Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
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 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 5.93%48.18B | 3.77%46.12B | --46.12B | -5.46%33.81B | -3.99%31.83B | 7.45%45.48B | -1.07%44.44B | -21.71%35.77B | -30.81%33.15B | -3.58%42.33B |
| -Cash and cash equivalents | 5.12%43.75B | -4.52%39.86B | --39.86B | -4.09%29.5B | -1.77%28.01B | 10.54%41.62B | 6.46%41.75B | -23.12%30.75B | -30.14%28.52B | 1.91%37.65B |
| -Short term investments | 14.64%4.43B | 132.12%6.26B | --6.26B | -13.85%4.32B | -17.63%3.81B | -17.40%3.87B | -52.81%2.7B | -11.81%5.01B | -34.66%4.63B | -32.72%4.68B |
| Receivables | 23.49%77.14B | 20.98%80.73B | --80.73B | 1.29%67.69B | -11.32%62.96B | -0.38%62.46B | 6.04%66.73B | -0.29%66.83B | 10.13%70.99B | -0.56%62.71B |
| -Accounts receivable | 23.49%77.14B | 20.98%80.73B | --80.73B | 1.29%67.69B | -11.32%62.96B | -0.38%62.46B | 6.04%66.73B | -0.29%66.83B | 10.13%70.99B | -0.56%62.71B |
| -Gross accounts receivable | 23.49%77.14B | 20.98%80.73B | --80.73B | 1.29%67.69B | -11.32%62.96B | -0.38%62.46B | 6.04%66.73B | -0.29%66.83B | 10.13%70.99B | -0.56%62.71B |
| Inventory | 14.09%209.26B | 6.22%201.82B | --201.82B | 2.89%210.61B | -13.28%192.15B | -13.48%183.41B | -5.39%190.01B | -5.45%204.7B | 7.90%221.57B | 15.89%211.98B |
| Holding assets for sale | ---- | --0 | --0 | 10.05%690M | -23.92%671M | -23.23%641M | -18.40%652M | --627M | --882M | --835M |
| Other current assets | 12.88%18.88B | 20.77%19.18B | --19.18B | 13.71%18.23B | -0.40%17.99B | -0.38%16.73B | 11.21%15.88B | -0.95%16.03B | 2.27%18.06B | -3.57%16.79B |
| Total current assets | 14.49%353.45B | 9.48%347.84B | --347.84B | 2.19%331.03B | -11.33%305.59B | -7.74%308.72B | -1.87%317.71B | -6.21%323.94B | 2.76%344.66B | 8.90%334.64B |
| Non current assets | ||||||||||
| Net PPE | 7.42%255.84B | 5.40%254.35B | --254.35B | 6.83%243.23B | 3.07%239.77B | 7.09%238.17B | 12.83%241.32B | 10.54%227.67B | 16.84%232.62B | 17.83%222.4B |
| -Gross PP&E | 7.42%255.84B | 5.40%254.35B | --254.35B | 6.83%243.23B | 3.07%239.77B | 7.09%238.17B | 12.83%241.32B | 10.54%227.67B | 16.84%232.62B | 17.83%222.4B |
| Total investment | 40.32%39.27B | 36.43%36.54B | --36.54B | -0.50%31.89B | -23.21%28.02B | -18.63%27.98B | -17.76%26.79B | -18.37%32.05B | -1.66%36.49B | 8.19%34.39B |
| -Long-term equity investment | 2.56%7.65B | 1.64%7.61B | --7.61B | 17.18%7.6B | 7.30%7.52B | 12.68%7.46B | 18.46%7.49B | -3.08%6.49B | 5.64%7.01B | 7.47%6.62B |
| -Financial asset investment | 54.03%31.62B | 49.93%28.93B | --28.93B | -4.99%24.29B | -30.47%20.5B | -26.09%20.53B | -26.48%19.3B | -21.51%25.56B | -3.25%29.48B | 8.37%27.77B |
| -Including:Available-for-sale securities | 54.03%31.62B | 49.93%28.93B | --28.93B | -4.99%24.29B | -30.47%20.5B | -26.09%20.53B | -26.48%19.3B | -21.51%25.56B | -3.25%29.48B | 8.37%27.77B |
| Goodwill and other intangible assets | 9.45%216.47B | 8.35%217.28B | --217.28B | 8.87%209.72B | 0.82%205.29B | 2.13%197.78B | 7.53%200.54B | 4.87%192.64B | 11.90%203.61B | 15.12%193.66B |
