加拿大市場個股詳情

Touchstone Exploration Inc (TXP)

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延時15分鐘行情已收盤 01/16 16:00 (美東)
5682.84萬總市值-12.50市盈率TTM

Touchstone Exploration Inc (TXP) 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
93.69%1,268.5萬
-9.30%634萬
-40.04%571.8萬
-17.62%674.4萬
-17.62%674.4萬
72.61%654.9萬
-31.05%699萬
-12.17%953.7萬
-49.89%818.6萬
-49.89%818.6萬
-現金和現金等價物
93.69%1,268.5萬
-9.30%634萬
-40.04%571.8萬
-17.62%674.4萬
-17.62%674.4萬
72.61%654.9萬
-31.05%699萬
-12.17%953.7萬
-49.89%818.6萬
-49.89%818.6萬
應收款項
105.80%2,395.7萬
166.39%2,962.8萬
7.16%1,367.1萬
7.42%1,380.5萬
7.42%1,380.5萬
-9.47%1,164.1萬
65.16%1,112.2萬
94.73%1,275.7萬
71.66%1,285.2萬
71.66%1,285.2萬
-應收賬款
20.91%400.2萬
100.13%781.9萬
-39.12%310.5萬
-32.53%433.4萬
-32.53%433.4萬
-57.11%331萬
50.50%390.7萬
94.88%510萬
167.33%642.4萬
167.33%642.4萬
-應收利息
308.61%270.5萬
61.46%178.9萬
-23.04%174.4萬
14.81%80.6萬
14.81%80.6萬
--66.2萬
--110.8萬
--226.6萬
46.86%70.2萬
46.86%70.2萬
-應收稅費
17.68%785.9萬
67.94%966萬
63.71%783.2萬
51.80%767.8萬
51.80%767.8萬
49.97%667.8萬
59.64%575.2萬
37.00%478.4萬
20.72%505.8萬
20.72%505.8萬
-應收關聯方款項
--854.3萬
--852.4萬
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----
----
----
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-其他應收款
-14.43%84.8萬
417.18%183.6萬
63.10%99萬
47.75%98.7萬
47.75%98.7萬
43.83%99.1萬
-33.64%35.5萬
37.33%60.7萬
60.58%66.8萬
60.58%66.8萬
存貨
50.00%12萬
13.19%10.3萬
4.26%9.8萬
-6.59%8.5萬
-6.59%8.5萬
-6.98%8萬
-9.90%9.1萬
4.44%9.4萬
-29.46%9.1萬
-29.46%9.1萬
預付費用
75.79%167萬
-8.78%97.7萬
-12.29%112萬
98.56%151.7萬
98.56%151.7萬
50.55%95萬
13.82%107.1萬
23.50%127.7萬
-43.07%76.4萬
-43.07%76.4萬
持有待售資產
--184.8萬
----
----
--0
--0
--0
--118.1萬
66.58%186.9萬
-39.66%67.7萬
-39.66%67.7萬
流動資產合計
109.57%4,028萬
81.12%3,704.8萬
-19.30%2,060.7萬
-1.86%2,215.1萬
-1.86%2,215.1萬
10.65%1,922萬
14.18%2,045.5萬
29.90%2,553.4萬
-14.56%2,257萬
-14.56%2,257萬
非流動資產
固定資產淨額
43.38%1.84億
43.58%1.8億
8.05%1.31億
11.44%1.26億
11.44%1.26億
-4.04%1.28億
-4.68%1.25億
-3.97%1.21億
-4.50%1.13億
-4.50%1.13億
-固定資產
30.31%2.89億
29.91%2.81億
9.14%2.29億
11.10%2.22億
11.10%2.22億
-3.31%2.22億
-4.00%2.17億
-4.05%2.1億
-4.89%2億
-4.89%2億
-累計折舊
-12.39%-1.05億
-11.17%-1.02億
-10.63%-9,878.2萬
-10.67%-9,615.7萬
-10.67%-9,615.7萬
2.29%-9,359.4萬
3.06%-9,135.2萬
4.14%-8,929.2萬
5.38%-8,688.7萬
5.38%-8,688.7萬
長期應收款
----
----
----
-76.27%7萬
-76.27%7萬
----
----
----
-35.45%29.5萬
-35.45%29.5萬
長期預付費用
----
----
----
-2.56%3.8萬
-2.56%3.8萬
----
----
----
62.50%3.9萬
