加拿大市场个股详情

Ur-Energy Inc (URE)

添加自选
  • 2.280
  • -0.210-8.43%
延时15分钟行情已收盘 05/15 16:00 (美东)
9.06亿总市值-6.83市盈率TTM

Ur-Energy Inc (URE) 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
64.67%1.23亿
62.86%1.24亿
62.86%1.24亿
-56.08%5,203.3万
-6.05%5,760.3万
38.87%7,484.8万
27.40%7,605.5万
27.40%7,605.5万
116.85%1.18亿
-9.78%6,131.4万
-现金和现金等价物
64.12%1.23亿
62.86%1.24亿
62.86%1.24亿
-56.08%5,203.3万
-6.05%5,760.3万
38.87%7,484.8万
27.40%7,605.5万
27.40%7,605.5万
116.85%1.18亿
-9.78%6,131.4万
-短期投资
--41.2万
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----
----
----
----
----
----
----
----
应收款项
26.01%71.7万
-95.80%70.8万
-95.80%70.8万
1,069.66%273.7万
178.97%65万
629.49%56.9万
21,802.60%1,686.5万
21,802.60%1,686.5万
-95.83%23.4万
468.29%23.3万
-应收账款
--2万
--0
--0
7,614.81%208.3万
-75.86%7,000
--0
--1,651.1万
--1,651.1万
-99.52%2.7万
-29.27%2.9万
-其他应收款
22.50%69.7万
100.00%70.8万
100.00%70.8万
215.94%65.4万
215.20%64.3万
629.49%56.9万
359.74%35.4万
359.74%35.4万
6,800.00%20.7万
--20.4万
存货
19.34%2,802.6万
17.10%2,429.1万
17.10%2,429.1万
351.70%1,917.9万
311.84%2,089.7万
399.89%2,348.5万
706.85%2,074.4万
706.85%2,074.4万
-9.68%424.6万
-19.14%507.4万
预付费用
103.13%214.5万
-1.82%156.8万
-1.82%156.8万
28.34%266.3万
34.20%180.1万
-21.60%105.6万
20.89%159.7万
20.89%159.7万
30.09%207.5万
13.73%134.2万
流动资产合计
54.21%1.54亿
30.51%1.5亿
30.51%1.5亿
-38.72%7,661.2万
19.11%8,095.1万
66.54%9,995.8万
81.03%1.15亿
81.03%1.15亿
87.90%1.25亿
-9.93%6,796.3万
非流动资产
固定资产净额
52.93%1.07亿
40.33%9,362.3万
40.33%9,362.3万
24.78%8,093.4万
25.69%7,693.3万
24.40%6,976.9万
19.24%6,671.7万
19.24%6,671.7万
15.60%6,486.1万
9.63%6,120.7万
-固定资产
42.05%1.36亿
32.60%1.22亿
32.60%1.22亿
21.59%1.09亿
22.01%1.04亿
20.78%9,607万
17.10%9,229万
17.10%9,229万
14.38%8,968.8万
9.97%8,531万
-累计折旧
-13.19%-2,976.9万
-12.45%-2,875.7万
-12.45%-2,875.7万
-13.26%-2,811.9万
-12.66%-2,715.5万
-12.13%-2,630.1万
-11.84%-2,557.3万
-11.84%-2,557.3万
-11.30%-2,482.7万
-10.85%-2,410.3万
金融资产
--1,628.8万
--1,510.8万
--1,510.8万
----
----
----
--0
--0
----
----
长期应收款
-17.09%166.4万
60.96%181.4万
60.96%181.4万
239.13%202.8万
237.17%219.5万
934.54%200.7万
441.83%112.7万
441.83%112.7万
--59.8万
--65.1万
其他非流动资产
15.42%1,285.7万
4.18%1,148.4万
4.18%1,148.4万
4.37%1,137.3万
4.64%1,125.6万
28.91%1,113.9万
28.94%1,102.3万
28.94%1,102.3万
29.20%1,089.7万
29.24%1,075.7万
