美股市场个股详情

PETROTAL CORP (PTALF)

添加自选
  • 0.3500
  • -0.0069-1.93%
延时15分钟行情收盘价 04/17 15:57 (美东)
  • 0.3432
  • -0.0068-1.93%
盘后 17:09 (美东)
3.22亿总市值7.00市盈率TTM

PETROTAL CORP (PTALF) 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
9.36%1.12亿
9.36%1.12亿
-10.32%1.09亿
18.07%9,931.3万
64.25%1.03亿
13.49%1.03亿
13.49%1.03亿
28.92%1.21亿
11.77%8,411.6万
10.83%6,249.8万
-现金和现金等价物
9.36%1.12亿
9.36%1.12亿
-10.32%1.09亿
18.07%9,931.3万
64.25%1.03亿
13.49%1.03亿
13.49%1.03亿
28.92%1.21亿
11.77%8,411.6万
10.83%6,249.8万
应收款项
-36.01%5,686.2万
-36.01%5,686.2万
-12.97%5,834.8万
-32.98%7,084.4万
-16.04%8,600.9万
30.07%8,885.5万
30.07%8,885.5万
-10.88%6,704.3万
-12.38%1.06亿
-5.88%1.02亿
-应收账款
-36.01%5,686.2万
-36.01%5,686.2万
24.12%5,834.8万
-38.53%5,737.1万
-27.93%6,731.6万
51.62%8,885.5万
51.62%8,885.5万
-28.04%4,701.1万
-7.14%9,332.5万
-0.13%9,340.2万
-应收税费
----
----
----
8.86%1,347.3万
106.92%1,869.3万
137.13%2,302.3万
137.13%2,302.3万
107.93%2,003.2万
-37.59%1,237.6万
-39.58%903.4万
存货
-9.85%1,223.3万
-9.85%1,223.3万
-47.83%1,229.1万
-17.72%1,230.9万
-32.55%1,114.6万
6.08%1,357万
6.08%1,357万
46.99%2,356万
13.20%1,496万
44.99%1,652.5万
预付费用
30.26%1,038.3万
30.26%1,038.3万
-22.51%1,255.2万
5.15%2,095.9万
22.66%1,946.2万
6.82%797.1万
6.82%797.1万
151.34%1,619.9万
183.30%1,993.3万
132.55%1,586.7万
受限制现金
196.59%1,703.9万
196.59%1,703.9万
300.31%2,299.4万
476.42%3,310.4万
-70.49%491.5万
-61.00%574.5万
-61.00%574.5万
-54.84%574.4万
-49.16%574.3万
80.13%1,665.3万
流动资产合计
-4.70%2.1亿
-4.70%2.1亿
-8.36%2.17亿
1.97%2.42亿
-2.55%2.26亿
8.39%2.2亿
8.39%2.2亿
5.59%2.37亿
-0.22%2.37亿
11.26%2.32亿
非流动资产
固定资产净额
1.05%5.53亿
1.05%5.53亿
15.51%5.54亿
23.30%5.51亿
31.27%5.55亿
34.00%5.47亿
34.00%5.47亿
28.43%4.79亿
23.62%4.47亿
22.25%4.23亿
-固定资产
1.05%5.53亿
1.05%5.53亿
15.51%5.54亿
23.30%5.51亿
31.27%5.55亿
34.00%5.47亿
34.00%5.47亿
28.43%4.79亿
23.62%4.47亿
22.25%4.23亿
长期应收款
12.49%2,430.7万
12.49%2,430.7万
3.45%2,351万
1.39%2,246.9万
-2.63%2,214.4万
-4.37%2,160.8万
-4.37%2,160.8万
976.50%2,272.5万
930.70%2,216万
1,032.01%2,274.2万
金融资产
--0
--0
--0
--0
--0
-93.69%31.1万
-93.69%31.1万
-99.35%3.9万
198.84%796.7万
85.14%458.4万
非流动递延资产
-45.13%107.7万
-45.13%107.7万
61.97%144.8万
194.61%175万
-84.04%198.4万
-84.95%196.3万
-84.95%196.3万
-85.87%89.4万
-94.09%59.4万
932.48%1,243.1万
长期预付费用
0.00%700万
0.00%700万
--700万
--700万
--700万
--700万