62.50%3.9萬
其他非流動資產
206.01%1,207.2萬
215.69%1,211.3萬
22.06%403.9萬
35.69%388.9萬
35.69%388.9萬
35.43%394.5萬
33.14%383.7萬
13.36%330.9萬
16.17%286.6萬
16.17%286.6萬
非流動資產合計
48.23%1.96億
48.70%1.92億
8.42%1.35億
11.81%1.3億
11.81%1.3億
-3.20%1.32億
-3.87%1.29億
-3.58%1.24億
-4.19%1.16億
-4.19%1.16億
總資產
56.01%2.36億
53.13%2.29億
3.69%1.55億
9.59%1.52億
9.59%1.52億
-1.64%1.52億
-1.74%1.5億
0.85%1.5億
-6.04%1.39億
-6.04%1.39億
負債
流動負債
短期借款與資本租賃負債
246.61%2,296.3萬
65.48%992.9萬
-39.42%787.5萬
-44.23%725萬
-44.23%725萬
-49.04%662.5萬
-53.85%600萬
116.67%1,300萬
116.67%1,300萬
116.67%1,300萬
-短期借款
--1,160.6萬
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----
----
----
----
----
----
----
----
-銀行債務
71.43%1,135.7萬
65.48%992.9萬
-39.42%787.5萬
-44.23%725萬
-44.23%725萬
-49.04%662.5萬
-53.85%600萬
116.67%1,300萬
116.67%1,300萬
116.67%1,300萬
應付款項
150.46%4,122.5萬
139.94%3,893.5萬
-17.11%2,043.7萬
6.60%1,626萬
6.60%1,626萬
-7.47%1,646萬
2.53%1,622.7萬
50.63%2,465.5萬
10.92%1,525.3萬
10.92%1,525.3萬
-應付帳款
97.72%3,216.7萬
91.08%3,032.9萬
-14.80%2,038.9萬
8.27%1,625.4萬
8.27%1,625.4萬
-4.51%1,626.9萬
2.27%1,587.2萬
48.13%2,393萬
17.87%1,501.3萬
17.87%1,501.3萬
-應付稅費
169.63%51.5萬
-76.90%8.2萬
-93.38%4.8萬
-97.50%6,000
-97.50%6,000
-74.57%19.1萬
15.26%35.5萬
240.38%72.5萬
-76.33%24萬
-76.33%24萬
-應付關聯方款項
--854.3萬
--852.4萬
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----
----
----
----
----
----
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其他流動負債
--443.3萬
----
----
----
----
----
--90.2萬
19.69%200萬
13.52%189.8萬
13.52%189.8萬
流動負債總額
197.25%6,862.1萬
111.27%4,886.4萬
-28.60%2,831.2萬
-22.03%2,351萬
-22.03%2,351萬
-25.02%2,308.5萬
-19.77%2,312.9萬
64.96%3,965.5萬
40.74%3,015.1萬
40.74%3,015.1萬
非流動負債
長期借款與租賃負債
71.26%5,124.6萬
95.33%5,539.3萬
82.15%2,956萬
78.61%3,190.9萬
78.61%3,190.9萬
65.04%2,992.3萬
44.51%2,835.8萬
-22.10%1,622.8萬
-20.01%1,786.5萬
-20.01%1,786.5萬
-長期借款
88.97%4,817.3萬
100.71%5,166萬
88.67%2,543.1萬
83.89%2,754.1萬
83.89%2,754.1萬
54.79%2,549.3萬
43.30%2,573.8萬
-30.73%1,347.9萬
-28.55%1,497.7萬
-28.55%1,497.7萬
-長期租賃負債
-30.63%307.3萬
42.48%373.3萬
50.20%412.9萬
51.25%436.8萬
51.25%436.8萬
166.55%443萬
57.64%262萬
100.07%274.9萬
110.34%288.8萬
110.34%288.8萬
長期撥備
8.57%1,040萬
53.49%1,481.2萬
4.53%1,013.7萬
2.59%998.5萬
2.59%998.5萬
-17.38%957.9萬
-12.41%965萬
-11.47%969.8萬
-12.96%973.3萬
-12.96%973.3萬
員工福利
104.00%15.3萬
--16.2萬
--16萬
--11.7萬
--11.7萬
--7.5萬
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----
--0
--0
遞延負債
79.27%3,438萬
