美股市场个股详情

TENAZ ENERGY CORP (ATUUF)

添加自选
  • 43.740
  • -3.330-7.07%
延时15分钟行情收盘价 04/17 15:59 (美东)
  • 43.738
  • -0.002-0.01%
盘后 17:09 (美东)
14.02亿总市值5.98市盈率TTM

TENAZ ENERGY CORP (ATUUF) 资产负债表

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资
-54.08%6,424.1万
-54.08%6,424.1万
1,345.78%2.14亿
583.19%1.92亿
241.96%1.36亿
178.14%1.4亿
178.14%1.4亿
-70.88%1,478.7万
14.15%2,813.4万
58.77%3,967.5万
-现金和现金等价物
-54.08%6,424.1万
-54.08%6,424.1万
1,345.78%2.14亿
583.19%1.92亿
241.96%1.36亿
178.14%1.4亿
178.14%1.4亿
-70.88%1,478.7万
14.15%2,813.4万
58.77%3,967.5万
应收款项
2,333.47%1.52亿
2,333.47%1.52亿
1,281.43%7,305万
1,093.92%7,027.4万
32.15%829.9万
-22.14%623万
-22.14%623万
-37.56%528.8万
41.08%588.6万
17.67%628万
-应收账款
2,333.47%1.52亿
2,333.47%1.52亿
1,281.43%7,305万
1,093.92%7,027.4万
32.15%829.9万
-22.14%623万
-22.14%623万
-37.56%528.8万
41.08%588.6万
17.67%628万
预付费用
993.61%2,344.7万
993.61%2,344.7万
1,227.58%3,147.7万
1,484.03%3,055.6万
129.07%980.2万
113.55%214.4万
113.55%214.4万
51.12%237.1万
70.56%192.9万
387.36%427.9万
受限制现金
-2.35%3,930.6万
-2.35%3,930.6万
-1.68%4,002万
4.11%4,068.3万
-8.72%3,762.7万
22.18%4,025.2万
22.18%4,025.2万
28.23%4,070.4万
130.24%3,907.8万
138.52%4,122.1万
流动资产合计
52.25%2.87亿
52.25%2.87亿
469.34%3.6亿
345.21%3.35亿
109.28%1.91亿
103.85%1.89亿
103.85%1.89亿
-32.06%6,315万
60.22%7,525万
88.39%9,145.5万
非流动资产
固定资产净额
1,427.94%22.03亿
1,427.94%22.03亿
1,284.62%18.57亿
1,381.95%18.45亿
13.54%1.41亿
15.47%1.44亿
15.47%1.44亿
-6.71%1.34亿
7.16%1.24亿
6.25%1.24亿
-固定资产
1,014.05%23.81亿
1,014.05%23.81亿
902.95%19.91亿
963.02%19.44亿
21.80%2.17亿
23.32%2.14亿
23.32%2.14亿
7.03%1.98亿
19.53%1.83亿
18.63%1.78亿
-累计折旧
-156.52%-1.79亿
-156.52%-1.79亿
-108.50%-1.34亿
-69.42%-9,887万
-40.77%-7,590.3万
-43.54%-6,958.5万
-43.54%-6,958.5万
-54.34%-6,441.6万
-58.57%-5,835.7万
-61.97%-5,391.8万
投资和预付款
8.86%2,336.2万
8.86%2,336.2万
8.95%2,494.1万
-1.87%2,304.9万
5.33%2,348.4万
0.44%2,146万
0.44%2,146万
-2.59%2,289.3万
106.41%2,348.9万
63.78%2,229.5万
金融资产
--1,464.3万
--1,464.3万
----
----
----
--0
--0
----
----
----
长期预付费用
-95.22%175.3万
-95.22%175.3万
-91.34%297万
--1,201.8万
--3,863.9万
--3,665.8万
--3,665.8万
--3,430.1万
----
----
非流动资产合计
1,008.62%22.43亿
1,008.62%22.43亿
885.19%18.84亿
1,170.40%18.8亿
38.72%2.03亿
38.34%2.02亿
38.34%2.02亿
14.38%1.91亿
16.01%1.48亿
