加拿大市场个股详情

VUX Vital Energy Inc

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  • 0.185
  • 0.0000.00%
延时15分钟行情已收盘 12/19 16:00 (美东)
1529.95万总市值-3.70市盈率TTM

Vital Energy Inc关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
(Q3)2023/09/30
(Q2)2023/06/30
(Q1)2023/03/31
(FY)2022/12/31
(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资
-3.76%493.27万
25.69%413.87万
-24.24%150.89万
239.58%711.5万
239.58%711.5万
7.78%512.52万
-44.46%329.28万
-61.64%199.17万
26.08%209.52万
26.08%209.52万
-现金和现金等价物
-3.76%493.27万
25.69%413.87万
-24.24%150.89万
-61.05%11.5万
-61.05%11.5万
700.97%512.52万
117.63%329.28万
-19.94%199.17万
-79.74%29.52万
-79.74%29.52万
-短期投资
--0
--0
--0
288.89%700万
288.89%700万
--0
--0
--0
777.95%180万
777.95%180万
应收款项
10.47%227.48万
74.43%223.91万
118.74%245.56万
2.90%172.76万
2.90%172.76万
13.46%205.91万
-43.43%128.37万
-55.09%112.26万
-18.13%167.88万
-18.13%167.88万
-应收账款
-6.91%191.68万
68.78%216.65万
100.82%225.44万
-12.77%132.23万
-12.77%132.23万
13.46%205.91万
-43.43%128.37万
-55.09%112.26万
-26.08%151.59万
-26.08%151.59万
-应收税费
--35.8万
--7.26万
--20.12万
148.66%40.53万
148.66%40.53万
----
----
----
--16.3万
--16.3万
预付费用
337.36%15.71万
710.23%40.29万
197.79%23.44万
225.42%21.89万
225.42%21.89万
-73.72%3.59万
-90.79%4.97万
15.21%7.87万
292.40%6.73万
292.40%6.73万
流动资产合计
2.00%736.46万
46.57%678.07万
31.50%419.89万
135.89%906.15万
135.89%906.15万
7.66%722.02万
-47.05%462.61万
-58.86%319.31万
2.99%384.13万
2.99%384.13万
非流动资产
固定资产净额
93.80%3,095.16万
34.14%2,205.37万
22.95%2,130.59万
16.91%2,010.96万
16.91%2,010.96万
-13.05%1,597.11万
24.72%1,644.03万
53.54%1,732.94万
43.48%1,720.04万
43.48%1,720.04万
-固定资产
46.80%6,984.79万
26.85%5,947.37万
21.23%5,676.71万
19.04%5,455.49万
19.04%5,455.49万
9.53%4,758.12万
24.53%4,688.4万
33.67%4,682.51万
30.98%4,582.91万
30.98%4,582.91万
-累计折旧
-23.05%-3,889.64万
-22.92%-3,742万
-20.23%-3,546.13万
-20.32%-3,444.54万
-20.32%-3,444.54万
-26.07%-3,161万
-24.43%-3,044.37万
-24.22%-2,949.56万
-24.47%-2,862.87万
-24.47%-2,862.87万
长期预付费用
1.32%57.75万
1.05%57.52万
0.79%57.3万
0.53%57.07万
0.53%57.07万
0.66%57万
0.53%56.92万
0.65%56.85万
0.64%56.77万
0.64%56.77万
非流动资产合计
90.61%3,152.9万
33.04%2,262.9万
22.24%2,187.89万
16.39%2,068.03万
16.39%2,068.03万
-12.64%1,654.11万
23.73%1,700.96万
51.02%1,789.79万
41.55%1,776.82万
41.55%1,776.82万
总资产
63.68%3,889.36万
35.93%2,940.96万
23.64%2,607.77万
37.63%2,974.18万
37.63%2,974.18万
-7.33%2,376.13万
-3.78%2,163.57万
7.54%2,109.1万
32.72%2,160.95万
32.72%2,160.95万
负债
流动负债
短期借款与资本租赁负债
12,955.36%1,504.87万
7,814.27%905.78万
7,869.93%905.69万
7,925.40%905.61万
7,925.40%905.61万
121.42%11.53万
169.15%11.44万
124.93%11.36万
126.72%11.28万
126.72%11.28万
-短期借款
24,900.00%1,500万
14,900.00%900万
14,900.00%900万
14,900.00%900万
14,900.00%900万
--6万
--6万
--6万
--6万
--6万
-短期资本租赁负债
-11.97%4.87万
6.17%5.78万
6.17%5.69万
6.17%5.61万
6.17%5.61万
6.17%5.53万
28.05%5.44万
6.17%5.36万
6.17%5.28万
6.17%5.28万
现行拨备
-69.74%4.69万
-75.67%5万
-75.67%5万
-76.53%5万
-76.53%5万
-49.30%15.5万
-23.40%20.55万
-20.53%20.55万
-17.63%21.3万
-17.63%21.3万
流动负债总额
695.17%2,093.37万
706.68%1,267.88万
716.11%1,127.42万
510.00%1,531.9万
510.00%1,531.9万
-48.06%263.26万
-34.42%157.17万
-37.94%138.14万
5.10%251.13万
5.10%251.13万
