Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
PETROCHINA
00857
5
KUNLUN ENERGY
00135
| (Q1)Mar 31, 2026 | (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Cash, cash equivalents and federal funds sold | -27.31%59.53B | -34.74%63.26B | -34.74%63.26B | -5.28%73.36B | 29.79%92.83B | 4.53%81.88B | 27.90%96.94B | 27.90%96.94B | -1.94%77.46B | -7.23%71.52B |
| -Cash and cash equivalents | -24.67%50.65B | -32.20%54.45B | -32.20%54.45B | 1.53%62.27B | 45.50%78.45B | 5.01%67.24B | 37.40%80.31B | 37.40%80.31B | 1.07%61.33B | -11.04%53.92B |
| -Including:Cash | -4.22%32.27B | --28.33B | --28.33B | 8.88%38.66B | 52.59%45.92B | -11.05%33.69B | ---- | ---- | -4.15%35.51B | -10.78%30.09B |
| -Including:Cash equivalents | ---- | -26.00%2.51B | -26.00%2.51B | ---- | ---- | ---- | 20.00%3.4B | 20.00%3.4B | ---- | ---- |
| -Including:Cash and bank accounts receivable | -44.22%18.23B | -32.34%51.8B | -32.34%51.8B | -10.18%22.74B | 34.44%31.75B | 26.85%32.67B | 38.50%76.57B | 38.50%76.57B | 9.87%25.31B | -12.09%23.62B |
| -Including:Interest-bearing deposit assets | -82.34%154.81M | -62.23%131.57M | -62.23%131.57M | 69.87%877.07M | 279.25%775.15M | 119.52%876.42M | 3.00%348.37M | 3.00%348.37M | -14.39%516.32M | 1,429.51%204.39M |
| -Money market investments | -39.39%8.88B | -47.01%8.81B | -47.01%8.81B | -31.19%11.09B | -18.33%14.38B | 2.36%14.64B | -4.11%16.63B | -4.11%16.63B | -11.92%16.12B | 6.79%17.6B |
| Financial asset investment | -4.10%274.03B | -0.94%274.23B | -0.94%274.23B | 0.84%275.27B | -8.95%267.18B | -3.17%285.75B | -3.62%276.83B | -3.62%276.83B | -1.80%272.97B | 4.52%293.45B |
| -Available-for-sale securities | -9.03%197.8B | -4.72%197.75B | -4.72%197.75B | 1.54%201.68B | -5.20%200.46B | 0.53%217.44B | -4.16%207.55B | -4.16%207.55B | -5.36%198.62B | 2.66%211.46B |
| -Total financial assets designated as fair value through profit or loss | 12.71%57.27B | 28.31%58.84B | 28.31%58.84B | 8.45%57.35B | -17.90%48.56B | -7.53%50.81B | -6.43%45.86B | -6.43%45.86B | 32.47%52.89B | 24.66%59.15B |
| -Derivative assets | 8.32%18.96B | -24.67%17.64B | -24.67%17.64B | -24.32%16.24B | -20.53%18.15B | -26.65%17.51B | 8.18%23.42B | 8.18%23.42B | -23.87%21.46B | -16.47%22.84B |
| Long-term equity investment | -8.65%1.81B | -1.36%1.83B | -1.36%1.83B | 10.27%1.82B | -16.52%1.81B | -10.36%1.99B | -11.77%1.86B | -11.77%1.86B | -19.90%1.65B | 9.39%2.17B |
| Net loan | 1.26%546.12B | 1.91%547.16B | 1.91%547.16B | 2.48%540.39B | 1.27%538.96B | 3.26%539.34B | 5.61%536.92B | 5.61%536.92B | 8.11%527.34B | 11.09%532.22B |
| -Loans and advance payments to customers | -0.92%392.55B | -0.54%396.2B | -0.54%396.2B | -0.19%391.81B | -1.40%397B | -1.06%396.2B | 1.85%398.34B | 1.85%398.34B | 5.72%392.54B | 9.80%402.64B |
| -Other loan assets | 3.92%238.06B | 4.60%236.68B | 4.60%236.68B | 6.11%234.94B | 5.57%229.67B | 9.07%229.08B | 9.80%226.26B | 9.80%226.26B | 9.25%221.4B | 9.07%217.55B |
| -Allowance for loan and lease losses | -11.87%8.9B | -15.04%8.66B | -15.04%8.66B | -9.28%9.24B | -6.33%9.96B | -3.71%10.1B | -1.29%10.19B | -1.29%10.19B | -5.82%10.18B | -5.10%10.63B |
| -Unearned income | 0.33%-75.59B | 0.55%-77.06B | 0.55%-77.06B | -0.90%-77.12B | -0.54%-77.75B | 2.35%-75.84B | 1.21%-77.49B | 1.21%-77.49B | -1.39%-76.43B | -1.98%-77.34B |
