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 | ||||||||||
| Inventory | 30.25%69.73M | 6.63%59.99M | -7.88%54.77M | -11.28%56.55M | -9.20%53.54M | -4.13%56.26M | -13.91%59.46M | 4.93%63.74M | -3.98%58.96M | -21.06%58.68M |
| Accounts receivable | -3.62%15.96B | 0.13%13.07B | -10.75%17.16B | -9.83%15.53B | -0.74%16.56B | 5.82%13.05B | 21.36%19.23B | 22.55%17.22B | 16.12%16.68B | -8.05%12.33B |
| Notes receivable | -43.23%5.22M | -11.14%146M | 18.60%14.71M | 49.99%130.84M | -88.34%9.19M | 37.13%164.29M | 83.98%12.41M | 214.22%87.23M | 275.76%78.86M | 35.34%119.81M |
| Advance deposits and other receivables | 2.26%6.18B | -4.28%4.98B | -2.05%5.93B | 0.09%5.78B | -6.26%6.04B | 8.94%5.2B | 1.14%6.05B | 11.47%5.78B | 16.40%6.45B | -17.13%4.77B |
| Cash and equivalents | 27.88%14.54B | 26.30%17.01B | 8.17%12.93B | 31.68%11.78B | 4.77%11.37B | -3.59%13.47B | -19.03%11.96B | -40.21%8.95B | -29.50%10.85B | -15.54%13.97B |
| Financial assets at fair value-current assets | 32.22%813.03K | 79.61%1.03M | 58.34%726.34K | 16.89%563.36K | 30.45%614.92K | 10.42%574.37K | -19.53%458.73K | -15.71%481.97K | -28.99%471.37K | -21.67%520.19K |
| Other current assets | 4.00%624.67M | 15.60%538.41M | 17.81%591.79M | -9.53%450M | 18.52%600.62M | 4.35%465.74M | 13.81%502.32M | 17.69%497.4M | 14.34%506.77M | 4.62%446.31M |
| Special items of current assets | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%10M | 1.58%12.52M | 24.70%15.12M | 8.33%15.12M |
| Total current assets | 6.84%40.66B | 9.47%39.01B | -1.39%40.2B | 6.96%38.22B | 0.02%38.05B | 2.88%35.63B | 1.88%40.77B | -4.10%35.73B | -1.68%38.04B | -10.65%34.64B |
| Non-current assets | ||||||||||
| Fixed assets | -4.24%14.69B | -3.54%14.94B | 2.96%14.98B | 3.71%15.18B | 4.39%15.34B | 4.98%15.49B | -1.89%14.55B | 0.41%14.63B | 0.14%14.69B | -1.35%14.76B |
| Investment property | -6.50%2.58B | -7.17%2.59B | -4.48%2.64B | -6.02%2.63B | -3.83%2.76B | -3.20%2.79B | 25.00%2.76B | 22.24%2.8B | 34.65%2.87B | 26.93%2.89B |
| Construction in progress | 35.63%1.09B | 48.37%974.09M | -11.10%973.25M | -13.87%795.19M | -12.45%802.35M | -20.40%656.54M | -4.43%1.09B | -22.83%923.27M | 0.61%916.45M | 3.63%824.78M |
| Development expenditure | 33.73%346.71M | 39.61%371.86M | 54.84%327.31M | 60.02%290.34M | 41.66%259.25M | 60.58%266.35M | 45.73%211.39M | 66.05%181.44M | 124.64%183.01M | 116.62%165.87M |
| long-term investment | -26.34%7.05B | -27.26%6.72B | 0.65%9.07B | 1.77%10.15B | -0.62%9.57B | 1.12%9.24B | 6.44%9.01B | 2.72%9.97B | 6.53%9.63B | 7.11%9.14B |
| Intangible assets | -0.65%6.15B | -0.57%6.23B | 2.88%6.29B | 0.36%6.21B | -1.10%6.19B | 0.60%6.26B | 2.31%6.12B | 0.39%6.19B | 1.23%6.26B | -0.63%6.23B |
| Goodwill | -25.03%1.53B | -20.01%1.57B | 6.07%2.17B | 8.00%2.16B | 2.35%2.04B | -3.72%1.97B | -9.47%2.05B | -14.31%2B | -7.85%1.99B | -7.54%2.04B |
| Deferred tax assets | 25.60%404.35M | 22.27%391.73M | 3.69%337.99M | 14.69%344.48M | 14.29%321.93M | 15.63%320.39M | -10.71%325.95M | 12.73%300.35M | 6.60%281.67M | 9.60%277.08M |
| Other illiquid assets | 53.70%216.11M | 23.17%184.5M | -62.04%135.46M | -3.94%294.64M | -37.54%140.61M | -53.41%149.79M | 102.51%356.85M | -4.96%306.73M | 36.44%225.12M | -24.73%321.47M |