非流动负债
长期借款与租赁负债
--0
-92.08%4,975
-74.25%1.98万
-62.05%3.43万
-62.05%3.43万
-70.32%4.87万
-66.25%6.28万
-59.70%7.67万
-55.52%9.04万
-55.52%9.04万
-长期租赁负债
--0
-92.08%4,975
-74.25%1.98万
-62.05%3.43万
-62.05%3.43万
-53.18%4.87万
-50.17%6.28万
-41.15%7.67万
-36.89%9.04万
-36.89%9.04万
长期拨备
48.17%288.98万
32.32%275.56万
29.88%273.84万
36.80%280.89万
36.80%280.89万
23.53%195.03万
40.49%208.25万
37.00%210.84万
32.27%205.33万
32.27%205.33万
非流动负债总额
44.56%288.98万
28.68%276.06万
26.22%275.81万
32.63%284.32万
32.63%284.32万
14.70%199.9万
28.59%214.53万
26.36%218.51万
22.10%214.37万
22.10%214.37万
负债总额
414.37%2,382.35万
315.37%1,543.93万
293.44%1,403.23万
290.16%1,816.22万
290.16%1,816.22万
-32.00%463.16万
-8.56%371.7万
-9.83%356.66万
12.30%465.51万
12.30%465.51万
所有者权益
股本
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
-普通股股本
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.00%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
0.69%3,195.86万
资本公积
0.00%130.13万
0.00%130.13万
0.00%130.13万
0.00%130.13万
0.00%130.13万
-7.48%130.13万
-7.48%130.13万
-7.48%130.13万
-7.48%130.13万
-7.48%130.13万
留存收益
-28.73%-1,818.98万
-25.74%-1,928.96万
-34.82%-2,121.44万
-32.96%-2,168.03万
-32.96%-2,168.03万
1.30%-1,413.01万
-4.17%-1,534.11万
10.03%-1,573.54万
22.39%-1,630.54万
22.39%-1,630.54万
股东权益总额
-21.22%1,507万
-22.04%1,397.03万
-31.26%1,204.55万
-31.70%1,157.96万
-31.70%1,157.96万
1.59%1,912.97万
-2.72%1,791.87万
11.92%1,752.44万
39.70%1,695.44万
39.70%1,695.44万
总权益
-21.22%1,507万
-22.04%1,397.03万
-31.26%1,204.55万
-31.70%1,157.96万
-31.70%1,157.96万
1.59%1,912.97万
-2.72%1,791.87万
11.92%1,752.44万
39.70%1,695.44万
39.70%1,695.44万
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
--
--
--
带解释段的无保留意见
--
--
--
--
无保留意见
--
(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31(Q3)2023/09/30(Q2)2023/06/30(Q1)2023/03/31(FY)2022/12/31(Q4)2022/12/31
资产
流动资产
现金及现金等价物和短期投资 -3.76%493.27万25.69%413.87万-24.24%150.89万239.58%711.5万239.58%711.5万7.78%512.52万-44.46%329.28万-61.64%199.17万26.08%209.52万26.08%209.52万
-现金和现金等价物 -3.76%493.27万25.69%413.87万-24.24%150.89万-61.05%11.5万-61.05%11.5万700.97%512.52万117.63%329.28万-19.94%199.17万-79.74%29.52万-79.74%29.52万
-短期投资 --0--0--0288.89%700万288.89%700万--0--0--0777.95%180万777.95%180万
应收款项 10.47%227.48万74.43%223.91万118.74%245.56万2.90%172.76万2.90%172.76万13.46%205.91万-43.43%128.37万-55.09%112.26万-18.13%167.88万-18.13%167.88万
-应收账款 -6.91%191.68万68.78%216.65万100.82%225.44万-12.77%132.23万-12.77%132.23万13.46%205.91万-43.43%128.37万-55.09%112.26万-26.08%151.59万-26.08%151.59万
-应收税费 --35.8万--7.26万--20.12万148.66%40.53万148.66%40.53万--------------16.3万--16.3万
预付费用 337.36%15.71万710.23%40.29万197.79%23.44万225.42%21.89万225.42%21.89万-73.72%3.59万-90.79%4.97万15.21%7.87万292.40%6.73万292.40%6.73万
流动资产合计 2.00%736.46万46.57%678.07万31.50%419.89万135.89%906.15万135.89%906.15万7.66%722.02万-47.05%462.61万-58.86%319.31万2.99%384.13万2.99%384.13万
非流动资产
固定资产净额 93.80%3,095.16万34.14%2,205.37万22.95%2,130.59万16.91%2,010.96万16.91%2,010.96万-13.05%1,597.11万24.72%1,644.03万53.54%1,732.94万43.48%1,720.04万43.48%1,720.04万
-固定资产 46.80%6,984.79万26.85%5,947.37万21.23%5,676.71万19.04%5,455.49万19.04%5,455.49万9.53%4,758.12万24.53%4,688.4万33.67%4,682.51万30.98%4,582.91万30.98%4,582.91万
