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 | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -3.01%438.89B | -3.01%438.89B | -16.41%334.51B | -42.88%324.98B | -41.39%329.39B | -32.89%452.51B | -32.89%452.51B | -37.38%400.16B | -11.87%568.97B | -9.30%562.03B |
| -Cash and cash equivalents | -3.01%438.89B | -3.01%438.89B | -16.41%334.51B | -42.88%324.98B | -41.39%329.39B | -32.89%452.51B | -32.89%452.51B | -37.38%400.16B | -11.87%568.97B | -9.30%562.03B |
| Receivables | 58.91%248.61B | 58.91%248.61B | 11.30%174.41B | -3.85%160.5B | 30.02%186.51B | -1.00%156.45B | -1.00%156.45B | 17.47%156.71B | -0.52%166.92B | -6.51%143.44B |
| -Accounts receivable | 61.23%248.61B | 61.23%248.61B | 11.29%174.4B | -5.21%158.23B | 28.48%184.3B | 2.11%154.2B | 2.11%154.2B | 17.47%156.71B | -0.52%166.92B | -6.51%143.44B |
| -Gross accounts receivable | 61.23%248.61B | 61.23%248.61B | 11.29%174.4B | -5.21%158.23B | 28.48%184.3B | 2.11%154.2B | 2.11%154.2B | 17.47%156.71B | -0.52%166.92B | -6.51%143.44B |
| -Other receivables | ---- | ---- | --12M | --2.27B | --2.21B | -67.97%2.25B | -67.97%2.25B | ---- | ---- | ---- |
| Finance lease receivables-current | 23.19%328.97B | 23.19%328.97B | 24.23%307.87B | 19.32%290.69B | 13.60%273.41B | 11.03%267.04B | 11.03%267.04B | 5.59%247.81B | 5.37%243.62B | 6.31%240.67B |
| Inventory | 6.93%388.39B | 6.93%388.39B | -0.21%455.59B | -2.16%405.91B | -9.73%392.72B | -11.82%363.21B | -11.82%363.21B | 10.47%456.56B | 9.09%414.88B | 18.04%435.04B |
| Other current assets | 34.94%205.01B | 34.94%205.01B | 25.11%223.54B | 34.92%183.1B | 11.04%174.98B | 6.11%151.93B | 6.11%151.93B | 17.87%178.68B | 21.77%135.71B | 26.15%157.58B |
| Total current assets | 15.72%1.61T | 15.72%1.61T | 3.89%1.5T | -10.78%1.37T | -11.81%1.36T | -14.54%1.39T | -14.54%1.39T | -8.40%1.44T | -0.40%1.53T | 3.07%1.54T |
| Non current assets | ||||||||||
| Net PPE | 5.11%551.18B | 5.11%551.18B | 5.99%549.87B | 5.25%533.98B | 3.81%521.26B | 5.27%524.37B | 5.27%524.37B | 8.80%518.8B | 8.55%507.33B | 7.55%502.11B |
| -Gross PP&E | 5.11%551.18B | 5.11%551.18B | 5.99%549.86B | 5.25%533.98B | 3.81%521.25B | 5.27%524.37B | 5.27%524.37B | 8.80%518.8B | 8.55%507.33B | 7.55%502.11B |
| Total investment | -49.16%52.24B | -49.16%52.24B | -44.48%57.42B | -49.59%53.72B | -57.37%47.34B | -1.30%102.74B | -1.30%102.74B | 4.02%103.42B | 7.34%106.58B | 11.17%111.04B |
| -Financial asset investment | -49.16%52.24B | -49.16%52.24B | -44.48%57.42B | -49.59%53.72B | -57.37%47.34B | -1.30%102.74B | -1.30%102.74B | 4.02%103.42B | 7.34%106.58B | 11.17%111.04B |
| -Including:Available-for-sale securities | -49.16%52.24B | -49.16%52.24B | -44.48%57.42B | -49.59%53.72B | -57.37%47.34B | -1.30%102.74B | -1.30%102.74B | 4.02%103.42B | 7.34%106.58B | 11.17%111.04B |
| Long-term accounts receivable and other receivables | ---- | ---- | --3.28B | --3.05B | --2.93B | -41.97%2.91B | -41.97%2.91B | ---- | ---- | ---- |
| Goodwill and other intangible assets | -3.43%49.42B | -3.43%49.42B | 6.07%49.46B | 10.91%50.25B | 12.85%50.34B | 13.95%51.17B | 13.95%51.17B | 12.15%46.62B | 11.69%45.31B | 10.76%44.61B |
