加拿大市场个股详情

Vital Energy Inc (VUX)

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延时15分钟行情已收盘 06/05 16:00 (美东)
992.40万总市值-1.00市盈率TTM

Vital Energy Inc (VUX) 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
223.14%749.47万
625.49%743.13万
625.49%743.13万
206.10%1,509.92万
-41.40%242.51万
53.71%231.93万
-85.60%102.43万
-85.60%102.43万
-3.76%493.27万
25.69%413.87万
-现金和现金等价物
223.14%749.47万
625.49%743.13万
625.49%743.13万
206.10%1,509.92万
-41.40%242.51万
53.71%231.93万
790.86%102.43万
790.86%102.43万
-3.76%493.27万
25.69%413.87万
-短期投资
----
----
----
----
----
----
--0
--0
--0
--0
应收款项
-7.32%182.06万
-26.99%222.57万
-26.99%222.57万
-33.73%150.75万
-17.50%184.74万
-20.00%196.44万
76.46%304.84万
76.46%304.84万
10.47%227.48万
74.43%223.91万
-应收账款
-7.88%179.07万
-33.82%185.9万
-33.82%185.9万
-26.61%140.68万
-15.07%184.01万
-13.77%194.39万
112.42%280.89万
112.42%280.89万
-6.91%191.68万
68.78%216.65万
-应收税费
45.05%2.98万
53.03%36.66万
53.03%36.66万
-71.87%10.07万
-89.91%7,322
-89.77%2.06万
-40.88%23.96万
-40.88%23.96万
--35.8万
--7.26万
预付费用
74.51%31.4万
-1.96%13.56万
-1.96%13.56万
66.14%26.1万
-57.78%17.01万
-23.25%17.99万
-36.83%13.83万
-36.83%13.83万
337.36%15.71万
710.23%40.29万
套期保值资产
--71.55万
----
----
----
----
----
----
----
----
----
流动资产合计
131.75%1,034.47万
132.54%979.26万
132.54%979.26万
129.04%1,686.77万
-34.48%444.25万
6.31%446.37万
-53.53%421.11万
-53.53%421.11万
2.00%736.46万
46.57%678.07万
非流动资产
固定资产净额
9.50%3,566.5万
12.20%3,620.94万
12.20%3,620.94万
7.76%3,335.22万
43.75%3,170.22万
52.87%3,257.11万
60.48%3,227.21万
60.48%3,227.21万
93.80%3,095.16万
34.14%2,205.37万
-固定资产
21.90%9,341.01万
25.33%9,279.39万
25.33%9,279.39万
15.16%8,043.65万
30.12%7,738.63万
34.98%7,662.56万
35.40%7,403.95万
35.40%7,403.95万
46.80%6,984.79万
26.85%5,947.37万
-累计折旧
-31.08%-5,774.5万
-35.48%-5,658.45万
-35.48%-5,658.45万
-21.05%-4,708.43万
-22.08%-4,568.41万
-24.23%-4,405.44万
-20.81%-4,176.74万
-20.81%-4,176.74万
-23.05%-3,889.64万
-22.92%-3,742万
长期预付费用
12.81%65.65万
12.86%65.43万
12.86%65.43万
12.54%64.99万
1.56%58.42万
1.57%58.2万
1.58%57.97万
1.58%57.97万
1.32%57.75万
1.05%57.52万
非流动资产合计
9.56%3,632.16万
12.21%3,686.37万
12.21%3,686.37万
7.84%3,400.21万
42.68%3,228.64万
51.53%3,315.31万
58.86%3,285.18万
58.86%3,285.18万
90.61%3,152.9万
33.04%2,262.9万
总资产
24.06%4,666.63万
25.88%4,665.63万
25.88%4,665.63万
30.76%5,085.71万
24.89%3,672.89万
44.25%3,761.68万
24.62%3,706.29万
24.62%3,706.29万
63.68%3,889.36万
35.93%2,940.96万
负债
流动负债
短期借款与资本租赁负债
0.16%1,504.41万
0.06%1,504.32万
0.06%1,504.32万
-0.04%1,504.23万
65.66%1,500.5万
65.84%1,501.98万
66.01%1,503.43万
66.01%1,503.43万
12,955.36%1,504.87万
7,814.27%905.78万
-短期借款
0.00%1,500万
0.00%1,500万
0.00%1,500万
0.00%1,500万
66.67%1,500万
66.67%1,500万
66.67%1,500万
66.67%1,500万
24,900.00%1,500万
14,900.00%900万
-短期资本租赁负债
123.09%4.41万
25.89%4.32万
25.89%4.32万
-12.97%4.23万
-91.39%4,975
-65.32%1.98万
-38.84%3.43万
-38.84%3.43万
-11.97%4.87万
6.17%5.78万
现行拨备
-81.48%3.53万
-80.40%3.64万
-80.40%3.64万
270.96%17.4万
280.08%19万
281.62%19.08万
271.62%18.58万
271.62%18.58万
-69.74%4.69万
-75.67%5万
其他流动负债
----
--13.11万
--13.11万
----
----
----
----
----
----
----
流动负债总额
-3.35%1,649.42万
-5.85%1,707.94万
-5.85%1,707.94万
-13.13%1,818.57万
27.95%1,622.25万
51.37%1,706.6万
18.41%1,813.96万
18.41%1,813.96万
