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 | ||||||||||
| Inventory | -1.56%124.93M | -0.07%125.19M | -15.41%115.1M | -2.88%127.54M | -1.31%126.92M | -6.02%125.28M | 6.65%136.07M | 5.97%131.32M | 2.98%128.6M | -1.68%133.31M |
| Accounts receivable | -22.13%2.07B | -42.25%1.74B | -39.63%2.07B | -30.00%2.44B | -30.99%2.66B | -9.02%3.01B | -2.88%3.43B | 3.43%3.49B | 15.52%3.85B | 12.58%3.3B |
| Notes receivable | 31.09%123.44M | 16.59%106.74M | -46.10%119.29M | -47.47%82.38M | -46.53%94.16M | -70.47%91.55M | -39.86%221.33M | -31.56%156.81M | -31.82%176.11M | -16.18%310.02M |
| Advance deposits and other receivables | -4.99%83.27M | -19.41%49.78M | -9.58%71.77M | -14.28%73.76M | -31.32%87.65M | -4.18%61.77M | -19.49%79.37M | 22.78%86.04M | 39.07%127.62M | 18.02%64.47M |
| Cash and equivalents | 16.10%6.83B | 26.85%6.7B | 35.29%5.76B | 18.52%5.25B | -4.93%5.88B | 0.99%5.28B | -2.10%4.26B | -21.83%4.43B | 19.68%6.19B | -1.09%5.23B |
| Financial assets at fair value-current assets | ---- | 0.00%550K | -35.29%550K | --550K | --550K | --550K | --850K | ---- | ---- | ---- |
| Other current assets | -62.71%125.96M | -33.63%254.04M | -22.02%190.51M | -25.24%219.26M | 19.14%337.82M | 10.09%382.78M | -26.54%244.3M | -13.40%293.3M | -21.93%283.56M | -4.46%347.7M |
| Special items of current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -0.38%13.2M | -0.38%13.2M | -0.38%13.2M |
| Total current assets | 2.22%10.21B | 1.34%9.81B | -0.73%9.14B | -5.93%9.01B | -14.01%9.99B | -4.35%9.68B | -3.50%9.21B | -9.03%9.57B | 16.35%11.61B | 3.99%10.12B |
| Non-current assets | ||||||||||
| Fixed assets | -5.36%30.05B | -5.37%30.52B | -5.23%30.62B | 8.41%31.33B | 8.36%31.75B | 8.39%32.25B | 8.30%32.31B | -4.42%28.9B | -3.28%29.3B | -3.11%29.75B |
| Investment property | -16.66%142.38M | -16.88%144.62M | -16.19%147.09M | -19.31%149.34M | -9.31%170.83M | -9.13%173.99M | 9.86%175.51M | 13.76%185.08M | 13.67%188.38M | 13.65%191.47M |
| Construction in progress | 11.25%3.01B | 11.82%3.02B | 14.07%3.05B | 47.51%2.7B | 47.83%2.71B | 49.25%2.7B | 34.00%2.67B | -7.40%1.83B | -18.55%1.83B | -19.23%1.81B |
| Long-term receivables | --23.31M | --22.25M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| long-term investment | -6.44%2.81B | -6.55%2.78B | -3.15%3.02B | -12.28%2.99B | -15.06%3B | -15.75%2.97B | -14.83%3.12B | -6.64%3.41B | -5.96%3.53B | -6.59%3.53B |
| Intangible assets | -2.71%5.94B | -2.60%5.99B | -3.06%6.01B | 15.11%6.06B | 15.01%6.1B | 15.02%6.15B | 15.71%6.2B | -2.58%5.26B | -2.58%5.31B | -2.58%5.35B |
| Goodwill | -1.95%221.53M | -1.95%221.53M | -18.10%225.93M | 0.00%225.93M | 0.00%225.93M | 0.00%225.93M | 22.10%275.86M | 0.00%225.93M | 0.00%225.93M | 0.00%225.93M |
| Deferred tax assets | -15.52%259.23M | -16.03%257.77M | -28.73%246.59M | -14.35%294.2M | -8.22%306.86M | -8.09%306.98M | -1.66%346.01M | -3.08%343.51M | 7.37%334.35M | 6.23%334.01M |
