Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
KUNLUN ENERGY
00135
| (FY)Mar 31, 2026 | (Q4)Mar 31, 2026 | (Q3)Dec 31, 2025 | (Q2)Sep 30, 2025 | (Q1)Jun 30, 2025 | (FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q3)Dec 31, 2024 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 11.18%48.27B | 11.18%48.27B | 36.76%53.83B | -11.36%51.61B | 30.03%90.89B | -23.20%43.42B | -23.20%43.42B | -44.99%39.36B | 1.16%58.23B | -6.21%69.9B |
| -Cash and cash equivalents | 11.18%48.27B | 11.18%48.27B | 36.76%53.83B | -11.36%51.61B | 30.03%90.89B | -23.20%43.42B | -23.20%43.42B | -44.99%39.36B | 1.16%58.23B | -6.21%69.9B |
| Receivables | 23.94%264.73B | 23.94%264.73B | 28.43%256.85B | 11.08%217.61B | 5.54%187.3B | 4.34%213.59B | 4.34%213.59B | -14.16%199.99B | -2.49%195.91B | 8.71%177.47B |
| -Accounts receivable | 23.94%264.73B | 23.94%264.73B | 28.43%256.85B | 11.08%217.61B | 5.54%187.3B | 4.34%213.59B | 4.34%213.59B | -14.16%199.99B | -2.49%195.91B | 8.71%177.47B |
| -Gross accounts receivable | 23.94%264.73B | 23.94%264.73B | 28.43%256.85B | 11.08%217.61B | 5.54%187.3B | 4.34%213.59B | 4.34%213.59B | -14.16%199.99B | -2.49%195.91B | 8.71%177.47B |
| Inventory | 111.06%41.47B | 111.06%41.47B | 28.54%33.09B | 21.47%31.87B | -4.15%22.15B | -16.57%19.65B | -16.57%19.65B | 19.03%25.75B | 24.04%26.24B | -19.91%23.11B |
| Prepaid assets | 14.74%15.4B | 14.74%15.4B | 60.64%16.62B | 15.84%12.72B | 19.91%13.51B | -30.82%13.42B | -30.82%13.42B | -39.12%10.34B | -27.49%10.98B | -0.60%11.27B |
| Other current assets | 132.51%21.09B | 132.51%21.09B | 55.43%24.96B | 58.83%20.3B | 12.94%12.18B | 16.46%9.07B | 16.46%9.07B | -17.81%16.06B | -13.69%12.78B | -33.64%10.79B |
| Total current assets | 30.69%390.97B | 30.69%390.97B | 32.19%385.35B | 9.86%334.11B | 11.45%326.04B | -4.11%299.15B | -4.11%299.15B | -19.63%291.5B | -1.76%304.14B | -0.57%292.53B |
| Non current assets | ||||||||||
| Net PPE | 1.02%184.7B | 1.02%184.7B | -0.48%176.37B | 1.44%173.49B | 4.89%180.95B | 8.31%182.84B | 8.31%182.84B | 4.52%177.21B | 1.48%171.04B | 3.95%172.51B |
| -Gross PP&E | 0.82%226.24B | 0.82%226.24B | -0.48%176.37B | 1.44%173.49B | 4.90%180.95B | 7.97%224.39B | 7.97%224.39B | 4.52%177.21B | 1.48%171.04B | 3.95%172.51B |
| -Accumulated depreciation | 0.02%-41.54B | 0.02%-41.54B | ---- | ---- | ---- | -6.52%-41.55B | -6.52%-41.55B | ---- | ---- | ---- |
| Total investment | -4.61%82.09B | -4.61%82.09B | -3.34%85.14B | 5.27%81.23B | -3.49%72.14B | 13.60%86.06B | 13.60%86.06B | 80.91%88.08B | 67.20%77.17B | 79.95%74.75B |
| -Financial asset investment | -4.61%82.09B | -4.61%82.09B | -3.34%85.14B | 5.27%81.23B | -3.49%72.14B | 13.60%86.06B | 13.60%86.06B | 80.91%88.08B | 67.20%77.17B | 79.95%74.75B |
| -Including:Available-for-sale securities | -4.61%82.09B | -4.61%82.09B | -3.34%85.14B | 5.27%81.23B | -3.49%72.14B | 13.60%86.06B | 13.60%86.06B | 80.91%88.08B | 67.20%77.17B | 79.95%74.75B |
| Long-term accounts receivable and other receivables | 27.03%9.91B | 27.03%9.91B | 27.84%9.93B | 27.78%9.92B | 7.04%7.72B | 8.15%7.8B | 8.15%7.8B | 7.73%7.77B | 266.04%7.76B | 616.29%7.21B |