12.27%1.46亿
总资产
547.27%25.3亿
547.27%25.3亿
781.97%22.44亿
892.22%22.15亿
65.88%3.94亿
63.72%3.91亿
63.72%3.91亿
-2.21%2.54亿
27.91%2.23亿
32.94%2.38亿
负债
流动负债
应付款项
595.13%2.8亿
595.13%2.8亿
343.03%1.85亿
570.06%1.9亿
23.44%5,121.5万
-0.73%4,030.4万
-0.73%4,030.4万
-12.14%4,184.2万
-4.86%2,837.3万
39.93%4,148.9万
-应付账款
647.34%1.74亿
647.34%1.74亿
635.36%1.17亿
606.60%1.22亿
102.12%3,352.6万
48.71%2,330.5万
48.71%2,330.5万
-21.30%1,590.6万
58.41%1,720.3万
117.28%1,658.7万
-应付税费
523.55%1.06亿
523.55%1.06亿
163.75%6,840.7万
513.79%6,856万
-28.97%1,768.9万
-31.82%1,699.9万
-31.82%1,699.9万
-5.39%2,593.6万
-41.09%1,117万
13.11%2,490.2万
现行拨备
----
----
142.90%561.1万
142.80%561.1万
88.50%231.1万
0.04%231.1万
0.04%231.1万
--231万
--231.1万
--122.6万
短期借款与租赁负债
--1,033.4万
--1,033.4万
--1,075.3万
--1,052.9万
----
----
----
----
----
----
-短期租赁负债
--1,033.4万
--1,033.4万
--1,075.3万
--1,052.9万
----
--0
--0
----
----
----
其他流动负债
--1,480.3万
--1,480.3万
--4,800.6万
39,631.88%5,483万
-32.51%21.8万
----
----
----
-58.68%13.8万
258.89%32.3万
流动负债总额
657.50%3.05亿
657.50%3.05亿
465.64%2.5亿
747.08%2.61亿
24.88%5,374.4万
-8.38%4,030.4万
-8.38%4,030.4万
-10.37%4,415.2万
2.19%3,082.2万
44.36%4,303.8万
非流动负债
长期拨备
436.16%3.32亿
436.16%3.32亿
556.48%3.33亿
660.35%3.17亿
27.20%5,520.8万
44.01%6,189.6万
44.01%6,189.6万
-9.55%5,074.5万
35.65%4,166.7万
33.74%4,340.1万
长期借款与租赁负债
138.87%3.31亿
138.87%3.31亿
1,450.68%1.59亿
63,414.62%1.61亿
55,582.33%1.39亿
56,679.92%1.39亿
56,679.92%1.39亿
4,283.33%1,025.7万
10.00%25.3万
591.67%24.9万
-长期借款
126.33%3.13亿
126.33%3.13亿
1,285.22%1.39亿
--1.38亿
--1.38亿
--1.38亿
--1.38亿
--999.9万
----
----
-长期租赁负债
6,608.21%1,797.8万
6,608.21%1,797.8万
7,863.18%2,054.5万
8,695.65%2,225.3万
11.24%27.7万
9.84%26.8万
9.84%26.8万
10.26%25.8万
10.00%25.3万
591.67%24.9万
递延负债
1,828.84%11.18亿
1,828.84%11.18亿
2,131.52%11.64亿
2,102.93%11.56亿
5.09%5,796.3万
5.09%5,795.9万
5.09%5,795.9万
-16.01%5,216.5万
28.77%5,249万
28.85%5,515.5万
其他非流动负债
--556.5万
--556.5万
--2,536.9万
--3,561.4万
----
----
----
----
----
----
非流动负债总额
591.30%17.86亿
591.30%17.86亿
1,385.97%16.82亿
1,668.29%16.69亿
154.87%2.52亿
162.67%2.58亿
162.67%2.58亿
-4.45%1.13亿
31.66%9,441万
31.23%9,880.5万
总负债
600.23%20.92亿
600.23%20.92亿
1,127.68%19.31亿
1,441.56%19.31亿
115.42%3.06亿
109.82%2.99亿
109.82%2.99亿
-6.19%1.57亿
