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HUSAHouston American Energy Corp.
$2.16$80M
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HomeStocksHUSABalance Sheet

Houston American Energy Corp. (HUSA) Balance Sheet

24Y historyFree accessUpdated daily

The company's financial position is increasingly fragile, with a current ratio that plummeted to 0.38 in 2025Q3 and an accumulated deficit in retained earnings reaching -$25.8 million.

HUSA Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMDec'24Dec'23Dec'22Dec'21Dec'20Dec'19Dec'18Dec'17Dec'16Dec'15Dec'14Dec'13Dec'12Dec'11Dec'10Dec'09Dec'08Dec'07Dec'06Dec'05Dec'04Dec'03Dec'02Dec'01
Total Current Assets2.36M3.21M4.17M4.8M5.19M1.37M217.62K958.13K743.36K484.92K2.42M13.11M9.55M14.25M19.93M39.34M16.85M11.92M10.69M14.73M2.31M1.05M735.36K15.11K22.75K
Cash & Short-Term Investments1.51M2.96M4.06M4.55M4.89M1.24M97.92K755.7K392.06K481.17K2.12M4.05M7.58M5.63M10.64M26.66M14.01M9.91M10.07M14.41M1.72M721.61K663.42K9399.39K
Cash Only1.51M2.96M4.06M4.55M4.89M1.24M97.92K755.7K392.06K481.17K2.12M4.05M7.58M5.63M9.93M26.66M14.01M9.91M417.82K409.01K1.72M721.61K663.42K9399.39K
Short-Term Investments00000000000000707.45K0009.65M14M00000
Accounts Receivable32.69K75.07K71.74K164.57K214.66K95.76K80.19K136.04K347.55K0262.02K8.93M1.92M5.53M6.23M9.62M2.83M1.99M577.51K325.44K573.32K240.14K66K7.14K5.22K
Days Sales Outstanding42.5248.9232.9836.6558.963.2829.3321.07201.23-222.78.97K2.02K4.91K1.97K179.96127.2968.3542.3537.0972.874.15109.21100.99128.57
Inventory0000000000000000000000000
Days Inventory Outstanding-------------------------
Other Current Assets812.6K175.87K35.24K84.54K0039.51K66.38K3.75K3.75K0046.17K3.06M3.06M3.06M8.91K00000000
Total Non-Current Assets26.47M1.19M6.21M6.94M5.54M5.47M6.85M6.86M6.82M2.46M3.14M5.5M3.87M5.89M28.72M16.14M17.21M10.72M10.02M5.25M2.75M1.41M993.27K238.37K162.47K
Property, Plant & Equipment9.7M1.19M1.7M4.84M5.08M5.2M6.65M6.86M6.81M2.46M3.13M5.5M3.86M5.89M23.8M10.69M11.36M5.26M10.02M5.25M2.63M1.4M953.24K233.62K156.93K
Fixed Asset Turnover0.12x0.47x0.47x0.34x0.26x0.11x0.15x0.34x0.09x0.07x0.14x0.07x0.09x0.07x0.05x1.82x0.71x2.02x0.50x0.61x1.09x0.84x0.23x0.11x0.09x
Goodwill12.99M000000000000000000000000
Intangible Assets0000000000000000000000000
Long-Term Investments004.51M2.1M455.78K260.4K197.01K000000000000000000
Other Non-Current Assets3.79M3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K3.17K1.73M3.45M176.45K176.45K3.17K3.17K113.85K3.17K40.03K4.75K5.54K
Total Assets28.83M4.4M10.38M11.73M10.73M6.84M7.07M7.82M7.56M2.95M5.56M18.61M13.41M20.14M48.66M55.48M34.06M22.64M20.71M19.99M5.05M2.46M1.73M253.47K185.22K
Asset Turnover0.03x0.13x0.08x0.14x0.12x0.08x0.14x0.30x0.08x0.06x0.08x0.02x0.03x0.02x0.02x0.35x0.24x0.47x0.24x0.16x0.57x0.48x0.13x0.10x0.08x
Asset Growth %77.37%-57.59%-11.53%9.29%56.87%-3.2%-9.64%3.47%156.72%-47.03%-70.13%38.79%-33.41%-58.61%-12.29%62.87%50.47%9.28%3.65%295.57%105.52%42.22%581.99%36.85%-
Total Current Liabilities6.15M138.31K248.93K195.16K141.96K231.66K966.04K62.76K151.66K61.13K39.51K9.31M229.64K5.11M296.97K5.09M484.61K1.38M336.08K532.28K3.35M280.31K80.91K1.28M1.11M
Accounts Payable1.26M49.54K156.57K113.74K69.61K120.14K270.12K61.83K127.04K50.12K23.2K181.68K8.12K84.74K84.3K122.54K469.53K1.36M260.22K399.16K252.87K195.77K76.51K5.25K0