| Goodwill and other intangible assets | -4.25%7.96B | -4.25%7.96B | -3.98%7.99B | 3.34%8.41B | 7.35%8.4B | 13.09%8.31B | 13.09%8.31B | 18.17%8.32B | 16.78%8.14B | 21.62%7.82B |
| Defined pension benefit | 60.55%5.36B | 60.55%5.36B | -11.46%3.45B | -11.52%3.42B | -11.33%3.38B | -11.14%3.34B | -11.14%3.34B | 45.74%3.9B | 46.12%3.86B | 46.17%3.81B |
| Deferred tax assets-non current | 68.32%271M | 68.32%271M | 127.16%368M | 1.95%157M | 10.34%160M | -6.94%161M | -6.94%161M | -86.68%162M | -94.60%154M | -97.43%145M |
| Other non current assets | 8.35%4.75B | 8.35%4.75B | 1.51%4.69B | -1.24%4.62B | -2.88%4.49B | -4.01%4.38B | -4.01%4.38B | -1.91%4.62B | -2.32%4.67B | -3.29%4.62B |
| Total non current assets | 0.73%295.04B | 0.73%295.04B | -0.73%287.94B | 3.10%281.24B | 2.35%277.24B | 9.44%292.9B | 9.44%292.9B | 20.31%290.07B | 16.55%272.79B | 18.82%270.87B |
| Total assets | 15.87%686.01B | 15.87%686.01B | 15.77%673.29B | 6.66%615.36B | 7.08%603.27B | 2.14%592.05B | 2.14%592.05B | -3.68%581.58B | 6.12%576.93B | 7.89%563.4B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 47.54%114.86B | 47.54%114.86B | 38.90%146.58B | -11.07%89.98B | 4.15%98.15B | 11.32%77.85B | 11.32%77.85B | -18.06%105.53B | 5.25%101.19B | 13.66%94.23B |
| -Current debt and capital lease obligation | 47.54%114.86B | 47.54%114.86B | 38.90%146.58B | -11.07%89.98B | 4.15%98.15B | 11.32%77.85B | 11.32%77.85B | -18.06%105.53B | 5.25%101.19B | 13.66%94.23B |
| -Including:Current debt | 47.54%114.86B | 47.54%114.86B | 38.90%146.58B | -11.07%89.98B | 4.15%98.15B | 11.32%77.85B | 11.32%77.85B | -18.04%105.53B | 5.28%101.19B | 13.70%94.23B |
| Payables | 18.61%79.96B | 18.61%79.96B | 7.10%61.57B | 3.74%62.65B | -7.16%57.84B | -20.14%67.41B | -20.14%67.41B | -29.44%57.49B | -18.98%60.39B | -9.09%62.3B |
| -accounts payable | 12.61%71.88B | 12.61%71.88B | 5.62%59.96B | 2.33%60.05B | -7.06%57.61B | -21.14%63.83B | -21.14%63.83B | -29.85%56.77B | -20.10%58.69B | -9.25%61.99B |
| -Total tax payable | 125.54%8.08B | 125.54%8.08B | 124.37%1.61B | 52.32%2.59B | -27.22%230M | 3.20%3.58B | 3.20%3.58B | 31.02%718M | 56.67%1.7B | 36.80%316M |
| Current provisions | -18.75%2.47B | -18.75%2.47B | -17.78%3.52B | -32.12%3.5B | -50.29%2.7B | -53.90%3.05B | -53.90%3.05B | -34.90%4.28B | -35.46%5.16B | -39.32%5.43B |
| Pension and other retirement benefit plans | 1.59%4.87B | 1.59%4.87B | 21.48%1.79B | 18.47%4.21B | 18.80%2.24B | 6.51%4.79B | 6.51%4.79B | 2.08%1.47B | 1.81%3.55B | 5.43%1.88B |
| Accrued and deferred income | 39.95%45.67B | 39.95%45.67B | 7.21%21.56B | -11.34%20.45B | 19.02%29.85B | 17.35%32.63B | 17.35%32.63B | 20.12%20.11B | 74.49%23.06B | 31.46%25.08B |
| Other current liabilities | 33.30%100.15B | 33.30%100.15B | 34.41%88.53B | 36.46%81.6B | 29.24%84.18B | -3.75%75.13B | -3.75%75.13B | -12.13%65.86B | -16.56%59.8B | -11.32%65.13B |
| Current liabilities | 33.40%347.98B | 33.40%347.98B | 27.01%323.55B | 3.65%262.39B | 8.22%274.95B | -3.85%260.86B | -3.85%260.86B | -17.82%254.74B | -5.20%253.14B | -0.25%254.06B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -13.49%117.97B | -13.49%117.97B | 3.91%140.78B | 15.05%152.51B | 12.65%137.34B | 17.33%136.36B | 17.33%136.36B | 20.83%135.48B | 37.45%132.56B | 26.65%121.92B |
