Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
KUNLUN ENERGY
00135
| (Q6)Dec 31, 2025 | (FY)Jun 30, 2025 | (Q6)Dec 31, 2024 | (FY)Jun 30, 2024 | (Q6)Dec 31, 2023 | (FY)Jun 30, 2023 | (Q6)Dec 31, 2022 | (FY)Jun 30, 2022 | (Q6)Dec 31, 2021 | (FY)Jun 30, 2021 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Inventory | 12.02%234.34K | 240.89%226.9K | 23.29%209.19K | 15.12%66.56K | 25.56%169.67K | -54.37%57.82K | -9.68%135.13K | 13.84%126.72K | -0.14%149.62K | 10.40%111.31K |
| Accounts receivable | -69.66%1.16M | -22.58%1.35M | 179.77%3.82M | 88.33%1.74M | -18.55%1.37M | -7.97%924.7K | 61.01%1.68M | 38.40%1M | -27.76%1.04M | -13.63%725.99K |
| Cash and equivalents | -25.54%319.78K | 244.76%963.51K | -69.67%429.47K | 67.63%279.47K | 42.13%1.42M | -92.66%166.72K | -72.51%996.16K | -50.15%2.27M | -39.21%3.62M | -35.76%4.55M |
| Total current assets | -61.58%1.71M | 21.61%2.54M | 51.11%4.46M | 81.64%2.09M | 5.10%2.95M | -66.22%1.15M | -41.68%2.81M | -36.91%3.4M | -36.25%4.81M | -33.69%5.39M |
| Non-current assets | ||||||||||
| Property, plant and equipment | -22.42%2.16M | 307.73%2.2M | 2,964.16%2.78M | 193.41%540.18K | -95.13%90.79K | -91.60%184.1K | -28.36%1.86M | -13.31%2.19M | -24.20%2.6M | 12.54%2.53M |
| Advance payment | -96.25%21.25K | ---- | 29.94%565.93K | 28.87%562.33K | -58.30%435.55K | -57.48%436.35K | -23.65%1.04M | -24.99%1.03M | 14.76%1.37M | -4.57%1.37M |
| Deferred tax assets | ---- | ---- | --1.23K | -75.26%88.84K | ---- | --359.08K | ---- | ---- | -9.02%101.71K | -48.28%127.15K |
| Total non-current assets | -37.27%2.33M | 51.33%2.34M | 313.68%3.71M | -19.23%1.55M | -84.61%896.19K | -73.99%1.92M | -42.95%5.82M | -37.61%7.36M | -52.21%10.21M | -28.39%11.8M |
| Total assets | -50.55%4.04M | 34.26%4.88M | 112.27%8.17M | 18.60%3.63M | -55.42%3.85M | -71.53%3.06M | -42.54%8.63M | -37.39%10.77M | -48.04%15.02M | -30.14%17.2M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | 67.10%4.18M | 222.00%4.73M | -11.69%2.5M | -21.52%1.47M | -5.88%2.83M | -10.68%1.87M | 1.02%3.01M | -32.54%2.09M | 82.80%2.98M | 66.63%3.11M |
| Tax payable | -60.18%96.42K | -7.71%96.42K | 9.94%242.13K | -19.39%104.47K | 29.95%220.25K | 290.53%129.6K | 400.61%169.48K | -1.98%33.19K | -82.59%33.86K | -80.71%33.86K |
| Amounts payable to associated parties-current liabilities | -0.50%3.58M | -37.60%3.4M | 14.51%3.6M | 223.37%5.45M | 1,050.07%3.15M | 118.80%1.69M | 125.79%273.51K | 535.85%770.21K | --121.13K | --121.13K |
| Bank loans and overdrafts | --446.25K | 79.52%265.83K | ---- | -54.68%148.08K | 17.36%282.58K | -7.13%326.77K | -9.35%240.79K | 1.49%351.86K | 22.10%265.61K | 30.53%346.69K |
| Provision-current liabilities | ---- | ---- | -4.48%75.58K | -21.47%62.15K | 166.39%79.13K | -2.73%79.13K | --29.71K | 329.17%81.36K | ---- | --18.96K |
| Financial lease liabilities-current liabilities | -88.74%80.42K | -84.93%107.36K | -46.77%714.37K | -59.38%712.45K | -23.00%1.34M | -50.11%1.75M | -57.00%1.74M | -15.62%3.52M | -15.29%4.05M | 12.68%4.17M |
| Total current liabilities | 10.29%8.44M | 2.18%8.64M | -3.19%7.65M | 44.65%8.46M | 44.58%7.9M | -14.62%5.85M | -26.66%5.46M | -12.13%6.85M | 9.18%7.45M | 29.82%7.79M |
| Net current assets | -110.76%-6.72M | 4.19%-6.1M | 35.55%-3.19M | -35.59%-6.37M | -86.30%-4.95M | -36.32%-4.7M | -0.76%-2.66M | -43.53%-3.45M | -462.98%-2.64M | -212.74%-2.4M |
| Total assets less current liabilities | -950.52%-4.4M | 22.01%-3.76M | 112.76%517.11K | -73.35%-4.82M | -228.05%-4.05M | -170.97%-2.78M | -58.18%3.17M | -58.33%3.92M | -65.72%7.57M | -49.48%9.4M |