--700万
----
----
----
其他非流动资产
61.42%968.5万
61.42%968.5万
61.42%968.5万
61.42%968.5万
0.00%600万
0.00%600万
0.00%600万
-0.02%600万
-0.02%600万
0.00%600万
非流动资产合计
1.87%5.95亿
1.87%5.95亿
16.96%5.95亿
22.40%5.92亿
26.37%5.92亿
28.39%5.84亿
28.39%5.84亿
29.31%5.09亿
26.48%4.83亿
31.06%4.68亿
总资产
0.08%8.05亿
0.08%8.05亿
8.91%8.13亿
15.67%8.34亿
16.79%8.18亿
22.22%8.05亿
22.22%8.05亿
20.69%7.46亿
16.23%7.21亿
23.76%7亿
负债
流动负债
应付款项
-39.62%3,201.1万
-39.62%3,201.1万
-46.50%3,060.7万
2.66%4,170.6万
162.42%6,653.8万
111.75%5,301.5万
111.75%5,301.5万
279.48%5,720.6万
129.01%4,062.6万
32.95%2,535.6万
-应付账款
-50.25%1,950.1万
-50.25%1,950.1万
-47.53%1,678万
8.21%2,434万
69.65%2,900.3万
56.57%3,920.1万
56.57%3,920.1万
112.13%3,197.8万
26.79%2,249.3万
-10.36%1,709.6万
-应付税费
-9.44%1,251万
-9.44%1,251万
-45.19%1,382.7万
-4.23%1,736.6万
354.42%3,753.5万
--1,381.4万
--1,381.4万
--2,522.8万
--1,813.3万
--826万
应计费用
-30.26%3,888.3万
-30.26%3,888.3万
-18.39%4,223.2万
-22.37%3,786.8万
-47.30%3,601.9万
2.69%5,575.4万
2.69%5,575.4万
18.63%5,174.7万
17.36%4,877.8万
65.66%6,835万
短期借款与租赁负债
16.57%2,386.5万
16.57%2,386.5万
519.02%2,297.8万
488.09%2,281.2万
1,059.81%2,164.2万
349.46%2,047.3万
349.46%2,047.3万
28.53%371.2万
-82.88%387.9万
-91.69%186.6万
-短期借款
13.55%1,140.8万
13.55%1,140.8万
--1,116.2万
--1,117.6万
--1,009.7万
--1,004.7万
--1,004.7万
----
----
----
-短期租赁负债
19.48%1,245.7万
19.48%1,245.7万
218.32%1,181.6万
199.97%1,163.6万
518.70%1,154.5万
128.89%1,042.6万
128.89%1,042.6万
28.53%371.2万
61.76%387.9万
-19.85%186.6万
流动负债总额
-26.68%9,475.9万
-26.68%9,475.9万
-14.95%9,581.7万
9.76%1.02亿
29.95%1.24亿
54.07%1.29亿
54.07%1.29亿
82.95%1.13亿
13.82%9,328.3万
15.43%9,557.2万
非流动负债
长期拨备
24.39%4,276.8万
24.39%4,276.8万
57.75%4,022.1万
62.54%3,650万
64.96%3,555.9万
55.25%3,438.3万
55.25%3,438.3万
29.34%2,549.6万
32.95%2,245.6万
44.11%2,155.6万
长期借款与租赁负债
69.40%7,489.9万
69.40%7,489.9万
254.77%7,835.2万
262.75%8,250.4万
81.17%4,690万
81.84%4,421.5万
81.84%4,421.5万
57.38%2,208.5万
50.96%2,274.4万
61.01%2,588.8万
-长期借款
--3,163.2万
--3,163.2万
--3,455万
--3,713.6万
----
----
----
----
----
----
-长期租赁负债
-2.14%4,326.7万
-2.14%4,326.7万
98.33%4,380.2万
99.47%4,536.8万
81.17%4,690万
81.84%4,421.5万
81.84%4,421.5万
57.38%2,208.5万
50.96%2,274.4万
61.01%2,588.8万
递延负债
-26.82%5,309.3万
-26.82%5,309.3万
-7.97%5,982.3万
-5.14%6,238.4万
9.28%6,844.4万
31.64%7,254.8万