| Special items of non-current assets | -7.74%200.73M | -5.90%208.17M | -10.05%210.71M | -13.96%209.85M | -11.62%217.58M | -11.13%221.22M | -0.69%234.26M | 1.77%243.89M | 0.76%246.19M | -2.34%248.93M |
| Total non-current assets | -6.20%39.33B | -5.34%39.34B | 2.16%41.56B | 2.33%42.73B | 1.01%41.93B | 0.70%41.56B | 2.29%40.68B | 2.69%41.76B | 5.27%41.51B | 3.86%41.27B |
| Total assets | 0.01%79.98B | 1.49%78.35B | 0.38%81.77B | 4.46%80.95B | 0.54%79.98B | 1.70%77.2B | 2.09%81.45B | -0.56%77.49B | 1.83%79.55B | -3.31%75.91B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | -2.15%14.9B | -0.08%12.75B | -9.46%15.78B | -6.45%14.55B | 4.11%15.22B | 3.11%12.76B | 22.07%17.43B | 11.98%15.55B | 2.86%14.62B | -11.70%12.37B |
| Notes payable | 32.29%136.35M | 16.49%213.83M | 2.38%171.26M | 11.20%103.5M | 7.17%103.07M | 127.09%183.55M | --167.29M | --93.07M | 118.59%96.18M | 10.97%80.83M |
| Tax payable | 6.32%538.6M | -10.98%519.49M | 33.05%555.79M | 31.43%606.27M | 14.42%506.6M | 9.24%583.59M | -19.05%417.74M | -9.41%461.28M | -3.28%442.77M | 8.69%534.25M |
| Other payables and accrued expenses | -21.67%2.07B | -10.04%1.8B | -7.04%2.92B | -7.24%2.94B | -7.71%2.64B | -14.15%2B | -9.69%3.14B | 47.62%3.17B | -2.97%2.86B | -30.76%2.33B |
| Short-term borrowing | -3.68%942.56M | -59.15%1.35B | -58.36%1.42B | -18.44%1.58B | 59.06%978.54M | 439.84%3.29B | 717.32%3.42B | 234.52%1.93B | 2.29%615.2M | 4.71%610.22M |
| Other current liabilities | -29.99%197.32M | -38.46%177.62M | 38.08%286.03M | -2.01%287.93M | 22.96%281.85M | -4.16%288.63M | -20.85%207.15M | 5.04%293.84M | 29.44%229.23M | 0.39%301.14M |
| Special items of current liabilities | -6.03%902.7M | 16.36%1.1B | 63.14%1.56B | -34.57%1.93B | -82.81%960.61M | -81.94%941.27M | -86.93%957.83M | -61.25%2.94B | 75.15%5.59B | 61.49%5.21B |
| Total current liabilities | -5.92%25.41B | -9.21%24.45B | -8.41%29.43B | -6.75%28.14B | -11.83%27.01B | -4.02%26.93B | -1.94%32.13B | -2.28%30.17B | 10.92%30.63B | -2.05%28.06B |
| Net current assets | 38.06%15.25B | 67.21%14.56B | 24.72%10.77B | 81.29%10.08B | 48.99%11.04B | 32.32%8.71B | 19.18%8.64B | -12.87%5.56B | -33.09%7.41B | -34.99%6.58B |
| Total assets less current liabilities | 3.03%54.58B | 7.22%53.9B | 6.11%52.34B | 11.61%52.81B | 8.28%52.97B | 5.05%50.27B | 4.89%49.32B | 0.58%47.32B | -3.14%48.92B | -4.03%47.85B |
| Non-current liabilities | ||||||||||
| Long-term bank loan | -22.63%2.55B | -22.79%2.52B | -22.48%2.58B | -22.88%2.46B | 23.57%3.29B | 38.78%3.27B | 29.26%3.32B | 0.53%3.19B | -49.22%2.66B | -55.96%2.36B |
| Long-term accounts payable | 21.04%26.66M | 23.58%24.72M | 33.63%26.73M | 0.00%20M | 10.15%22.03M | -14.98%20M | -91.13%20M | -90.73%20M | -88.06%20M | -85.66%23.53M |
| Long-term remuneration payable to staff and workers | -1.94%3.48M | -2.20%3.49M | -18.85%3.51M | -21.56%3.54M | 14.57%3.55M | -21.71%3.56M | 64.79%4.33M | 89.89%4.51M | 24.37%3.09M | -4.70%4.55M |
| Financial lease liabilities-non-current liabilities | 16.19%2.59B | 18.47%2.47B | 2.27%2.38B | 10.92%2.64B | -6.03%2.23B | -16.55%2.08B | -2.83%2.33B | 6.19%2.38B | 1.99%2.37B | 3.86%2.5B |