| -Goodwill | 12.91%99.73B | 11.28%100.1B | --100.1B | 9.09%94.79B | -1.76%92.25B | -0.81%88.33B | 5.10%89.95B | 0.80%86.89B | 9.30%93.9B | 12.56%89.05B |
| -Other intangible assets | 6.65%116.73B | 5.96%117.18B | --117.18B | 8.69%114.93B | 3.03%113.04B | 4.63%109.46B | 9.59%110.59B | 8.46%105.75B | 14.23%109.71B | 17.40%104.61B |
| Deferred tax assets-non current | 3.75%6.63B | 4.58%6.97B | --6.97B | 20.13%6.73B | 5.40%6.46B | 13.57%6.39B | 24.90%6.66B | 23.49%5.6B | 28.15%6.13B | 27.39%5.63B |
| Other non current assets | 32.02%6.04B | 31.34%5.99B | --5.99B | 1.71%4.7B | 8.46%4.76B | 18.58%4.58B | 20.97%4.56B | 10.52%4.62B | -6.84%4.38B | 1.71%3.86B |
| Total non current assets | 10.39%524.24B | 8.60%521.12B | --521.12B | 7.28%496.27B | 0.22%484.29B | 3.25%474.9B | 8.56%479.86B | 5.70%462.58B | 13.00%483.24B | 15.86%459.94B |
| Total assets | 12.00%877.69B | 8.95%868.97B | --868.97B | 5.18%827.3B | -4.59%789.88B | -1.38%783.63B | 4.15%797.57B | 0.45%786.52B | 8.50%827.89B | 12.83%794.58B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -15.63%169.9B | -17.04%151.27B | --151.27B | 57.21%198.55B | 68.34%198.51B | 44.10%201.38B | 36.95%182.35B | 19.28%126.29B | 41.31%117.92B | 97.21%139.74B |
| -Current debt and capital lease obligation | -32.14%85.56B | -37.27%65.68B | --65.68B | 124.26%116.44B | 212.74%109.98B | 118.10%126.08B | 71.10%104.69B | -37.76%51.92B | -51.06%35.17B | -5.63%57.81B |
| -Including:Current debt | -32.14%85.56B | -37.27%65.68B | --65.68B | 124.26%116.44B | 212.74%109.98B | 118.10%126.08B | 71.10%104.69B | -37.76%51.92B | -51.06%35.17B | -5.63%57.81B |
| -Other financial liabilities | 12.00%84.33B | 10.22%85.6B | --85.6B | 10.41%82.12B | 6.98%88.53B | -8.10%75.3B | 7.91%77.66B | 231.16%74.37B | 613.74%82.75B | 753.06%81.94B |
| Payables | 12.91%80.26B | 4.96%87.98B | --87.98B | 1.93%78.4B | -15.53%72.13B | -17.77%71.08B | -9.45%83.82B | -15.68%76.91B | -1.96%85.39B | 5.69%86.44B |
| -accounts payable | 17.19%74.75B | 3.95%78.08B | --78.08B | 7.94%72.64B | -12.86%65.28B | -15.72%63.79B | -9.40%75.12B | -18.66%67.3B | -5.43%74.92B | 2.04%75.69B |
| -Total tax payable | -24.50%5.51B | 13.72%9.89B | --9.89B | -40.14%5.76B | -34.61%6.85B | -32.17%7.29B | -9.91%8.7B | 13.38%9.62B | 32.93%10.48B | 41.23%10.75B |
| Current provisions | 14.33%41.94B | 2.89%41.99B | --41.99B | -14.25%37.29B | -28.39%35.96B | -30.10%36.68B | -19.98%40.81B | -20.57%43.49B | -6.81%50.21B | 3.99%52.47B |
| Accrued and deferred income | 22.18%95.88B | 7.35%90.8B | --90.8B | -5.41%88.93B | -11.26%84.3B | -18.26%78.47B | -9.48%84.58B | -9.19%94.02B | -8.45%95B | -0.08%96B |
| Other current liabilities | 22.54%9.05B | 41.06%11.09B | --11.09B | 45.97%9.12B | 35.30%8.54B | 25.97%7.38B | 21.33%7.86B | 22.11%6.25B | -17.15%6.32B | -2.35%5.86B |
| Current liabilities | 0.51%397.01B | -4.08%383.12B | --383.12B | 18.83%412.3B | 12.57%399.44B | 3.80%394.99B | 6.05%399.42B | -3.75%346.96B | 5.66%354.83B | 24.69%380.52B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 115.12%117.71B | 114.25%116.28B | --116.28B | -47.69%57.03B | -56.07%50.69B | -50.18%54.72B | -41.51%54.27B | -17.12%109.03B | -13.35%115.39B | -13.18%109.83B |
