Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
5
KUNLUN ENERGY
00135
| (FY)Mar 31, 2026 | (Q4)Mar 31, 2026 | (Q3)Dec 31, 2025 | (Q2)Sep 30, 2025 | (Q1)Jun 30, 2025 | (FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q3)Dec 31, 2024 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Cash, cash equivalents and federal funds sold | -17.47%1.58T | -17.47%1.58T | -13.46%1.71T | -10.65%1.95T | -8.15%2.23T | -14.26%1.92T | -14.26%1.92T | -14.55%1.98T | -1.13%2.19T | 6.97%2.42T |
| -Cash and cash equivalents | -17.76%1.55T | -17.76%1.55T | -13.67%1.68T | -10.74%1.93T | -8.37%2.2T | -14.57%1.89T | -14.57%1.89T | -15.33%1.95T | -1.80%2.16T | 6.60%2.4T |
| -Including:Cash and bank accounts receivable | -17.76%1.55T | -17.76%1.55T | -13.67%1.68T | -10.74%1.93T | -8.37%2.2T | -14.57%1.89T | -14.57%1.89T | -15.33%1.95T | -1.80%2.16T | 6.60%2.4T |
| -Restricted cash and investment | 0.85%29.64B | 0.85%29.64B | -0.34%30.94B | -4.20%28.82B | 12.59%28.41B | 11.69%29.39B | 11.69%29.39B | 105.12%31.05B | 93.02%30.08B | 59.23%25.23B |
| Financial asset investment | 14.77%2.15T | 14.77%2.15T | 6.84%2.29T | 0.55%2.01T | -4.49%1.95T | -6.97%1.88T | -6.97%1.88T | 12.12%2.14T | 1.99%2T | -2.07%2.04T |
| -Trading securities | -57.69%11M | -57.69%11M | 0.00%17M | 18.18%13M | -7.41%25M | 52.94%26M | 52.94%26M | 325.00%17M | -8.33%11M | 285.71%27M |
| -Available-for-sale securities | 14.77%2.15T | 14.77%2.15T | 6.84%2.29T | 0.55%2.01T | -4.49%1.95T | -6.97%1.88T | -6.97%1.88T | 12.12%2.14T | 1.99%2T | -2.07%2.04T |
| Net loan | 3.00%9.24T | 3.00%9.24T | 6.10%9.36T | 3.53%9.07T | 1.32%8.88T | 2.51%8.97T | 2.51%8.97T | 1.53%8.83T | 2.16%8.76T | 1.82%8.77T |
| -Other loan assets | 2.96%9.31T | 2.96%9.31T | 5.97%9.43T | 3.44%9.14T | 1.24%8.95T | 2.44%9.04T | 2.44%9.04T | 1.52%8.9T | 2.15%8.83T | 1.84%8.85T |
| -Allowance for loan and lease losses | -1.25%72.11B | -1.25%72.11B | -9.13%68.99B | -6.70%68.75B | -7.80%71.2B | -5.74%73.03B | -5.74%73.03B | 1.24%75.92B | 1.12%73.69B | 5.14%77.22B |
| Finance lease receivables | 7.98%75.15B | 7.98%75.15B | 7.55%72.6B | 6.82%70.85B | 5.13%69.21B | 5.84%69.59B | 5.84%69.59B | 2.76%67.5B | 1.49%66.32B | 1.49%65.84B |
| Net PPE | 2.87%111.86B | 2.87%111.86B | 1.05%109.37B | 0.44%108.62B | 0.04%108.55B | -0.13%108.74B | -0.13%108.74B | 0.47%108.24B | 0.29%108.15B | 0.02%108.51B |
| -Gross PP&E | 2.87%111.86B | 2.87%111.86B | ---- | ---- | ---- | -0.13%108.74B | -0.13%108.74B | ---- | ---- | ---- |
| Goodwill and other intangible assets | 21.94%21.07B | 21.94%21.07B | 18.55%19.99B | 14.64%19.21B | 7.78%17.79B | 7.19%17.28B | 7.19%17.28B | 8.58%16.87B | 9.84%16.76B | 11.54%16.51B |
| -Other intangible assets | 21.94%21.07B | 21.94%21.07B | ---- | ---- | ---- | 7.19%17.28B | 7.19%17.28B | ---- | ---- | ---- |
| Defined pension benefit | 33.23%37.35B | 33.23%37.35B | 13.80%29.31B | 14.27%28.86B | 15.12%28.41B | 15.84%28.04B | 15.84%28.04B | 67.37%25.76B | 67.77%25.25B | 67.22%24.68B |
| Total tax assets | -87.67%1.11B | -87.67%1.11B | -68.04%974M | -68.85%1.02B | 415.65%6.26B | 948.01%8.97B | 948.01%8.97B | -44.13%3.05B | -55.59%3.26B | -86.28%1.21B |
| -Deferred tax assets | -87.67%1.11B | -87.67%1.11B | -68.04%974M | -68.85%1.02B | 415.65%6.26B | 948.01%8.97B | 948.01%8.97B | -44.13%3.05B | -55.59%3.26B | -86.28%1.21B |
| Other assets | 8.40%303.22B | 8.40%303.22B | -8.06%290.18B | -2.14%257.33B | -10.22%282.54B | -6.79%279.72B | -6.79%279.72B | 9.52%315.63B | -17.60%262.95B | 7.83%314.7B |