695.17%2,093.37万
706.68%1,267.88万
非流动负债
长期借款与租赁负债
--1,935.5万
--1,848.04万
--1,848.04万
--1,209.38万
----
----
--0
--0
--0
-92.08%4,975
-长期借款
--1,918万
--1,829.4万
--1,829.4万
--1,189.63万
----
----
----
----
----
----
-长期租赁负债
--17.5万
--18.64万
--18.64万
--19.75万
----
----
--0
--0
--0
-92.08%4,975
长期拨备
2.76%355.53万
5.69%353.35万
5.69%353.35万
19.38%344.98万
23.17%339.41万
26.35%345.99万
19.03%334.34万
19.03%334.34万
48.17%288.98万
32.32%275.56万
非流动负债总额
562.17%2,291.03万
558.44%2,201.39万
558.44%2,201.39万
437.87%1,554.36万
22.95%339.41万
25.44%345.99万
17.59%334.34万
17.59%334.34万
44.56%288.98万
28.68%276.06万
负债总额
91.98%3,940.46万
81.97%3,909.33万
81.97%3,909.33万
41.58%3,372.93万
27.06%1,961.66万
46.28%2,052.58万
18.28%2,148.3万
18.28%2,148.3万
414.37%2,382.35万
315.37%1,543.93万
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
0.00%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
-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
0.00%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
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
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
留存收益
-60.79%-2,599.81万
-45.34%-2,569.68万
-45.34%-2,569.68万
11.31%-1,613.21万
16.29%-1,614.75万
23.78%-1,616.89万
18.45%-1,768万
18.45%-1,768万
-28.73%-1,818.98万
-25.74%-1,928.96万
股东权益总额
-57.51%726.17万
-51.46%756.3万
-51.46%756.3万
13.65%1,712.78万
22.49%1,711.23万
41.89%1,709.1万
34.55%1,557.99万
34.55%1,557.99万
-21.22%1,507万
-22.04%1,397.03万
总权益
-57.51%726.17万
-51.46%756.3万
-51.46%756.3万
13.65%1,712.78万
22.49%1,711.23万
41.89%1,709.1万
34.55%1,557.99万
34.55%1,557.99万
-21.22%1,507万
-22.04%1,397.03万
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
--
--
--
--
带解释段的无保留意见
--
--
--
(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 223.14%749.47万625.49%743.13万625.49%743.13万206.10%1,509.92万-41.40%242.51万53.71%231.93万-85.60%102.43万-85.60%102.43万-3.76%493.27万25.69%413.87万
-现金和现金等价物 223.14%749.47万625.49%743.13万625.49%743.13万206.10%1,509.92万-41.40%242.51万53.71%231.93万790.86%102.43万790.86%102.43万-3.76%493.27万25.69%413.87万
-短期投资 --------------------------0--0--0--0
应收款项 -7.32%182.06万-26.99%222.57万-26.99%222.57万-33.73%150.75万-17.50%184.74万-20.00%196.44万76.46%304.84万76.46%304.84万10.47%227.48万74.43%223.91万
-应收账款 -7.88%179.07万-33.82%185.9万-33.82%185.9万-26.61%140.68万-15.07%184.01万-13.77%194.39万112.42%280.89万112.42%280.89万-6.91%191.68万68.78%216.65万
-应收税费 45.05%2.98万53.03%36.66万53.03%36.66万-71.87%10.07万-89.91%7,322-89.77%2.06万-40.88%23.96万-40.88%23.96万--35.8万--7.26万
预付费用 74.51%31.4万-1.96%13.56万-1.96%13.56万66.14%26.1万-57.78%17.01万-23.25%17.99万-36.83%13.83万-36.83%13.83万337.36%15.71万710.23%40.29万
套期保值资产 --71.55万------------------------------------
流动资产合计 131.75%1,034.47万132.54%979.26万132.54%979.26万129.04%1,686.77万-34.48%444.25万6.31%446.37万-53.53%421.11万-53.53%421.11万2.00%736.46万46.57%678.07万
非流动资产
固定资产净额 9.50%3,566.5万12.20%3,620.94万12.20%3,620.94万7.76%3,335.22万43.75%3,170.22万52.87%3,257.11万60.48%3,227.21万60.48%3,227.21万93.80%3,095.16万34.14%2,205.37万
-固定资产 21.90%9,341.01万25.33%9,279.39万25.33%9,279.39万15.16%8,043.65万30.12%7,738.63万34.98%7,662.56万35.40%7,403.95万35.40%7,403.95万46.80%6,984.79万26.85%5,947.37万