72.93%3,586.3萬
-13.09%1,792.1萬
-16.37%1,792.4萬
-16.37%1,792.4萬
44.00%1,917.8萬
51.19%2,073.9萬
46.24%2,062萬
47.24%2,143.3萬
47.24%2,143.3萬
非流動負債總額
63.70%9,617.9萬
80.83%1.06億
24.13%5,777.8萬
22.24%5,993.5萬
22.24%5,993.5萬
36.50%5,875.5萬
32.44%5,874.7萬
1.43%4,654.6萬
1.99%4,903.1萬
1.99%4,903.1萬
負債總額
101.37%1.65億
89.43%1.55億
-0.13%8,609萬
5.38%8,344.5萬
5.38%8,344.5萬
10.85%8,184萬
11.88%8,187.6萬
23.27%8,620.1萬
13.94%7,918.2萬
13.94%7,918.2萬
所有者權益
股本
4.52%1.21億
4.59%1.21億
0.56%1.16億
0.56%1.16億
0.56%1.16億
0.56%1.16億
0.68%1.16億
0.29%1.15億
0.29%1.15億
0.29%1.15億
-普通股股本
4.52%1.21億
4.59%1.21億
0.56%1.16億
0.56%1.16億
0.56%1.16億
0.56%1.16億
0.68%1.16億
0.29%1.15億
0.29%1.15億
0.29%1.15億
資本公積
5.92%731.3萬
7.70%721.8萬
9.47%720.4萬
14.64%706.9萬
14.64%706.9萬
20.11%690.4萬
20.04%670.2萬
23.52%658.1萬
25.71%616.6萬
25.71%616.6萬
留存收益
-8.31%-4,270.2萬
1.54%-4,063.8萬
10.50%-3,992.8萬
17.15%-3,996.9萬
17.15%-3,996.9萬
-46.00%-3,942.7萬
-47.44%-4,127.4萬
-59.78%-4,461.3萬
-74.51%-4,824.1萬
-74.51%-4,824.1萬
不影響留存收益的損益
-5.34%-1,411.5萬
-1.64%-1,349.7萬
-2.35%-1,373.6萬
-5.78%-1,388.2萬
-5.78%-1,388.2萬
0.69%-1,339.9萬
0.26%-1,327.9萬
0.73%-1,342.1萬
2.91%-1,312.4萬
2.91%-1,312.4萬
其他股本權益
--26.9萬
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股東權益總額
2.74%7,159.6萬
9.22%7,391.4萬
8.88%6,915萬
15.16%6,882.8萬
15.16%6,882.8萬
-13.12%6,968.8萬
-14.36%6,767.5萬
-19.11%6,351.2萬
-23.75%5,976.6萬
-23.75%5,976.6萬
總權益
2.74%7,159.6萬
9.22%7,391.4萬
8.88%6,915萬
15.16%6,882.8萬
15.16%6,882.8萬
-13.12%6,968.8萬
-14.36%6,767.5萬
-19.11%6,351.2萬
-23.75%5,976.6萬
-23.75%5,976.6萬
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
--
--
--
--
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 93.69%1,268.5萬-9.30%634萬-40.04%571.8萬-17.62%674.4萬-17.62%674.4萬72.61%654.9萬-31.05%699萬-12.17%953.7萬-49.89%818.6萬-49.89%818.6萬
-現金和現金等價物 93.69%1,268.5萬-9.30%634萬-40.04%571.8萬-17.62%674.4萬-17.62%674.4萬72.61%654.9萬-31.05%699萬-12.17%953.7萬-49.89%818.6萬-49.89%818.6萬
應收款項 105.80%2,395.7萬166.39%2,962.8萬7.16%1,367.1萬7.42%1,380.5萬7.42%1,380.5萬-9.47%1,164.1萬65.16%1,112.2萬94.73%1,275.7萬71.66%1,285.2萬71.66%1,285.2萬
-應收賬款 20.91%400.2萬100.13%781.9萬-39.12%310.5萬-32.53%433.4萬-32.53%433.4萬-57.11%331萬50.50%390.7萬94.88%510萬167.33%642.4萬167.33%642.4萬
-應收利息 308.61%270.5萬61.46%178.9萬-23.04%174.4萬14.81%80.6萬14.81%80.6萬--66.2萬--110.8萬--226.6萬46.86%70.2萬46.86%70.2萬
-應收稅費 17.68%785.9萬67.94%966萬63.71%783.2萬51.80%767.8萬51.80%767.8萬49.97%667.8萬59.64%575.2萬37.00%478.4萬20.72%505.8萬20.72%505.8萬