| Investment properties | 0.65%1.05B | 0.38%1.04B | 0.38%1.04B | 1.85%1.04B | 1.84%1.04B | 1.84%1.04B | 1.83%1.04B | 1.83%1.04B | 3.00%1.02B | 3.06%1.02B |
| Assets collateralized as collateral for sale or remortgage | ---- | -53.63%341M | -53.63%341M | ---- | ---- | ---- | -31.18%735.37M | -31.18%735.37M | ---- | ---- |
| Receivables | -7.68%32.56B | 11.66%27.49B | 11.66%27.49B | 0.20%35.76B | 21.10%34.79B | 40.33%35.27B | 12.41%24.62B | 12.41%24.62B | 27.29%35.69B | 21.53%28.73B |
| Finance lease receivables | 2.41%106.48B | 3.19%105.68B | 3.19%105.68B | 4.92%105.83B | 3.48%103.74B | 5.47%103.98B | 7.51%102.41B | 7.51%102.41B | 7.64%100.87B | 9.76%100.24B |
| Insurance contract assets | -5.89%5.19B | -10.15%5.38B | -10.15%5.38B | -10.00%5.64B | -12.70%5.69B | -13.13%5.51B | 2.80%5.99B | 2.80%5.99B | 54.69%6.26B | 42.82%6.51B |
| Prepaid assets | 8.24%1.22B | -17.12%907.64M | -17.12%907.64M | 21.24%1.29B | 20.64%1.23B | -13.80%1.13B | -34.85%1.1B | -34.85%1.1B | -33.39%1.07B | -44.51%1.02B |
| Net PPE | -2.42%4.36B | 17.19%4.38B | 17.19%4.38B | 18.15%4.37B | 13.23%4.42B | 14.55%4.47B | -5.22%3.74B | -5.22%3.74B | -2.32%3.7B | 1.39%3.9B |
| -Gross PP&E | -2.42%4.36B | 9.75%10.36B | 9.75%10.36B | 18.15%4.37B | 13.23%4.42B | 14.55%4.47B | 0.58%9.44B | 0.58%9.44B | -2.32%3.7B | 1.39%3.9B |
| -Accum depreciation | ---- | -4.86%-5.97B | -4.86%-5.97B | ---- | ---- | ---- | -4.78%-5.7B | -4.78%-5.7B | ---- | ---- |
| Goodwill and other intangible assets | -5.75%6.44B | -6.59%6.53B | -6.59%6.53B | -2.08%6.6B | -6.68%6.71B | -6.68%6.83B | -5.01%6.99B | -5.01%6.99B | -7.62%6.74B | -0.55%7.19B |
| -Goodwill | ---- | -11.79%4.85B | -11.79%4.85B | ---- | ---- | ---- | -8.11%5.5B | -8.11%5.5B | ---- | ---- |
| -Other intangible assets | ---- | 12.54%1.68B | 12.54%1.68B | ---- | ---- | ---- | 8.45%1.5B | 8.45%1.5B | ---- | ---- |
| Total tax assets | 25.39%2.35B | -0.88%2.22B | -0.88%2.22B | 21.63%2.03B | 1.09%1.83B | 9.97%1.87B | 19.82%2.23B | 19.82%2.23B | -10.45%1.67B | -30.07%1.81B |
| -Deferred tax assets | 20.77%1.8B | 2.75%1.72B | 2.75%1.72B | 19.16%1.56B | -0.01%1.42B | 25.60%1.49B | 27.74%1.67B | 27.74%1.67B | -9.78%1.31B | -31.93%1.42B |
| -Tax receivable | 43.13%554.08M | -11.67%496.87M | -11.67%496.87M | 30.68%468.18M | 5.07%409.79M | -25.60%387.1M | 1.16%562.5M | 1.16%562.5M | -12.84%358.25M | -22.37%390.01M |
| Other assets | -2.02%13.27B | -5.63%13.13B | -5.63%13.13B | -1.03%13.98B | -6.27%13.02B | -4.09%13.55B | -2.23%13.91B | -2.23%13.91B | 6.27%14.13B | 10.75%13.9B |
| Total assets | -2.61%1.05T | -2.02%1.05T | -2.02%1.05T | 1.60%1.07T | 0.90%1.07T | 2.38%1.08T | 4.64%1.08T | 4.64%1.08T | 4.91%1.05T | 7.71%1.06T |
| Liabilities | ||||||||||
| Total deposits | -3.97%791.99B | -2.20%796.45B | -2.20%796.45B | 3.46%815.05B | 4.79%822.48B | 5.13%824.77B | 7.11%814.41B | 7.11%814.41B | 6.98%787.82B | 8.75%784.88B |
| Trading and financial liabilities | 16.06%78.21B | 0.43%77.24B | 0.43%77.24B | -6.28%72.4B | -18.08%69.64B | -17.90%67.39B | -2.72%76.9B | -2.72%76.9B | -8.44%77.26B | 1.20%85.02B |
| -Total debt | 16.33%52.69B | 5.58%50.77B | 5.58%50.77B | 3.55%49.07B | -23.36%43.41B | -15.20%45.29B | -8.32%48.09B | -8.32%48.09B | -6.96%47.39B | 5.76%56.64B |
| -Total financial lease obligations | -11.40%1.87B | 46.19%1.93B | 46.19%1.93B | 46.68%1.98B | 36.35%2.03B | 40.12%2.12B | -12.97%1.32B | -12.97%1.32B | -11.05%1.35B | -4.81%1.49B |