非流动资产合计
65.84%1.38亿
54.73%1.22亿
54.73%1.22亿
23.55%9,433.5万
24.47%9,038.4万
27.72%8,291.5万
21.88%7,886.7万
21.88%7,886.7万
18.30%7,635.6万
13.19%7,261.5万
总资产
59.48%2.92亿
40.35%2.72亿
40.35%2.72亿
-15.11%1.71亿
21.88%1.71亿
46.37%1.83亿
51.22%1.94亿
51.22%1.94亿
53.63%2.01亿
0.69%1.41亿
负债
流动负债
短期借款与资本租赁负债
38.65%51.3万
56.63%48.4万
56.63%48.4万
264.77%102.5万
360.36%102.2万
118.93%37万
-94.72%30.9万
-94.72%30.9万
-95.09%28.1万
-96.03%22.2万
-短期资本租赁负债
38.65%51.3万
56.63%48.4万
56.63%48.4万
264.77%102.5万
360.36%102.2万
118.93%37万
90.74%30.9万
90.74%30.9万
128.46%28.1万
217.14%22.2万
应付款项
103.52%1,023.5万
152.76%924.6万
152.76%924.6万
18.33%714.6万
85.73%622.2万
25.38%502.9万
104.59%365.8万
104.59%365.8万
138.13%603.9万
163.16%335万
-应付账款
111.10%949.1万
162.33%863.6万
162.33%863.6万
16.50%667.4万
86.29%563.9万
22.74%449.6万
95.95%329.2万
95.95%329.2万
141.53%572.9万
162.99%302.7万
-应付税费
39.59%74.4万
66.67%61万
66.67%61万
52.26%47.2万
80.50%58.3万
53.16%53.3万
238.89%36.6万
238.89%36.6万
89.02%31万
164.75%32.3万
应计费用
121.44%644.6万
37.62%112.3万
37.62%112.3万
37.17%146.5万
29.53%90.8万
250.30%291.1万
41.18%81.6万
41.18%81.6万
36.92%106.8万
46.96%70.1万
现行拨备
274.60%23.6万
160.32%16.4万
160.32%16.4万
93.65%12.2万
0.00%6.3万
0.00%6.3万
-8.70%6.3万
-8.70%6.3万
-8.70%6.3万
-8.70%6.3万
其他流动负债
40.66%1,731.3万
15.48%1,663.8万
15.48%1,663.8万
----
--1,587.5万
--1,230.8万
726.62%1,440.8万
726.62%1,440.8万
----
----
流动负债总额
67.99%3,474.3万
43.63%2,765.5万
43.63%2,765.5万
30.96%975.8万
455.58%2,409万
307.59%2,068.1万
91.89%1,925.4万
91.89%1,925.4万
-36.04%745.1万
-46.50%433.6万
非流动负债
长期借款与租赁负债
6,282.17%6,873.6万
7,175.30%6,773.3万
7,175.30%6,773.3万
46.62%139万
54.74%127.2万
68.28%107.7万
35.52%93.1万
35.52%93.1万
-53.05%94.8万
-74.54%82.2万
-长期借款
--6,756.4万
--6,642.1万
--6,642.1万
----
----
----
----
----
----
----
-长期租赁负债
8.82%117.2万
40.92%131.2万
40.92%131.2万
46.62%139万
54.74%127.2万
68.28%107.7万
35.52%93.1万
35.52%93.1万
70.50%94.8万
144.64%82.2万
衍生品负债
17,243.21%5,619.2万
2,027.28%5,379.9万
2,027.28%5,379.9万
610.89%2,591.9万
-63.27%241.1万
-97.03%32.4万
-78.10%252.9万
-78.10%252.9万
-72.11%364.6万
-16.69%656.4万
长期拨备
27.34%4,738.2万
20.67%4,447.4万
20.67%4,447.4万
11.14%4,046.9万
11.16%4,012.5万
18.62%3,720.8万
18.00%3,685.7万
18.00%3,685.7万
17.04%3,641.2万
16.50%3,609.8万
其他非流动负债
255.17%171.9万
-23.44%134.6万
