加拿大市場個股詳情

New Stratus Energy Inc (NSE)

添加自選
  • 0.455
  • -0.015-3.19%
延時15分鐘行情已收盤 01/15 16:00 (美東)
6107.17萬總市值-1.69市盈率TTM

New Stratus Energy Inc (NSE) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(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
(Q1)2024/03/31
(FY)2023/12/31
(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資
575.86%79.88萬
-95.80%62.93萬
-97.60%72.63萬
-97.74%74.92萬
-97.74%74.92萬
-99.60%11.82萬
-54.66%1,497.76萬
--3,027.75萬
60.36%3,311.43萬
114.00%3,311.43萬
-現金和現金等價物
575.86%79.88萬
-95.80%62.93萬
-97.60%72.63萬
-97.74%74.92萬
-97.74%74.92萬
-99.60%11.82萬
-54.66%1,497.76萬
--3,027.75萬
60.36%3,311.43萬
114.00%3,311.43萬
應收款項
-7.58%715.29萬
-38.78%769.54萬
26.41%776.5萬
-0.17%744.29萬
-0.17%744.29萬
-63.49%773.97萬
-40.10%1,257.02萬
--614.27萬
-74.52%745.54萬
-86.02%745.54萬
-應收賬款
----
----
----
----
----
----
----
--280.94萬
--0
--0
-應收稅費
-45.12%61.11萬
-44.57%59.66萬
-41.43%62.65萬
-92.14%58.41萬
-92.14%58.41萬
-94.74%111.36萬
-94.87%107.62萬
--106.96萬
-42.98%743.48萬
6.76%743.48萬
-應收關聯方款項
----
----
----
----
----
--660.27萬
--1,136.16萬
----
--0
--0
-其他應收款
27,876.47%654.17萬
5,261.44%709.89萬
215.35%713.85萬
33,145.23%685.88萬
33,145.23%685.88萬
10.33%2.34萬
575.85%13.24萬
--226.37萬
-90.01%2.06萬
--2.06萬
存貨
----
----
----
----
----
----
----
----
--0
--0
預付費用
-91.91%11.56萬
-99.13%9.48萬
-95.76%6.03萬
-99.69%2.15萬
-99.69%2.15萬
-14.18%142.98萬
410.04%1,093.48萬
--142.35萬
1,468.21%694.18萬
160.48%694.18萬
受限制現金
-90.00%1萬
-98.04%1萬
-80.41%10萬
-80.41%10萬
-80.41%10萬
-80.41%10萬
0.00%51.05萬
--51.05萬
0.00%51.05萬
-0.04%51.05萬
流動資產合計
-13.96%807.73萬
-78.38%842.96萬
-77.44%865.15萬
-82.69%831.35萬
-82.69%831.35萬
-82.49%938.77萬
-31.69%3,899.32萬
--3,835.42萬
-5.59%4,802.2萬
-52.70%4,802.2萬
非流動資產
固定資產淨額
-66.14%12.68萬
4.08%47.77萬
15.23%60.38萬
-8.72%57.44萬
-8.72%57.44萬
-42.09%37.45萬
-38.83%45.89萬
--52.4萬
-38.60%62.93萬
-71.91%62.93萬
-固定資產
-95.20%147.46萬
-94.42%171.46萬
-94.21%177.86萬
-94.62%165.06萬
-94.62%165.06萬
0.29%3,073.42萬
0.68%3,073.4萬
--3,069.61萬
0.32%3,068.16萬
--3,068.16萬
-累計折舊
95.56%-134.78萬
95.91%-123.69萬
96.11%-117.48萬
96.42%-107.62萬
96.42%-107.62萬
-1.20%-3,035.98萬
-1.68%-3,027.51萬
---3,017.21萬
-1.67%-3,005.23萬
---3,005.23萬
投資和預付款
-27.69%6,201.82萬
291.92%6,121.71萬
324.58%6,218.32萬
--6,170.69萬
--6,170.69萬
--8,576.5萬
--1,561.97萬
--1,464.58萬
--0
--0
-長期股權投資
-27.69%6,201.82萬
291.92%6,121.71萬
324.58%6,218.32萬