| Deferred tax liability | 19.72%325.65M | 18.39%335.92M | -4.29%254.78M | 6.10%250.1M | 16.75%272.02M | 18.72%283.73M | -5.68%266.2M | 21.21%235.72M | 24.58%233M | 23.30%238.99M |
| Deferred income-non-current liabilities | -18.62%425.04M | -17.83%431.59M | 29.23%516.08M | 29.15%518.55M | 30.68%522.27M | 29.31%525.24M | 11.11%399.36M | -1.23%401.52M | -1.46%399.65M | -1.45%406.19M |
| Issued debt instrument | 0.75%4.05B | 98.08%4B | 100.02%4.04B | --4.02B | 100.93%4.02B | 0.98%2.02B | 1.13%2.02B | ---- | -49.99%2B | -49.99%2B |
| Other non-current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -2.10%52.16M | -5.56%66.53M | -80.17%52.58M |
| Total non-current liabilities | -3.53%10.02B | 19.79%9.86B | 16.18%9.83B | 55.71%9.94B | 31.51%10.38B | 6.44%8.23B | 5.53%8.46B | -24.16%6.38B | -37.02%7.9B | -40.22%7.73B |
| Total liabilities | -5.26%35.42B | -2.42%34.3B | -3.28%39.26B | 4.16%38.08B | -2.95%37.39B | -1.76%35.15B | -0.47%40.6B | -6.97%36.56B | -4.05%38.53B | -13.92%35.79B |
| Total assets less total liabilities | 4.63%44.56B | 4.77%44.04B | 4.03%42.5B | 4.73%42.87B | 3.81%42.59B | 4.78%42.04B | 4.76%40.86B | 5.97%40.94B | 8.04%41.03B | 8.64%40.12B |
| Total equity and non-current liabilities | 3.03%54.58B | 7.22%53.9B | 6.11%52.34B | 11.61%52.81B | 8.28%52.97B | 5.05%50.27B | 4.89%49.32B | 0.58%47.32B | -3.14%48.92B | -4.03%47.85B |
| Equity | ||||||||||
| Share capital | -1.65%7.17B | -1.65%7.17B | -0.30%7.27B | 0.00%7.29B | 0.00%7.29B | 0.00%7.29B | 0.00%7.29B | 0.00%7.29B | 0.00%7.29B | -0.83%7.29B |
| Capital reserve | -7.36%6.14B | -7.49%6.14B | -1.09%6.57B | -0.39%6.61B | -0.23%6.62B | -0.07%6.63B | 2.48%6.64B | 9.75%6.64B | 10.22%6.64B | 4.86%6.64B |
| Undistributed profit | 7.17%25.8B | 7.21%25.11B | 6.24%24.02B | 6.80%24.33B | 6.07%24.07B | 7.01%23.42B | 6.61%22.61B | 5.57%22.78B | 7.48%22.69B | 10.50%21.89B |
| Special items of shareholders' rights and interests | 23.69%188.44M | 29.27%184.91M | 16.79%170.16M | 10.96%159.63M | 8.71%152.34M | 10.15%143.05M | 12.50%145.7M | 19.00%143.86M | 26.02%140.14M | 25.38%129.86M |
| Shareholders' Equity | 4.25%41.75B | 4.35%41.29B | 3.32%39.78B | 4.10%40.17B | 3.55%40.04B | 4.67%39.57B | 4.91%38.5B | 5.63%38.58B | 7.90%38.67B | 8.62%37.8B |
| Non-controlling interest | 10.65%2.81B | 11.39%2.75B | 15.58%2.72B | 15.00%2.71B | 8.02%2.54B | 6.71%2.47B | 2.37%2.36B | 11.86%2.35B | 10.42%2.35B | 9.05%2.32B |
| Total equity | 4.63%44.56B | 4.77%44.04B | 4.03%42.5B | 4.73%42.87B | 3.81%42.59B | 4.78%42.04B | 4.76%40.86B | 5.97%40.94B | 8.04%41.03B | 8.64%40.12B |
| Total equity and total liabilities | 0.01%79.98B | 1.49%78.35B | 0.38%81.77B | 4.46%80.95B | 0.54%79.98B | 1.70%77.2B | 2.09%81.45B | -0.56%77.49B | 1.83%79.55B | -3.31%75.91B |
| 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 | -- | ShinWing Certified Public Accountants (Special General Partnership) | -- | -- | -- | ShinWing Certified Public Accountants (Special General Partnership) | -- | -- | -- | ShinWing 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.