加拿大市场个股详情

Tenaz Energy Corp (TNZ)

添加自选
  • 58.970
  • +2.740+4.87%
延时15分钟行情已收盘 05/15 16:00 (美东)
19.35亿总市值8.76市盈率TTM

Tenaz Energy Corp (TNZ) 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
-82.00%2,441.9万
-54.08%6,424.1万
-54.08%6,424.1万
1,345.78%2.14亿
583.19%1.92亿
241.96%1.36亿
178.14%1.4亿
178.14%1.4亿
-70.88%1,478.7万
14.15%2,813.4万
-现金和现金等价物
-82.00%2,441.9万
-54.08%6,424.1万
-54.08%6,424.1万
1,345.78%2.14亿
583.19%1.92亿
241.96%1.36亿
178.14%1.4亿
178.14%1.4亿
-70.88%1,478.7万
14.15%2,813.4万
应收款项
1,745.42%1.53亿
2,333.47%1.52亿
2,333.47%1.52亿
1,281.43%7,305万
1,093.92%7,027.4万
32.15%829.9万
-22.14%623万
-22.14%623万
-37.56%528.8万
41.08%588.6万
-应收账款
1,745.42%1.53亿
2,333.47%1.52亿
2,333.47%1.52亿
1,281.43%7,305万
1,093.92%7,027.4万
32.15%829.9万
-22.14%623万
-22.14%623万
-37.56%528.8万
41.08%588.6万
预付费用
174.63%2,691.9万
993.61%2,344.7万
993.61%2,344.7万
1,227.58%3,147.7万
1,484.03%3,055.6万
129.07%980.2万
113.55%214.4万
113.55%214.4万
51.12%237.1万
70.56%192.9万
受限制现金
143.98%9,180.2万
-2.35%3,930.6万
-2.35%3,930.6万
-1.68%4,002万
4.11%4,068.3万
-8.72%3,762.7万
22.18%4,025.2万
22.18%4,025.2万
28.23%4,070.4万
130.24%3,907.8万
套期保值资产
--212.3万
168,880.00%844.9万
168,880.00%844.9万
--120.5万
484.30%130.3万
--0
-97.90%5,000
-97.90%5,000
--0
395.56%22.3万
流动资产合计
55.91%2.98亿
52.25%2.87亿
52.25%2.87亿
469.34%3.6亿
345.21%3.35亿
109.28%1.91亿
103.85%1.89亿
103.85%1.89亿
-32.06%6,315万
60.22%7,525万
非流动资产
固定资产净额
1,537.08%23.03亿
1,427.94%22.03亿
1,427.94%22.03亿
1,284.62%18.57亿
1,381.95%18.45亿
13.54%1.41亿
15.47%1.44亿
15.47%1.44亿
-6.71%1.34亿
7.16%1.24亿
-固定资产
1,066.66%25.27亿
1,014.05%23.81亿
1,014.05%23.81亿
902.95%19.91亿
963.02%19.44亿
21.80%2.17亿
23.32%2.14亿
23.32%2.14亿
7.03%1.98亿
19.53%1.83亿
-累计折旧
-194.85%-2.24亿
-156.52%-1.79亿
-156.52%-1.79亿
-108.50%-1.34亿
-69.42%-9,887万
-40.77%-7,590.3万
-43.54%-6,958.5万
-43.54%-6,958.5万
-54.34%-6,441.6万
-58.57%-5,835.7万
投资和预付款
4.79%2,460.8万
8.86%2,336.2万
8.86%2,336.2万
8.95%2,494.1万
-1.87%2,304.9万
5.33%2,348.4万
0.44%2,146万
0.44%2,146万
-2.59%2,289.3万
106.41%2,348.9万
-长期股权投资
4.79%2,460.8万
8.86%2,336.2万
8.86%2,336.2万
8.95%2,494.1万
-1.87%2,304.9万
5.33%2,348.4万
0.44%2,146万
0.44%2,146万
-2.59%2,289.3万
106.41%2,348.9万
金融资产
--53万
--1,464.3万
--1,464.3万
----
----
----
--0
--0
----
----
长期预付费用
-98.79%46.8万
-95.22%175.3万
-95.22%175.3万
-91.34%297万
--1,201.8万
--3,863.9万
--3,665.8万
--3,665.8万