31.64%7,254.8万
26.11%6,500.6万
83.59%6,576.2万
158.58%6,263.3万
衍生品负债
106.09%2,171万
106.09%2,171万
-1.63%1,466.7万
299.17%1,586.3万
241.32%1,228.4万
54.19%1,053.4万
54.19%1,053.4万
115.65%1,491万
-41.58%397.4万
-31.01%359.9万
其他非流动负债
25.72%264.9万
25.72%264.9万
40.22%310.3万
18.79%304.1万
21.18%266万
2.38%210.7万
2.38%210.7万
19.56%221.3万
83.78%256万
57.57%219.5万
非流动负债总额
19.13%1.95亿
19.13%1.95亿
51.23%1.96亿
70.47%2亿
43.13%1.66亿
48.28%1.64亿
48.28%1.64亿
37.90%1.3亿
54.65%1.17亿
87.28%1.16亿
总负债
-1.08%2.9亿
-1.08%2.9亿
20.47%2.92亿
43.60%3.03亿
37.17%2.9亿
50.78%2.93亿
50.78%2.93亿
55.72%2.42亿
33.46%2.11亿
46.16%2.11亿
所有者权益
股本
-0.70%1.38亿
-0.70%1.38亿
-0.73%1.38亿
-0.69%1.39亿
-0.58%1.39亿
-1.05%1.39亿
-1.05%1.39亿
-1.46%1.39亿
-1.97%1.4亿
4.02%1.4亿
-普通股股本
-0.70%1.38亿
-0.70%1.38亿
-0.73%1.38亿
-0.69%1.39亿
-0.58%1.39亿
-1.05%1.39亿
-1.05%1.39亿
-1.46%1.39亿
-1.97%1.4亿
4.02%1.4亿
留存收益
0.54%3.63亿
0.54%3.63亿
4.33%3.69亿
5.36%3.8亿
10.93%3.78亿
15.17%3.61亿
15.17%3.61亿
13.38%3.54亿
15.72%3.61亿
21.65%3.4亿
资本公积
24.36%1,409.3万
24.36%1,409.3万
24.86%1,298.9万
27.74%1,209.7万
29.85%1,123.7万
15.01%1,133.2万
15.01%1,133.2万
16.69%1,040.3万
20.32%947万
24.30%865.4万
股东权益总额
0.73%5.15亿
0.73%5.15亿
3.35%5.21亿
4.12%5.31亿
7.97%5.28亿
10.25%5.12亿
10.25%5.12亿
8.91%5.04亿
10.35%5.1亿
16.07%4.89亿
总权益
0.73%5.15亿
0.73%5.15亿
3.35%5.21亿
4.12%5.31亿
7.97%5.28亿
10.25%5.12亿
10.25%5.12亿
8.91%5.04亿
10.35%5.1亿
16.07%4.89亿
货币单位
美元
美元
美元
美元
美元
美元
美元
美元
美元
美元
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 9.36%1.12亿9.36%1.12亿-10.32%1.09亿18.07%9,931.3万64.25%1.03亿13.49%1.03亿13.49%1.03亿28.92%1.21亿11.77%8,411.6万10.83%6,249.8万
-现金和现金等价物 9.36%1.12亿9.36%1.12亿-10.32%1.09亿18.07%9,931.3万64.25%1.03亿13.49%1.03亿13.49%1.03亿28.92%1.21亿11.77%8,411.6万10.83%6,249.8万
应收款项 -36.01%5,686.2万-36.01%5,686.2万-12.97%5,834.8万-32.98%7,084.4万-16.04%8,600.9万30.07%8,885.5万30.07%8,885.5万-10.88%6,704.3万-12.38%1.06亿-5.88%1.02亿
-应收账款 -36.01%5,686.2万-36.01%5,686.2万24.12%5,834.8万-38.53%5,737.1万-27.93%6,731.6万51.62%8,885.5万51.62%8,885.5万-28.04%4,701.1万-7.14%9,332.5万-0.13%9,340.2万
-应收税费 ------------8.86%1,347.3万106.92%1,869.3万137.13%2,302.3万137.13%2,302.3万107.93%2,003.2万-37.59%1,237.6万-39.58%903.4万
存货 -9.85%1,223.3万-9.85%1,223.3万-47.83%1,229.1万-17.72%1,230.9万-32.55%1,114.6万6.08%1,357万6.08%1,357万46.99%2,356万13.20%1,496万44.99%1,652.5万