22.93%1.25亿
34.95%1.42亿
所有者权益
股本
46.53%9,290.9万
46.53%9,290.9万
5.25%6,603.9万
3.15%6,438.5万
4.25%6,326.8万
4.16%6,340.5万
4.16%6,340.5万
2.40%6,274.5万
0.35%6,241.7万
-3.68%6,068.9万
-普通股股本
46.53%9,290.9万
46.53%9,290.9万
5.25%6,603.9万
3.15%6,438.5万
4.25%6,326.8万
4.16%6,340.5万
4.16%6,340.5万
2.40%6,274.5万
0.35%6,241.7万
-3.68%6,068.9万
留存收益
2,403.76%3.23亿
2,403.76%3.23亿
1,049.23%2.18亿
811.28%1.95亿
-65.85%692.9万
-38.84%1,290.6万
-38.84%1,290.6万
5.44%1,894.3万
998.03%2,142.7万
1,334.75%2,028.7万
资本公积
-1.64%1,189.2万
-1.64%1,189.2万
14.78%1,266.9万
13.37%1,199.9万
19.13%1,345.6万
10.73%1,209万
10.73%1,209万
7.62%1,103.8万
10.14%1,058.4万
24.42%1,129.5万
不影响留存收益的损益
895.16%945.4万
895.16%945.4万
969.44%1,364.6万
2,725.77%1,008.8万
575.46%220.2万
274.02%95万
274.02%95万
672.20%127.6万
2,000.00%35.7万
3,522.22%32.6万
其他权益
-74.87%69.7万
-74.87%69.7万
-18.20%253.9万
-19.61%257.5万
-13.39%277.4万
-13.39%277.4万
-13.39%277.4万
-3.09%310.4万
0.00%320.3万
0.00%320.3万
股东权益总额
375.54%4.38亿
375.54%4.38亿
221.91%3.13亿
190.15%2.84亿
-7.49%8,862.9万
-4.39%9,212.5万
-4.39%9,212.5万
5.01%9,710.6万
34.89%9,798.8万
30.07%9,580万
总权益
375.54%4.38亿
375.54%4.38亿
221.91%3.13亿
190.15%2.84亿
-7.49%8,862.9万
-4.39%9,212.5万
-4.39%9,212.5万
5.01%9,710.6万
34.89%9,798.8万
30.07%9,580万
货币单位
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
加拿大元
审计意见
无保留意见
--
--
--
--
无保留意见
--
--
--
--
(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(Q1)2024/03/31
资产
流动资产
现金及现金等价物和短期投资 -54.08%6,424.1万-54.08%6,424.1万1,345.78%2.14亿583.19%1.92亿241.96%1.36亿178.14%1.4亿178.14%1.4亿-70.88%1,478.7万14.15%2,813.4万58.77%3,967.5万
-现金和现金等价物 -54.08%6,424.1万-54.08%6,424.1万1,345.78%2.14亿583.19%1.92亿241.96%1.36亿178.14%1.4亿178.14%1.4亿-70.88%1,478.7万14.15%2,813.4万58.77%3,967.5万
应收款项 2,333.47%1.52亿2,333.47%1.52亿1,281.43%7,305万1,093.92%7,027.4万32.15%829.9万-22.14%623万-22.14%623万-37.56%528.8万41.08%588.6万17.67%628万
-应收账款 2,333.47%1.52亿2,333.47%1.52亿1,281.43%7,305万1,093.92%7,027.4万32.15%829.9万-22.14%623万-22.14%623万-37.56%528.8万41.08%588.6万17.67%628万
预付费用 993.61%2,344.7万993.61%2,344.7万1,227.58%3,147.7万1,484.03%3,055.6万129.07%980.2万113.55%214.4万113.55%214.4万51.12%237.1万70.56%192.9万387.36%427.9万