--3,430.1万
----
非流动资产合计
1,048.20%23.28亿
1,008.62%22.43亿
1,008.62%22.43亿
885.19%18.84亿
1,170.40%18.8亿
38.72%2.03亿
38.34%2.02亿
38.34%2.02亿
14.38%1.91亿
16.01%1.48亿
总资产
566.39%26.27亿
547.27%25.3亿
547.27%25.3亿
781.97%22.44亿
892.22%22.15亿
65.88%3.94亿
63.72%3.91亿
63.72%3.91亿
-2.21%2.54亿
27.91%2.23亿
负债
流动负债
短期借款与资本租赁负债
--1,033.4万
--1,033.4万
--1,033.4万
--1,075.3万
--1,052.9万
----
----
----
----
----
-短期资本租赁负债
--1,033.4万
--1,033.4万
--1,033.4万
--1,075.3万
--1,052.9万
----
--0
--0
----
----
应付款项
501.96%3.08亿
595.13%2.8亿
595.13%2.8亿
343.03%1.85亿
570.06%1.9亿
23.44%5,121.5万
-0.73%4,030.4万
-0.73%4,030.4万
-12.14%4,184.2万
-4.86%2,837.3万
-应付账款
491.05%1.98亿
647.34%1.74亿
647.34%1.74亿
635.36%1.17亿
606.60%1.22亿
102.12%3,352.6万
48.71%2,330.5万
48.71%2,330.5万
-21.30%1,590.6万
58.41%1,720.3万
-应付税费
522.62%1.1亿
523.55%1.06亿
523.55%1.06亿
163.75%6,840.7万
513.79%6,856万
-28.97%1,768.9万
-31.82%1,699.9万
-31.82%1,699.9万
-5.39%2,593.6万
-41.09%1,117万
现行拨备
----
----
----
142.90%561.1万
142.80%561.1万
88.50%231.1万
0.04%231.1万
0.04%231.1万
--231万
--231.1万
其他流动负债
51,809.63%1.13亿
--1,480.3万
--1,480.3万
--4,800.6万
39,631.88%5,483万
-32.51%21.8万
----
----
----
-58.68%13.8万
流动负债总额
703.42%4.32亿
657.50%3.05亿
657.50%3.05亿
465.64%2.5亿
747.08%2.61亿
24.88%5,374.4万
-8.38%4,030.4万
-8.38%4,030.4万
-10.37%4,415.2万
2.19%3,082.2万
非流动负债
长期借款与租赁负债
163.15%3.65亿
138.87%3.31亿
138.87%3.31亿
1,450.68%1.59亿
63,414.62%1.61亿
55,582.33%1.39亿
56,679.92%1.39亿
56,679.92%1.39亿
4,283.33%1,025.7万
10.00%25.3万
-长期借款
151.10%3.47亿
126.33%3.13亿
126.33%3.13亿
1,285.22%1.39亿
--1.38亿
--1.38亿
--1.38亿
--1.38亿
--999.9万
----
-长期租赁负债
6,184.12%1,740.7万
6,608.21%1,797.8万
6,608.21%1,797.8万
7,863.18%2,054.5万
8,695.65%2,225.3万
11.24%27.7万
9.84%26.8万
9.84%26.8万
10.26%25.8万
10.00%25.3万
衍生品负债
--5,687.4万
----
----
----
----
----
----
----
----
----
长期拨备
617.07%3.96亿
436.16%3.32亿
436.16%3.32亿
556.48%3.33亿
660.35%3.17亿
27.20%5,520.8万
44.01%6,189.6万
44.01%6,189.6万
-9.55%5,074.5万
35.65%4,166.7万
递延负债
1,677.55%10.3亿
1,828.84%11.18亿
1,828.84%11.18亿
2,131.52%11.64亿
2,102.93%11.56亿
5.09%5,796.3万
5.09%5,795.9万
5.09%5,795.9万
-16.01%5,216.5万
28.77%5,249万
其他非流动负债
--1,961.7万
--556.5万
--556.5万
--2,536.9万
--3,561.4万
----
----
----
----
----
非流动负债总额
641.62%18.68亿
591.30%17.86亿
591.30%17.86亿
1,385.97%16.82亿
1,668.29%16.69亿
154.87%2.52亿
162.67%2.58亿
162.67%2.58亿