预付费用 30.26%1,038.3万30.26%1,038.3万-22.51%1,255.2万5.15%2,095.9万22.66%1,946.2万6.82%797.1万6.82%797.1万151.34%1,619.9万183.30%1,993.3万132.55%1,586.7万
受限制现金 196.59%1,703.9万196.59%1,703.9万300.31%2,299.4万476.42%3,310.4万-70.49%491.5万-61.00%574.5万-61.00%574.5万-54.84%574.4万-49.16%574.3万80.13%1,665.3万
流动资产合计 -4.70%2.1亿-4.70%2.1亿-8.36%2.17亿1.97%2.42亿-2.55%2.26亿8.39%2.2亿8.39%2.2亿5.59%2.37亿-0.22%2.37亿11.26%2.32亿
非流动资产
固定资产净额 1.05%5.53亿1.05%5.53亿15.51%5.54亿23.30%5.51亿31.27%5.55亿34.00%5.47亿34.00%5.47亿28.43%4.79亿23.62%4.47亿22.25%4.23亿
-固定资产 1.05%5.53亿1.05%5.53亿15.51%5.54亿23.30%5.51亿31.27%5.55亿34.00%5.47亿34.00%5.47亿28.43%4.79亿23.62%4.47亿22.25%4.23亿
长期应收款 12.49%2,430.7万12.49%2,430.7万3.45%2,351万1.39%2,246.9万-2.63%2,214.4万-4.37%2,160.8万-4.37%2,160.8万976.50%2,272.5万930.70%2,216万1,032.01%2,274.2万
金融资产 --0--0--0--0--0-93.69%31.1万-93.69%31.1万-99.35%3.9万198.84%796.7万85.14%458.4万
非流动递延资产 -45.13%107.7万-45.13%107.7万61.97%144.8万194.61%175万-84.04%198.4万-84.95%196.3万-84.95%196.3万-85.87%89.4万-94.09%59.4万932.48%1,243.1万
长期预付费用 0.00%700万0.00%700万--700万--700万--700万--700万--700万------------
其他非流动资产 61.42%968.5万61.42%968.5万61.42%968.5万61.42%968.5万0.00%600万0.00%600万0.00%600万-0.02%600万-0.02%600万0.00%600万
非流动资产合计 1.87%5.95亿1.87%5.95亿16.96%5.95亿22.40%5.92亿26.37%5.92亿28.39%5.84亿28.39%5.84亿29.31%5.09亿26.48%4.83亿31.06%4.68亿
总资产 0.08%8.05亿0.08%8.05亿8.91%8.13亿15.67%8.34亿16.79%8.18亿22.22%8.05亿22.22%8.05亿20.69%7.46亿16.23%7.21亿23.76%7亿
负债
流动负债
应付款项 -39.62%3,201.1万-39.62%3,201.1万-46.50%3,060.7万2.66%4,170.6万162.42%6,653.8万111.75%5,301.5万111.75%5,301.5万279.48%5,720.6万129.01%4,062.6万32.95%2,535.6万
-应付账款 -50.25%1,950.1万-50.25%1,950.1万-47.53%1,678万8.21%2,434万69.65%2,900.3万56.57%3,920.1万56.57%3,920.1万112.13%3,197.8万26.79%2,249.3万-10.36%1,709.6万
-应付税费 -9.44%1,251万-9.44%1,251万-45.19%1,382.7万-4.23%1,736.6万354.42%3,753.5万--1,381.4万--1,381.4万--2,522.8万--1,813.3万--826万
应计费用 -30.26%3,888.3万-30.26%3,888.3万-18.39%4,223.2万-22.37%3,786.8万-47.30%3,601.9万2.69%5,575.4万2.69%5,575.4万18.63%5,174.7万17.36%4,877.8万65.66%6,835万
短期借款与租赁负债 16.57%2,386.5万16.57%2,386.5万519.02%2,297.8万488.09%2,281.2万1,059.81%2,164.2万349.46%2,047.3万349.46%2,047.3万28.53%371.2万-82.88%387.9万-91.69%186.6万
-短期借款 13.55%1,140.8万13.55%1,140.8万--1,116.2万--1,117.6万--1,009.7万--1,004.7万--1,004.7万------------
