Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
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 | 58.47%621.61B | 58.47%621.61B | 68.82%568.85B | 66.27%585.44B | -6.97%339.91B | 3.84%392.25B | 3.84%392.25B | -22.87%336.96B | -25.73%352.09B | -4.41%365.39B |
| -Cash and cash equivalents | 61.62%527.1B | 61.62%527.1B | 29.27%366.46B | 25.67%373.89B | 2.24%288.47B | 10.59%326.14B | 10.59%326.14B | -22.72%283.49B | -25.40%297.53B | -9.22%282.14B |
| -Short term investments | 42.96%94.5B | 42.96%94.5B | 278.48%202.4B | 287.69%211.55B | -38.20%51.44B | -20.17%66.1B | -20.17%66.1B | -23.66%53.48B | -27.47%54.57B | 16.49%83.24B |
| Receivables | -12.15%671.91B | -12.15%671.91B | -17.63%678.44B | -17.52%627.74B | -28.60%599.41B | -10.27%764.81B | -10.27%764.81B | 0.67%823.69B | -7.77%761.07B | 7.16%839.5B |
| -Accounts receivable | -12.15%671.91B | -12.15%671.91B | -17.63%678.44B | -17.52%627.74B | -28.60%599.41B | -10.27%764.81B | -10.27%764.81B | 0.67%823.69B | -7.77%761.07B | 7.16%839.5B |
| -Gross accounts receivable | -12.15%671.91B | -12.15%671.91B | -17.63%678.44B | -17.52%627.74B | -28.60%599.41B | -10.27%764.81B | -10.27%764.81B | 0.67%823.69B | -7.77%761.07B | 7.16%839.5B |
| Inventory | -11.89%669.13B | -11.89%669.13B | -16.84%675.56B | -18.02%663.02B | -21.48%650.72B | -4.98%759.42B | -4.98%759.42B | 1.60%812.38B | -1.75%808.78B | -1.59%828.72B |
| Holding assets for sale | 133.19%37.55B | 133.19%37.55B | -82.60%4.74B | -79.72%19.91B | 1,784.46%604.53B | -47.35%16.1B | -47.35%16.1B | -40.12%27.25B | 20.91%98.17B | 11.93%32.08B |
| Other current assets | -26.30%95.05B | -26.30%95.05B | -15.40%126.8B | -7.14%122.78B | -24.40%117.57B | -2.09%128.97B | -2.09%128.97B | -5.63%149.88B | -3.73%132.21B | -9.37%155.51B |
| Total current assets | 1.63%2.1T | 1.63%2.1T | -4.45%2.05T | -6.20%2.02T | 4.09%2.31T | -5.94%2.06T | -5.94%2.06T | -4.82%2.15T | -8.06%2.15T | 0.60%2.22T |
| Non current assets | ||||||||||
| Net PPE | 4.60%2.1T | 4.60%2.1T | 1.52%2.1T | 2.37%2.03T | -8.04%1.96T | -1.90%2T | -1.90%2T | 5.87%2.07T | -0.18%1.99T | 7.52%2.13T |
| Total investment | -18.15%303.17B | -18.15%303.17B | -10.91%343.99B | -11.22%337.61B | -16.26%337.39B | -3.91%370.4B | -3.91%370.4B | -2.27%386.12B | -3.79%380.28B | 2.57%402.92B |
| -Long-term equity investment | -9.81%150.4B | -9.81%150.4B | -9.02%151.27B | -11.04%149.75B | -12.17%148.8B | 1.53%166.75B | 1.53%166.75B | -7.93%166.27B | -5.82%168.34B | -2.70%169.41B |
| -Financial asset investment | -24.98%152.77B | -24.98%152.77B | -12.34%192.72B | -11.36%187.86B | -19.24%188.59B | -7.95%203.65B | -7.95%203.65B | 2.49%219.85B | -2.11%211.94B | 6.76%233.51B |
| -Including:Available-for-sale securities | -24.98%152.77B | -24.98%152.77B | -12.34%192.72B | -11.36%187.86B | -19.24%188.59B | -7.95%203.65B | -7.95%203.65B | 2.49%219.85B | -2.11%211.94B | 6.76%233.51B |
| Goodwill and other intangible assets | -0.08%1.27T | -0.08%1.27T | -5.03%1.25T | -4.82%1.2T | -16.66%1.14T | -3.37%1.27T | -3.37%1.27T | 9.29%1.32T | 2.63%1.26T | 9.43%1.37T |
| -Goodwill | 7.66%891.03B | 7.66%891.03B | 3.62%880.18B | 3.02%840.58B | -9.14%790.98B | -0.64%827.6B | -0.64%827.6B | 12.74%849.39B | 7.27%815.9B | 13.16%870.53B |