Days Payables Outstanding217.1319.9289.0949.6329.1457.0480.2717.74122.6945.749.36140.1627.77117.936.025.4936.11147.8651.59143.290.92156.82151.998.7-
Short-Term Debt0075.28K65.39K0110.58K695.48K00000000000000001.13M1.02M
Deferred Revenue (Current)0000000000000000000000000
Other Current Liabilities6.15M0-75.28K-65.39K0-110.58K-97.89K00007.4M190.18K1.71M000074.14K121.22K2.81M04.4K00
Current Ratio0.38x23.22x16.74x24.58x36.59x5.93x0.23x15.27x4.90x7.93x61.35x1.41x41.57x2.79x67.12x7.74x34.77x8.62x31.82x27.68x0.69x3.75x9.09x0.01x0.02x
Quick Ratio0.38x23.22x16.74x24.58x36.59x5.93x0.23x15.27x4.90x7.93x61.35x1.41x41.57x2.79x67.12x7.74x34.77x8.62x31.82x27.68x0.69x3.75x9.09x0.01x0.02x
Cash Conversion Cycle-174.61------------------------
Total Non-Current Liabilities44.8K57.18K134.17K219.15K279.95K171.79K263.6K82.72K84.9K27.44K25.26K28.15K8.42K201.27K45.04K26.76K332.91K205.52K135.27K38.82K975.42K1M1M00
Long-Term Debt0000000000000045.04K26.76K0205.52K135.27K0934.17K1M1M00
Capital Lease Obligations0071.08K146.36K211.74K107.86K219.41K000000000000000000
Deferred Tax Liabilities0000000000000000000000000
Other Non-Current Liabilities44.8K57.18K63.08K72.79K68.21K63.93K44.19K82.72K84.9K27.44K25.26K28.15K8.42K201.27K00332.91K0038.82K41.25K0000
Total Liabilities6.19M195.49K383.1K414.31K421.91K403.45K1.23M145.48K236.56K88.57K64.77K9.34M238.06K5.31M342.01K5.11M817.52K1.59M471.35K571.1K4.32M1.28M1.08M1.28M1.11M
Total Debt071.08K146.36K211.74K268.92K218.44K1.01M000000045.04K26.76K0205.52K135.27K0934.17K1M1M1.13M1.02M
Net Debt-1.51M-2.89M-3.91M-4.34M-4.63M-1.02M914.86K-755.7K-392.06K-481.17K-2.12M-4.05M-7.58M-5.63M-9.89M-26.63M-14.01M-9.71M-282.55K-409.01K-789.93K278.39K336.58K1.13M1.01M
Debt / Equity0.00x0.02x0.01x0.02x0.03x0.03x0.17x-------0.00x0.00x-0.01x0.01x-1.28x0.85x1.54x--
Debt / EBITDA-0.00x--------------0.00x-0.03x0.12x-1.55x2.51x---
Net Debt / EBITDA0.09x-------32.96x--------0.80x-32.89x-1.64x-0.26x-0.44x-1.31x0.70x---
Interest Coverage38.72x----3493.91x-131.70x-12.68x--10.93x----------------
Total Equity16.46M4.21M10M11.32M10.31M6.44M5.84M7.68M7.32M2.86M5.5M9.27M13.17M14.83M48.32M50.36M33.25M21.05M20.24M19.41M728.23K1.18M647.72K-1.03M-921.22K
Equity Growth %-36.09%-57.92%-11.67%9.75%60.15%10.27%-23.94%4.83%156.39%-48.02%-40.73%-29.62%-11.19%-69.3%-4.07%51.49%57.95%3.98%4.27%2566.03%-38.19%81.89%162.88%-11.81%-
Book Value per Share0.483.869.2711.3610.669.2811.0715.8316.996.9413.1722.2131.5647.79193.96196.97147.3093.8489.9396.744.567.505.26-10.62-10.10
Total Shareholders' Equity16.49M4.21M10M11.32M10.31M6.44M5.84M7.68M7.32M2.86M5.5M9.27M13.17M14.83M48.32M50.36M33.25M21.05M20.24M19.41M728.23K1.18M647.72K-1.03M-921.22K
Common Stock34.22K13.09K10.91K10.33K9.93K6.98K65.95K62.42K59.26K52.17K52.17K52.17K52.17K52.18K31.16K31.08K30.89K28K27.92K27.92K19.97K19.97K19.29K13.43K11.4K
Retained Earnings-25.81M-85.22M-77M-73.79M-73.04M-72.02M-67.98M-65.47M-65.22M-63.18M-60.54M-56.71M-52.36M-49.18M7.58M11.91M-2.28M-1.61M-2.08M-2.57M-2.06M-1.56M-1.67M-1.33M-932.62K
Treasury Stock00000057.21M00-174.13K-38.15K0000000-85.83K-85.83K-85.83K-85.83K000
Accumulated OCI000000-57.27M-56.08M-55.73M-55.56M-54.68M-52.2M-50.35M0106.37K-1.49M-16.26M-14.36M-3.71M-2.26M-1.37M-1.01M-802.1K-745.66K0
Minority Interest-32.01K000000000000000000000000

