Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
KUNLUN ENERGY
00135
5
CHINA OILFIELD
02883
| (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 | ||||||||||
| Money funds | 202.50%1.86B | 18.16%1.08B | -6.21%908.87M | -22.96%748.29M | -42.82%614.25M | -26.50%912.75M | -20.15%969.02M | -6.60%971.31M | 1.31%1.07B | -14.28%1.24B |
| Notes receivable and accounts receivable | 5.17%1.7B | 20.09%1.54B | 22.20%1.8B | 16.79%1.61B | 15.83%1.62B | 18.65%1.28B | 0.45%1.47B | 18.69%1.38B | 12.39%1.4B | 13.59%1.08B |
| -Notes receivable | -18.53%360.84M | -7.65%448.02M | 8.38%483.96M | 17.59%458.21M | 8.76%442.88M | 1.44%485.11M | -10.51%446.56M | -0.31%389.68M | 32.28%407.2M | 22.00%478.21M |
| -Accounts receivable | 14.10%1.34B | 37.03%1.09B | 28.22%1.32B | 16.47%1.15B | 18.74%1.18B | 32.36%794.5M | 6.11%1.03B | 28.34%988.92M | 5.84%990.03M | 7.68%600.24M |
| Other receivables (including interest and dividends) | -47.50%6.01M | -45.38%4.83M | -52.53%7.47M | -9.46%8.86M | 48.44%11.44M | 448.11%8.84M | 3.28%15.73M | 29.50%9.79M | -20.40%7.71M | -44.64%1.61M |
| -Other receivable | ---- | ---- | ---- | -9.46%8.86M | ---- | 448.11%8.84M | ---- | 29.50%9.79M | ---- | -44.64%1.61M |
| Advance payment | 92.51%78.05M | 32.28%77.59M | -22.96%52.14M | -9.16%68.54M | 10.94%40.54M | 115.49%58.66M | 21.63%67.68M | 60.17%75.44M | -28.74%36.54M | -5.62%27.22M |
| Inventories | -8.61%1.28B | -10.29%1.26B | 1.01%1.26B | 7.78%1.26B | 19.56%1.4B | 24.56%1.4B | 26.41%1.25B | 13.65%1.17B | 11.00%1.17B | 0.96%1.13B |
| Receivable financing | 128.46%114.34M | 108.36%89.42M | -24.78%98.41M | -61.58%63.78M | 97.04%50.05M | -76.60%42.92M | 10.48%130.82M | -30.11%166M | -60.60%25.4M | -38.61%183.43M |
| Other current assets | -1.42%104.02M | 6.54%121.45M | 70.09%73.46M | 114.87%83.04M | 77.28%105.52M | 87.50%114M | 706.95%43.19M | 115.96%38.65M | 457.92%59.52M | 159.19%60.8M |
| Total current assets | 33.90%5.14B | 9.09%4.17B | 6.43%4.2B | 0.89%3.84B | 1.82%3.84B | 2.70%3.82B | 2.21%3.95B | 7.59%3.81B | 7.93%3.77B | -3.83%3.72B |
| Non Current assets | ||||||||||
| Other equity investment | 168.93%8.04M | 182.49%8.15M | 294.46%9.19M | 343.39%8.6M | 27.26%2.99M | 7.22%2.88M | -12.73%2.33M | -28.15%1.94M | -13.60%2.35M | 1.13%2.69M |
| Long-term equity investment | -15.98%365.19M | -15.50%373.29M | -17.24%414.51M | -15.21%423.02M | -17.52%434.63M | -16.49%441.76M | -9.18%500.85M | -3.65%498.93M | 3.22%526.93M | 5.39%528.97M |
| Fixed assets | ---- | ---- | ---- | -0.26%2.52B | ---- | 11.38%2.63B | ---- | 2.56%2.52B | ---- | -8.02%2.36B |
| Fixed assets liquidation | ---- | ---- | ---- | 22.32%9.78M | ---- | 107.74%13.74M | ---- | -7.32%7.99M | ---- | -29.52%6.61M |
| Constru in process | ---- | ---- | ---- | 28.55%143.19M | ---- | -60.84%66.48M | ---- | 348.42%111.39M | ---- | 852.02%169.76M |
| Intangible assets | 53.56%67.18M | 49.65%65.83M | 33.76%60.12M | 7.45%48.48M | -0.95%43.75M | -2.14%43.99M | -2.14%44.95M | -4.27%45.11M | -8.20%44.17M | -7.71%44.96M |
| Long deferred expense | -0.82%125.29M | -2.97%125.21M | 4.76%122.84M | 8.04%123.39M | 18.68%126.33M | 29.38%129.05M | 23.85%117.26M | 22.76%114.2M | 10.68%106.45M | -0.16%99.74M |