-應收關聯方款項 --854.3萬--852.4萬--------------------------------
-其他應收款 -14.43%84.8萬417.18%183.6萬63.10%99萬47.75%98.7萬47.75%98.7萬43.83%99.1萬-33.64%35.5萬37.33%60.7萬60.58%66.8萬60.58%66.8萬
存貨 50.00%12萬13.19%10.3萬4.26%9.8萬-6.59%8.5萬-6.59%8.5萬-6.98%8萬-9.90%9.1萬4.44%9.4萬-29.46%9.1萬-29.46%9.1萬
預付費用 75.79%167萬-8.78%97.7萬-12.29%112萬98.56%151.7萬98.56%151.7萬50.55%95萬13.82%107.1萬23.50%127.7萬-43.07%76.4萬-43.07%76.4萬
持有待售資產 --184.8萬----------0--0--0--118.1萬66.58%186.9萬-39.66%67.7萬-39.66%67.7萬
流動資產合計 109.57%4,028萬81.12%3,704.8萬-19.30%2,060.7萬-1.86%2,215.1萬-1.86%2,215.1萬10.65%1,922萬14.18%2,045.5萬29.90%2,553.4萬-14.56%2,257萬-14.56%2,257萬
非流動資產
固定資產淨額 43.38%1.84億43.58%1.8億8.05%1.31億11.44%1.26億11.44%1.26億-4.04%1.28億-4.68%1.25億-3.97%1.21億-4.50%1.13億-4.50%1.13億
-固定資產 30.31%2.89億29.91%2.81億9.14%2.29億11.10%2.22億11.10%2.22億-3.31%2.22億-4.00%2.17億-4.05%2.1億-4.89%2億-4.89%2億
-累計折舊 -12.39%-1.05億-11.17%-1.02億-10.63%-9,878.2萬-10.67%-9,615.7萬-10.67%-9,615.7萬2.29%-9,359.4萬3.06%-9,135.2萬4.14%-8,929.2萬5.38%-8,688.7萬5.38%-8,688.7萬
長期應收款 -------------76.27%7萬-76.27%7萬-------------35.45%29.5萬-35.45%29.5萬
長期預付費用 -------------2.56%3.8萬-2.56%3.8萬------------62.50%3.9萬62.50%3.9萬
其他非流動資產 206.01%1,207.2萬215.69%1,211.3萬22.06%403.9萬35.69%388.9萬35.69%388.9萬35.43%394.5萬33.14%383.7萬13.36%330.9萬16.17%286.6萬16.17%286.6萬
非流動資產合計 48.23%1.96億48.70%1.92億8.42%1.35億11.81%1.3億11.81%1.3億-3.20%1.32億-3.87%1.29億-3.58%1.24億-4.19%1.16億-4.19%1.16億
總資產 56.01%2.36億53.13%2.29億3.69%1.55億9.59%1.52億9.59%1.52億-1.64%1.52億-1.74%1.5億0.85%1.5億-6.04%1.39億-6.04%1.39億
負債
流動負債
短期借款與資本租賃負債 246.61%2,296.3萬65.48%992.9萬-39.42%787.5萬-44.23%725萬-44.23%725萬-49.04%662.5萬-53.85%600萬116.67%1,300萬116.67%1,300萬116.67%1,300萬
-短期借款 --1,160.6萬------------------------------------
-銀行債務 71.43%1,135.7萬65.48%992.9萬-39.42%787.5萬-44.23%725萬-44.23%725萬-49.04%662.5萬-53.85%600萬116.67%1,300萬116.67%1,300萬116.67%1,300萬
應付款項 150.46%4,122.5萬139.94%3,893.5萬-17.11%2,043.7萬6.60%1,626萬6.60%1,626萬-7.47%1,646萬2.53%1,622.7萬50.63%2,465.5萬10.92%1,525.3萬10.92%1,525.3萬
-應付帳款 97.72%3,216.7萬91.08%3,032.9萬-14.80%2,038.9萬8.27%1,625.4萬8.27%1,625.4萬-4.51%1,626.9萬2.27%1,587.2萬48.13%2,393萬17.87%1,501.3萬17.87%1,501.3萬
-應付稅費 169.63%51.5萬-76.90%8.2萬-93.38%4.8萬-97.50%6,000-97.50%6,000-74.57%19.1萬15.26%35.5萬240.38%72.5萬-76.33%24萬-76.33%24萬
-應付關聯方款項 --854.3萬--852.4萬--------------------------------
其他流動負債 --443.3萬----------------------90.2萬19.69%200萬13.52%189.8萬13.52%189.8萬
