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 | ||||||||||
| Money funds | -22.14%25.28B | -0.91%25.98B | 16.25%23.36B | 6.36%24.54B | 60.43%32.46B | 19.90%26.22B | 0.86%20.09B | 29.16%23.07B | 18.63%20.24B | -1.61%21.87B |
| Transactional financial assets | 25.86%419.87B | 28.98%409.72B | 12.51%387.02B | 7.92%358B | -12.61%333.59B | -17.06%317.67B | -6.84%343.97B | -10.13%331.73B | 7.82%381.71B | 900.03%383.02B |
| Bought sellback assets | 46.15%14.12B | 85.01%35.6B | 191.12%16.69B | 40.31%15.62B | -8.17%9.66B | 127.72%19.24B | -28.80%5.73B | -23.82%11.13B | -31.37%10.52B | -56.07%8.45B |
| Fixed deposit | -2.83%133.43B | 0.70%127.44B | -4.26%123.8B | 2.95%125.16B | 60.86%137.32B | 55.31%126.56B | 54.01%129.3B | 20.36%121.57B | -19.49%85.36B | -19.46%81.49B |
| Refundable capital guarantee deposits | -0.44%13.65B | -7.34%13.66B | -18.82%13.72B | -1.69%13.67B | -0.62%13.71B | 9.77%14.75B | 25.42%16.89B | 3.61%13.9B | 3.78%13.8B | 3.95%13.43B |
| Debt investment | -2.92%315.04B | 2.03%322.66B | 6.92%324.83B | 2.13%322.23B | 3.71%324.51B | -0.75%316.23B | -4.02%303.79B | 3.53%315.5B | 9.06%312.9B | --318.61B |
| Other debt investment | 15.81%625.2B | 15.99%607.33B | 24.44%591.95B | 31.14%574.47B | 50.46%539.84B | 54.58%523.58B | 47.07%475.7B | 39.71%438.07B | 17.35%358.8B | --338.72B |
| Other equity investment | 54.48%166.31B | 46.01%169.05B | 43.90%152.65B | 33.84%139.64B | 8.90%107.66B | 19.93%115.78B | 20.00%106.08B | 28.59%104.33B | 48.52%98.86B | --96.54B |
| Long term equity investment | 4.33%178.18B | 5.54%177.11B | 9.22%177.14B | 8.77%172.64B | 7.23%170.78B | 7.12%167.82B | 5.95%162.19B | 6.03%158.73B | 6.78%159.26B | 7.13%156.67B |
| Investment property | -3.12%14.79B | -2.91%14.79B | 5.65%16.31B | 5.76%16.34B | -3.54%15.27B | -3.54%15.23B | -4.00%15.44B | -3.42%15.45B | 2.79%15.83B | 4.68%15.79B |
| Fixed assets | ---- | ---- | ---- | ---- | ---- | 0.89%32.78B | ---- | ---- | ---- | -4.06%32.49B |
| Intangible assets | 1.05%8.21B | 1.06%8.55B | -2.05%7.41B | -3.82%7.7B | 2.10%8.12B | 1.95%8.46B | -0.08%7.56B | 1.84%8.01B | -0.77%7.95B | -0.29%8.3B |
| Goodwill | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%198M | 0.00%198M | 0.00%198M | 0.00%198M |
| Deferred tax assets | 1.20%15.3B | 12.69%14.08B | 5.43%15.83B | 0.33%17.6B | 12.25%15.12B | -10.11%12.5B | -18.84%15.01B | -3.18%17.54B | -20.99%13.47B | -20.19%13.9B |
| Other assets | -1.53%22.37B | -6.07%24.33B | -14.55%22.68B | 2.24%24.15B | -9.15%22.72B | 11.67%25.9B | 38.51%26.55B | 25.51%23.62B | 2.96%25.01B | -21.42%23.19B |
| Total assets | 12.39%2.02T | 14.79%2.03T | 14.19%1.94T | 13.80%1.88T | 14.35%1.8T | 13.44%1.77T | 12.93%1.7T | 10.51%1.65T | 8.60%1.57T | 9.89%1.56T |
| Liabilities | ||||||||||
| Transactional financial liabilities | 268.74%27.41B | 195.90%22.21B | 159.65%21.41B | 170.10%24.31B | -6.64%7.43B | 83.57%7.51B | --8.25B | --9B | --7.96B | --4.09B |
| Funds from selling out and repurchasing financial assets | 25.34%152.9B | 62.50%180.76B | 9.51%118.63B | 12.38%104.31B | 65.93%121.99B | 2.08%111.24B | 14.75%108.33B | 14.26%92.82B | 33.69%73.52B | 8.01%108.97B |
| Premiums received in advance | 22.21%5.55B | 33.39%9.76B | 18.94%4.74B | 24.97%4.71B | 18.30%4.54B | 30.12%7.32B | 37.01%3.99B | 26.26%3.77B | 61.18%3.84B | 20.06%5.63B |