| -Long term debt and capital lease obligation | --60B | 3,312.97%60B | --60B | -91.29%5B | --0 | --0 | -96.65%1.76B | 37.29%57.38B | 46.99%62.67B | 57.03%62.63B |
| -Including:Long term debt | --60B | 3,312.97%60B | --60B | -91.29%5B | --0 | --0 | -96.65%1.76B | 37.29%57.38B | 46.99%62.67B | 57.03%62.63B |
| -Other financial liabilities-Non current | 5.47%57.71B | 7.17%56.28B | --56.28B | 0.73%52.03B | -3.86%50.69B | 15.94%54.72B | 30.28%52.52B | -42.46%51.65B | -41.77%52.72B | -45.51%47.2B |
| Long term provisions | 2.21%5.59B | 2.75%5.86B | --5.86B | 4.61%5.83B | -14.91%5.49B | -10.73%5.47B | -10.47%5.7B | -27.52%5.57B | -4.17%6.45B | 18.66%6.13B |
| Long term pension and other post-retirement benefit plans | -10.77%4.96B | -0.50%5.73B | --5.73B | -1.05%5.47B | -4.70%5.45B | -2.05%5.55B | 10.84%5.76B | 32.22%5.52B | 25.80%5.72B | 29.99%5.67B |
| Non current deferred liabilities | -2.86%12.5B | -10.12%11.44B | --11.44B | 44.29%14.54B | 26.06%13.82B | 27.22%12.87B | 36.24%12.73B | 1.22%10.07B | 12.93%10.96B | 17.35%10.12B |
| Other non current liabilities | 11.88%4.1B | 36.53%4.38B | --4.38B | 23.17%3.61B | 12.88%3.56B | 24.55%3.66B | 9.14%3.21B | 8.96%2.93B | 6.17%3.15B | 29.27%2.94B |
| Total non current liabilities | 76.06%144.86B | 75.94%143.69B | --143.69B | -35.05%86.47B | -44.23%79B | -38.91%82.28B | -29.98%81.67B | -14.69%133.13B | -9.83%141.67B | -8.33%134.68B |
| Total liabilities | 13.54%541.88B | 9.50%526.81B | --526.81B | 3.89%498.77B | -3.64%478.44B | -7.36%477.27B | -2.47%481.09B | -7.06%480.09B | 0.72%496.5B | 13.96%515.2B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%71.8B | 0.81%71.8B | --71.8B | 0.81%71.8B | 0.81%71.8B | 30.76%71.8B | 39.35%71.23B | 39.35%71.23B | 39.35%71.23B | 7.43%54.91B |
| -common stock | 0.00%71.8B | 0.81%71.8B | --71.8B | 0.81%71.8B | 0.81%71.8B | 30.76%71.8B | 39.35%71.23B | 39.35%71.23B | 39.35%71.23B | 7.43%54.91B |
| Additional paid-in capital | -12.63%16.52B | -0.80%18.35B | --18.35B | -9.66%18.31B | -7.10%18.83B | 363.12%18.91B | 8,792.31%18.5B | 5,097.95%20.27B | 5,006.30%20.27B | 1,115.18%4.08B |
| Retained earnings | 9.69%86.41B | 9.17%93.74B | --93.74B | 17.12%91.54B | -4.86%80.23B | 2.54%78.78B | -6.95%85.87B | -5.04%78.16B | 6.55%84.33B | 8.62%76.82B |
| Less: Treasury stock | 543.27%5.98B | 767.05%7.47B | --7.47B | 6.22%922M | 0.34%876M | 5.81%929M | -2.38%862M | -2.36%868M | -2.46%873M | -2.55%878M |
| Other equity interest | 22.10%166.33B | 17.37%164.07B | --164.07B | 9.92%146.24B | -7.81%139.95B | -2.57%136.23B | 11.60%139.79B | 2.99%133.05B | 11.68%151.8B | 10.54%139.82B |
| Total stockholders'equity | 9.94%335.09B | 8.25%340.48B | --340.48B | 8.33%326.98B | -5.15%309.94B | 10.93%304.79B | 17.36%314.52B | 15.16%301.84B | 22.99%326.76B | 10.90%274.76B |
| Noncontrolling interests | -53.83%723M | -14.61%1.67B | --1.67B | -66.17%1.56B | -67.61%1.5B | -66.10%1.57B | -57.04%1.96B | 5.56%4.6B | 4.74%4.64B | 5.50%4.62B |
| Total equity | 9.61%335.81B | 8.11%342.16B | --342.16B | 7.21%328.53B | -6.02%311.44B | 9.66%306.36B | 16.12%316.48B | 15.00%306.43B | 22.69%331.4B | 10.80%279.38B |
| 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 |