| -Derivative product liabilities | 18.36%23.65B | -10.76%24.54B | -10.76%24.54B | -25.13%21.35B | -10.00%24.2B | -26.44%19.98B | 9.61%27.49B | 9.61%27.49B | -10.68%28.51B | -6.92%26.89B |
| Payables | 15.63%11.77B | 39.56%8.11B | 39.56%8.11B | 15.10%13.38B | 36.72%11.91B | 10.81%10.18B | -5.33%5.81B | -5.33%5.81B | 42.58%11.63B | 5.05%8.71B |
| -Accounts payable | 17.65%10.51B | 44.85%6.66B | 44.85%6.66B | 15.27%11.68B | 37.42%10.29B | 15.53%8.93B | -8.16%4.6B | -8.16%4.6B | 44.71%10.13B | 5.77%7.48B |
| -Other payables | 1.13%1.26B | 19.57%1.45B | 19.57%1.45B | 13.92%1.7B | 32.46%1.63B | -14.31%1.25B | 7.19%1.21B | 7.19%1.21B | 29.63%1.49B | 0.88%1.23B |
| Insurance contract liabilities | 1.01%46.48B | 2.16%47.13B | 2.16%47.13B | 3.05%47.88B | 1.06%47.02B | 0.18%46.02B | 3.47%46.13B | 3.47%46.13B | 11.76%46.46B | 10.85%46.52B |
| Total provisions | -32.52%280.86M | -40.69%267.95M | -40.69%267.95M | -33.87%300.78M | 33.20%596.9M | -10.15%416.23M | 20.66%451.77M | 20.66%451.77M | 6.19%454.82M | 3.40%448.12M |
| Total pension and other postretirement benefit plans | -16.14%437.53M | -17.20%439.22M | -17.20%439.22M | -16.01%448.09M | -4.63%518.07M | -2.79%521.75M | 1.13%530.43M | 1.13%530.43M | -2.49%533.48M | -0.69%543.23M |
| Deferred income tax liabilities | -5.08%698.75M | 7.86%814.71M | 7.86%814.71M | 17.14%852.97M | 10.34%777.8M | 12.07%736.18M | 10.16%755.34M | 10.16%755.34M | 23.41%728.16M | 16.89%704.95M |
| Other liabilities | -17.20%30.2B | -21.11%25.9B | -21.11%25.9B | -34.54%20.78B | -41.29%22.54B | -1.18%36.48B | -13.77%32.83B | -13.77%32.83B | -8.57%31.74B | 6.14%38.39B |
| Total liability | -2.66%960.61B | -2.19%956.74B | -2.19%956.74B | 1.52%971.39B | 1.06%975.78B | 2.75%986.9B | 5.17%978.11B | 5.17%978.11B | 5.47%956.84B | 7.98%965.5B |
| Shareholders'equity | ||||||||||
| Share capital | 0.01%54.88B | 0.27%54.88B | 0.27%54.88B | 0.27%54.88B | 0.27%54.88B | 0.26%54.88B | 0.11%54.74B | 0.11%54.74B | 0.11%54.74B | 0.21%54.74B |
| -common stock | 0.01%54.88B | 0.27%54.88B | 0.27%54.88B | 0.27%54.88B | 0.27%54.88B | 0.26%54.88B | 0.11%54.74B | 0.11%54.74B | 0.11%54.74B | 0.21%54.74B |
| Retained earnings | 10.78%36.3B | 10.96%37.76B | 10.96%37.76B | 11.13%35.1B | 9.18%35.53B | 8.46%32.77B | 7.44%34.03B | 7.44%34.03B | 5.82%31.58B | 4.84%32.54B |
| Other reserves | -117.66%-843.06M | -84.52%806.14M | -84.52%806.14M | -37.44%2.69B | -52.15%3.76B | -45.86%4.77B | -37.23%5.21B | -37.23%5.21B | -34.38%4.3B | 71.06%7.86B |
| Other equity interest | 95.58%-78K | 95.58%-78K | 95.58%-78K | -46.63%-1.76M | -46.63%-1.76M | -46.63%-1.76M | -46.63%-1.76M | -46.63%-1.76M | -507.58%-1.2M | -507.58%-1.2M |
| Total stockholders'equity | -2.25%90.34B | -0.56%93.44B | -0.56%93.44B | 2.26%92.67B | -1.01%94.17B | -1.44%92.42B | -0.71%93.97B | -0.71%93.97B | -0.50%90.62B | 5.41%95.14B |
| Noncontrolling interests | 4.91%3.45B | 4.97%3.4B | 4.97%3.4B | 7.48%3.32B | 7.90%3.29B | 5.43%3.29B | 7.65%3.24B | 7.65%3.24B | -1.36%3.09B | -1.28%3.05B |
| Total equity | -2.00%93.79B | -0.38%96.84B | -0.38%96.84B | 2.44%95.99B | -0.74%97.46B | -1.21%95.71B | -0.45%97.21B | -0.45%97.21B | -0.53%93.71B | 5.19%98.19B |
| Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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.