| Defined pension benefit | 33.54%12.41B | 33.54%12.41B | --9.12B | --8.96B | --9B | -46.06%9.29B | -46.06%9.29B | ---- | ---- | ---- |
| Deferred tax assets-non current | -5.47%74.51B | -5.47%74.51B | --85.51B | --81.2B | --79.18B | -8.68%78.82B | -8.68%78.82B | ---- | ---- | ---- |
| Other non current assets | -19.84%68.53B | -19.84%68.53B | -59.33%73.58B | -62.73%62.43B | -56.19%81.97B | 20.53%85.49B | 20.53%85.49B | 17.64%180.91B | 9.92%167.49B | 37.48%187.12B |
| Total non current assets | -5.44%808.27B | -5.44%808.27B | -2.53%828.23B | -4.01%793.59B | -6.26%792.03B | 3.41%854.79B | 3.41%854.79B | 10.12%849.75B | 8.84%826.71B | 13.69%844.88B |
| Total assets | 7.67%2.42T | 7.67%2.42T | 1.51%2.32T | -8.40%2.16T | -9.84%2.15T | -8.50%2.25T | -8.50%2.25T | -2.30%2.29T | 2.65%2.36T | 6.60%2.38T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 41.52%222.82B | 41.52%222.82B | 26.02%268.43B | 48.19%234.76B | 26.88%187.29B | -53.68%157.45B | -53.68%157.45B | -39.51%213B | -50.38%158.42B | -57.83%147.61B |
| -Current debt and capital lease obligation | 41.52%222.82B | 41.52%222.82B | 26.02%268.43B | 48.19%234.76B | 26.88%187.29B | -53.68%157.45B | -53.68%157.45B | -39.51%213B | -50.38%158.42B | -57.83%147.61B |
| -Including:Current debt | 41.58%217.44B | 41.58%217.44B | 23.52%263.11B | 45.42%230.38B | 24.33%183.52B | -54.31%153.58B | -54.31%153.58B | -39.51%213B | -50.38%158.42B | -57.83%147.61B |
| -Including:Current capital Lease obligation | 39.26%5.39B | 39.26%5.39B | --5.32B | --4.38B | --3.77B | 3.98%3.87B | 3.98%3.87B | ---- | ---- | ---- |
| Payables | 16.47%675.37B | 16.47%675.37B | 3.92%582.21B | -1.58%537.34B | 2.81%536.97B | 0.07%579.87B | 0.07%579.87B | -1.96%560.26B | -5.38%545.96B | -3.44%522.31B |
| -accounts payable | 27.41%447.14B | 27.41%447.14B | 8.20%375.61B | 2.78%351.38B | 13.17%350.35B | 4.01%350.95B | 4.01%350.95B | 0.12%347.14B | -5.38%341.89B | -7.94%309.57B |
| -Total tax payable | -32.23%8.25B | -32.23%8.25B | -22.83%8.9B | -22.47%7.75B | -34.43%7.64B | 27.65%12.18B | 27.65%12.18B | -35.45%11.53B | -37.28%10B | 19.51%11.66B |
| -Other payable | 1.49%219.98B | 1.49%219.98B | -1.93%197.7B | -8.17%178.21B | -10.99%178.98B | -6.78%216.74B | -6.78%216.74B | -2.54%201.59B | -2.86%194.07B | 3.19%201.08B |
| Current provisions | -6.54%65.48B | -6.54%65.48B | -5.91%68.39B | 1.29%67.19B | -4.47%67.64B | 2.96%70.06B | 2.96%70.06B | 14.40%72.69B | -13.52%66.34B | 11.23%70.8B |
| Other current liabilities | 3.19%202.83B | 3.19%202.83B | -5.14%195.99B | -10.24%164.45B | -4.82%191.23B | 4.67%196.56B | 4.67%196.56B | 8.84%206.62B | 9.22%183.21B | 20.61%200.91B |
| Current liabilities | 16.19%1.17T | 16.19%1.17T | 5.93%1.12T | 5.22%1T | 4.41%983.12B | -14.57%1T | -14.57%1T | -10.57%1.05T | -16.37%953.92B | -16.01%941.64B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 9.69%172.6B | 9.69%172.6B | 47.54%152.95B | -39.21%132.94B | -40.53%139.59B | 3.20%157.34B | 3.20%157.34B | 5.83%103.67B | 107.70%218.7B | 165.50%234.71B |
