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 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -8.56%1.8B | -14.82%2.23B | --2.23B | --2.39B | -42.22%2.45B | -42.61%1.97B | -31.21%2.62B | -1.04%4.23B | -15.92%3.43B | -22.21%3.81B |
| -Cash and cash equivalents | -33.16%1.24B | -35.89%1.67B | --1.67B | --1.83B | -47.19%2.19B | -45.29%1.85B | -31.14%2.61B | -2.36%4.15B | -16.59%3.39B | -22.63%3.78B |
| -Short term investments | 383.81%562.16M | 3,494.47%562.39M | --562.39M | --557.75M | 210.89%253.6M | 161.51%116.19M | -40.78%15.65M | 216.06%81.57M | 117.49%44.43M | 242.20%26.42M |
| Receivables | -2.38%531.65M | 3.56%449.73M | --449.73M | --452.93M | -15.09%426.13M | -4.53%544.62M | 3.08%434.27M | -18.33%501.84M | -54.85%570.46M | -69.71%421.29M |
| -Accounts receivable | -2.38%531.65M | 3.56%449.73M | --449.73M | --452.93M | -15.09%426.13M | -4.53%544.62M | 3.08%434.27M | -18.33%501.84M | -54.85%570.46M | -69.71%421.29M |
| Inventory | 17.20%31.23M | 8.63%41.47M | --41.47M | --47.84M | 70.06%37.9M | 65.99%26.65M | 80.42%38.18M | 257.01%22.29M | 169.47%16.06M | 358.88%21.16M |
| Tax assets-Current | -66.94%27.3M | -99.51%256K | --256K | --0 | --0 | -80.32%82.57M | -85.93%52M | --103K | 2,152.84%419.59M | 1,854.57%369.51M |
| Other current assets | 22.39%185.32M | -1.86%169.51M | --169.51M | --191.36M | 112.61%160.54M | -57.84%151.42M | -41.92%172.72M | -49.33%75.51M | 61.23%359.12M | 154.68%297.4M |
| Total current assets | -7.15%2.58B | -12.80%2.89B | --2.89B | --3.08B | -36.47%3.07B | -42.16%2.77B | -32.55%3.32B | -4.25%4.83B | -14.22%4.8B | -23.48%4.92B |
| Non current assets | ||||||||||
| Net PPE | -12.67%464.28M | -23.40%433.02M | --433.02M | --459.71M | 138.85%496.4M | 115.98%531.62M | 160.06%565.28M | -26.52%207.83M | -20.71%246.15M | -12.23%217.37M |
| -Gross PP&E | -12.67%464.28M | -23.40%433.02M | --433.02M | --459.71M | 138.85%496.4M | 115.98%531.62M | 160.06%565.28M | -26.52%207.83M | -20.71%246.15M | -12.23%217.37M |
| Total investment | 28.14%2.5B | 19.25%2.44B | --2.44B | --1.93B | 352.80%1.88B | 367.65%1.95B | 385.37%2.05B | -13.89%414.59M | 32.09%416.53M | 55.17%421.84M |
| -Long-term equity investment | ---- | ---- | ---- | ---- | -99.87%167K | -99.82%243K | ---- | --126.78M | --132.44M | --141.01M |
| -Financial asset investment | 28.16%2.5B | 19.25%2.44B | --2.44B | --1.93B | 552.22%1.88B | 585.59%1.95B | 629.08%2.05B | -40.22%287.8M | -9.91%284.09M | 3.30%280.83M |
| -Including:Available-for-sale securities | 28.16%2.5B | 19.25%2.44B | --2.44B | --1.93B | 552.22%1.88B | 585.59%1.95B | 629.08%2.05B | -40.22%287.8M | -9.91%284.09M | 3.30%280.83M |
| Goodwill and other intangible assets | -1.88%596.74M | -1.08%607.63M | --607.63M | --616.91M | -12.47%593.27M | -12.71%608.17M | -13.59%614.28M | -5.71%677.79M | -8.24%696.76M | -13.99%710.91M |
| -Goodwill | 7.99%346.73M | 7.99%346.73M | --346.73M | --346.73M | -5.38%321.08M | -5.38%321.08M | -2.51%321.08M | -38.03%339.32M | -41.13%339.32M | -24.27%329.36M |
| -Other intangible assets | -12.92%250.01M | -11.02%260.9M | --260.9M | --270.18M | -19.58%272.19M | -19.68%287.09M | -23.15%293.2M | 97.64%338.47M | 95.40%357.44M | -2.56%381.55M |