-4.45%1.13亿
31.66%9,441万
负债总额
652.49%22.99亿
600.23%20.92亿
600.23%20.92亿
1,127.68%19.31亿
1,441.56%19.31亿
115.42%3.06亿
109.82%2.99亿
109.82%2.99亿
-6.19%1.57亿
22.93%1.25亿
所有者权益
股本
49.19%9,438.8万
46.53%9,290.9万
46.53%9,290.9万
5.25%6,603.9万
3.15%6,438.5万
4.25%6,326.8万
4.16%6,340.5万
4.16%6,340.5万
2.40%6,274.5万
0.35%6,241.7万
-普通股股本
49.19%9,438.8万
46.53%9,290.9万
46.53%9,290.9万
5.25%6,603.9万
3.15%6,438.5万
4.25%6,326.8万
4.16%6,340.5万
4.16%6,340.5万
2.40%6,274.5万
0.35%6,241.7万
资本公积
-5.16%1,276.2万
-1.64%1,189.2万
-1.64%1,189.2万
14.78%1,266.9万
13.37%1,199.9万
19.13%1,345.6万
10.73%1,209万
10.73%1,209万
7.62%1,103.8万
10.14%1,058.4万
留存收益
2,937.25%2.1亿
2,403.76%3.23亿
2,403.76%3.23亿
1,049.23%2.18亿
811.28%1.95亿
-65.85%692.9万
-38.84%1,290.6万
-38.84%1,290.6万
5.44%1,894.3万
998.03%2,142.7万
不影响留存收益的损益
342.92%975.3万
895.16%945.4万
895.16%945.4万
969.44%1,364.6万
2,725.77%1,008.8万
575.46%220.2万
274.02%95万
274.02%95万
672.20%127.6万
2,000.00%35.7万
其他股本权益
-93.44%18.2万
-74.87%69.7万
-74.87%69.7万
-18.20%253.9万
-19.61%257.5万
-13.39%277.4万
-13.39%277.4万
-13.39%277.4万
-3.09%310.4万
0.00%320.3万
股东权益总额
269.56%3.28亿
375.54%4.38亿
375.54%4.38亿
221.91%3.13亿
190.15%2.84亿
-7.49%8,862.9万
-4.39%9,212.5万
-4.39%9,212.5万
5.01%9,710.6万
34.89%9,798.8万
总权益
269.56%3.28亿
375.54%4.38亿
375.54%4.38亿
221.91%3.13亿
190.15%2.84亿
-7.49%8,862.9万
-4.39%9,212.5万
-4.39%9,212.5万
5.01%9,710.6万
34.89%9,798.8万
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 -82.00%2,441.9万-54.08%6,424.1万-54.08%6,424.1万1,345.78%2.14亿583.19%1.92亿241.96%1.36亿178.14%1.4亿178.14%1.4亿-70.88%1,478.7万14.15%2,813.4万
-现金和现金等价物 -82.00%2,441.9万-54.08%6,424.1万-54.08%6,424.1万1,345.78%2.14亿583.19%1.92亿241.96%1.36亿178.14%1.4亿178.14%1.4亿-70.88%1,478.7万14.15%2,813.4万
应收款项 1,745.42%1.53亿2,333.47%1.52亿2,333.47%1.52亿1,281.43%7,305万1,093.92%7,027.4万32.15%829.9万-22.14%623万-22.14%623万-37.56%528.8万41.08%588.6万
-应收账款 1,745.42%1.53亿2,333.47%1.52亿2,333.47%1.52亿1,281.43%7,305万1,093.92%7,027.4万32.15%829.9万-22.14%623万-22.14%623万-37.56%528.8万41.08%588.6万
预付费用 174.63%2,691.9万993.61%2,344.7万993.61%2,344.7万1,227.58%3,147.7万1,484.03%3,055.6万129.07%980.2万113.55%214.4万113.55%214.4万51.12%237.1万70.56%192.9万
受限制现金 143.98%9,180.2万-2.35%3,930.6万-2.35%3,930.6万-1.68%4,002万4.11%4,068.3万-8.72%3,762.7万22.18%4,025.2万22.18%4,025.2万28.23%4,070.4万130.24%3,907.8万