Key Metrics

Growth RegimeContracting
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowBurning
Top Statement Risk

Structural Operational Insolvency

Asset Base Erosion and Instability

As reported in recent financial filings, Houston American Energy Corp.'s total assets fluctuated significantly, reaching $28.8 million in 2025Q3, yet this growth appears driven by accounting adjustments rather than operational expansion, as the company continues to struggle with persistent revenue declines and a deteriorating underlying asset quality.

The sudden increase in total assets to $28.8 million in 2025Q3, contrasted against a historical range of $4 million to $14 million, suggests a potential non-cash revaluation or impairment reversal that does not reflect improved business performance. Investors should monitor whether this asset inflation is sustainable or merely a temporary accounting artifact that masks the ongoing depletion of the company's core energy interests.

Goodwill Dominance Masks Operational Decline

Based on the 2025Q3 balance sheet, goodwill now accounts for $13.0 million of the company's $28.8 million in total assets, indicating that a significant portion of the firm's valuation is tied to intangible book values rather than productive, cash-generating property, plant, and equipment assets.

The emergence of substantial goodwill on the balance sheet warrants deep skepticism, as it often precedes future impairment charges in distressed energy firms. With net PPE declining to $9.7 million, the company appears to be shifting its balance sheet composition toward intangible assets that offer no immediate contribution to the firm's ability to generate operating cash flow.

Liquidity Buffer Facing Severe Pressure

According to the 2025Q3 balance sheet, the current ratio has plummeted to 0.38, a sharp reversal from the 30.84 ratio observed in 2025Q2, signaling that the company's ability to cover its short-term obligations has become critically compromised as cash reserves dwindle.

The rapid contraction in liquidity suggests that the company is consuming its cash reserves at an unsustainable pace to fund ongoing overhead. This liquidity crunch implies that the firm may soon face a binary outcome regarding its ability to meet capital calls from third-party operators, potentially forcing further dilutive financing.

Accumulated Deficit Undermines Equity Quality

As evidenced by the company's financial statements, the retained earnings balance has reached a staggering -$25.8 million, reflecting years of persistent value destruction that continues to weigh heavily on the firm's total equity position despite periodic capital injections.

The persistent negative retained earnings highlight a structural inability to generate profitable returns on invested capital over the long term. This trend suggests that the equity base is being eroded by operational losses, leaving shareholders exposed to the risk of further dilution as the company attempts to bridge its funding gaps.

HUSA — Frequently Asked Questions

Quick answers to the most common questions about buying HUSA stock.

What are the total assets of Houston American Energy Corp. (HUSA)?

As of 2024, Houston American Energy Corp. (HUSA) had total assets of $4.4M including $3.2M in current assets.

How much debt does Houston American Energy Corp. (HUSA) have?

Houston American Energy Corp. (HUSA) carries total debt of $0.1M, offset by $3.0M in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of Houston American Energy Corp.?

Houston American Energy Corp. (HUSA) has total shareholders' equity (book value) of $4.2M ($3.86 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is Houston American Energy Corp.'s current ratio and liquidity?

Houston American Energy Corp. (HUSA) reported a current ratio of 23.22x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.