| Deferred tax assets | 28.13%129.47M | 13.39%115.51M | -8.97%91.8M | 10.59%100.02M | 9.23%101.05M | 10.45%101.87M | 17.90%100.84M | 16.73%90.45M | 28.99%92.51M | 45.78%92.24M |
| Usufruct assets | -7.86%52.35M | 9.48%55.83M | 13.47%52.21M | 15.91%54.67M | 16.10%56.82M | 5.87%51M | 37.07%46.01M | 35.20%47.16M | 36.58%48.94M | 29.90%48.17M |
| Other non current assets | 571.95%248.64M | 889.30%206.11M | 2,304.14%203.1M | 552.85%101.62M | 4.38%37M | -82.22%20.83M | -90.41%8.45M | -79.39%15.57M | -41.66%35.45M | 3,924.88%117.15M |
| Total non current assets | 11.27%3.91B | 8.46%3.8B | 3.17%3.64B | 2.12%3.53B | 1.11%3.51B | 0.87%3.5B | 5.51%3.53B | 3.40%3.46B | 3.18%3.47B | 3.60%3.47B |
| Total assets | 23.09%9.05B | 8.79%7.97B | 4.89%7.84B | 1.47%7.37B | 1.48%7.35B | 1.82%7.33B | 3.74%7.48B | 5.55%7.27B | 5.60%7.24B | -0.38%7.19B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | --220.13M | --220.13M | --252.88M | --100M | ---- | ---- | ---- | ---- | ---- | -24.21%251.67M |
| Notes payable and accounts payable | 16.83%2.35B | 11.16%2.31B | -3.85%1.99B | -9.61%1.89B | 3.24%2.01B | 4.83%2.08B | -2.26%2.07B | -0.03%2.09B | -2.62%1.95B | -0.93%1.98B |
| -Notes payable | 25.04%1.3B | 2.26%1.19B | -2.83%1.09B | -11.40%948.12M | 1.54%1.04B | 13.32%1.16B | -2.74%1.12B | -5.70%1.07B | -9.46%1.02B | -22.01%1.03B |
| -Accounts payable | 8.06%1.05B | 22.50%1.12B | -5.08%895M | -7.74%943.22M | 5.13%973.07M | -4.31%912.42M | -1.69%942.85M | 6.69%1.02B | 6.28%925.6M | 39.75%953.52M |
| Contract liabilities | 9.03%170.76M | 20.27%162.04M | 30.34%168.89M | 25.37%148.89M | -6.68%156.62M | -15.08%134.74M | 84.54%129.57M | -20.03%118.76M | 27.95%167.83M | 4.37%158.66M |
| Salaries payable | 18.26%57.58M | 33.76%80.51M | 7.14%41.46M | 6.71%42.41M | 14.39%48.69M | 8.05%60.19M | 19.98%38.7M | 0.70%39.74M | 19.09%42.57M | 19.05%55.71M |
| Taxs payable | 25.07%31.69M | 151.53%44.81M | 55.31%56.31M | 58.86%56.86M | -15.43%25.33M | -63.48%17.81M | 3.01%36.26M | 10.15%35.79M | 20.27%29.96M | 165.46%48.78M |
| Other payable (including interest and dividends) | -11.56%202.31M | -30.09%161.25M | -51.38%174.54M | -24.70%181.82M | -29.03%228.75M | -18.68%230.65M | -13.71%358.99M | -24.87%241.47M | -12.37%322.34M | -9.92%283.65M |
| -Other payable | ---- | ---- | ---- | -24.70%181.82M | ---- | -18.68%230.65M | ---- | -24.87%241.47M | ---- | -9.92%283.65M |
| Non current liabilities due within one year | -68.42%245.08M | -55.61%343.38M | 11,347.62%507.28M | 14,846.99%658.27M | 18,114.60%776.06M | 2,458.39%773.63M | 18.57%4.43M | -99.42%4.4M | -99.47%4.26M | -97.49%30.24M |
| Other current liabilities | 18.39%247.7M | 27.47%262.86M | 104.00%326.08M | 83.45%184.74M | 114.24%209.22M | 303.50%206.21M | 151.12%159.85M | 51.05%100.7M | 10.00%97.66M | -50.85%51.11M |
| Total current liabilities | 2.01%3.53B | 2.38%3.58B | 25.76%3.51B | 23.96%3.26B | 32.25%3.46B | 22.34%3.5B | -6.41%2.79B | -28.93%2.63B | -30.46%2.62B | -31.44%2.86B |
| Current liabilities | ||||||||||
