42%240.8万-22.42%240.8万--373.1万--507万
受限制现金 -90.80%200万-30.61%301万-30.61%301万7.79%2,047.7万15.10%2,394万-28.04%2,173.3万--433.8万--433.8万42.84%1,899.8万--2,080万
持有待售资产 ----------------------------------1,116.1万----
流动资产合计 163.85%3.01亿160.07%1.8亿160.07%1.8亿-16.29%8,767.7万-29.06%1.04亿-40.44%1.14亿-68.00%6,928.6万-68.00%6,928.6万-59.84%1.05亿92.07%1.47亿
非流动资产
固定资产净额 -7.49%2.19亿-0.90%2.33亿-0.90%2.33亿0.32%2.34亿3.76%2.35亿5.41%2.37亿5.66%2.36亿5.66%2.36亿5.43%2.33亿5.72%2.26亿
投资和预付款 2.91%6,282.8万-10.52%5,962万-10.52%5,962万93.22%6,275.3万58.94%5,952.3万56.68%6,105.2万58.20%6,663.2万58.20%6,663.2万-24.16%3,247.8万265.25%3,744.9万
-长期股权投资 3.12%6,105.4万-10.00%5,839.9万-10.00%5,839.9万100.06%6,089.7万61.00%5,675.3万61.19%5,920.5万65.82%6,488.7万65.82%6,488.7万-26.09%3,043.9万320.56%3,525.1万
-其他投资 -3.95%177.4万-30.03%122.1万-30.03%122.1万-8.97%185.6万26.02%277万-17.36%184.7万-41.62%174.5万-41.62%174.5万24.25%203.9万17.48%219.8万
其他非流动资产 379.56%1,095.8万188.85%1,002.6万188.85%1,002.6万-61.67%201万-64.33%203.2万-59.90%228.5万-38.96%347.1万-38.96%347.1万-35.66%524.4万-35.79%569.7万
非流动资产合计 -2.43%2.93亿-0.84%3.03亿-0.84%3.03亿10.26%2.98亿10.00%2.96亿11.45%3亿12.89%3.06亿12.89%3.06亿-0.52%2.71亿15.45%2.69亿
总资产 43.42%5.94亿28.90%4.83亿28.90%4.83亿2.86%3.86亿-3.80%4亿-10.14%4.14亿-23.05%3.75亿-23.05%3.75亿-29.55%3.75亿34.39%4.16亿
负债
流动负债
短期借款与资本租赁负债 150.29%3,495.6万163.91%3,481.8万163.91%3,481.8万186.82%4,863万-7.88%1,483万-3.28%1,396.6万-1.33%1,319.3万-1.33%1,319.3万-54.99%1,695.5万-55.09%1,609.8万
-短期借款 161.66%3,445.8万171.88%3,373.8万171.88%3,373.8万196.24%4,769.2万-6.86%1,393.6万-4.69%1,316.9万-2.08%1,240.9万-2.08%1,240.9万-56.54%1,609.9万-57.35%1,496.2万
-短期资本租赁负债 -37.52%49.8万37.76%108万37.76%108万9.58%93.8万-21.30%89.4万27.93%79.7万12.16%78.4万12.16%78.4万37.40%85.6万47.92%113.6万
应付款项 -----28.43%984.4万-28.43%984.4万-34.65%948.1万-47.31%1,128.2万-5.75%2,101.1万-32.79%1,375.5万-32.79%1,375.5万--1,450.9万--2,141.1万
-应付账款 ----23.51%779.2万23.51%779.2万-34.65%948.1万-47.31%1,128.2万-51.68%1,077.3万-50.94%630.9万-50.94%630.9万--1,450.9万--2,141.1万
-应付关联方款项 -----74.29%184.5万-74.29%184.5万--0--0--1,023.8万27.14%717.7万27.14%717.7万--0--0
-其他应付款 -----23.05%20.7万-23.05%20.7万-------------86.30%26.9万-86.30%26.9万--------
应计费用 ----173.13%646.5万173.13%646.5万-------------32.00%236.7万-32.00%236.7万--------
递延负债 -17.92%180.9万-32.99%274.8万-32.99%274.8万-33.14%388.6万-61.54%103.5万-11.13%220.4万70.59%410.1万70.59%410.1万107.94%581.2万-4.23%269.1万
