Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
5
KUNLUN ENERGY
00135
| (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 | -27.42%1.79B | -28.45%2.01B | -31.77%2.17B | -36.53%2.39B | -45.05%2.47B | -46.34%2.81B | -43.32%3.17B | -43.95%3.76B | -45.65%4.5B | -43.17%5.23B |
| Transactional financial assets | ---- | ---- | ---- | ---- | ---- | -88.64%17M | -4.83%145.69M | -13.28%137.43M | -18.24%141.84M | -24.90%149.71M |
| Notes receivable and accounts receivable | -2.86%4.14B | 1.42%4.14B | -19.68%4.2B | -22.61%4.25B | -17.53%4.26B | -20.53%4.09B | 15.03%5.22B | 20.61%5.49B | 5.25%5.16B | -1.65%5.14B |
| -Notes receivable | --233.28K | --907.91K | --150K | --220.02K | ---- | ---- | ---- | ---- | ---- | ---- |
| -Accounts receivable | -2.87%4.14B | 1.40%4.14B | -19.68%4.19B | -22.61%4.25B | -17.53%4.26B | -20.53%4.09B | 15.21%5.22B | 20.80%5.49B | 5.49%5.16B | -1.37%5.14B |
| Other receivables (including interest and dividends) | -11.27%15.53B | -6.00%15.77B | -25.69%16.27B | -27.25%16.24B | -23.97%17.5B | -27.74%16.77B | -18.82%21.89B | -17.00%22.32B | -11.60%23.02B | -12.45%23.21B |
| -Accrued interest receivable | -6.11%165.29M | -6.11%165.29M | -53.25%82.93M | -53.25%82.93M | -1.55%176.05M | -0.77%176.05M | -25.90%177.42M | -26.54%177.42M | 1.78%178.82M | -31.67%177.42M |
| -Other receivable | ---- | -5.99%15.6B | ---- | -27.04%16.15B | ---- | -27.95%16.6B | ---- | -16.91%22.14B | ---- | -12.26%23.03B |
| Advance payment | -5.69%1.22B | -1.91%1.2B | -27.54%1.22B | -31.48%1.22B | -28.92%1.29B | -33.28%1.22B | -14.37%1.69B | -6.48%1.77B | -9.16%1.82B | -8.66%1.83B |
| Inventories | -22.62%82.24B | -24.07%84.07B | -20.13%95.03B | -19.99%99.44B | -17.73%106.28B | -18.51%110.73B | -22.49%118.97B | -21.12%124.29B | -22.27%129.18B | -19.22%135.89B |
| Other current assets | -25.30%5.6B | -31.26%5.65B | -36.07%7.15B | -35.93%7.4B | -36.58%7.5B | -33.87%8.22B | -22.64%11.19B | -22.07%11.55B | -23.53%11.82B | -19.77%12.43B |
| Total current assets | -20.66%110.52B | -21.56%112.84B | -22.34%126.03B | -22.67%130.93B | -20.69%139.3B | -21.77%143.85B | -21.67%162.28B | -20.35%169.32B | -21.25%175.64B | -18.94%183.89B |
| Non Current assets | ||||||||||
| Other non-current financial assets | -9.55%1.87B | -12.66%1.87B | -24.15%2.15B | -24.15%2.15B | -27.08%2.07B | -24.47%2.15B | -0.88%2.83B | -0.88%2.83B | -0.53%2.84B | -0.54%2.84B |
| Investment real estate | -1.74%1.56B | -1.74%1.56B | 6.98%1.58B | 7.41%1.59B | -10.70%1.59B | -10.71%1.59B | -18.54%1.48B | -17.04%1.48B | -1.28%1.78B | -1.26%1.78B |
| Long-term equity investment | 3.31%2.05B | 3.62%2.07B | -13.01%2.08B | -19.63%2.06B | -24.34%1.99B | -24.87%2B | -12.62%2.4B | -11.43%2.56B | -11.21%2.62B | -5.91%2.66B |
| Fixed assets | ---- | -11.77%3.63B | ---- | -18.81%3.79B | ---- | -18.29%4.11B | ---- | -4.89%4.67B | ---- | -8.97%5.03B |
| Fixed assets liquidation | ---- | 96,578.83%22.12M | ---- | 776.10%50.44K | ---- | 297.45%22.88K | ---- | -84.91%5.76K | ---- | 72.47%5.76K |
| Constru in process | ---- | -8.77%334.4M | ---- | -47.67%368.91M | ---- | -47.83%366.54M | ---- | -0.62%704.97M | ---- | 0.30%702.58M |
| Intangible assets | -3.73%1.21B | -5.30%1.21B | -12.92%1.22B | -12.95%1.23B | -13.74%1.25B | -12.17%1.28B | -4.62%1.4B | -4.55%1.41B | -3.01%1.45B | -5.13%1.46B |
| Goodwill | -58.45%65.15M | -57.53%65.15M | 0.81%156.81M | 0.81%156.81M | 0.81%156.81M | -1.37%153.41M | 1.37%155.55M | 1.37%155.55M | 1.37%155.55M | 1.37%155.55M |