-23.44%134.6万
--273.6万
--134.4万
--48.4万
--175.8万
--175.8万
----
----
非流动负债总额
345.17%1.74亿
297.75%1.67亿
297.75%1.67亿
71.96%7,051.4万
3.84%4,515.2万
-8.92%3,909.3万
-3.21%4,207.5万
-3.21%4,207.5万
-11.25%4,100.6万
3.30%4,348.4万
负债总额
249.27%2.09亿
217.97%1.95亿
217.97%1.95亿
65.66%8,027.2万
44.80%6,924.2万
24.54%5,977.4万
14.62%6,132.9万
14.62%6,132.9万
-16.24%4,845.7万
-4.74%4,782万
所有者权益
股本
12.54%4.66亿
4.72%4.33亿
4.72%4.33亿
4.27%4.3亿
20.22%4.14亿
28.46%4.14亿
36.75%4.13亿
36.75%4.13亿
39.93%4.13亿
17.27%3.44亿
-普通股股本
12.54%4.66亿
4.72%4.33亿
4.72%4.33亿
4.27%4.3亿
20.22%4.14亿
28.46%4.14亿
36.75%4.13亿
36.75%4.13亿
39.93%4.13亿
17.27%3.44亿
资本公积
-0.86%1,983.4万
0.91%1,964.5万
0.91%1,964.5万
-3.61%1,953.9万
-2.52%1,988.3万
-0.88%2,000.6万
-2.08%1,946.8万
-2.08%1,946.8万
2.30%2,027万
0.82%2,039.7万
留存收益
-29.45%-4.08亿
-24.63%-3.79亿
-24.63%-3.79亿
-27.95%-3.63亿
-21.71%-3.36亿
-16.90%-3.15亿
-21.20%-3.04亿
-21.20%-3.04亿
-15.73%-2.84亿
-20.93%-2.76亿
不影响留存收益的损益
19.15%495.8万
-3.46%404.4万
-3.46%404.4万
6.33%433.4万
3.29%423.4万
4.00%416.1万
12.67%418.9万
12.67%418.9万
2.54%407.6万
7.00%409.9万
股东权益总额
-32.68%8,287.6万
-41.68%7,745.2万
-41.68%7,745.2万
-40.70%9,067.5万
10.06%1.02亿
59.98%1.23亿
77.37%1.33亿
77.37%1.33亿
108.84%1.53亿
3.74%9,275.8万
总权益
-32.68%8,287.6万
-41.68%7,745.2万
-41.68%7,745.2万
-40.70%9,067.5万
10.06%1.02亿
59.98%1.23亿
77.37%1.33亿
77.37%1.33亿
108.84%1.53亿
3.74%9,275.8万
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 64.67%1.23亿62.86%1.24亿62.86%1.24亿-56.08%5,203.3万-6.05%5,760.3万38.87%7,484.8万27.40%7,605.5万27.40%7,605.5万116.85%1.18亿-9.78%6,131.4万
-现金和现金等价物 64.12%1.23亿62.86%1.24亿62.86%1.24亿-56.08%5,203.3万-6.05%5,760.3万38.87%7,484.8万27.40%7,605.5万27.40%7,605.5万116.85%1.18亿-9.78%6,131.4万
-短期投资 --41.2万------------------------------------
应收款项 26.01%71.7万-95.80%70.8万-95.80%70.8万1,069.66%273.7万178.97%65万629.49%56.9万21,802.60%1,686.5万21,802.60%1,686.5万-95.83%23.4万468.29%23.3万
-应收账款 --2万--0--07,614.81%208.3万-75.86%7,000--0--1,651.1万--1,651.1万-99.52%2.7万-29.27%2.9万
-其他应收款 22.50%69.7万100.00%70.8万100.00%70.8万215.94%65.4万215.20%64.3万629.49%56.9万359.74%35.4万359.74%35.4万6,800.00%20.7万--20.4万
存货 19.34%2,802.6万17.10%2,429.1万17.10%2,429.1万351.70%1,917.9万311.84%2,089.7万399.89%2,348.5万706.85%2,074.4万706.85%2,074.4万-9.68%424.6万-19.14%507.4万