--6,170.69萬
--6,170.69萬
--8,576.5萬
--1,561.97萬
--1,464.58萬
--0
--0
其他非流動資產
-64.21%26.43萬
----
----
----
----
--73.85萬
--28.37萬
--6,494
-98.30%7,057
-98.24%7,057
非流動資產合計
-28.16%6,240.93萬
277.05%6,169.48萬
313.72%6,278.7萬
9,687.07%6,228.13萬
9,687.07%6,228.13萬
13,336.62%8,687.8萬
2,081.05%1,636.24萬
--1,517.64萬
-96.48%63.64萬
-75.91%63.64萬
總資產
-26.78%7,048.66萬
26.68%7,012.44萬
33.45%7,143.86萬
45.08%7,059.48萬
45.08%7,059.48萬
77.44%9,626.57萬
-4.29%5,535.56萬
--5,353.06萬
-29.41%4,865.84萬
-53.29%4,865.84萬
負債
流動負債
短期借款與資本租賃負債
--4,176.3萬
--4,092.9萬
--4,168.08萬
--4,000.32萬
--4,000.32萬
----
----
----
----
----
-短期借款
--4,176.3萬
--4,092.9萬
--4,168.08萬
--4,000.32萬
--4,000.32萬
----
----
----
----
----
應付款項
-15.44%797.76萬
-28.14%785.73萬
-29.78%702.68萬
160.92%529.95萬
160.92%529.95萬
251.63%943.46萬
200.93%1,093.43萬
--1,000.67萬
-89.77%203.11萬
-88.69%203.11萬
-應付帳款
291.49%696.47萬
150.39%667.78萬
235.11%584.09萬
120.88%421.86萬
120.88%421.86萬
-32.73%177.9萬
-25.19%266.69萬
--174.3萬
-80.85%190.99萬
-83.40%190.99萬
-應付稅費
713.96%101.29萬
6,260.06%117.95萬
7,880.25%118.59萬
792.21%108.09萬
792.21%108.09萬
223.82%12.44萬
-72.97%1.85萬
--1.49萬
-96.10%12.11萬
-90.96%12.11萬
-其他應付款
----
----
----
----
----
--753.11萬
--824.88萬
--824.88萬
----
----
現行撥備
492.60%301.83萬
294.18%171.21萬
138.79%111.52萬
5.05%59.52萬
5.05%59.52萬
-90.74%50.93萬
-92.02%43.44萬
--46.7萬
-95.72%56.66萬
-94.78%56.66萬
養老金及其他退休福利計劃
-56.74%30.73萬
-65.66%35.44萬
-32.04%88.85萬
-56.91%57.67萬
-56.91%57.67萬
26.26%71.03萬
116.15%103.2萬
--130.74萬
24.30%133.84萬
-95.88%133.84萬
其他流動負債
--35.5萬
--35.5萬
--35.5萬
----
----
----
----
----
----
----
流動負債總額
401.41%5,342.12萬
312.95%5,120.78萬
333.46%5,106.63萬
1,080.75%4,647.47萬
1,080.75%4,647.47萬
21.86%1,065.42萬
29.83%1,240.06萬
--1,178.11萬
-88.48%393.6萬
-94.56%393.6萬
非流動負債
長期應付帳款及其他應付款項
--2.87萬
--2.87萬
----
----
----
----
----
----
----
----
遞延負債
--2,995.39萬
--2,877.29萬
----
----
----
----
----
----
----
----
其他非流動負債
----
----
24.10%2,970.47萬
27.88%2,898.14萬
27.88%2,898.14萬
220.95%6,544.61萬
28.14%2,485.85萬
--2,393.58萬
6,661.84%2,266.26萬
11,892.99%2,266.26萬
非流動負債總額
-54.19%2,998.26萬
15.86%2,880.16萬
24.10%2,970.47萬
27.88%2,898.14萬
27.88%2,898.14萬
215.77%6,544.61萬
26.01%2,485.85萬
--2,393.58萬
6,661.84%2,266.26萬
547.91%2,266.26萬
負債總額
9.60%8,340.38萬
114.74%8,000.95萬
126.14%8,077.1萬
183.68%7,545.61萬
183.68%7,545.61萬
158.24%7,610.03萬