| -Long term debt and capital lease obligation | -13.49%117.97B | -13.49%117.97B | 3.91%140.78B | 15.05%152.51B | 12.65%137.34B | 17.33%136.36B | 17.33%136.36B | 20.83%135.48B | 37.45%132.56B | 26.65%121.92B |
| -Including:Long term debt | -13.49%117.97B | -13.49%117.97B | 3.91%140.78B | 15.05%152.51B | 12.65%137.34B | 17.33%136.36B | 17.33%136.36B | 21.91%135.48B | 38.87%132.56B | 27.95%121.92B |
| Long term provisions | 29.72%1.17B | 29.72%1.17B | -1.88%888M | -0.34%886M | 0.45%885M | 2.84%905M | 2.84%905M | 14.41%905M | 18.22%889M | 17.31%881M |
| Long term pension and other post-retirement benefit plans | -13.46%5.68B | -13.46%5.68B | -2.63%6.41B | -2.28%6.44B | -0.65%6.55B | 0.46%6.57B | 0.46%6.57B | -3.74%6.59B | -3.78%6.59B | -3.30%6.59B |
| Non current deferred liabilities | 1,002.37%2.79B | 1,002.37%2.79B | 207.52%4.01B | 125.26%1.94B | -16.57%1.18B | -81.36%253M | -81.36%253M | 306.23%1.3B | 173.57%859M | 371.10%1.42B |
| Other non current liabilities | 1.51%6B | 1.51%6B | -12.82%6.02B | -10.67%5.98B | -9.96%5.92B | -8.54%5.91B | -8.54%5.91B | 21.38%6.9B | 15.90%6.69B | 3.90%6.58B |
| Total non current liabilities | -10.92%133.62B | -10.92%133.62B | 4.58%158.11B | 13.66%167.75B | 10.55%151.88B | 14.11%150B | 14.11%150B | 20.21%151.18B | 34.02%147.59B | 24.37%137.38B |
| Total liabilities | 17.22%481.59B | 17.22%481.59B | 18.66%481.66B | 7.34%430.13B | 9.04%426.82B | 2.01%410.86B | 2.01%410.86B | -6.84%405.92B | 6.25%400.73B | 7.20%391.44B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B |
| -common stock | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B | 0.00%23.51B |
| Additional paid-in capital | 0.00%20.8B | 0.00%20.8B | 0.00%20.8B | 0.00%20.8B | 0.01%20.8B | 0.01%20.8B | 0.01%20.8B | 0.01%20.8B | 0.01%20.8B | 0.00%20.79B |
| Retained earnings | 12.41%137.42B | 12.41%137.42B | 9.35%126.48B | 7.93%123.78B | -26.12%118.98B | -25.16%122.25B | -25.16%122.25B | -28.27%115.67B | -28.90%114.68B | 3.75%161.03B |
| Less: Treasury stock | -0.52%8.18B | -0.52%8.18B | -0.54%8.18B | -0.55%8.17B | -85.66%8.22B | -85.67%8.22B | -85.67%8.22B | -85.67%8.22B | -85.67%8.22B | 0.01%57.35B |
| Other reserves | 54.63%21.35B | 54.63%21.35B | 31.89%20.12B | -1.46%16.71B | -19.21%12.85B | -25.37%13.81B | -25.37%13.81B | 27.85%15.25B | 62.73%16.96B | 114.14%15.9B |
| Total stockholders'equity | 13.22%194.9B | 13.22%194.9B | 9.42%182.73B | 5.30%176.63B | 2.45%167.91B | 1.97%172.14B | 1.97%172.14B | 4.28%167.01B | 5.70%167.73B | 9.55%163.89B |
| Noncontrolling interests | 5.22%9.52B | 5.22%9.52B | 2.97%8.9B | 1.49%8.6B | 5.87%8.55B | 12.57%9.05B | 12.57%9.05B | 9.46%8.65B | 8.70%8.47B | 8.74%8.07B |
| Total equity | 12.82%204.42B | 12.82%204.42B | 9.10%191.64B | 5.12%185.22B | 2.61%176.45B | 2.45%181.19B | 2.45%181.19B | 4.52%175.65B | 5.84%176.2B | 9.51%171.97B |
| Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY |
| Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |