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 | -52.33%42.07M | -17.27%71.8M | 119.86%77.7M | 23.34%38.75M | 8.66%88.25M | -51.15%86.8M | -78.44%35.34M | -84.08%31.42M | -64.06%81.22M | -33.74%177.67M |
| Notes receivable and accounts receivable | -15.73%177.59M | -22.42%174.73M | -27.98%205.37M | -31.75%206.3M | -26.65%210.73M | -7.91%225.24M | 6.29%285.17M | 12.54%302.29M | 16.92%287.3M | 0.53%244.6M |
| -Notes receivable | -8.96%3.6M | -42.45%5.62M | -40.50%6.43M | -9.34%4.91M | -32.12%3.95M | 93.43%9.77M | --10.81M | --5.42M | --5.82M | --5.05M |
| -Accounts receivable | -15.86%173.99M | -21.52%169.11M | -27.49%198.94M | -32.16%201.39M | -26.54%206.78M | -10.05%215.47M | 2.26%274.36M | 10.52%296.87M | 14.55%281.48M | -1.55%239.55M |
| Other receivables (including interest and dividends) | 38.59%8.06M | 13.29%4.87M | 10.47%5.67M | 17.91%6.9M | -6.25%5.82M | -27.89%4.3M | -15.31%5.13M | 15.08%5.85M | 75.76%6.2M | 28.33%5.96M |
| -Dividend receivable | ---- | ---- | ---- | ---- | ---- | --28.72K | ---- | ---- | ---- | ---- |
| -Other receivable | ---- | 14.05%4.87M | ---- | 17.91%6.9M | ---- | -28.37%4.27M | ---- | 15.08%5.85M | ---- | 28.33%5.96M |
| Contractual assets | -28.81%10.15M | -26.79%11.83M | -20.25%14.34M | -33.63%13.14M | -27.84%14.25M | -4.82%16.16M | 1.51%17.98M | 26.30%19.8M | 10.89%19.75M | -7.24%16.98M |
| Advance payment | 40.32%10.96M | 80.57%9.43M | -8.51%5.56M | -25.02%4.77M | 17.33%7.81M | 11.24%5.22M | 16.51%6.08M | 14.34%6.37M | -8.47%6.66M | -20.85%4.7M |
| Inventories | 15.19%85.95M | -5.45%67.33M | -9.21%65.38M | 2.97%72.47M | 38.10%74.61M | 24.97%71.21M | 6.24%72.01M | 5.80%70.38M | -28.72%54.03M | -14.02%56.98M |
| Receivable financing | 96.61%2.71M | 4.03%3.27M | 92.77%2.51M | 84.65%3.91M | -69.61%1.38M | -79.52%3.14M | -93.46%1.3M | -87.55%2.12M | -39.39%4.54M | 61.42%15.34M |
| Other current assets | 3.98%8.6M | 27.59%10.54M | 3.80%8.36M | 2.59%8.46M | 24.61%8.27M | 79.92%8.26M | 72.86%8.05M | 88.04%8.24M | -2.60%6.64M | 6.00%4.59M |
| Total current assets | -15.82%346.08M | -15.83%353.81M | -10.71%384.88M | -20.55%354.69M | -11.84%411.12M | -20.21%420.34M | -22.12%431.06M | -23.05%446.46M | -21.01%466.33M | -15.09%526.83M |
| Non Current assets | ||||||||||
| Other non-current financial assets | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M | 0.00%3.3M |
| Fixed assets | ---- | -8.82%292.38M | ---- | -8.82%306.04M | ---- | -6.00%320.67M | ---- | 21.74%335.63M | ---- | 24.41%341.15M |
| Constru in process | ---- | -4.19%27.18M | ---- | 29.10%30.79M | ---- | -7.50%28.37M | ---- | -71.18%23.85M | ---- | -28.96%30.67M |
| Intangible assets | -7.20%31.81M | -6.94%32.73M | -11.39%32.49M | -13.54%33.38M | -15.96%34.27M | -17.70%35.17M | 19.14%36.66M | 66.99%38.61M | 86.68%40.78M | 85.26%42.73M |
| Goodwill | -0.96%4.9M | -0.98%4.91M | -0.62%4.93M | -0.60%4.94M | -0.64%4.95M | -0.75%4.96M | --4.96M | --4.97M | --4.98M | --4.99M |
| Long deferred expense | 21.83%4.39M | -8.40%3.58M | -26.43%2.95M | -26.04%3.21M | -28.53%3.6M | -28.43%3.91M | -25.29%4.01M | -23.22%4.34M | 28.30%5.04M | 100.92%5.46M |