27.26%3,725.91萬
--3,571.68萬
-22.92%2,659.86萬
-64.95%2,659.86萬
所有者權益
股本
0.18%3,696.01萬
12.55%3,695.53萬
14.63%3,693.25萬
16.04%3,693.25萬
16.04%3,693.25萬
18.14%3,689.21萬
5.15%3,283.56萬
--3,221.81萬
1.92%3,182.81萬
9.17%3,182.81萬
-普通股股本
0.18%3,696.01萬
12.55%3,695.53萬
14.63%3,693.25萬
16.04%3,693.25萬
16.04%3,693.25萬
18.14%3,689.21萬
5.15%3,283.56萬
--3,221.81萬
1.92%3,182.81萬
9.17%3,182.81萬
資本公積
-0.64%502.81萬
16.49%502.81萬
17.02%505.1萬
17.02%505.1萬
17.02%505.1萬
17.24%506.04萬
0.00%431.62萬
--431.62萬
0.00%431.62萬
192.40%431.62萬
留存收益
-154.07%-5,581.24萬
-168.99%-5,339.32萬
-161.40%-5,146.6萬
-210.40%-4,671.45萬
-210.40%-4,671.45萬
-73.96%-2,196.69萬
-137.26%-1,984.99萬
---1,968.84萬
-306.80%-1,504.95萬
-216.23%-1,504.95萬
不影響留存收益的損益
404.34%90.7萬
1,232.71%152.47萬
254.14%15.01萬
26.59%-13.02萬
26.59%-13.02萬
-70.44%17.98萬
-211.93%-13.46萬
---9.74萬
-113.48%-17.74萬
52.19%-17.74萬
其他股本權益
----
----
----
----
----
----
-26.26%92.91萬
--106.51萬
-9.34%114.24萬
-59.05%114.24萬
股東權益總額
-164.06%-1,291.72萬
-154.62%-988.51萬
-152.39%-933.25萬
-122.04%-486.13萬
-122.04%-486.13萬
-18.64%2,016.54萬
-36.63%1,809.64萬
--1,781.37萬
-35.91%2,205.98萬
-22.02%2,205.98萬
總權益
-164.06%-1,291.72萬
-154.62%-988.51萬
-152.39%-933.25萬
-122.04%-486.13萬
-122.04%-486.13萬
-18.64%2,016.54萬
-36.63%1,809.64萬
--1,781.37萬
-35.91%2,205.98萬
-22.02%2,205.98萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
審計意見
--
--
--
帶解釋段的無保留意見
--
--
--
--
--
--
(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(Q1)2024/03/31(FY)2023/12/31(Q4)2023/12/31
資產
流動資產
現金及現金等價物和短期投資 575.86%79.88萬-95.80%62.93萬-97.60%72.63萬-97.74%74.92萬-97.74%74.92萬-99.60%11.82萬-54.66%1,497.76萬--3,027.75萬60.36%3,311.43萬114.00%3,311.43萬
-現金和現金等價物 575.86%79.88萬-95.80%62.93萬-97.60%72.63萬-97.74%74.92萬-97.74%74.92萬-99.60%11.82萬-54.66%1,497.76萬--3,027.75萬60.36%3,311.43萬114.00%3,311.43萬
應收款項 -7.58%715.29萬-38.78%769.54萬26.41%776.5萬-0.17%744.29萬-0.17%744.29萬-63.49%773.97萬-40.10%1,257.02萬--614.27萬-74.52%745.54萬-86.02%745.54萬
-應收賬款 ------------------------------280.94萬--0--0
-應收稅費 -45.12%61.11萬-44.57%59.66萬-41.43%62.65萬-92.14%58.41萬-92.14%58.41萬-94.74%111.36萬-94.87%107.62萬--106.96萬-42.98%743.48萬6.76%743.48萬
-應收關聯方款項 ----------------------660.27萬--1,136.16萬------0--0
-其他應收款 27,876.47%654.17萬5,261.44%709.89萬215.35%713.85萬33,145.23%685.88萬33,145.23%685.88萬10.33%2.34萬575.85%13.24萬--226.37萬-90.01%2.06萬--2.06萬