-短期租赁负债 19.48%1,245.7万19.48%1,245.7万218.32%1,181.6万199.97%1,163.6万518.70%1,154.5万128.89%1,042.6万128.89%1,042.6万28.53%371.2万61.76%387.9万-19.85%186.6万
流动负债总额 -26.68%9,475.9万-26.68%9,475.9万-14.95%9,581.7万9.76%1.02亿29.95%1.24亿54.07%1.29亿54.07%1.29亿82.95%1.13亿13.82%9,328.3万15.43%9,557.2万
非流动负债
长期拨备 24.39%4,276.8万24.39%4,276.8万57.75%4,022.1万62.54%3,650万64.96%3,555.9万55.25%3,438.3万55.25%3,438.3万29.34%2,549.6万32.95%2,245.6万44.11%2,155.6万
长期借款与租赁负债 69.40%7,489.9万69.40%7,489.9万254.77%7,835.2万262.75%8,250.4万81.17%4,690万81.84%4,421.5万81.84%4,421.5万57.38%2,208.5万50.96%2,274.4万61.01%2,588.8万
-长期借款 --3,163.2万--3,163.2万--3,455万--3,713.6万------------------------
-长期租赁负债 -2.14%4,326.7万-2.14%4,326.7万98.33%4,380.2万99.47%4,536.8万81.17%4,690万81.84%4,421.5万81.84%4,421.5万57.38%2,208.5万50.96%2,274.4万61.01%2,588.8万
递延负债 -26.82%5,309.3万-26.82%5,309.3万-7.97%5,982.3万-5.14%6,238.4万9.28%6,844.4万31.64%7,254.8万31.64%7,254.8万26.11%6,500.6万83.59%6,576.2万158.58%6,263.3万
衍生品负债 106.09%2,171万106.09%2,171万-1.63%1,466.7万299.17%1,586.3万241.32%1,228.4万54.19%1,053.4万54.19%1,053.4万115.65%1,491万-41.58%397.4万-31.01%359.9万
其他非流动负债 25.72%264.9万25.72%264.9万40.22%310.3万18.79%304.1万21.18%266万2.38%210.7万2.38%210.7万19.56%221.3万83.78%256万57.57%219.5万
非流动负债总额 19.13%1.95亿19.13%1.95亿51.23%1.96亿70.47%2亿43.13%1.66亿48.28%1.64亿48.28%1.64亿37.90%1.3亿54.65%1.17亿87.28%1.16亿
总负债 -1.08%2.9亿-1.08%2.9亿20.47%2.92亿43.60%3.03亿37.17%2.9亿50.78%2.93亿50.78%2.93亿55.72%2.42亿33.46%2.11亿46.16%2.11亿
所有者权益
股本 -0.70%1.38亿-0.70%1.38亿-0.73%1.38亿-0.69%1.39亿-0.58%1.39亿-1.05%1.39亿-1.05%1.39亿-1.46%1.39亿-1.97%1.4亿4.02%1.4亿
-普通股股本 -0.70%1.38亿-0.70%1.38亿-0.73%1.38亿-0.69%1.39亿-0.58%1.39亿-1.05%1.39亿-1.05%1.39亿-1.46%1.39亿-1.97%1.4亿4.02%1.4亿
留存收益 0.54%3.63亿0.54%3.63亿4.33%3.69亿5.36%3.8亿10.93%3.78亿15.17%3.61亿15.17%3.61亿13.38%3.54亿15.72%3.61亿21.65%3.4亿
资本公积 24.36%1,409.3万24.36%1,409.3万24.86%1,298.9万27.74%1,209.7万29.85%1,123.7万15.01%1,133.2万15.01%1,133.2万16.69%1,040.3万20.32%947万24.30%865.4万
股东权益总额 0.73%5.15亿0.73%5.15亿3.35%5.21亿4.12%5.31亿7.97%5.28亿10.25%5.12亿10.25%5.12亿8.91%5.04亿10.35%5.1亿16.07%4.89亿
总权益 0.73%5.15亿0.73%5.15亿3.35%5.21亿4.12%5.31亿7.97%5.28亿10.25%5.12亿10.25%5.12亿8.91%5.04亿10.35%5.1亿16.07%4.89亿
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