| Long deferred expense | 0.07%240.73M | 0.35%249.32M | 29.15%232.97M | 29.19%237.02M | -11.16%240.57M | -10.11%248.46M | -42.61%180.38M | -43.13%183.47M | -28.27%270.77M | -28.50%276.41M |
| Deferred tax assets | 22.56%3.61B | 27.75%3.64B | -4.66%2.88B | -1.54%2.89B | 7.48%2.95B | 4.66%2.85B | 17.07%3.02B | 15.00%2.93B | 20.00%2.74B | 23.29%2.72B |
| Usufruct assets | -42.61%515.97M | -40.18%598.04M | -39.51%673.82M | -34.93%811.81M | -43.27%899.01M | -38.10%999.79M | -36.43%1.11B | -33.50%1.25B | -17.50%1.58B | -21.74%1.62B |
| Other non current assets | -0.01%2.16B | 0.00%2.16B | -20.70%2.16B | -20.70%2.16B | -20.69%2.16B | -20.70%2.16B | 0.00%2.72B | 0.00%2.72B | 0.00%2.72B | 0.00%2.72B |
| Total non current assets | -2.91%17.19B | -2.72%17.42B | -16.09%17.22B | -16.57%17.43B | -19.80%17.71B | -18.50%17.91B | -6.70%20.53B | -6.09%20.9B | -2.63%22.08B | -3.60%21.97B |
| Total assets | -18.66%127.71B | -19.47%130.26B | -21.64%143.25B | -22.00%148.37B | -20.59%157.01B | -21.42%161.76B | -20.24%182.8B | -19.00%190.22B | -19.54%197.72B | -17.54%205.86B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | -73.26%25.05M | -73.36%25.05M | 67.11%76.55M | 87.61%87.04M | 26.78%93.66M | 35.05%94.03M | -40.83%45.81M | -83.81%46.39M | -84.08%73.88M | -84.93%69.62M |
| Transactional financial liabilities | -20.38%356.44M | -17.47%380.26M | -32.56%404.24M | -39.03%424.65M | -37.24%447.69M | -39.43%460.76M | -27.89%599.42M | -23.99%696.53M | -27.85%713.38M | -24.57%760.68M |
| Notes payable and accounts payable | -8.39%25.2B | -5.82%25.49B | -7.85%26.04B | -6.41%26.1B | -1.41%27.51B | -6.01%27.06B | -0.98%28.26B | 1.57%27.89B | 3.34%27.9B | 2.72%28.79B |
| -Accounts payable | -8.39%25.2B | -5.82%25.49B | -7.85%26.04B | -6.41%26.1B | -1.41%27.51B | -6.01%27.06B | -0.98%28.26B | 1.58%27.89B | 5.08%27.9B | 4.60%28.79B |
| Contract liabilities | -55.65%13.61B | -57.06%15.08B | -49.03%21.52B | -45.52%26.28B | -42.51%30.68B | -42.46%35.11B | -48.64%42.21B | -45.97%48.24B | -47.26%53.38B | -41.08%61.02B |
| Advance receipts | -13.80%604.27M | -2.19%664.72M | -21.40%649.77M | -22.01%650.35M | -15.91%700.98M | -17.50%679.63M | -1.86%826.69M | 2.04%833.91M | -19.09%833.62M | -11.79%823.82M |
| Salaries payable | -0.72%181.53M | -2.76%192.47M | 8.25%187.39M | 17.09%191.38M | 24.14%182.85M | 30.58%197.94M | 23.65%173.11M | 33.56%163.45M | 26.83%147.29M | 13.22%151.58M |
| Taxs payable | 28.96%7.66B | 12.82%7.17B | -17.39%6.52B | -18.84%6.37B | -23.34%5.94B | -17.36%6.35B | 14.84%7.89B | 20.67%7.84B | 28.70%7.75B | 36.37%7.69B |
| Other payable (including interest and dividends) | 2.16%29.78B | 4.89%30.01B | -2.07%28.9B | -1.57%28.88B | -4.22%29.15B | -3.22%28.61B | -5.83%29.51B | -4.30%29.34B | 4.50%30.43B | 1.12%29.56B |
| -Interest payable | 30.82%7.42B | 36.71%7.39B | 49.79%6.71B | 55.90%6.29B | 67.43%5.67B | 55.39%5.4B | 39.70%4.48B | 52.79%4.04B | 103.78%3.39B | 102.23%3.48B |
| -Dividend payable | -56.47%21.94M | -56.47%21.94M | 2.67%50.41M | -2.81%50.41M | -36.71%50.41M | -36.71%50.41M | 57.67%49.1M | 66.55%51.86M | --79.66M | 155.82%79.66M |
| -Other payable | -4.65%22.34B | -2.40%22.6B | -11.39%22.13B | -10.75%22.54B | -13.13%23.42B | -10.95%23.16B | -11.10%24.98B | -9.77%25.25B | --26.96B | -5.38%26.01B |
| Non current liabilities due within one year | -0.97%27.15B | 0.07%27.26B | 3.80%26.65B | 11.28%25.68B | 64.33%27.41B | 57.46%27.24B | 56.28%25.68B | 13.29%23.07B | -33.77%16.68B | -30.00%17.3B |
| Other current liabilities | -50.75%1.4B | -53.91%1.49B | -46.71%2.05B | -43.35%2.47B | -41.31%2.84B | -41.46%3.23B | -46.52%3.85B | -53.84%4.35B | -53.44%4.83B | -48.58%5.51B |