预付费用 103.13%214.5万-1.82%156.8万-1.82%156.8万28.34%266.3万34.20%180.1万-21.60%105.6万20.89%159.7万20.89%159.7万30.09%207.5万13.73%134.2万
流动资产合计 54.21%1.54亿30.51%1.5亿30.51%1.5亿-38.72%7,661.2万19.11%8,095.1万66.54%9,995.8万81.03%1.15亿81.03%1.15亿87.90%1.25亿-9.93%6,796.3万
非流动资产
固定资产净额 52.93%1.07亿40.33%9,362.3万40.33%9,362.3万24.78%8,093.4万25.69%7,693.3万24.40%6,976.9万19.24%6,671.7万19.24%6,671.7万15.60%6,486.1万9.63%6,120.7万
-固定资产 42.05%1.36亿32.60%1.22亿32.60%1.22亿21.59%1.09亿22.01%1.04亿20.78%9,607万17.10%9,229万17.10%9,229万14.38%8,968.8万9.97%8,531万
-累计折旧 -13.19%-2,976.9万-12.45%-2,875.7万-12.45%-2,875.7万-13.26%-2,811.9万-12.66%-2,715.5万-12.13%-2,630.1万-11.84%-2,557.3万-11.84%-2,557.3万-11.30%-2,482.7万-10.85%-2,410.3万
金融资产 --1,628.8万--1,510.8万--1,510.8万--------------0--0--------
长期应收款 -17.09%166.4万60.96%181.4万60.96%181.4万239.13%202.8万237.17%219.5万934.54%200.7万441.83%112.7万441.83%112.7万--59.8万--65.1万
其他非流动资产 15.42%1,285.7万4.18%1,148.4万4.18%1,148.4万4.37%1,137.3万4.64%1,125.6万28.91%1,113.9万28.94%1,102.3万28.94%1,102.3万29.20%1,089.7万29.24%1,075.7万
非流动资产合计 65.84%1.38亿54.73%1.22亿54.73%1.22亿23.55%9,433.5万24.47%9,038.4万27.72%8,291.5万21.88%7,886.7万21.88%7,886.7万18.30%7,635.6万13.19%7,261.5万
总资产 59.48%2.92亿40.35%2.72亿40.35%2.72亿-15.11%1.71亿21.88%1.71亿46.37%1.83亿51.22%1.94亿51.22%1.94亿53.63%2.01亿0.69%1.41亿
负债
流动负债
短期借款与资本租赁负债 38.65%51.3万56.63%48.4万56.63%48.4万264.77%102.5万360.36%102.2万118.93%37万-94.72%30.9万-94.72%30.9万-95.09%28.1万-96.03%22.2万
-短期资本租赁负债 38.65%51.3万56.63%48.4万56.63%48.4万264.77%102.5万360.36%102.2万118.93%37万90.74%30.9万90.74%30.9万128.46%28.1万217.14%22.2万
应付款项 103.52%1,023.5万152.76%924.6万152.76%924.6万18.33%714.6万85.73%622.2万25.38%502.9万104.59%365.8万104.59%365.8万138.13%603.9万163.16%335万
-应付账款 111.10%949.1万162.33%863.6万162.33%863.6万16.50%667.4万86.29%563.9万22.74%449.6万95.95%329.2万95.95%329.2万141.53%572.9万162.99%302.7万
-应付税费 39.59%74.4万66.67%61万66.67%61万52.26%47.2万80.50%58.3万53.16%53.3万238.89%36.6万238.89%36.6万89.02%31万164.75%32.3万
应计费用 121.44%644.6万37.62%112.3万37.62%112.3万37.17%146.5万29.53%90.8万250.30%291.1万41.18%81.6万41.18%81.6万36.92%106.8万46.96%70.1万
现行拨备 274.60%23.6万160.32%16.4万160.32%16.4万93.65%12.2万0.00%6.3万0.00%6.3万-8.70%6.3万-8.70%6.3万-8.70%6.3万-8.70%6.3万
其他流动负债 40.66%1,731.3万15.48%1,663.8万15.48%1,663.8万------1,587.5万--1,230.8万726.62%1,440.8万726.62%1,440.8万--------