存貨 ----------------------------------0--0
預付費用 -91.91%11.56萬-99.13%9.48萬-95.76%6.03萬-99.69%2.15萬-99.69%2.15萬-14.18%142.98萬410.04%1,093.48萬--142.35萬1,468.21%694.18萬160.48%694.18萬
受限制現金 -90.00%1萬-98.04%1萬-80.41%10萬-80.41%10萬-80.41%10萬-80.41%10萬0.00%51.05萬--51.05萬0.00%51.05萬-0.04%51.05萬
流動資產合計 -13.96%807.73萬-78.38%842.96萬-77.44%865.15萬-82.69%831.35萬-82.69%831.35萬-82.49%938.77萬-31.69%3,899.32萬--3,835.42萬-5.59%4,802.2萬-52.70%4,802.2萬
非流動資產
固定資產淨額 -66.14%12.68萬4.08%47.77萬15.23%60.38萬-8.72%57.44萬-8.72%57.44萬-42.09%37.45萬-38.83%45.89萬--52.4萬-38.60%62.93萬-71.91%62.93萬
-固定資產 -95.20%147.46萬-94.42%171.46萬-94.21%177.86萬-94.62%165.06萬-94.62%165.06萬0.29%3,073.42萬0.68%3,073.4萬--3,069.61萬0.32%3,068.16萬--3,068.16萬
-累計折舊 95.56%-134.78萬95.91%-123.69萬96.11%-117.48萬96.42%-107.62萬96.42%-107.62萬-1.20%-3,035.98萬-1.68%-3,027.51萬---3,017.21萬-1.67%-3,005.23萬---3,005.23萬
投資和預付款 -27.69%6,201.82萬291.92%6,121.71萬324.58%6,218.32萬--6,170.69萬--6,170.69萬--8,576.5萬--1,561.97萬--1,464.58萬--0--0
-長期股權投資 -27.69%6,201.82萬291.92%6,121.71萬324.58%6,218.32萬--6,170.69萬--6,170.69萬--8,576.5萬--1,561.97萬--1,464.58萬--0--0
其他非流動資產 -64.21%26.43萬------------------73.85萬--28.37萬--6,494-98.30%7,057-98.24%7,057
非流動資產合計 -28.16%6,240.93萬277.05%6,169.48萬313.72%6,278.7萬9,687.07%6,228.13萬9,687.07%6,228.13萬13,336.62%8,687.8萬2,081.05%1,636.24萬--1,517.64萬-96.48%63.64萬-75.91%63.64萬
總資產 -26.78%7,048.66萬26.68%7,012.44萬33.45%7,143.86萬45.08%7,059.48萬45.08%7,059.48萬77.44%9,626.57萬-4.29%5,535.56萬--5,353.06萬-29.41%4,865.84萬-53.29%4,865.84萬
負債
流動負債
短期借款與資本租賃負債 --4,176.3萬--4,092.9萬--4,168.08萬--4,000.32萬--4,000.32萬--------------------
-短期借款 --4,176.3萬--4,092.9萬--4,168.08萬--4,000.32萬--4,000.32萬--------------------
應付款項 -15.44%797.76萬-28.14%785.73萬-29.78%702.68萬160.92%529.95萬160.92%529.95萬251.63%943.46萬200.93%1,093.43萬--1,000.67萬-89.77%203.11萬-88.69%203.11萬
-應付帳款 291.49%696.47萬150.39%667.78萬235.11%584.09萬120.88%421.86萬120.88%421.86萬-32.73%177.9萬-25.19%266.69萬--174.3萬-80.85%190.99萬-83.40%190.99萬
-應付稅費 713.96%101.29萬6,260.06%117.95萬7,880.25%118.59萬792.21%108.09萬792.21%108.09萬223.82%12.44萬-72.97%1.85萬--1.49萬-96.10%12.11萬-90.96%12.11萬
-其他應付款 ----------------------753.11萬--824.88萬--824.88萬--------
現行撥備 492.60%301.83萬294.18%171.21萬138.79%111.52萬5.05%59.52萬5.05%59.52萬-90.74%50.93萬-92.02%43.44萬--46.7萬-95.72%56.66萬-94.78%56.66萬