| Long term loan | 66.30%669.4M | 74.95%704.22M | -43.77%666.34M | -52.27%565.55M | -66.24%402.53M | -58.34%402.53M | 31.74%1.19B | --1.19B | --1.19B | --966.25M |
| Long term account payable | ---- | ---- | ---- | 0.00%20M | ---- | 0.00%20M | ---- | 0.00%20M | ---- | 0.00%20M |
| Long term salaries pay | 20.26%3.6M | 59.70%4.87M | 45.58%1.6M | 50.93%1.68M | 166.30%2.99M | 157.80%3.05M | -8.11%1.1M | -3.88%1.11M | -8.01%1.12M | -4.05%1.18M |
| Estimate liabilities | 40.53%16.81M | 38.54%16.36M | --12.96M | --14.94M | --11.96M | --11.81M | ---- | ---- | ---- | ---- |
| Deferred tax liabilities | -12.87%38.59M | -8.12%39.51M | 14.44%38.72M | -1.34%39.94M | 16.64%44.29M | 7.31%43M | -9.57%33.83M | 22.50%40.49M | 11.05%37.97M | 14.20%40.07M |
| Long term deferred income | 148.49%52.87M | 130.29%30.95M | 40.29%19.76M | 39.33%20.52M | 38.46%21.28M | -16.05%13.44M | -17.05%14.08M | -20.81%14.72M | -23.96%15.37M | -16.12%16.01M |
| Lease liabilities | 0.89%46.6M | 6.52%51.24M | 2.58%45.78M | 0.60%45.9M | -1.95%46.2M | 3.17%48.11M | 40.34%44.63M | 34.85%45.62M | 41.33%47.11M | 34.98%46.63M |
| Total non current liabilities | 54.37%847.88M | 60.01%867.16M | -38.00%805.16M | -45.79%708.52M | -58.20%549.25M | -50.29%541.94M | 28.98%1.3B | 1,125.68%1.31B | 1,105.97%1.31B | 891.46%1.09B |
| Total liabilities | 9.19%4.38B | 10.11%4.45B | 5.53%4.32B | 0.83%3.97B | 2.00%4.01B | 2.30%4.04B | 2.52%4.09B | 3.37%3.94B | 1.55%3.93B | -7.74%3.95B |
| Shareholders equity | ||||||||||
| Paid-in capital | 22.01%890.03M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | 0.00%729.45M | -0.23%729.45M |
| Capital reserve funds | 37.33%3.59B | 1.59%2.64B | 1.79%2.63B | 1.65%2.62B | 2.54%2.61B | 1.91%2.6B | 0.59%2.59B | 1.48%2.58B | 0.95%2.55B | 0.68%2.55B |
| Surplus reserve funds | 0.00%366.46M | 0.00%366.46M | 4.79%366.46M | 4.79%366.46M | 4.79%366.46M | 4.79%366.46M | 10.03%349.71M | 10.03%349.71M | 10.03%349.71M | 10.03%349.71M |
| Retained profit | 134.30%58.51M | 103.82%7.6M | 95.63%-4.35M | 13.62%-125.06M | 3.64%-170.6M | 20.94%-198.83M | 65.26%-99.67M | 63.67%-144.77M | 63.19%-177.04M | 52.73%-251.48M |
| Other composite income | -18.27%-230.56M | -6.01%-221.75M | -10.61%-199.65M | -2.36%-191.01M | -43.43%-194.94M | -59.70%-209.18M | -56.30%-180.51M | -59.07%-186.61M | -35.81%-135.91M | -32.68%-130.98M |
| Shareholders equity without minority interests | 39.76%4.67B | 7.16%3.52B | 4.11%3.52B | 2.24%3.4B | 0.87%3.34B | 1.23%3.28B | 5.26%3.38B | 8.26%3.33B | 10.84%3.31B | 10.34%3.24B |
| Total shareholder equity | 39.76%4.67B | 7.16%3.52B | 4.11%3.52B | 2.24%3.4B | 0.87%3.34B | 1.23%3.28B | 5.26%3.38B | 8.26%3.33B | 10.84%3.31B | 10.34%3.24B |
| Total liabilityies and equity | 23.09%9.05B | 8.79%7.97B | 4.89%7.84B | 1.47%7.37B | 1.48%7.35B | 1.82%7.33B | 3.74%7.48B | 5.55%7.27B | 5.60%7.24B | -0.38%7.19B |
| 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 | -- | Tianzhi International Certified Public Accountants (Special General Partnership) | -- | -- | -- | Lixin Certified Public Accountants (Special General Partnership) | -- | -- | -- | Lixin Certified Public Accountants (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.