| Total assets | 1.87%13.53T | 1.87%13.53T | 2.99%13.89T | 0.67%13.52T | -1.39%13.57T | -1.80%13.28T | -1.80%13.28T | 0.49%13.49T | 1.15%13.43T | 2.22%13.76T |
| Liabilities | ||||||||||
| Total deposits | 2.19%10.81T | 2.19%10.81T | 2.01%10.84T | 1.62%10.71T | 1.52%10.89T | 1.21%10.58T | 1.21%10.58T | 1.76%10.63T | 1.14%10.54T | 1.09%10.73T |
| Trading and financial liabilities | -4.33%1.22T | -4.33%1.22T | -12.24%1.19T | -10.11%1.27T | -12.65%1.25T | -13.53%1.28T | -13.53%1.28T | -2.83%1.36T | 16.00%1.41T | 17.29%1.43T |
| -Total debt | -4.33%1.22T | -4.33%1.22T | -12.24%1.19T | -10.11%1.27T | -12.65%1.25T | -13.53%1.28T | -13.53%1.28T | -2.83%1.36T | 16.00%1.41T | 17.29%1.43T |
| Payables | -11.02%263.52B | -11.02%263.52B | 63.16%661.18B | 4.79%411.75B | -21.86%366.07B | -40.42%296.16B | -40.42%296.16B | -29.78%405.23B | -29.51%392.92B | -14.26%468.46B |
| -Other payables | -11.02%263.52B | -11.02%263.52B | 63.16%661.18B | 4.79%411.75B | -21.86%366.07B | -40.42%296.16B | -40.42%296.16B | -29.78%405.23B | -29.51%392.92B | -14.26%468.46B |
| Total provisions | 0.00%1.38B | 0.00%1.38B | 1.89%1.24B | -5.18%1.25B | -11.57%1.26B | -11.51%1.38B | -11.51%1.38B | -6.97%1.22B | -9.81%1.31B | -11.81%1.43B |
| Total pension and other postretirement benefit plans | 10.33%2.64B | 10.33%2.64B | -0.80%2.49B | -1.14%2.42B | -1.46%2.36B | 1.36%2.39B | 1.36%2.39B | 15.32%2.51B | 15.68%2.45B | 18.62%2.4B |
| Deferred income tax liabilities | 242.95%14.5B | 242.95%14.5B | 296.23%16.19B | 136.10%9.48B | -11.04%4.26B | -56.38%4.23B | -56.38%4.23B | -13.62%4.09B | -20.53%4.01B | -13.85%4.79B |
| Other liabilities | 8.90%447.74B | 8.90%447.74B | 10.26%412.56B | 0.36%373.38B | -18.47%343.33B | 14.03%411.16B | 14.03%411.16B | 24.55%374.16B | -5.56%372.03B | 4.43%421.1B |
| Total liability | 1.52%12.76T | 1.52%12.76T | 2.77%13.13T | 0.42%12.77T | -1.52%12.85T | -1.80%12.57T | -1.80%12.57T | 0.36%12.78T | 1.00%12.72T | 2.07%13.05T |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B |
| -common stock | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B | 0.00%36B |
| Additional paid-in capital | 0.03%200.79B | 0.03%200.79B | 0.03%200.79B | 0.00%200.74B | 0.00%200.74B | 0.04%200.74B | 0.04%200.74B | 0.04%200.74B | 0.04%200.74B | 0.13%200.74B |
| Retained earnings | 5.82%488.28B | 5.82%488.28B | 6.55%481.57B | 6.02%476.62B | 5.63%469.25B | 5.15%461.42B | 5.15%461.42B | 3.88%451.98B | 4.05%449.57B | 3.67%444.24B |
| Less: Treasury stock | 70.49%23.76B | 70.49%23.76B | 31.08%18.27B | -0.60%13.85B | -0.17%13.94B | -0.16%13.94B | -0.16%13.94B | -0.16%13.94B | -0.17%13.94B | 1.37%13.96B |
| Fixed asset revaluation reserve | -0.23%6.04B | -0.23%6.04B | -2.22%6.05B | -2.25%6.05B | -2.30%6.05B | -2.50%6.06B | -2.50%6.06B | -0.43%6.18B | -0.40%6.18B | -0.67%6.19B |
| Other reserves | 298.31%53.61B | 298.31%53.61B | 85.61%53.29B | 35.91%39.31B | -51.09%17.83B | -72.64%13.46B | -72.64%13.46B | 18.43%28.71B | 44.24%28.93B | 104.14%36.45B |
| Total stockholders'equity | 8.13%760.96B | 8.13%760.96B | 7.01%759.43B | 5.28%744.86B | 0.88%715.92B | -1.84%703.74B | -1.84%703.74B | 3.11%709.68B | 3.88%707.48B | 5.09%709.65B |
| Noncontrolling interests | 11.97%290M | 11.97%290M | 13.73%290M | 9.13%287M | -4.10%257M | -62.35%259M | -62.35%259M | -62.72%255M | -60.51%263M | -57.46%268M |
| Total equity | 8.13%761.25B | 8.13%761.25B | 7.01%759.72B | 5.29%745.15B | 0.88%716.18B | -1.90%704B | -1.90%704B | 3.05%709.93B | 3.82%707.74B | 5.03%709.92B |
| 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 |