| Other illiquid assets | -6.79%413.49M | -5.99%413.08M | -2.64%416M | 1,149.05%440.27M | 766.54%443.61M | 784.78%439.41M | 1,950.91%427.29M | 62.64%35.25M | 315.47%51.19M | 295.67%49.66M |
| Special items of non-current assets | -38.04%65.1M | -35.31%75.03M | -31.34%85.72M | -13.81%95.45M | 47.75%105.06M | 56.53%115.98M | 138.01%124.85M | 108.59%110.74M | 30.37%71.11M | 31.00%74.1M |
| Total non-current assets | -4.31%47.21B | -4.68%47.77B | -4.46%48.2B | 7.87%48.72B | 7.89%49.34B | 8.38%50.11B | 8.16%50.45B | -4.17%45.17B | -3.94%45.73B | -3.97%46.24B |
| Total assets | -3.21%57.42B | -3.70%57.57B | -3.89%57.34B | 5.46%57.73B | 3.46%59.32B | 6.09%59.79B | 6.18%59.65B | -5.05%54.74B | -0.42%57.34B | -2.63%56.35B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | 0.44%280.97M | -22.42%307.47M | 0.71%265.32M | 13.84%292.79M | 1.04%279.73M | 22.90%396.35M | 8.67%263.45M | 5.33%257.19M | 7.74%276.84M | -6.23%322.51M |
| Tax payable | 25.96%141.75M | 47.81%172.45M | 69.80%182.01M | 104.32%188.35M | -10.28%112.54M | -28.77%116.66M | -45.91%107.19M | -28.55%92.18M | -25.34%125.43M | 16.86%163.78M |
| Other payables and accrued expenses | -4.50%1.11B | -6.19%1.14B | -40.10%913.61M | 49.59%1.54B | 57.04%1.16B | 69.97%1.22B | 105.05%1.53B | -8.46%1.03B | -0.82%741.11M | -24.40%715.25M |
| Advance payment | 112.69%7.74M | -5.71%5.04M | 12.49%5.6M | 145.65%3.62M | 74.16%3.64M | 59.97%5.34M | -45.22%4.98M | -54.58%1.47M | -43.82%2.09M | -25.92%3.34M |
| Short-term borrowing | ---- | ---- | -91.04%57.93M | -90.50%57.05M | -94.39%56.19M | -94.47%55.33M | -35.41%646.3M | --600.39M | --1B | --1B |
| Other current liabilities | 360.98%70.6M | 378.40%74.05M | 7.57%14.11M | 51.81%13.21M | 74.30%15.31M | 28.54%15.48M | 26.71%13.11M | -43.57%8.7M | -21.61%8.79M | -15.96%12.04M |
| Special items of current liabilities | -63.57%942.71M | -89.36%308.32M | -78.50%613.9M | -75.62%552.91M | 13.35%2.59B | 21.80%2.9B | 25.56%2.86B | -53.25%2.27B | -49.25%2.28B | -46.89%2.38B |
| Total current liabilities | -34.37%3.08B | -49.24%2.73B | -56.33%2.57B | -32.89%3.11B | -1.58%4.69B | 3.79%5.38B | 19.74%5.89B | -32.63%4.63B | -21.31%4.77B | -21.31%5.18B |
| Net current assets | 34.65%7.13B | 64.60%7.08B | 98.10%6.57B | 19.30%5.9B | -22.66%5.29B | -12.89%4.3B | -28.26%3.31B | 35.30%4.95B | 74.55%6.85B | 56.95%4.94B |
| Total assets less current liabilities | -0.53%54.34B | 0.80%54.84B | 1.86%54.76B | 9.00%54.63B | 3.91%54.63B | 6.33%54.41B | 4.88%53.76B | -1.32%50.11B | 2.04%52.57B | -0.23%51.17B |
| Non-current liabilities | ||||||||||
| Long-term bank loan | -1.96%4.34B | 5.13%4.39B | 31.93%4.07B | 796.94%4.31B | 681.68%4.42B | 636.97%4.17B | 380.84%3.08B | -24.96%481M | -20.95%566M | -20.95%566M |
| Long-term accounts payable | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M | 0.00%17.5M |
| Financial lease liabilities-non-current liabilities | -3.25%4.47B | -7.13%4.5B | -7.12%4.54B | -7.00%4.59B | -6.56%4.62B | -2.44%4.85B | -2.29%4.89B | -2.24%4.93B | -2.54%4.95B | -2.94%4.97B |