| Salaries payable | 7.74%39.79B | 10.53%40.69B | 13.85%38.18B | 11.99%36.71B | 13.58%36.93B | 10.16%36.82B | 1.96%33.54B | 6.15%32.78B | 12.67%32.51B | 12.75%33.42B |
| Taxs payable | -22.65%6.15B | -18.35%7B | 77.12%11.99B | 36.45%10.28B | -0.14%7.96B | -2.58%8.57B | -19.80%6.77B | -25.31%7.54B | -32.66%7.97B | -25.51%8.8B |
| Bonds payable | -0.06%42.04B | -16.61%41.81B | 10.59%41.78B | 10.71%41.51B | 10.94%42.06B | 31.95%50.13B | 0.18%37.78B | 0.30%37.49B | -14.67%37.92B | -12.37%37.99B |
| Deferred tax liabilitise | 70.89%1.23B | 201.94%1.4B | 335.10%1.97B | 159.41%965M | 277.89%718M | 15.42%464M | 22.43%453M | 1,330.77%372M | -90.50%190M | -80.12%402M |
| Other liabilitise | 12.19%58.62B | 26.04%55.06B | 58.03%51.52B | 31.32%55.28B | 52.88%52.26B | 30.85%43.68B | 10.19%32.6B | 11.04%42.09B | -36.02%34.18B | 30.11%33.38B |
| Exceptional items of liabilities | 13.21%874M | 34.16%377M | -44.05%1.84B | -47.75%1.59B | -65.80%772M | -83.57%281M | -21.89%3.29B | -22.71%3.04B | -26.93%2.26B | -33.54%1.71B |
| Total liabilities | 12.02%1.59T | 14.89%1.61T | 13.39%1.52T | 14.11%1.49T | 14.64%1.42T | 14.17%1.4T | 13.15%1.34T | 11.88%1.3T | 10.53%1.24T | 10.01%1.23T |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B | 0.00%44.22B |
| Capital reserve funds | -8.73%6.8B | -8.56%6.81B | -6.68%6.92B | -6.72%6.9B | 0.83%7.45B | 0.73%7.44B | 0.00%7.41B | -0.18%7.39B | -0.27%7.39B | -0.23%7.39B |
| Surplus reserve funds | 5.39%17.74B | 5.39%17.74B | 7.25%16.84B | 7.25%16.84B | 7.25%16.84B | 7.25%16.84B | 5.19%15.7B | 5.19%15.7B | 5.19%15.7B | 5.08%15.7B |
| Retained profit | 14.24%229.96B | 17.14%218.98B | 25.45%230.51B | 23.56%209.98B | 23.68%201.3B | 21.71%186.95B | 19.18%183.74B | 10.63%169.95B | 7.19%162.76B | 6.54%153.6B |
| Other composite income | 26.52%-10.09B | 5.05%-9.45B | -91.16%-7.77B | -232.43%-16.13B | -185.25%-13.74B | -1,190.58%-9.96B | -511.65%-4.06B | -267.00%-4.85B | -177.82%-4.82B | 114.27%913M |
| Ordinary risk reserve funds | 32.19%30.53B | 32.21%30.49B | 12.72%23.17B | 12.69%23.13B | 12.74%23.1B | 12.84%23.06B | 10.17%20.56B | 10.19%20.52B | 10.19%20.49B | 10.83%20.44B |
| Exceptional items attributable to the parent company's shareholders equity | 10.56%199M | 10.56%199M | 97.80%180M | 97.80%180M | 97.80%180M | 97.80%180M | 54.24%91M | 54.24%91M | 54.24%91M | 54.24%91M |
| Shareholders equity without minority interests | 14.32%319.36B | 14.98%308.99B | 17.34%314.07B | 12.68%285.11B | 13.64%279.35B | 10.88%268.73B | 11.32%267.66B | 4.66%253.02B | 1.07%245.82B | 8.75%242.36B |
| Minority interests | 12.22%114.86B | 12.90%111.2B | 16.61%113.77B | 12.52%104.35B | 12.29%102.36B | 10.28%98.49B | 14.43%97.56B | 8.39%92.73B | 4.76%91.16B | 11.43%89.31B |
| Total shareholder equity | 13.76%434.22B | 14.42%420.19B | 17.14%427.84B | 12.64%389.46B | 13.27%381.7B | 10.72%367.23B | 12.13%365.22B | 5.64%345.75B | 2.04%336.98B | 9.46%331.67B |
| Total liabilities and equity | 12.39%2.02T | 14.79%2.03T | 14.19%1.94T | 13.80%1.88T | 14.35%1.8T | 13.44%1.77T | 12.93%1.7T | 10.51%1.65T | 8.60%1.57T | 9.89%1.56T |
| 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 | -- | Ernst & Young Huaming Accounting Firm (Special General Partnership) | -- | -- | -- | Ernst & Young Huaming Accounting Firm (Special General Partnership) | -- | -- | -- | PwC Zhongtian 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.