| Deferred tax assets | -11.46%54.26M | -11.26%54.6M | 11.23%60.6M | 33.33%61.03M | 50.47%61.28M | 66.05%61.52M | 75.01%54.48M | 71.16%45.78M | 102.01%40.72M | 141.99%37.05M |
| Usufruct assets | -12.34%12.99M | 8.65%15.44M | -20.38%12.23M | 101.15%13.53M | 87.47%14.82M | 56.44%14.21M | 156.22%15.36M | -1.88%6.72M | 2.53%7.9M | 6.07%9.09M |
| Other non current assets | 61.40%28.59M | 81.44%26.87M | 29.05%19.53M | 35.85%17.2M | 41.11%17.72M | 30.89%14.81M | -41.10%15.14M | -51.05%12.66M | -56.75%12.55M | -77.57%11.31M |
| Total non current assets | -5.67%455.82M | -5.47%460.99M | -4.76%465.97M | -0.66%473.73M | 0.41%483.23M | 0.12%487.65M | 6.60%489.27M | 5.58%476.88M | 9.07%481.26M | 15.24%487.08M |
| Total assets | -10.34%801.9M | -10.26%814.8M | -7.55%850.85M | -10.28%828.42M | -5.62%894.36M | -10.45%908M | -9.10%920.32M | -10.52%923.34M | -8.15%947.59M | -2.80%1.01B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | -5.10%60.79M | -17.93%60.79M | -39.37%32.77M | 9.99%44.03M | 30.58%64.06M | 37.00%74.07M | 22.71%54.05M | -25.93%40.04M | 42.03%49.06M | 38.46%54.07M |
| Notes payable and accounts payable | -4.95%157.4M | -12.99%154.04M | -9.16%173.26M | -18.91%152.75M | -8.35%165.59M | 8.48%177.03M | 17.82%190.74M | 4.46%188.37M | -1.84%180.67M | -5.70%163.19M |
| -Notes payable | ---- | ---- | ---- | ---- | ---- | ---- | -58.47%15.75M | -52.42%31.09M | -24.13%49.19M | 31.25%45.86M |
| -Accounts payable | -4.95%157.4M | -12.99%154.04M | -0.99%173.26M | -2.88%152.75M | 25.94%165.59M | 50.87%177.03M | 41.16%174.99M | 36.79%157.28M | 10.29%131.48M | -15.04%117.34M |
| Contract liabilities | 71.97%5.54M | 115.45%5.53M | -30.64%2.37M | 398.66%4.34M | 833.47%3.22M | 240.23%2.57M | 209.09%3.41M | 31.60%869.76K | -80.73%345.35K | -59.80%754.78K |
| Advance receipts | ---- | ---- | 41.99%160.66K | -35.59%138.98K | 61.30%134.25K | -80.88%125.85K | -63.94%113.15K | 533.87%215.79K | 144.49%83.23K | 2,596.12%658.35K |
| Salaries payable | 14.54%8.29M | -0.76%10.01M | -6.27%7.9M | -17.28%7.47M | -28.30%7.24M | -11.20%10.09M | 6.52%8.43M | 17.44%9.03M | 33.86%10.1M | 27.98%11.36M |
| Taxs payable | -49.27%765.28K | -55.71%212.04K | 115.23%3.23M | -61.44%471.38K | -71.50%1.51M | -8.50%478.81K | 99.97%1.5M | 229.06%1.22M | 663.38%5.29M | 32.24%523.28K |
| Other payable (including interest and dividends) | 172.03%3.06M | 10.71%2.19M | -20.20%1.21M | 33.02%1.19M | 20.64%1.13M | 17.20%1.98M | 123.02%1.52M | 20.38%894.29K | 1.69%932.97K | 212.25%1.69M |
| -Other payable | ---- | 10.71%2.19M | ---- | 33.02%1.19M | ---- | 17.20%1.98M | ---- | 20.38%894.29K | ---- | 212.25%1.69M |
| Non current liabilities due within one year | 166.53%70.34M | 99.40%60.15M | 66.58%56.31M | 4.24%55.76M | -50.54%26.39M | -58.80%30.17M | -37.32%33.81M | 56.98%53.49M | 56.75%53.36M | 1,426.83%73.23M |
| Other current liabilities | 42.19%543.32K | 204.13%541.88K | 40.65%268.21K | 487.66%526.84K | 761.66%382.1K | 225.98%178.17K | 35.23%190.69K | 7.38%89.65K | -80.71%44.34K | -76.98%54.66K |