套期保值资产 --212.3万168,880.00%844.9万168,880.00%844.9万--120.5万484.30%130.3万--0-97.90%5,000-97.90%5,000--0395.56%22.3万
流动资产合计 55.91%2.98亿52.25%2.87亿52.25%2.87亿469.34%3.6亿345.21%3.35亿109.28%1.91亿103.85%1.89亿103.85%1.89亿-32.06%6,315万60.22%7,525万
非流动资产
固定资产净额 1,537.08%23.03亿1,427.94%22.03亿1,427.94%22.03亿1,284.62%18.57亿1,381.95%18.45亿13.54%1.41亿15.47%1.44亿15.47%1.44亿-6.71%1.34亿7.16%1.24亿
-固定资产 1,066.66%25.27亿1,014.05%23.81亿1,014.05%23.81亿902.95%19.91亿963.02%19.44亿21.80%2.17亿23.32%2.14亿23.32%2.14亿7.03%1.98亿19.53%1.83亿
-累计折旧 -194.85%-2.24亿-156.52%-1.79亿-156.52%-1.79亿-108.50%-1.34亿-69.42%-9,887万-40.77%-7,590.3万-43.54%-6,958.5万-43.54%-6,958.5万-54.34%-6,441.6万-58.57%-5,835.7万
投资和预付款 4.79%2,460.8万8.86%2,336.2万8.86%2,336.2万8.95%2,494.1万-1.87%2,304.9万5.33%2,348.4万0.44%2,146万0.44%2,146万-2.59%2,289.3万106.41%2,348.9万
-长期股权投资 4.79%2,460.8万8.86%2,336.2万8.86%2,336.2万8.95%2,494.1万-1.87%2,304.9万5.33%2,348.4万0.44%2,146万0.44%2,146万-2.59%2,289.3万106.41%2,348.9万
金融资产 --53万--1,464.3万--1,464.3万--------------0--0--------
长期预付费用 -98.79%46.8万-95.22%175.3万-95.22%175.3万-91.34%297万--1,201.8万--3,863.9万--3,665.8万--3,665.8万--3,430.1万----
非流动资产合计 1,048.20%23.28亿1,008.62%22.43亿1,008.62%22.43亿885.19%18.84亿1,170.40%18.8亿38.72%2.03亿38.34%2.02亿38.34%2.02亿14.38%1.91亿16.01%1.48亿
总资产 566.39%26.27亿547.27%25.3亿547.27%25.3亿781.97%22.44亿892.22%22.15亿65.88%3.94亿63.72%3.91亿63.72%3.91亿-2.21%2.54亿27.91%2.23亿
负债
流动负债
短期借款与资本租赁负债 --1,033.4万--1,033.4万--1,033.4万--1,075.3万--1,052.9万--------------------
-短期资本租赁负债 --1,033.4万--1,033.4万--1,033.4万--1,075.3万--1,052.9万------0--0--------
应付款项 501.96%3.08亿595.13%2.8亿595.13%2.8亿343.03%1.85亿570.06%1.9亿23.44%5,121.5万-0.73%4,030.4万-0.73%4,030.4万-12.14%4,184.2万-4.86%2,837.3万
-应付账款 491.05%1.98亿647.34%1.74亿647.34%1.74亿635.36%1.17亿606.60%1.22亿102.12%3,352.6万48.71%2,330.5万48.71%2,330.5万-21.30%1,590.6万58.41%1,720.3万
-应付税费 522.62%1.1亿523.55%1.06亿523.55%1.06亿163.75%6,840.7万513.79%6,856万-28.97%1,768.9万-31.82%1,699.9万-31.82%1,699.9万-5.39%2,593.6万-41.09%1,117万
现行拨备 ------------142.90%561.1万142.80%561.1万88.50%231.1万0.04%231.1万0.04%231.1万--231万--231.1万
其他流动负债 51,809.63%1.13亿--1,480.3万--1,480.3万--4,800.6万39,631.88%5,483万-32.51%21.8万-------------58.68%13.8万
流动负债总额 703.42%4.32亿657.50%3.05亿657.50%3.05亿465.64%2.5亿747.08%2.61亿24.88%5,374.4万-8.38%4,030.4万-8.38%4,030.4万-10.37%4,415.2万2.19%3,082.2万
非流动负债