其他流动负债 ----------------------------------465.5万----
流动负债总额 29.71%4,822.8万61.23%5,387.5万61.23%5,387.5万47.85%6,199.7万-32.47%2,714.7万-5.18%3,718.1万-15.88%3,341.6万-15.88%3,341.6万-32.89%4,193.1万-35.69%4,020万
非流动负债
长期借款与租赁负债 -99.28%41万-98.10%107.9万-98.10%107.9万-62.74%2,540.5万-14.90%5,776.3万-14.35%5,722万-13.90%5,666.6万-13.90%5,666.6万-10.78%6,819.1万-10.08%6,787.7万
-长期借款 -------------63.67%2,416.3万-14.29%5,643.3万-14.51%5,576.5万-14.72%5,510.5万-14.72%5,510.5万-12.24%6,651.1万-12.52%6,584万
-长期租赁负债 -71.82%41万-30.88%107.9万-30.88%107.9万-26.07%124.2万-34.71%133万-7.97%145.5万30.19%156.1万30.19%156.1万162.09%168万843.06%203.7万
递延负债 --017.34%475.1万17.34%475.1万2.55%457.6万-2.03%438.7万-11.68%425.8万-16.43%404.9万-16.43%404.9万1.32%446.2万5.14%447.8万
其他非流动负债 -------------30.52%41.2万-33.16%39.7万-33.97%38.3万-34.16%37万-34.16%37万-25.88%59.3万-22.56%59.4万
非流动负债总额 -99.34%41万-90.46%583万-90.46%583万-58.51%3,039.3万-14.26%6,254.7万-14.33%6,186.1万-14.23%6,108.5万-14.23%6,108.5万-10.27%7,324.6万-9.39%7,294.9万
负债总额 -50.89%4,863.8万-36.82%5,970.5万-36.82%5,970.5万-19.78%9,239万-20.73%8,969.4万-11.11%9,904.2万-14.82%9,450.1万-14.82%9,450.1万-20.08%1.15亿-20.88%1.13亿
所有者权益
股本 23.08%1.6万25.00%1.5万25.00%1.5万8.33%1.3万8.33%1.3万8.33%1.3万0.00%1.2万0.00%1.2万0.00%1.2万33.33%1.2万
-普通股股本 23.08%1.6万25.00%1.5万25.00%1.5万8.33%1.3万8.33%1.3万8.33%1.3万0.00%1.2万0.00%1.2万0.00%1.2万33.33%1.2万
资本公积 30.77%11.39亿31.63%10.56亿31.63%10.56亿10.72%8.85亿10.72%8.81亿10.12%8.71亿3.11%8.02亿3.11%8.02亿7.39%8亿81.03%7.96亿
留存收益 -6.00%-5.94亿-19.97%-6.36亿-19.97%-6.36亿-10.05%-6.02亿-16.02%-5.84亿-22.67%-5.61亿-32.03%-5.3亿-32.03%-5.3亿-54.38%-5.47亿-82.23%-5.04亿
不影响留存收益的损益 -31.50%-429.2万-10.29%-361.3万-10.29%-361.3万-28.02%-309.8万-14.76%-293.9万-40.51%-326.4万-58.03%-327.6万-58.03%-327.6万-24.49%-242万-24.44%-256.1万
股东权益总额 76.00%5.4亿54.90%4.16亿54.90%4.16亿12.02%2.8亿1.45%2.93亿-7.40%3.07亿-28.22%2.69亿-28.22%2.69亿-35.58%2.5亿79.68%2.89亿
非控制性权益 -35.57%539.6万-36.76%745.6万-36.76%745.6万33.96%1,363.3万24.85%1,744万-54.07%837.5万480.50%1,179万480.50%1,179万1,622.00%1,017.7万140.02%1,396.9万
总权益 73.04%5.46亿51.04%4.24亿51.04%4.24亿12.88%2.94亿2.52%3.11亿-9.83%3.15亿-25.47%2.8亿-25.47%2.8亿-33.06%2.6亿81.79%3.03亿
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 --无保留意见--------无保留意见------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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