| Deferred tax assets-non current | -73.12%59.37M | -51.75%90.22M | --90.22M | --223.25M | 30.00%238.42M | 20.44%220.87M | -2.51%186.99M | -52.78%183.39M | -52.69%183.39M | -49.80%191.81M |
| Other non current assets | -23.44%10.26M | -13.14%11.74M | --11.74M | --12.79M | -37.17%10.9M | 2.27%13.41M | 9.27%13.52M | 34.86%17.35M | 582.05%13.11M | 465.78%12.37M |
| Total non current assets | 9.17%3.63B | 4.57%3.58B | --3.58B | --3.24B | 114.28%3.22B | 113.50%3.32B | 120.52%3.43B | -20.34%1.5B | -12.32%1.56B | -10.17%1.55B |
| Total assets | 1.74%6.2B | -3.97%6.48B | --6.48B | --6.32B | -0.74%6.29B | -4.04%6.1B | 4.20%6.75B | -8.63%6.33B | -13.76%6.35B | -20.66%6.47B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 34.99%305.41M | -43.26%308.57M | --308.57M | --226.06M | -51.65%242.46M | -52.86%226.24M | -4.25%543.83M | -29.92%501.45M | -30.54%479.91M | -22.31%567.95M |
| -Current debt and capital lease obligation | 2.30%192.54M | -60.43%191.92M | --191.92M | --193.95M | -55.19%192.29M | -56.52%188.2M | -5.59%485M | -29.07%429.11M | -29.70%432.87M | -19.49%513.72M |
| -Including:Current debt | -11.95%64.18M | -78.86%78.18M | --78.18M | --79.68M | -77.07%77.06M | -78.52%72.89M | -6.54%369.76M | -30.56%336M | -29.42%339.31M | -23.34%395.62M |
| -Including:Current capital Lease obligation | 11.31%128.36M | -1.30%113.73M | --113.73M | --114.27M | 23.76%115.24M | 23.26%115.31M | -2.42%115.23M | -23.11%93.11M | -30.71%93.56M | -3.19%118.1M |
| -Other financial liabilities | 196.75%112.87M | 98.27%116.66M | --116.66M | --32.11M | -30.65%50.16M | -19.14%38.04M | 8.50%58.84M | -34.59%72.33M | -37.46%47.04M | -41.66%54.23M |
| Payables | 11.59%399.29M | 31.27%541.51M | --541.51M | --477.87M | 10.30%415.33M | -7.13%357.81M | -2.20%412.51M | -48.04%376.54M | -60.03%385.28M | -69.72%421.79M |
| -accounts payable | 12.43%395.39M | 13.31%457.43M | --457.43M | --438.11M | 6.73%353.31M | -7.28%351.68M | 11.79%403.7M | -25.90%331.03M | -53.32%379.29M | -53.14%361.12M |
| -Total tax payable | -36.29%3.91M | 853.72%84.08M | --84.08M | --39.76M | 36.26%62.02M | 2.34%6.13M | -85.47%8.82M | -83.63%45.52M | -96.04%5.99M | -90.25%60.67M |
| Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --4.77M | --1.47M |
| Other current liabilities | 15.96%361.04M | 13.15%356.01M | --356.01M | --387.41M | 12.35%380.35M | -28.74%311.35M | -18.03%314.65M | -17.61%338.53M | -40.91%436.89M | -64.33%383.84M |
| Current liabilities | 19.02%1.07B | -5.11%1.21B | --1.21B | --1.09B | -14.66%1.04B | -31.48%895.39M | -7.57%1.27B | -34.28%1.22B | -45.42%1.31B | -57.03%1.38B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -33.95%361.18M | -33.26%403.04M | --403.04M | --446.07M | 247.37%495.76M | 195.93%546.84M | 257.68%603.88M | -41.11%142.72M | -37.64%184.79M | -39.28%168.83M |
| -Long term debt and capital lease obligation | -36.85%319.06M | -35.81%361.06M | --361.06M | --404.23M | 346.53%454.05M | 251.16%505.28M | 339.18%562.45M | -49.63%101.68M | -44.03%143.89M | -46.15%128.07M |