| Total current liabilities | 13.75%306.74M | -1.08%293.47M | -5.54%277.49M | -9.36%266.68M | -10.08%269.66M | -2.89%296.69M | 8.49%293.77M | 5.82%294.22M | 13.66%299.88M | 33.51%305.53M |
| Current liabilities | ||||||||||
| Long term account payable | ---- | --19.78M | ---- | --23.33M | ---- | ---- | ---- | ---- | ---- | ---- |
| Estimate liabilities | ---- | ---- | ---- | ---- | ---- | ---- | -93.85%365.22K | -56.65%2.58M | --2.55M | --2.53M |
| Deferred tax liabilities | -38.86%2.25M | -28.86%2.63M | -22.78%3.07M | 86.21%3.37M | 74.64%3.68M | 53.73%3.7M | 126.24%3.98M | -9.02%1.81M | -5.37%2.11M | -2.24%2.4M |
| Long term deferred income | 21.68%15.19M | 15.03%14.74M | -1.04%11.83M | 8.44%12.15M | 53.97%12.48M | 46.37%12.81M | 54.86%11.95M | 41.01%11.21M | 1.91%8.11M | 7.03%8.75M |
| Lease liabilities | 12.49%9.31M | 34.85%11.96M | -42.68%6.27M | 450.12%8.19M | 451.01%8.27M | 166.40%8.87M | 509.83%10.94M | -58.50%1.49M | -57.65%1.5M | -37.42%3.33M |
| Total non current liabilities | -54.97%48.52M | -2.37%63.23M | 34.08%75.98M | 104.65%75.77M | 655.17%107.74M | 280.68%64.76M | 56.50%56.67M | -3.76%37.03M | -56.41%14.27M | -73.56%17.01M |
| Total liabilities | -5.87%355.25M | -1.31%356.7M | 0.87%353.48M | 3.38%342.45M | 20.13%377.4M | 12.06%361.45M | 14.15%350.44M | 4.66%331.24M | 5.93%314.15M | 10.01%322.54M |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M | 0.00%168M |
| Capital reserve funds | 3.12%467.36M | 2.14%462.91M | 1.65%460.7M | 0.00%453.2M | 0.00%453.2M | 0.00%453.2M | 0.00%453.2M | 0.00%453.2M | 0.00%453.2M | 0.00%453.2M |
| Surplus reserve funds | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M | 0.00%16.7M |
| Retained profit | -259.05%-151.82M | -931.42%-128.28M | -857.19%-82.34M | -321.13%-73.3M | -190.61%-42.28M | -123.56%-12.44M | -83.91%10.87M | -57.21%33.15M | -51.97%46.67M | -52.87%52.8M |
| Less:Treasury stock | -31.03%55.17M | -21.38%62.89M | -16.10%67.12M | 0.00%80M | 53.95%80M | --80M | --80M | --80M | --51.96M | ---- |
| Shareholders equity without minority interests | -13.68%445.07M | -16.32%456.44M | -12.81%495.94M | -18.01%484.6M | -18.49%515.62M | -21.03%545.46M | -19.38%568.77M | -17.38%591.05M | -13.94%632.6M | -7.90%690.7M |
| Minority interests | 17.49%1.58M | 52.36%1.65M | 29.04%1.43M | 30.95%1.38M | 60.63%1.35M | 62.92%1.08M | --1.11M | --1.05M | --837.64K | --665.65K |
| Total shareholder equity | -13.60%446.65M | -16.18%458.09M | -12.72%497.37M | -17.92%485.97M | -18.39%516.96M | -20.95%546.55M | -19.22%569.88M | -17.23%592.1M | -13.83%633.44M | -7.81%691.36M |
| Total liabilityies and equity | -10.34%801.9M | -10.26%814.8M | -7.55%850.85M | -10.28%828.42M | -5.62%894.36M | -10.45%908M | -9.10%920.32M | -10.52%923.34M | -8.15%947.59M | -2.80%1.01B |
| 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 |
| Auditor | -- | -- | -- | -- | -- | -- | -- | -- | -- | Sichuan Huaxin (Group) 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.