-累计折旧 -31.08%-5,774.5万-35.48%-5,658.45万-35.48%-5,658.45万-21.05%-4,708.43万-22.08%-4,568.41万-24.23%-4,405.44万-20.81%-4,176.74万-20.81%-4,176.74万-23.05%-3,889.64万-22.92%-3,742万
长期预付费用 12.81%65.65万12.86%65.43万12.86%65.43万12.54%64.99万1.56%58.42万1.57%58.2万1.58%57.97万1.58%57.97万1.32%57.75万1.05%57.52万
非流动资产合计 9.56%3,632.16万12.21%3,686.37万12.21%3,686.37万7.84%3,400.21万42.68%3,228.64万51.53%3,315.31万58.86%3,285.18万58.86%3,285.18万90.61%3,152.9万33.04%2,262.9万
总资产 24.06%4,666.63万25.88%4,665.63万25.88%4,665.63万30.76%5,085.71万24.89%3,672.89万44.25%3,761.68万24.62%3,706.29万24.62%3,706.29万63.68%3,889.36万35.93%2,940.96万
负债
流动负债
短期借款与资本租赁负债 0.16%1,504.41万0.06%1,504.32万0.06%1,504.32万-0.04%1,504.23万65.66%1,500.5万65.84%1,501.98万66.01%1,503.43万66.01%1,503.43万12,955.36%1,504.87万7,814.27%905.78万
-短期借款 0.00%1,500万0.00%1,500万0.00%1,500万0.00%1,500万66.67%1,500万66.67%1,500万66.67%1,500万66.67%1,500万24,900.00%1,500万14,900.00%900万
-短期资本租赁负债 123.09%4.41万25.89%4.32万25.89%4.32万-12.97%4.23万-91.39%4,975-65.32%1.98万-38.84%3.43万-38.84%3.43万-11.97%4.87万6.17%5.78万
现行拨备 -81.48%3.53万-80.40%3.64万-80.40%3.64万270.96%17.4万280.08%19万281.62%19.08万271.62%18.58万271.62%18.58万-69.74%4.69万-75.67%5万
其他流动负债 ------13.11万--13.11万----------------------------
流动负债总额 -3.35%1,649.42万-5.85%1,707.94万-5.85%1,707.94万-13.13%1,818.57万27.95%1,622.25万51.37%1,706.6万18.41%1,813.96万18.41%1,813.96万695.17%2,093.37万706.68%1,267.88万
非流动负债
长期借款与租赁负债 --1,935.5万--1,848.04万--1,848.04万--1,209.38万----------0--0--0-92.08%4,975
-长期借款 --1,918万--1,829.4万--1,829.4万--1,189.63万------------------------
-长期租赁负债 --17.5万--18.64万--18.64万--19.75万----------0--0--0-92.08%4,975
长期拨备 2.76%355.53万5.69%353.35万5.69%353.35万19.38%344.98万23.17%339.41万26.35%345.99万19.03%334.34万19.03%334.34万48.17%288.98万32.32%275.56万
非流动负债总额 562.17%2,291.03万558.44%2,201.39万558.44%2,201.39万437.87%1,554.36万22.95%339.41万25.44%345.99万17.59%334.34万17.59%334.34万44.56%288.98万28.68%276.06万
负债总额 91.98%3,940.46万81.97%3,909.33万81.97%3,909.33万41.58%3,372.93万27.06%1,961.66万46.28%2,052.58万18.28%2,148.3万18.28%2,148.3万414.37%2,382.35万315.37%1,543.93万
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%3,195.86万0.00%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
-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%3,195.86万0.00%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
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
留存收益 -60.79%-2,599.81万-45.34%-2,569.68万-45.34%-2,569.68万11.31%-1,613.21万16.29%-1,614.75万23.78%-1,616.89万18.45%-1,768万18.45%-1,768万-28.73%-1,818.98万-25.74%-1,928.96万
股东权益总额 -57.51%726.17万-51.46%756.3万-51.46%756.3万13.65%1,712.78万22.49%1,711.23万41.89%1,709.1万34.55%1,557.99万34.55%1,557.99万-21.22%1,507万-22.04%1,397.03万
总权益 -57.51%726.17万-51.46%756.3万-51.46%756.3万13.65%1,712.78万22.49%1,711.23万41.89%1,709.1万34.55%1,557.99万34.55%1,557.99万-21.22%1,507万-22.04%1,397.03万
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--------带解释段的无保留意见------

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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据伊朗法尔斯通讯社,伊朗武装部队宣布结束对以色列的军事行动,但警告若以色列恢复对黎巴嫩攻击,将采取"更严厉、更具压倒性"的报复措施。此前特朗普在Truth Social发文称以伊“都希望立即停火”,但强调最终协议达成前,美国对伊朗的封锁措施将"持续并全面执行"。原油、黄金等避险资 展开