-累计折旧 -23.05%-3,889.64万-22.92%-3,742万-20.23%-3,546.13万-20.32%-3,444.54万-20.32%-3,444.54万-26.07%-3,161万-24.43%-3,044.37万-24.22%-2,949.56万-24.47%-2,862.87万-24.47%-2,862.87万
长期预付费用 1.32%57.75万1.05%57.52万0.79%57.3万0.53%57.07万0.53%57.07万0.66%57万0.53%56.92万0.65%56.85万0.64%56.77万0.64%56.77万
非流动资产合计 90.61%3,152.9万33.04%2,262.9万22.24%2,187.89万16.39%2,068.03万16.39%2,068.03万-12.64%1,654.11万23.73%1,700.96万51.02%1,789.79万41.55%1,776.82万41.55%1,776.82万
总资产 63.68%3,889.36万35.93%2,940.96万23.64%2,607.77万37.63%2,974.18万37.63%2,974.18万-7.33%2,376.13万-3.78%2,163.57万7.54%2,109.1万32.72%2,160.95万32.72%2,160.95万
负债
流动负债
短期借款与资本租赁负债 12,955.36%1,504.87万7,814.27%905.78万7,869.93%905.69万7,925.40%905.61万7,925.40%905.61万121.42%11.53万169.15%11.44万124.93%11.36万126.72%11.28万126.72%11.28万
-短期借款 24,900.00%1,500万14,900.00%900万14,900.00%900万14,900.00%900万14,900.00%900万--6万--6万--6万--6万--6万
-短期资本租赁负债 -11.97%4.87万6.17%5.78万6.17%5.69万6.17%5.61万6.17%5.61万6.17%5.53万28.05%5.44万6.17%5.36万6.17%5.28万6.17%5.28万
现行拨备 -69.74%4.69万-75.67%5万-75.67%5万-76.53%5万-76.53%5万-49.30%15.5万-23.40%20.55万-20.53%20.55万-17.63%21.3万-17.63%21.3万
流动负债总额 695.17%2,093.37万706.68%1,267.88万716.11%1,127.42万510.00%1,531.9万510.00%1,531.9万-48.06%263.26万-34.42%157.17万-37.94%138.14万5.10%251.13万5.10%251.13万
非流动负债
长期借款与租赁负债 --0-92.08%4,975-74.25%1.98万-62.05%3.43万-62.05%3.43万-70.32%4.87万-66.25%6.28万-59.70%7.67万-55.52%9.04万-55.52%9.04万
-长期租赁负债 --0-92.08%4,975-74.25%1.98万-62.05%3.43万-62.05%3.43万-53.18%4.87万-50.17%6.28万-41.15%7.67万-36.89%9.04万-36.89%9.04万
长期拨备 48.17%288.98万32.32%275.56万29.88%273.84万36.80%280.89万36.80%280.89万23.53%195.03万40.49%208.25万37.00%210.84万32.27%205.33万32.27%205.33万
非流动负债总额 44.56%288.98万28.68%276.06万26.22%275.81万32.63%284.32万32.63%284.32万14.70%199.9万28.59%214.53万26.36%218.51万22.10%214.37万22.10%214.37万
负债总额 414.37%2,382.35万315.37%1,543.93万293.44%1,403.23万290.16%1,816.22万290.16%1,816.22万-32.00%463.16万-8.56%371.7万-9.83%356.66万12.30%465.51万12.30%465.51万
所有者权益
股本 0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万
-普通股股本 0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.00%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万0.69%3,195.86万
资本公积 0.00%130.13万0.00%130.13万0.00%130.13万0.00%130.13万0.00%130.13万-7.48%130.13万-7.48%130.13万-7.48%130.13万-7.48%130.13万-7.48%130.13万
留存收益 -28.73%-1,818.98万-25.74%-1,928.96万-34.82%-2,121.44万-32.96%-2,168.03万-32.96%-2,168.03万1.30%-1,413.01万-4.17%-1,534.11万10.03%-1,573.54万22.39%-1,630.54万22.39%-1,630.54万
股东权益总额 -21.22%1,507万-22.04%1,397.03万-31.26%1,204.55万-31.70%1,157.96万-31.70%1,157.96万1.59%1,912.97万-2.72%1,791.87万11.92%1,752.44万39.70%1,695.44万39.70%1,695.44万
总权益 -21.22%1,507万-22.04%1,397.03万-31.26%1,204.55万-31.70%1,157.96万-31.70%1,157.96万1.59%1,912.97万-2.72%1,791.87万11.92%1,752.44万39.70%1,695.44万39.70%1,695.44万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 ------带解释段的无保留意见--------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。

加拿大市场投资机会
股息之王 股息之王

加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。 加拿大的股息之王是指那些连续多年增加股息的公司,这不仅反映了其强大的商业模式和稳健的财务状况,也表明它们在市场中可能表现优于平均水平,并且波动性较小。