| -Long term debt and capital lease obligation | 9.69%172.6B | 9.69%172.6B | 47.54%152.95B | -39.21%132.94B | -40.53%139.59B | 3.20%157.34B | 3.20%157.34B | 5.83%103.67B | 107.70%218.7B | 165.50%234.71B |
| -Including:Long term debt | 7.89%140.75B | 7.89%140.75B | 16.35%120.62B | -52.91%102.98B | -51.90%112.89B | 2.10%130.46B | 2.10%130.46B | 5.83%103.67B | 107.70%218.7B | 165.50%234.71B |
| -Including:Long term capital lease obligation | 18.46%31.85B | 18.46%31.85B | --32.33B | --29.96B | --26.7B | 8.89%26.88B | 8.89%26.88B | ---- | ---- | ---- |
| Long term pension and other post-retirement benefit plans | -6.97%37.75B | -6.97%37.75B | 108.93%46.07B | 112.63%43.78B | 106.19%42.03B | 99.22%40.58B | 99.22%40.58B | -43.10%22.05B | -46.22%20.59B | -47.02%20.38B |
| Non current deferred liabilities | ---- | ---- | --91M | --88M | --92M | -54.68%92M | -54.68%92M | ---- | ---- | ---- |
| Other non current liabilities | 10.75%77.97B | 10.75%77.97B | -25.33%73.15B | -21.50%70.38B | -28.16%68.35B | 13.98%70.41B | 13.98%70.41B | 18.64%97.97B | 7.44%89.66B | 7.85%95.15B |
| Total non current liabilities | 7.41%288.31B | 7.41%288.31B | 21.72%272.26B | -24.85%247.19B | -28.60%250.06B | 14.31%268.42B | 14.31%268.42B | 2.01%223.68B | 44.89%328.95B | 62.82%350.24B |
| Total liabilities | 14.34%1.45T | 14.34%1.45T | 8.70%1.39T | -2.49%1.25T | -4.54%1.23T | -9.76%1.27T | -9.76%1.27T | -8.59%1.28T | -6.21%1.28T | -3.32%1.29T |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B |
| -common stock | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B | 0.00%284.38B |
| Additional paid-in capital | 0.00%185.78B | 0.00%185.78B | 0.00%185.78B | -6.92%185.78B | -6.92%185.78B | -6.92%185.78B | -6.92%185.78B | -6.92%185.78B | 0.00%199.59B | 0.00%199.59B |
| Retained earnings | -9.91%451.01B | -9.91%451.01B | -11.43%436.51B | -13.81%438.47B | -10.36%448.44B | 4.68%500.61B | 4.68%500.61B | 15.62%492.85B | 27.68%508.74B | 32.02%500.26B |
| Less: Treasury stock | -0.13%56.31B | -0.13%56.31B | -0.13%56.31B | 3,504.99%56.31B | 3,283.25%56.37B | 3,240.23%56.38B | 3,240.23%56.38B | 3,240.23%56.38B | 72.98%1.56B | 77.99%1.67B |
| Other reserves | 172.80%54.6B | 172.80%54.6B | -36.22%41.51B | -66.31%15.18B | -86.40%9.71B | -59.73%20.01B | -59.73%20.01B | 652.44%65.09B | 205.60%45.06B | 1,143.15%71.39B |
| Other equity interest | 0.00%6M | 0.00%6M | 0.00%6M | -73.91%6M | -73.91%6M | -73.91%6M | -73.91%6M | -73.91%6M | 0.00%23M | 0.00%23M |
| Total stockholders'equity | -1.60%919.47B | -1.60%919.47B | -8.22%891.88B | -16.28%867.51B | -17.27%871.95B | -7.51%934.41B | -7.51%934.41B | 5.94%971.72B | 15.61%1.04T | 21.46%1.05T |
| Noncontrolling interests | 11.98%43.85B | 11.98%43.85B | 7.89%45B | 6.93%40.34B | 16.12%43.89B | 14.43%39.16B | 14.43%39.16B | 38.17%41.71B | 18.35%37.72B | 17.75%37.8B |
| Total equity | -1.05%963.32B | -1.05%963.32B | -7.55%936.88B | -15.47%907.85B | -16.11%915.85B | -6.79%973.57B | -6.79%973.57B | 6.97%1.01T | 15.71%1.07T | 21.33%1.09T |
| 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 |