Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
KUNLUN ENERGY
00135
5
CHINA OILFIELD
02883
| (Q1)Mar 31, 2026 | (FY)Dec 31, 2025 | (Q9)Sep 30, 2025 | (Q6)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q9)Sep 30, 2024 | (Q6)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Money funds | 9.56%320.43M | -12.80%227.88M | 12.79%267.96M | -33.98%216.3M | -34.24%292.46M | -63.38%261.34M | -73.04%237.58M | -68.12%327.62M | -65.67%444.78M | -15.54%713.58M |
| Notes receivable and accounts receivable | 13.53%84.1M | -11.95%62.04M | -2.70%76.27M | -15.12%69.02M | 1.80%74.08M | -7.92%70.46M | 59.43%78.38M | 67.77%81.31M | 15.86%72.76M | 47.07%76.52M |
| -Notes receivable | --47.97K | -77.03%94.42K | -61.86%936.09K | -57.28%800K | ---- | --410.96K | --2.45M | -68.14%1.87M | ---- | ---- |
| -Accounts receivable | 13.47%84.05M | -11.57%61.94M | -0.79%75.33M | -14.13%68.22M | 1.80%74.08M | -8.46%70.04M | 54.44%75.93M | 86.53%79.44M | 27.82%72.76M | 47.07%76.52M |
| Other receivables (including interest and dividends) | 10.60%30.13M | -33.53%26.02M | -34.11%30.95M | -39.80%27.63M | -39.95%27.24M | -17.85%39.15M | -5.73%46.97M | -2.50%45.9M | -5.90%45.36M | -14.94%47.65M |
| -Dividend receivable | 0.00%2.5M | 0.00%2.5M | --2.5M | 47.06%2.5M | --2.5M | -37.50%2.5M | ---- | --1.7M | ---- | --4M |
| -Other receivable | ---- | -35.82%23.52M | ---- | -43.14%25.13M | ---- | -16.05%36.65M | ---- | -6.11%44.2M | ---- | -22.08%43.65M |
| Contractual assets | -46.19%8.19M | -49.51%7.78M | -61.57%10.08M | -32.46%15.31M | -33.99%15.21M | -32.72%15.41M | 115.63%26.22M | 76.30%22.67M | 135.37%23.05M | 71.73%22.9M |
| Advance payment | 56.65%53.56M | 38.94%32.82M | -8.49%45.41M | -42.11%31.17M | -44.57%34.19M | -61.59%23.62M | -3.79%49.62M | -7.06%53.85M | -0.08%61.68M | 42.31%61.5M |
| Inventories | -12.55%3.57B | -12.96%3.63B | -6.26%3.95B | -6.17%4.04B | -6.68%4.08B | -3.16%4.17B | 2.08%4.21B | 1.95%4.3B | 5.13%4.37B | 4.24%4.3B |
| Other current assets | 43.53%145.38M | 7.62%114.83M | -22.94%84.85M | -46.53%85.12M | -63.75%101.29M | -62.17%106.7M | -59.33%110.11M | -59.43%159.19M | -6.01%279.42M | 6.12%282.02M |
| Total current assets | -8.97%4.21B | -12.50%4.1B | -6.24%4.47B | -10.24%4.48B | -12.73%4.62B | -14.95%4.68B | -12.49%4.76B | -14.00%4.99B | -10.70%5.3B | 1.87%5.51B |
| Non Current assets | ||||||||||
| Other non-current financial assets | -8.45%38.25M | -7.70%38.52M | -1.22%41.58M | -1.63%41.47M | -0.62%41.78M | -6.34%41.73M | -34.28%42.09M | -42.05%42.16M | -47.69%42.04M | -46.66%44.56M |
| Investment real estate | 1.84%464.2M | 0.37%462.83M | 2.44%470.88M | -1.88%455.52M | -2.77%455.84M | -2.36%461.13M | 1.02%459.66M | 1.05%464.24M | 10.02%468.82M | 9.77%472.3M |
| Long-term equity investment | -3.55%391.6M | -3.54%393.27M | -3.51%398.99M | -2.64%400.45M | -2.76%406.02M | -2.85%407.68M | -4.31%413.49M | -4.78%411.32M | -4.74%417.55M | -5.91%419.64M |
| Fixed assets | ---- | -8.46%43.6M | ---- | -4.37%45.37M | ---- | -4.55%47.63M | ---- | -8.58%47.44M | ---- | -10.15%49.9M |
| Intangible assets | -82.85%6.17M | -68.70%13.61M | -57.71%21.06M | -50.27%28.53M | -44.54%36M | -39.99%43.49M | -37.64%49.81M | -34.40%57.36M | -31.66%64.91M | -29.33%72.47M |