受限制现金 -2.35%3,930.6万-2.35%3,930.6万-1.68%4,002万4.11%4,068.3万-8.72%3,762.7万22.18%4,025.2万22.18%4,025.2万28.23%4,070.4万130.24%3,907.8万138.52%4,122.1万
流动资产合计 52.25%2.87亿52.25%2.87亿469.34%3.6亿345.21%3.35亿109.28%1.91亿103.85%1.89亿103.85%1.89亿-32.06%6,315万60.22%7,525万88.39%9,145.5万
非流动资产
固定资产净额 1,427.94%22.03亿1,427.94%22.03亿1,284.62%18.57亿1,381.95%18.45亿13.54%1.41亿15.47%1.44亿15.47%1.44亿-6.71%1.34亿7.16%1.24亿6.25%1.24亿
-固定资产 1,014.05%23.81亿1,014.05%23.81亿902.95%19.91亿963.02%19.44亿21.80%2.17亿23.32%2.14亿23.32%2.14亿7.03%1.98亿19.53%1.83亿18.63%1.78亿
-累计折旧 -156.52%-1.79亿-156.52%-1.79亿-108.50%-1.34亿-69.42%-9,887万-40.77%-7,590.3万-43.54%-6,958.5万-43.54%-6,958.5万-54.34%-6,441.6万-58.57%-5,835.7万-61.97%-5,391.8万
投资和预付款 8.86%2,336.2万8.86%2,336.2万8.95%2,494.1万-1.87%2,304.9万5.33%2,348.4万0.44%2,146万0.44%2,146万-2.59%2,289.3万106.41%2,348.9万63.78%2,229.5万
金融资产 --1,464.3万--1,464.3万--------------0--0------------
长期预付费用 -95.22%175.3万-95.22%175.3万-91.34%297万--1,201.8万--3,863.9万--3,665.8万--3,665.8万--3,430.1万--------
非流动资产合计 1,008.62%22.43亿1,008.62%22.43亿885.19%18.84亿1,170.40%18.8亿38.72%2.03亿38.34%2.02亿38.34%2.02亿14.38%1.91亿16.01%1.48亿12.27%1.46亿
总资产 547.27%25.3亿547.27%25.3亿781.97%22.44亿892.22%22.15亿65.88%3.94亿63.72%3.91亿63.72%3.91亿-2.21%2.54亿27.91%2.23亿32.94%2.38亿
负债
流动负债
应付款项 595.13%2.8亿595.13%2.8亿343.03%1.85亿570.06%1.9亿23.44%5,121.5万-0.73%4,030.4万-0.73%4,030.4万-12.14%4,184.2万-4.86%2,837.3万39.93%4,148.9万
-应付账款 647.34%1.74亿647.34%1.74亿635.36%1.17亿606.60%1.22亿102.12%3,352.6万48.71%2,330.5万48.71%2,330.5万-21.30%1,590.6万58.41%1,720.3万117.28%1,658.7万
-应付税费 523.55%1.06亿523.55%1.06亿163.75%6,840.7万513.79%6,856万-28.97%1,768.9万-31.82%1,699.9万-31.82%1,699.9万-5.39%2,593.6万-41.09%1,117万13.11%2,490.2万
现行拨备 --------142.90%561.1万142.80%561.1万88.50%231.1万0.04%231.1万0.04%231.1万--231万--231.1万--122.6万
短期借款与租赁负债 --1,033.4万--1,033.4万--1,075.3万--1,052.9万------------------------
-短期租赁负债 --1,033.4万--1,033.4万--1,075.3万--1,052.9万------0--0------------
其他流动负债 --1,480.3万--1,480.3万--4,800.6万39,631.88%5,483万-32.51%21.8万-------------58.68%13.8万258.89%32.3万
流动负债总额 657.50%3.05亿657.50%3.05亿465.64%2.5亿747.08%2.61亿24.88%5,374.4万-8.38%4,030.4万-8.38%4,030.4万-10.37%4,415.2万2.19%3,082.2万44.36%4,303.8万
非流动负债
长期拨备 436.16%3.32亿436.16%3.32亿556.48%3.33亿660.35%3.17亿27.20%5,520.8万44.01%6,189.6万44.01%6,189.6万-9.55%5,074.5万35.65%4,166.7万33.74%4,340.1万