| Deferred tax liability | -13.73%218.17M | -12.57%226.9M | -12.01%233.39M | 55.75%240.37M | 67.41%252.88M | 65.15%259.52M | 10.53%265.24M | -38.28%154.34M | -40.15%151.05M | -39.46%157.14M |
| Deferred income-non-current liabilities | 7.88%535.97M | 7.65%543.67M | -0.93%516.39M | 1.96%506.77M | -2.47%496.81M | -3.04%505.05M | -2.33%521.23M | -8.95%497.02M | -8.87%509.38M | -8.81%520.88M |
| Issued debt instrument | -70.00%299.66M | 0.06%999.13M | 0.06%998.99M | 0.06%998.84M | -66.66%998.69M | -50.00%998.55M | -50.00%998.41M | -49.99%998.26M | 20.00%3B | -19.98%2B |
| Other non-current liabilities | ---- | ---- | 0.00%56.74M | 0.00%56.74M | 0.00%56.74M | 0.00%56.74M | 0.00%56.74M | 36.37%56.74M | 36.37%56.74M | 36.37%56.74M |
| Total non-current liabilities | -10.33%9.88B | -1.76%10.81B | 5.93%10.58B | 49.09%10.87B | 17.20%11.02B | 30.37%11.01B | 15.40%9.98B | -16.21%7.29B | 0.82%9.4B | -10.09%8.44B |
| Total liabilities | -17.51%12.96B | -17.34%13.54B | -17.17%13.15B | 17.25%13.97B | 10.88%15.71B | 20.26%16.38B | 16.98%15.88B | -23.46%11.92B | -7.90%14.17B | -14.71%13.62B |
| Total assets less total liabilities | 1.94%44.46B | 1.45%44.03B | 0.93%44.19B | 2.18%43.76B | 1.02%43.61B | 1.58%43.4B | 2.75%43.78B | 1.75%42.83B | 2.31%43.17B | 1.97%42.73B |
| Total equity and non-current liabilities | -0.53%54.34B | 0.80%54.84B | 1.86%54.76B | 9.00%54.63B | 3.91%54.63B | 6.33%54.41B | 4.88%53.76B | -1.32%50.11B | 2.04%52.57B | -0.23%51.17B |
| Equity | ||||||||||
| Share capital | -1.40%23.57B | -1.40%23.57B | -1.40%23.57B | -0.34%23.91B | -0.34%23.91B | -0.34%23.91B | -0.34%23.91B | 0.00%23.99B | 0.00%23.99B | 0.00%23.99B |
| Capital reserve | -2.46%8.76B | -2.46%8.76B | -2.50%8.76B | -0.33%8.98B | -0.33%8.98B | -0.33%8.98B | -0.47%8.99B | -0.17%9.01B | -0.17%9.01B | -0.87%9.01B |
| Undistributed profit | 13.65%6.23B | 11.25%5.87B | 15.38%6.02B | 19.93%5.67B | 7.40%5.48B | 11.52%5.28B | 13.21%5.22B | 13.59%4.73B | 17.61%5.11B | 17.78%4.73B |
| Special items of shareholders' rights and interests | -13.71%168.74M | -13.75%155.65M | -7.24%205.31M | -4.83%201.39M | -2.26%195.56M | -0.08%180.46M | 13.06%221.33M | 16.82%211.61M | 19.92%200.09M | 22.66%180.6M |
| Shareholders' Equity | 1.86%40.72B | 1.37%40.34B | 0.89%40.39B | 1.02%40.05B | -0.05%39.97B | 0.49%39.8B | 1.68%40.03B | 1.89%39.65B | 2.40%39.99B | 2.09%39.6B |
| Non-controlling interest | 2.85%3.74B | 2.31%3.69B | 1.42%3.8B | 16.67%3.71B | 14.55%3.64B | 15.29%3.61B | 15.71%3.75B | 0.06%3.18B | 1.15%3.18B | 0.54%3.13B |
| Total equity | 1.94%44.46B | 1.45%44.03B | 0.93%44.19B | 2.18%43.76B | 1.02%43.61B | 1.58%43.4B | 2.75%43.78B | 1.75%42.83B | 2.31%43.17B | 1.97%42.73B |
| Total equity and total liabilities | -3.21%57.42B | -3.70%57.57B | -3.89%57.34B | 5.46%57.73B | 3.46%59.32B | 6.09%59.79B | 6.18%59.65B | -5.05%54.74B | -0.42%57.34B | -2.63%56.35B |
| 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) | -- | -- | -- | Ernst & Young Huaming Accounting Firm (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.