| Goodwill | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M | 0.00%251.63M |
| Long deferred expense | -9.95%4.49M | -6.73%4.66M | 2.32%4.87M | 5.30%4.94M | 23.00%4.98M | 68.26%5M | 73.04%4.76M | 52.47%4.69M | 18.00%4.05M | -6.44%2.97M |
| Deferred tax assets | 58.13%255M | 49.95%248.62M | -11.29%167.44M | -13.80%163.57M | -13.78%161.27M | -10.94%165.81M | 10.54%188.74M | 11.19%189.76M | 28.36%187.03M | 46.79%186.16M |
| Usufruct assets | -22.37%12.13M | -21.96%12.94M | 32.45%13.76M | 30.56%14.66M | 43.26%15.62M | 55.23%16.59M | -1.79%10.39M | 0.04%11.23M | -8.94%10.9M | -14.34%10.68M |
| Total non current assets | 3.31%1.47B | 2.01%1.47B | -3.59%1.41B | -4.98%1.41B | -5.04%1.42B | -4.61%1.44B | -3.32%1.47B | -3.91%1.48B | -0.80%1.5B | -0.11%1.51B |
| Total assets | -6.08%5.68B | -9.09%5.57B | -5.61%5.88B | -9.04%5.89B | -11.04%6.04B | -12.73%6.13B | -10.49%6.23B | -11.89%6.47B | -8.70%6.79B | 1.43%7.02B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | 7.23%50.05M | -14.25%10.01M | 45.02%40.03M | 87.29%46.67M | --46.67M | --11.67M | 867.08%27.61M | 773.00%24.92M | ---- | ---- |
| Notes payable and accounts payable | -29.48%276.78M | -30.27%324.17M | -16.96%343.71M | -13.99%364.44M | 9.89%392.47M | 18.63%464.9M | 74.62%413.93M | 78.11%423.75M | 43.67%357.14M | 2.71%391.88M |
| -Accounts payable | -29.48%276.78M | -30.27%324.17M | -16.96%343.71M | -13.99%364.44M | 9.89%392.47M | 18.63%464.9M | 74.62%413.93M | 78.11%423.75M | 43.67%357.14M | 2.71%391.88M |
| Contract liabilities | 14.62%538.47M | -13.29%431.16M | -29.94%387.83M | -48.21%422.95M | -62.35%469.8M | -60.03%497.22M | -56.55%553.6M | -55.01%816.61M | -17.56%1.25B | 35.34%1.24B |
| Advance receipts | -5.56%83.73M | 1.35%84.11M | 1.29%85.08M | 0.05%85.74M | 0.34%88.65M | -0.57%82.99M | -0.95%84M | 0.18%85.7M | -0.27%88.36M | 1.46%83.47M |
| Salaries payable | -0.57%11.71M | -2.90%16.44M | -11.92%13.26M | -0.96%13.14M | -5.60%11.78M | -26.17%16.94M | 3.33%15.05M | -6.12%13.27M | -8.22%12.47M | 107.61%22.94M |
| Taxs payable | -61.65%41.8M | -73.90%29.35M | -50.92%37.93M | -6.19%37.74M | 281.66%109.01M | 281.86%112.46M | 119.63%77.28M | 406.60%40.23M | -59.68%28.56M | -63.11%29.45M |
| Other payable (including interest and dividends) | 13.08%505.53M | -0.32%493.08M | -3.71%479.47M | 9.35%464.12M | 20.38%447.05M | 54.87%494.66M | 74.43%497.96M | 103.23%424.46M | 32.24%371.37M | 11.50%319.41M |
| -Interest payable | ---- | ---- | ---- | -38.35%428.5K | -43.89%480.93K | -66.64%382.75K | -61.48%441K | -40.69%695.09K | -52.39%857.15K | -23.46%1.15M |
| -Other payable | ---- | -0.24%493.08M | ---- | 9.42%463.69M | ---- | 55.31%494.27M | ---- | 104.04%423.76M | ---- | 11.69%318.26M |
| Non current liabilities due within one year | 48.64%54.47M | 98.04%54.04M | 6.41%54.7M | -83.53%43.74M | -88.05%36.65M | -94.54%27.28M | -89.50%51.4M | -18.08%265.59M | -38.50%306.67M | 48.85%499.29M |
| Other current liabilities | 7.41%45.2M | -26.60%35.7M | -32.37%32.86M | -49.71%36.19M | -63.13%42.08M | -58.02%48.65M | -53.28%48.59M | -53.69%71.95M | -28.16%114.11M | 2.28%115.87M |
| Total current liabilities | -2.22%1.61B | -15.86%1.48B | -16.65%1.47B | -30.08%1.51B | -34.92%1.64B | -35.09%1.76B | -29.99%1.77B | -23.47%2.17B | -12.08%2.53B | 22.51%2.71B |