流動負債總額 197.25%6,862.1萬111.27%4,886.4萬-28.60%2,831.2萬-22.03%2,351萬-22.03%2,351萬-25.02%2,308.5萬-19.77%2,312.9萬64.96%3,965.5萬40.74%3,015.1萬40.74%3,015.1萬
非流動負債
長期借款與租賃負債 71.26%5,124.6萬95.33%5,539.3萬82.15%2,956萬78.61%3,190.9萬78.61%3,190.9萬65.04%2,992.3萬44.51%2,835.8萬-22.10%1,622.8萬-20.01%1,786.5萬-20.01%1,786.5萬
-長期借款 88.97%4,817.3萬100.71%5,166萬88.67%2,543.1萬83.89%2,754.1萬83.89%2,754.1萬54.79%2,549.3萬43.30%2,573.8萬-30.73%1,347.9萬-28.55%1,497.7萬-28.55%1,497.7萬
-長期租賃負債 -30.63%307.3萬42.48%373.3萬50.20%412.9萬51.25%436.8萬51.25%436.8萬166.55%443萬57.64%262萬100.07%274.9萬110.34%288.8萬110.34%288.8萬
長期撥備 8.57%1,040萬53.49%1,481.2萬4.53%1,013.7萬2.59%998.5萬2.59%998.5萬-17.38%957.9萬-12.41%965萬-11.47%969.8萬-12.96%973.3萬-12.96%973.3萬
員工福利 104.00%15.3萬--16.2萬--16萬--11.7萬--11.7萬--7.5萬----------0--0
遞延負債 79.27%3,438萬72.93%3,586.3萬-13.09%1,792.1萬-16.37%1,792.4萬-16.37%1,792.4萬44.00%1,917.8萬51.19%2,073.9萬46.24%2,062萬47.24%2,143.3萬47.24%2,143.3萬
非流動負債總額 63.70%9,617.9萬80.83%1.06億24.13%5,777.8萬22.24%5,993.5萬22.24%5,993.5萬36.50%5,875.5萬32.44%5,874.7萬1.43%4,654.6萬1.99%4,903.1萬1.99%4,903.1萬
負債總額 101.37%1.65億89.43%1.55億-0.13%8,609萬5.38%8,344.5萬5.38%8,344.5萬10.85%8,184萬11.88%8,187.6萬23.27%8,620.1萬13.94%7,918.2萬13.94%7,918.2萬
所有者權益
股本 4.52%1.21億4.59%1.21億0.56%1.16億0.56%1.16億0.56%1.16億0.56%1.16億0.68%1.16億0.29%1.15億0.29%1.15億0.29%1.15億
-普通股股本 4.52%1.21億4.59%1.21億0.56%1.16億0.56%1.16億0.56%1.16億0.56%1.16億0.68%1.16億0.29%1.15億0.29%1.15億0.29%1.15億
資本公積 5.92%731.3萬7.70%721.8萬9.47%720.4萬14.64%706.9萬14.64%706.9萬20.11%690.4萬20.04%670.2萬23.52%658.1萬25.71%616.6萬25.71%616.6萬
留存收益 -8.31%-4,270.2萬1.54%-4,063.8萬10.50%-3,992.8萬17.15%-3,996.9萬17.15%-3,996.9萬-46.00%-3,942.7萬-47.44%-4,127.4萬-59.78%-4,461.3萬-74.51%-4,824.1萬-74.51%-4,824.1萬
不影響留存收益的損益 -5.34%-1,411.5萬-1.64%-1,349.7萬-2.35%-1,373.6萬-5.78%-1,388.2萬-5.78%-1,388.2萬0.69%-1,339.9萬0.26%-1,327.9萬0.73%-1,342.1萬2.91%-1,312.4萬2.91%-1,312.4萬
其他股本權益 --26.9萬------------------------------------
股東權益總額 2.74%7,159.6萬9.22%7,391.4萬8.88%6,915萬15.16%6,882.8萬15.16%6,882.8萬-13.12%6,968.8萬-14.36%6,767.5萬-19.11%6,351.2萬-23.75%5,976.6萬-23.75%5,976.6萬
總權益 2.74%7,159.6萬9.22%7,391.4萬8.88%6,915萬15.16%6,882.8萬15.16%6,882.8萬-13.12%6,968.8萬-14.36%6,767.5萬-19.11%6,351.2萬-23.75%5,976.6萬-23.75%5,976.6萬
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--------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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