| Total current liabilities | -15.20%105.96B | -16.50%107.75B | -18.73%113B | -17.80%117.13B | -12.46%124.96B | -14.93%129.03B | -20.30%139.05B | -23.33%142.48B | -29.16%142.74B | -25.80%151.68B |
| Current liabilities | ||||||||||
| Long term loan | 0.82%7.49B | 1.44%7.5B | -0.82%8.63B | -25.42%8.67B | -56.07%7.43B | -53.90%7.39B | -42.57%8.7B | -15.29%11.62B | 79.52%16.92B | 59.17%16.04B |
| Bonds payable | -12.81%5.42B | -12.00%5.4B | -14.00%5.46B | -2.92%6.2B | -17.82%6.22B | -24.36%6.14B | -38.67%6.35B | 4.26%6.39B | 19.43%7.57B | 23.73%8.11B |
| Perpetual Debt | ---- | ---- | ---- | ---- | ---- | ---- | -40.30%365.74M | -49.03%365.74M | -50.97%396.22M | -56.40%426.69M |
| Deferred tax liabilities | -40.57%230.18M | -40.68%232.74M | -59.06%243.51M | -59.89%246.13M | -39.21%387.31M | -40.88%392.32M | -16.35%594.84M | -13.98%613.69M | -11.53%637.1M | -7.92%663.63M |
| Long term deferred income | -5.28%382.42M | -5.21%387.75M | -5.14%393.08M | -5.08%398.41M | -5.12%403.74M | -5.06%409.07M | -5.29%414.4M | -5.67%419.72M | -5.92%425.52M | -6.28%430.85M |
| Lease liabilities | -36.03%586.36M | -28.81%758.7M | -73.53%592.79M | -58.30%966.37M | -65.20%916.59M | -58.38%1.07B | -14.77%2.24B | -6.34%2.32B | 15.68%2.63B | 10.07%2.56B |
| Other non current liabilities | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M | 0.00%3.73M |
| Total non current liabilities | -8.10%14.12B | -7.26%14.28B | -16.28%15.33B | -22.84%16.49B | -45.49%15.36B | -44.62%15.4B | -37.50%18.31B | -9.02%21.37B | 46.69%28.19B | 38.06%27.81B |
| Total liabilities | -14.43%120.08B | -15.51%122.03B | -18.45%128.33B | -18.45%133.61B | -17.91%140.32B | -19.53%144.44B | -22.77%157.36B | -21.73%163.85B | -22.56%170.93B | -20.08%179.49B |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B | 0.00%4.35B |
| Capital reserve funds | 1.17%4.47B | 0.99%4.47B | 1.11%4.45B | 0.67%4.43B | 0.31%4.42B | 0.26%4.42B | -1.01%4.4B | -3.04%4.4B | -1.48%4.41B | -2.37%4.41B |
| Surplus reserve funds | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B | 0.00%5.81B |
| Retained profit | -1,859.89%-9.69B | -2,350.34%-9.03B | -136.35%-2.7B | -128.91%-2.47B | -105.55%-494.17M | -95.47%401.11M | -12.40%7.42B | 0.87%8.53B | 16.48%8.9B | 4.55%8.84B |
| Other composite income | 229.53%126.53M | 144.24%54.89M | -112.04%-30.75M | -142.14%-66.1M | -158.13%-97.68M | -169.02%-124.06M | 1,272.00%255.49M | 184.09%156.86M | -50.63%168.04M | 14.43%179.75M |
| Shareholders equity without minority interests | -63.74%5.07B | -61.96%5.65B | -46.57%11.88B | -48.14%12.05B | -40.81%13.99B | -37.03%14.86B | -3.55%22.24B | 0.16%23.24B | 4.51%23.63B | 1.29%23.59B |
| Minority interests | -5.28%2.56B | 4.31%2.58B | -5.28%3.04B | -13.71%2.7B | -14.52%2.71B | -11.01%2.47B | 35.60%3.21B | 35.77%3.13B | 32.44%3.17B | 55.52%2.78B |
| Total shareholder equity | -54.27%7.63B | -52.51%8.23B | -41.35%14.93B | -44.05%14.75B | -37.70%16.69B | -34.29%17.33B | 0.10%25.45B | 3.38%26.37B | 7.18%26.79B | 5.15%26.37B |
| Total liabilityies and equity | -18.66%127.71B | -19.47%130.26B | -21.64%143.25B | -22.00%148.37B | -20.59%157.01B | -21.42%161.76B | -20.24%182.8B | -19.00%190.22B | -19.54%197.72B | -17.54%205.86B |
| 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 | -- | Beijing Chengyu Certified Public Accountants (Special General Partnership) | -- | -- | -- | Beijing Chengyu Certified Public Accountants (Special General Partnership) | -- | -- | -- | Beijing Chengyu 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.