| -Other intangible assets | -14.57%377.66B | -14.57%377.66B | -20.68%372.91B | -19.09%362.81B | -29.90%347.02B | -8.11%442.04B | -8.11%442.04B | 3.57%470.13B | -4.87%448.43B | 3.42%495.01B |
| Deferred tax assets-non current | -25.33%88.29B | -25.33%88.29B | -51.74%48.02B | -48.86%48.92B | -29.09%69.09B | 21.41%118.25B | 21.41%118.25B | -4.48%99.5B | -3.48%95.66B | 0.62%97.42B |
| Other non current assets | -65.04%24.59B | -65.04%24.59B | -66.73%22.95B | -66.21%22.65B | -66.41%24.54B | -3.33%70.32B | -3.33%70.32B | 4.60%68.98B | 5.97%67.02B | 11.66%73.07B |
| Total non current assets | -1.35%3.78T | -1.35%3.78T | -4.43%3.77T | -3.89%3.65T | -13.30%3.53T | -2.04%3.83T | -2.04%3.83T | 5.80%3.94T | 0.37%3.79T | 7.53%4.07T |
| Total assets | -0.31%5.88T | -0.31%5.88T | -4.44%5.82T | -4.73%5.66T | -7.16%5.84T | -3.44%5.89T | -3.44%5.89T | 1.79%6.09T | -2.85%5.95T | 4.98%6.29T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -6.18%731.35B | -6.18%731.35B | -23.17%712.86B | -29.12%615.21B | -20.09%789.61B | -19.90%779.55B | -19.90%779.55B | -3.96%927.86B | -6.57%868B | -3.98%988.16B |
| -Current debt and capital lease obligation | -9.58%387.06B | -9.58%387.06B | -31.83%406.86B | -36.01%341.62B | -22.70%509.93B | -29.28%428.07B | -29.28%428.07B | -9.27%596.79B | -14.74%533.86B | -7.46%659.7B |
| -Including:Current debt | -9.58%387.06B | -9.58%387.06B | -31.83%406.86B | -36.01%341.62B | -22.70%509.93B | -29.28%428.07B | -29.28%428.07B | -9.27%596.79B | -14.74%533.86B | -7.46%659.7B |
| -Other financial liabilities | -2.05%344.29B | -2.05%344.29B | -7.57%306B | -18.12%273.59B | -14.85%279.68B | -4.47%351.48B | -4.47%351.48B | 7.38%331.07B | 10.33%334.15B | 3.87%328.46B |
| Payables | -11.30%411.62B | -11.30%411.62B | -13.66%428.54B | -15.32%395.54B | -27.24%370.14B | -11.51%464.08B | -11.51%464.08B | -2.21%496.33B | -10.53%467.1B | 2.03%508.71B |
| -accounts payable | -9.65%383.66B | -9.65%383.66B | -11.58%405.05B | -12.74%370.52B | -30.02%355.99B | -15.33%424.64B | -15.33%424.64B | -4.23%458.13B | -12.85%424.6B | 8.08%508.71B |
| -Total tax payable | -29.11%27.96B | -29.11%27.96B | -38.53%23.48B | -41.14%25.02B | --14.14B | 72.31%39.44B | 72.31%39.44B | 30.97%38.2B | 21.96%42.51B | ---- |
| Current provisions | -32.40%25.84B | -32.40%25.84B | -54.42%19.45B | -3.27%50.1B | -45.28%20.56B | 6.31%38.23B | 6.31%38.23B | 15.30%42.67B | 16.24%51.79B | -18.97%37.57B |
| Held for sale liabilities | 1,272.89%10.23B | 1,272.89%10.23B | -90.57%503M | -89.31%7.61B | 1,664.99%161.94B | -80.80%745M | -80.80%745M | -31.76%5.33B | 388.48%71.21B | 82.99%9.18B |
| Other current liabilities | 1.97%221.86B | 1.97%221.86B | 0.75%196.88B | 4.98%189.62B | 6.30%178.55B | 16.08%217.56B | 16.08%217.56B | 13.04%195.41B | 10.05%180.63B | 13.43%167.97B |
| Current liabilities | -6.62%1.4T | -6.62%1.4T | -18.55%1.36T | -23.23%1.26T | -11.15%1.52T | -13.03%1.5T | -13.03%1.5T | -1.40%1.67T | -2.13%1.64T | -0.90%1.71T |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -6.31%1.64T | -6.31%1.64T | -2.85%1.62T | -0.46%1.67T | -3.53%1.7T | 1.83%1.75T | 1.83%1.75T | -4.16%1.67T | -9.81%1.68T | 1.03%1.76T |