长期借款与租赁负债 138.87%3.31亿138.87%3.31亿1,450.68%1.59亿63,414.62%1.61亿55,582.33%1.39亿56,679.92%1.39亿56,679.92%1.39亿4,283.33%1,025.7万10.00%25.3万591.67%24.9万
-长期借款 126.33%3.13亿126.33%3.13亿1,285.22%1.39亿--1.38亿--1.38亿--1.38亿--1.38亿--999.9万--------
-长期租赁负债 6,608.21%1,797.8万6,608.21%1,797.8万7,863.18%2,054.5万8,695.65%2,225.3万11.24%27.7万9.84%26.8万9.84%26.8万10.26%25.8万10.00%25.3万591.67%24.9万
递延负债 1,828.84%11.18亿1,828.84%11.18亿2,131.52%11.64亿2,102.93%11.56亿5.09%5,796.3万5.09%5,795.9万5.09%5,795.9万-16.01%5,216.5万28.77%5,249万28.85%5,515.5万
其他非流动负债 --556.5万--556.5万--2,536.9万--3,561.4万------------------------
非流动负债总额 591.30%17.86亿591.30%17.86亿1,385.97%16.82亿1,668.29%16.69亿154.87%2.52亿162.67%2.58亿162.67%2.58亿-4.45%1.13亿31.66%9,441万31.23%9,880.5万
总负债 600.23%20.92亿600.23%20.92亿1,127.68%19.31亿1,441.56%19.31亿115.42%3.06亿109.82%2.99亿109.82%2.99亿-6.19%1.57亿22.93%1.25亿34.95%1.42亿
所有者权益
股本 46.53%9,290.9万46.53%9,290.9万5.25%6,603.9万3.15%6,438.5万4.25%6,326.8万4.16%6,340.5万4.16%6,340.5万2.40%6,274.5万0.35%6,241.7万-3.68%6,068.9万
-普通股股本 46.53%9,290.9万46.53%9,290.9万5.25%6,603.9万3.15%6,438.5万4.25%6,326.8万4.16%6,340.5万4.16%6,340.5万2.40%6,274.5万0.35%6,241.7万-3.68%6,068.9万
留存收益 2,403.76%3.23亿2,403.76%3.23亿1,049.23%2.18亿811.28%1.95亿-65.85%692.9万-38.84%1,290.6万-38.84%1,290.6万5.44%1,894.3万998.03%2,142.7万1,334.75%2,028.7万
资本公积 -1.64%1,189.2万-1.64%1,189.2万14.78%1,266.9万13.37%1,199.9万19.13%1,345.6万10.73%1,209万10.73%1,209万7.62%1,103.8万10.14%1,058.4万24.42%1,129.5万
不影响留存收益的损益 895.16%945.4万895.16%945.4万969.44%1,364.6万2,725.77%1,008.8万575.46%220.2万274.02%95万274.02%95万672.20%127.6万2,000.00%35.7万3,522.22%32.6万
其他权益 -74.87%69.7万-74.87%69.7万-18.20%253.9万-19.61%257.5万-13.39%277.4万-13.39%277.4万-13.39%277.4万-3.09%310.4万0.00%320.3万0.00%320.3万
股东权益总额 375.54%4.38亿375.54%4.38亿221.91%3.13亿190.15%2.84亿-7.49%8,862.9万-4.39%9,212.5万-4.39%9,212.5万5.01%9,710.6万34.89%9,798.8万30.07%9,580万
总权益 375.54%4.38亿375.54%4.38亿221.91%3.13亿190.15%2.84亿-7.49%8,862.9万-4.39%9,212.5万-4.39%9,212.5万5.01%9,710.6万34.89%9,798.8万30.07%9,580万
货币单位 加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元加拿大元
审计意见 无保留意见--------无保留意见--------
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