流动负债总额 67.99%3,474.3万43.63%2,765.5万43.63%2,765.5万30.96%975.8万455.58%2,409万307.59%2,068.1万91.89%1,925.4万91.89%1,925.4万-36.04%745.1万-46.50%433.6万
非流动负债
长期借款与租赁负债 6,282.17%6,873.6万7,175.30%6,773.3万7,175.30%6,773.3万46.62%139万54.74%127.2万68.28%107.7万35.52%93.1万35.52%93.1万-53.05%94.8万-74.54%82.2万
-长期借款 --6,756.4万--6,642.1万--6,642.1万----------------------------
-长期租赁负债 8.82%117.2万40.92%131.2万40.92%131.2万46.62%139万54.74%127.2万68.28%107.7万35.52%93.1万35.52%93.1万70.50%94.8万144.64%82.2万
衍生品负债 17,243.21%5,619.2万2,027.28%5,379.9万2,027.28%5,379.9万610.89%2,591.9万-63.27%241.1万-97.03%32.4万-78.10%252.9万-78.10%252.9万-72.11%364.6万-16.69%656.4万
长期拨备 27.34%4,738.2万20.67%4,447.4万20.67%4,447.4万11.14%4,046.9万11.16%4,012.5万18.62%3,720.8万18.00%3,685.7万18.00%3,685.7万17.04%3,641.2万16.50%3,609.8万
其他非流动负债 255.17%171.9万-23.44%134.6万-23.44%134.6万--273.6万--134.4万--48.4万--175.8万--175.8万--------
非流动负债总额 345.17%1.74亿297.75%1.67亿297.75%1.67亿71.96%7,051.4万3.84%4,515.2万-8.92%3,909.3万-3.21%4,207.5万-3.21%4,207.5万-11.25%4,100.6万3.30%4,348.4万
负债总额 249.27%2.09亿217.97%1.95亿217.97%1.95亿65.66%8,027.2万44.80%6,924.2万24.54%5,977.4万14.62%6,132.9万14.62%6,132.9万-16.24%4,845.7万-4.74%4,782万
所有者权益
股本 12.54%4.66亿4.72%4.33亿4.72%4.33亿4.27%4.3亿20.22%4.14亿28.46%4.14亿36.75%4.13亿36.75%4.13亿39.93%4.13亿17.27%3.44亿
-普通股股本 12.54%4.66亿4.72%4.33亿4.72%4.33亿4.27%4.3亿20.22%4.14亿28.46%4.14亿36.75%4.13亿36.75%4.13亿39.93%4.13亿17.27%3.44亿
资本公积 -0.86%1,983.4万0.91%1,964.5万0.91%1,964.5万-3.61%1,953.9万-2.52%1,988.3万-0.88%2,000.6万-2.08%1,946.8万-2.08%1,946.8万2.30%2,027万0.82%2,039.7万
留存收益 -29.45%-4.08亿-24.63%-3.79亿-24.63%-3.79亿-27.95%-3.63亿-21.71%-3.36亿-16.90%-3.15亿-21.20%-3.04亿-21.20%-3.04亿-15.73%-2.84亿-20.93%-2.76亿
不影响留存收益的损益 19.15%495.8万-3.46%404.4万-3.46%404.4万6.33%433.4万3.29%423.4万4.00%416.1万12.67%418.9万12.67%418.9万2.54%407.6万7.00%409.9万
股东权益总额 -32.68%8,287.6万-41.68%7,745.2万-41.68%7,745.2万-40.70%9,067.5万10.06%1.02亿59.98%1.23亿77.37%1.33亿77.37%1.33亿108.84%1.53亿3.74%9,275.8万
总权益 -32.68%8,287.6万-41.68%7,745.2万-41.68%7,745.2万-40.70%9,067.5万10.06%1.02亿59.98%1.23亿77.37%1.33亿77.37%1.33亿108.84%1.53亿3.74%9,275.8万
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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