| -Including:Long term debt | -69.23%48.44M | -42.82%104.41M | --104.41M | --116.78M | 119.87%136.32M | 121.70%157.41M | 128.25%182.6M | -35.08%62M | -48.39%71M | -54.36%80M |
| -Including:Long term capital lease obligation | -22.21%270.62M | -32.44%256.64M | --256.64M | --287.45M | 700.65%317.73M | 377.27%347.87M | 690.24%379.85M | -62.69%39.68M | -39.03%72.89M | -23.13%48.07M |
| -Other financial liabilities-Non current | 1.32%42.12M | 1.32%41.98M | --41.98M | --41.84M | 1.63%41.7M | 1.63%41.57M | 1.63%41.43M | 1.33%41.03M | 4.30%40.9M | 1.32%40.77M |
| Long term provisions | -1.14%41.17M | -1.12%41.17M | --41.17M | --41.17M | -2.43%41.17M | 3.71%41.64M | 13.22%41.63M | 13.58%42.19M | 8.11%40.15M | -0.96%36.77M |
| Long term pension and other post-retirement benefit plans | -9.29%147.73M | -6.79%144.8M | --144.8M | --175.82M | 31.34%170.44M | 30.08%162.86M | 30.04%155.35M | 29.20%129.77M | 31.37%125.2M | 29.24%119.46M |
| Non current deferred liabilities | -58.88%18.62M | -22.00%35.96M | --35.96M | --41.35M | -18.07%43.31M | -17.43%45.27M | -18.81%46.1M | --52.86M | --54.82M | -14.58%56.78M |
| Other non current liabilities | -60.00%2K | -25.00%3K | --3K | --3K | -40.00%3K | 25.00%5K | 33.33%4K | 150.00%5K | 100.00%4K | -40.00%3K |
| Total non current liabilities | -28.61%568.69M | -26.21%624.96M | --624.96M | --704.4M | 104.24%750.67M | 96.71%796.62M | 121.81%846.96M | -3.26%367.54M | -5.55%404.96M | -19.45%381.85M |
| Total liabilities | -3.40%1.63B | -13.55%1.83B | --1.83B | --1.8B | 12.92%1.79B | -1.16%1.69B | 20.55%2.12B | -29.00%1.58B | -39.36%1.71B | -52.18%1.76B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%540.57M | 0.00%540.57M | --540.57M | --540.57M | 25.05%540.57M | 25.05%540.57M | 25.05%540.57M | 0.03%432.28M | 0.04%432.28M | 0.04%432.28M |
| -common stock | 0.00%540.57M | 0.00%540.57M | --540.57M | --540.57M | 25.05%540.57M | 25.05%540.57M | 25.05%540.57M | 0.03%432.28M | 0.04%432.28M | 0.04%432.28M |
| Additional paid-in capital | -0.18%451.97M | -0.17%452.17M | --452.17M | --452.37M | 31.29%452.38M | 31.41%452.79M | 31.45%452.93M | 0.02%344.57M | 0.04%344.57M | 0.00%344.57M |
| Retained earnings | 0.64%3.49B | -0.14%3.57B | --3.57B | --3.65B | -13.13%3.65B | -15.47%3.47B | -14.28%3.58B | -1.54%4.21B | 1.74%4.11B | 6.71%4.17B |
| Less: Treasury stock | 586.54%158.43M | 11,324.69%130.47M | --130.47M | --95.29M | -67.45%94.22M | -92.03%23.08M | -99.61%1.14M | 0.00%289.49M | 49.96%289.49M | 139.01%289.49M |
| Other equity interest | 291.03%241.08M | 477.05%209.31M | --209.31M | ---141.02M | -93.49%-164.24M | -49.89%-126.2M | 33.45%-55.51M | 52.43%-84.88M | 52.35%-84.19M | 52.79%-83.42M |
| Total stockholders'equity | 5.87%4.57B | 2.87%4.65B | --4.65B | --4.41B | -4.78%4.39B | -4.31%4.32B | -1.38%4.52B | 0.61%4.61B | 1.50%4.51B | 4.27%4.58B |
| Noncontrolling interests | -100.52%-466K | -98.76%1.39M | --1.39M | --117.47M | -22.42%109.17M | -32.19%88.99M | -18.66%112.09M | 17.61%140.71M | 30.27%131.23M | 47.60%137.81M |
| Total equity | 3.72%4.57B | 0.41%4.65B | --4.65B | --4.53B | -5.30%4.5B | -5.10%4.4B | -1.89%4.63B | 1.05%4.75B | 2.13%4.64B | 5.17%4.72B |
| 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 |