| Non-current liabilities | ||||||||||
| Long-term bank loan | ---- | ---- | ---- | ---- | ---- | ---- | -66.73%157.52K | -60.24%228.13K | -44.40%473.52K | -37.48%573.79K |
| Financial lease liabilities-non-current liabilities | -40.60%117.01K | -71.65%55.61K | -67.35%196.96K | -84.54%196.17K | -77.40%603.22K | -54.85%1.27M | -36.45%2.67M | -54.10%2.81M | -67.88%4.2M | -38.70%6.12M |
| Deferred tax liability | -61.08%34.6K | -61.08%34.6K | 321.97%88.88K | -50.66%88.88K | -68.74%21.06K | 167.30%180.13K | 118.23%67.39K | 7.22%67.39K | 58.08%30.88K | -59.08%62.85K |
| Provision-non-current liabilities | ---- | ---- | -52.36%100.68K | -81.55%38.53K | -16.61%211.32K | 7.16%208.89K | -22.56%253.41K | -38.78%194.94K | -24.76%327.23K | -7.78%318.42K |
| Total non-current liabilities | -60.78%151.6K | -72.12%90.2K | -53.74%386.52K | -80.48%323.58K | -73.45%835.6K | -49.77%1.66M | -37.44%3.15M | -53.37%3.3M | -65.01%5.03M | -37.94%7.08M |
| Total liabilities | 6.87%8.59M | -0.56%8.73M | -8.02%8.04M | 17.00%8.78M | 1.45%8.74M | -26.05%7.5M | -31.01%8.61M | -31.76%10.15M | -41.14%12.48M | -14.57%14.87M |
| Total assets less total liabilities | -3,583.89%-4.55M | 25.16%-3.85M | 102.67%130.59K | -15.90%-5.14M | -26,477.48%-4.89M | -817.61%-4.44M | -99.27%18.54K | -73.41%618.55K | -67.04%2.54M | -67.73%2.33M |
| Total equity and non-current liabilities | -950.52%-4.4M | 22.01%-3.76M | 112.76%517.11K | -73.35%-4.82M | -228.05%-4.05M | -170.97%-2.78M | -58.18%3.17M | -58.33%3.92M | -65.72%7.57M | -49.48%9.4M |
| Equity | ||||||||||
| Share capital | 0.00%488.56K | 0.00%488.56K | 10.69%488.56K | 10.69%488.56K | 0.00%441.36K | 0.00%441.36K | 0.00%441.36K | 0.00%441.36K | 0.00%441.36K | 0.00%441.36K |
| Share premium | 0.00%8.5M | 0.00%8.5M | 19.67%8.5M | 19.67%8.5M | 0.00%7.1M | 0.00%7.1M | 0.00%7.1M | 0.00%7.1M | 0.00%7.1M | 0.00%7.1M |
| Exchange reserve | -1,965.73%-179.09K | -816.24%-283.28K | 145.74%9.6K | 576.63%39.55K | -334.08%-20.99K | -2,373.42%-8.3K | -140.99%-4.84K | -19.25%365 | --11.8K | --452 |
| Other reserves | 5.86%1.88M | 5.86%1.88M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M | 0.00%1.78M |
| Retained profit | -33.12%-17.87M | -9.67%-17.1M | 2.39%-13.42M | -16.76%-15.59M | -49.07%-13.75M | -53.83%-13.36M | -35.82%-9.22M | -24.09%-8.68M | -319.12%-6.79M | -231.13%-7M |
| Shareholders' Equity | -171.09%-7.18M | -36.04%-6.52M | 40.51%-2.65M | -18.48%-4.79M | -4,901.73%-4.45M | -731.88%-4.04M | -96.35%92.68K | -72.48%639.78K | -66.99%2.54M | -67.75%2.33M |
| Non-controlling interest | -5.44%2.63M | 851.14%2.67M | 732.28%2.78M | 10.40%-354.88K | -492.57%-439.35K | -1,765.20%-396.09K | -2,054.07%-74.14K | -2,249.39%-21.24K | ---3.44K | --988 |
| Total equity | -3,583.89%-4.55M | 25.16%-3.85M | 102.67%130.59K | -15.90%-5.14M | -26,477.48%-4.89M | -817.61%-4.44M | -99.27%18.54K | -73.41%618.55K | -67.04%2.54M | -67.73%2.33M |
| Total equity and total liabilities | -50.55%4.04M | 34.26%4.88M | 112.27%8.17M | 18.60%3.63M | -55.42%3.85M | -71.53%3.06M | -42.54%8.63M | -37.39%10.77M | -48.04%15.02M | -30.14%17.2M |
| Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
| Accounting Standards | IAS | IAS | IAS | IAS | IAS | IAS | IAS | IAS | IAS | IAS |
| Auditor | -- | National Health Accounting Firm Co., Ltd. | -- | National Health Accounting Firm Co., Ltd. | -- | ShinWing Certified Public Accountants (Hong Kong) Limited | -- | National Health Accounting Firm Co., Ltd. | -- | National Health Accounting Firm Co., Ltd. |
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.