长期借款与租赁负债 163.15%3.65亿138.87%3.31亿138.87%3.31亿1,450.68%1.59亿63,414.62%1.61亿55,582.33%1.39亿56,679.92%1.39亿56,679.92%1.39亿4,283.33%1,025.7万10.00%25.3万
-长期借款 151.10%3.47亿126.33%3.13亿126.33%3.13亿1,285.22%1.39亿--1.38亿--1.38亿--1.38亿--1.38亿--999.9万----
-长期租赁负债 6,184.12%1,740.7万6,608.21%1,797.8万6,608.21%1,797.8万7,863.18%2,054.5万8,695.65%2,225.3万11.24%27.7万9.84%26.8万9.84%26.8万10.26%25.8万10.00%25.3万
衍生品负债 --5,687.4万------------------------------------
长期拨备 617.07%3.96亿436.16%3.32亿436.16%3.32亿556.48%3.33亿660.35%3.17亿27.20%5,520.8万44.01%6,189.6万44.01%6,189.6万-9.55%5,074.5万35.65%4,166.7万
递延负债 1,677.55%10.3亿1,828.84%11.18亿1,828.84%11.18亿2,131.52%11.64亿2,102.93%11.56亿5.09%5,796.3万5.09%5,795.9万5.09%5,795.9万-16.01%5,216.5万28.77%5,249万
其他非流动负债 --1,961.7万--556.5万--556.5万--2,536.9万--3,561.4万--------------------
非流动负债总额 641.62%18.68亿591.30%17.86亿591.30%17.86亿1,385.97%16.82亿1,668.29%16.69亿154.87%2.52亿162.67%2.58亿162.67%2.58亿-4.45%1.13亿31.66%9,441万
负债总额 652.49%22.99亿600.23%20.92亿600.23%20.92亿1,127.68%19.31亿1,441.56%19.31亿115.42%3.06亿109.82%2.99亿109.82%2.99亿-6.19%1.57亿22.93%1.25亿
所有者权益
股本 49.19%9,438.8万46.53%9,290.9万46.53%9,290.9万5.25%6,603.9万3.15%6,438.5万4.25%6,326.8万4.16%6,340.5万4.16%6,340.5万2.40%6,274.5万0.35%6,241.7万
-普通股股本 49.19%9,438.8万46.53%9,290.9万46.53%9,290.9万5.25%6,603.9万3.15%6,438.5万4.25%6,326.8万4.16%6,340.5万4.16%6,340.5万2.40%6,274.5万0.35%6,241.7万
资本公积 -5.16%1,276.2万-1.64%1,189.2万-1.64%1,189.2万14.78%1,266.9万13.37%1,199.9万19.13%1,345.6万10.73%1,209万10.73%1,209万7.62%1,103.8万10.14%1,058.4万
留存收益 2,937.25%2.1亿2,403.76%3.23亿2,403.76%3.23亿1,049.23%2.18亿811.28%1.95亿-65.85%692.9万-38.84%1,290.6万-38.84%1,290.6万5.44%1,894.3万998.03%2,142.7万
不影响留存收益的损益 342.92%975.3万895.16%945.4万895.16%945.4万969.44%1,364.6万2,725.77%1,008.8万575.46%220.2万274.02%95万274.02%95万672.20%127.6万2,000.00%35.7万
其他股本权益 -93.44%18.2万-74.87%69.7万-74.87%69.7万-18.20%253.9万-19.61%257.5万-13.39%277.4万-13.39%277.4万-13.39%277.4万-3.09%310.4万0.00%320.3万
股东权益总额 269.56%3.28亿375.54%4.38亿375.54%4.38亿221.91%3.13亿190.15%2.84亿-7.49%8,862.9万-4.39%9,212.5万-4.39%9,212.5万5.01%9,710.6万34.89%9,798.8万
总权益 269.56%3.28亿375.54%4.38亿375.54%4.38亿221.91%3.13亿190.15%2.84亿-7.49%8,862.9万-4.39%9,212.5万-4.39%9,212.5万5.01%9,710.6万34.89%9,798.8万
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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