養老金及其他退休福利計劃 -56.74%30.73萬-65.66%35.44萬-32.04%88.85萬-56.91%57.67萬-56.91%57.67萬26.26%71.03萬116.15%103.2萬--130.74萬24.30%133.84萬-95.88%133.84萬
其他流動負債 --35.5萬--35.5萬--35.5萬----------------------------
流動負債總額 401.41%5,342.12萬312.95%5,120.78萬333.46%5,106.63萬1,080.75%4,647.47萬1,080.75%4,647.47萬21.86%1,065.42萬29.83%1,240.06萬--1,178.11萬-88.48%393.6萬-94.56%393.6萬
非流動負債
長期應付帳款及其他應付款項 --2.87萬--2.87萬--------------------------------
遞延負債 --2,995.39萬--2,877.29萬--------------------------------
其他非流動負債 --------24.10%2,970.47萬27.88%2,898.14萬27.88%2,898.14萬220.95%6,544.61萬28.14%2,485.85萬--2,393.58萬6,661.84%2,266.26萬11,892.99%2,266.26萬
非流動負債總額 -54.19%2,998.26萬15.86%2,880.16萬24.10%2,970.47萬27.88%2,898.14萬27.88%2,898.14萬215.77%6,544.61萬26.01%2,485.85萬--2,393.58萬6,661.84%2,266.26萬547.91%2,266.26萬
負債總額 9.60%8,340.38萬114.74%8,000.95萬126.14%8,077.1萬183.68%7,545.61萬183.68%7,545.61萬158.24%7,610.03萬27.26%3,725.91萬--3,571.68萬-22.92%2,659.86萬-64.95%2,659.86萬
所有者權益
股本 0.18%3,696.01萬12.55%3,695.53萬14.63%3,693.25萬16.04%3,693.25萬16.04%3,693.25萬18.14%3,689.21萬5.15%3,283.56萬--3,221.81萬1.92%3,182.81萬9.17%3,182.81萬
-普通股股本 0.18%3,696.01萬12.55%3,695.53萬14.63%3,693.25萬16.04%3,693.25萬16.04%3,693.25萬18.14%3,689.21萬5.15%3,283.56萬--3,221.81萬1.92%3,182.81萬9.17%3,182.81萬
資本公積 -0.64%502.81萬16.49%502.81萬17.02%505.1萬17.02%505.1萬17.02%505.1萬17.24%506.04萬0.00%431.62萬--431.62萬0.00%431.62萬192.40%431.62萬
留存收益 -154.07%-5,581.24萬-168.99%-5,339.32萬-161.40%-5,146.6萬-210.40%-4,671.45萬-210.40%-4,671.45萬-73.96%-2,196.69萬-137.26%-1,984.99萬---1,968.84萬-306.80%-1,504.95萬-216.23%-1,504.95萬
不影響留存收益的損益 404.34%90.7萬1,232.71%152.47萬254.14%15.01萬26.59%-13.02萬26.59%-13.02萬-70.44%17.98萬-211.93%-13.46萬---9.74萬-113.48%-17.74萬52.19%-17.74萬
其他股本權益 -------------------------26.26%92.91萬--106.51萬-9.34%114.24萬-59.05%114.24萬
股東權益總額 -164.06%-1,291.72萬-154.62%-988.51萬-152.39%-933.25萬-122.04%-486.13萬-122.04%-486.13萬-18.64%2,016.54萬-36.63%1,809.64萬--1,781.37萬-35.91%2,205.98萬-22.02%2,205.98萬
總權益 -164.06%-1,291.72萬-154.62%-988.51萬-152.39%-933.25萬-122.04%-486.13萬-122.04%-486.13萬-18.64%2,016.54萬-36.63%1,809.64萬--1,781.37萬-35.91%2,205.98萬-22.02%2,205.98萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
審計意見 ------帶解釋段的無保留意見------------

FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。

Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。

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