| Current liabilities | ||||||||||
| Long term loan | -0.40%321.71M | 11.77%331.4M | 12.12%345.9M | 47.88%308.5M | 53.81%323M | 41.19%296.5M | 22.86%308.5M | -53.04%208.62M | -56.49%210M | -61.65%210M |
| Estimate liabilities | ---- | ---- | -77.52%1.06M | -50.24%1.06M | --1.06M | --1.06M | --4.7M | --2.12M | ---- | ---- |
| Deferred tax liabilities | -85.67%1.24M | -70.27%3.14M | -59.30%5.1M | -52.02%6.88M | -46.52%8.66M | -41.29%10.56M | -46.59%12.52M | -47.63%14.34M | -48.19%16.2M | -46.82%17.99M |
| Lease liabilities | -20.32%10.73M | -20.22%10.68M | 45.81%10.9M | 51.03%12.83M | 71.55%13.47M | 65.66%13.39M | -9.27%7.48M | -6.44%8.5M | -30.59%7.85M | -20.33%8.08M |
| Total non current liabilities | -3.61%333.68M | 7.38%345.22M | 8.93%362.95M | 40.97%329.27M | 47.91%346.18M | 36.19%321.51M | 17.83%333.2M | -51.41%233.57M | -55.43%234.04M | -60.09%236.07M |
| Total liabilities | -2.46%1.94B | -12.27%1.82B | -12.59%1.84B | -23.17%1.84B | -27.90%1.99B | -29.37%2.08B | -25.18%2.1B | -27.53%2.4B | -18.78%2.76B | 5.06%2.94B |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | 0.00%677.73M | -3.37%677.73M | -3.37%677.73M |
| Capital reserve funds | 0.07%2.52B | 0.07%2.52B | 0.00%2.52B | 0.00%2.52B | 0.00%2.52B | 0.00%2.52B | 0.00%2.52B | 0.00%2.52B | -2.94%2.52B | -2.94%2.52B |
| Surplus reserve funds | 0.00%346.08M | 0.00%346.08M | 2.31%346.08M | 2.31%346.08M | 2.31%346.08M | 2.31%346.08M | 1.46%338.25M | 1.46%338.25M | 1.46%338.25M | 1.46%338.25M |
| Retained profit | -16.08%806.16M | -14.16%811.24M | -4.65%952.4M | 0.58%950.94M | 5.64%960.6M | 1.23%945.02M | 2.92%998.85M | 5.48%945.49M | 2.05%909.35M | -0.40%933.58M |
| Other composite income | -25.51%246.39K | -24.52%277.85K | 9.42%300.46K | -11.67%295.61K | -3.72%330.79K | 36.67%368.1K | -30.69%274.59K | 43.19%334.66K | 26.02%343.56K | -31.07%269.33K |
| Shareholders equity without minority interests | -3.39%4.35B | -2.94%4.36B | -0.85%4.5B | 0.30%4.5B | 1.33%4.51B | 0.43%4.49B | 0.73%4.54B | 1.22%4.48B | 0.53%4.45B | 0.02%4.47B |
| Minority interests | -36.73%-617.38M | -38.27%-612.08M | -11.35%-453.95M | -10.39%-450.39M | -9.39%-451.52M | -12.33%-442.66M | -15.77%-407.66M | -4.12%-408.01M | -8.48%-412.75M | -12.41%-394.05M |
| Total shareholder equity | -7.86%3.74B | -7.45%3.75B | -2.06%4.04B | -0.72%4.05B | 0.50%4.05B | -0.72%4.05B | -0.54%4.13B | 0.94%4.07B | -0.22%4.03B | -1.03%4.08B |
| Total liabilityies and equity | -6.08%5.68B | -9.09%5.57B | -5.61%5.88B | -9.04%5.89B | -11.04%6.04B | -12.73%6.13B | -10.49%6.23B | -11.89%6.47B | -8.70%6.79B | 1.43%7.02B |
| Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
| Accounting Standards | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) |
| Audit Opinions | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion |
| Auditor | -- | Tianzhi International Certified Public Accountants (Special General Partnership) | -- | -- | -- | Tianzhi International Certified Public Accountants (Special General Partnership) | -- | -- | -- | Tianzhi International Certified Public Accountants (Special General Partnership) |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.