| -Long term debt and capital lease obligation | -6.79%1.5T | -6.79%1.5T | -3.41%1.5T | -0.89%1.54T | -3.60%1.57T | 1.08%1.61T | 1.08%1.61T | -4.88%1.55T | -10.36%1.56T | 0.67%1.63T |
| -Including:Long term debt | -6.79%1.5T | -6.79%1.5T | -3.41%1.5T | -0.89%1.54T | -3.60%1.57T | 1.08%1.61T | 1.08%1.61T | -4.88%1.55T | -10.36%1.56T | 0.67%1.63T |
| -Other financial liabilities-Non current | -0.66%134.47B | -0.66%134.47B | 4.25%125.87B | 5.25%122.89B | -2.61%123.69B | 11.75%135.36B | 11.75%135.36B | 6.03%120.74B | -1.82%116.76B | 5.79%127.01B |
| Long term provisions | 259.84%90.54B | 259.84%90.54B | -29.09%20.9B | -33.33%19.24B | -41.52%18.42B | -20.56%25.16B | -20.56%25.16B | -20.20%29.48B | -21.34%28.86B | -23.68%31.49B |
| Long term pension and other post-retirement benefit plans | -3.70%95.38B | -3.70%95.38B | -4.60%103.06B | -3.76%100.67B | -7.41%100.28B | -5.51%99.05B | -5.51%99.05B | 2.96%108.03B | 0.17%104.6B | 3.74%108.3B |
| Non current deferred liabilities | 0.45%201.01B | 0.45%201.01B | -3.37%200.23B | 1.43%194.83B | -15.05%184.9B | -3.15%200.12B | -3.15%200.12B | 7.69%207.22B | -3.49%192.09B | 10.72%217.66B |
| Other non current liabilities | -2.98%36.18B | -2.98%36.18B | -27.57%34.83B | -26.79%34.68B | -28.60%34.35B | -15.54%37.29B | -15.54%37.29B | 23.94%48.08B | 20.78%47.37B | 18.92%48.11B |
| Total non current liabilities | -2.32%2.06T | -2.32%2.06T | -3.95%1.98T | -1.52%2.02T | -5.99%2.04T | 0.27%2.11T | 0.27%2.11T | -2.50%2.06T | -8.44%2.05T | 1.92%2.17T |
| Total liabilities | -4.10%3.46T | -4.10%3.46T | -10.48%3.34T | -11.17%3.28T | -8.26%3.56T | -5.72%3.61T | -5.72%3.61T | -2.01%3.73T | -5.73%3.69T | 0.65%3.88T |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B |
| -common stock | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B | 0.00%50B |
| Additional paid-in capital | -27.06%116.79B | -27.06%116.79B | -26.88%117B | 0.75%160.78B | 0.55%160.31B | 0.32%160.11B | 0.32%160.11B | -1.47%160.02B | -4.90%159.59B | -5.00%159.43B |
| Retained earnings | -1.80%1.34T | -1.80%1.34T | 3.98%1.43T | 5.70%1.45T | -0.74%1.36T | 0.63%1.36T | 0.63%1.36T | 2.77%1.37T | 4.06%1.37T | 6.06%1.37T |
| Less: Treasury stock | 9.89%67.54B | 9.89%67.54B | 9.87%67.54B | 81.04%111.3B | 42.89%87.9B | -0.65%61.46B | -0.65%61.46B | -0.66%61.47B | -0.64%61.48B | -0.61%61.52B |
| Other equity interest | 41.65%323.27B | 41.65%323.27B | 12.84%323.71B | 16.46%252.94B | -29.06%239.6B | -12.41%228.23B | -12.41%228.23B | 32.70%286.86B | -12.11%217.19B | 50.73%337.76B |
| Total stockholders'equity | 1.21%1.76T | 1.21%1.76T | 2.34%1.85T | 3.76%1.8T | -7.20%1.73T | -1.30%1.74T | -1.30%1.74T | 6.21%1.81T | 0.92%1.74T | 11.00%1.86T |
| Noncontrolling interests | 20.04%653.01B | 20.04%653.01B | 14.11%631.53B | 12.57%584.37B | 0.71%558.3B | 6.24%544B | 6.24%544B | 16.45%553.45B | 7.01%519.12B | 19.11%554.39B |
| Total equity | 5.70%2.41T | 5.70%2.41T | 5.10%2.48T | 5.79%2.39T | -5.38%2.28T | 0.40%2.28T | 0.40%2.28T | 8.45%2.36T | 2.26%2.26T | 12.76%2.41T |
| 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 |