Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
5
KUNLUN ENERGY
00135
| (Q2)Feb 28, 2026 | (FY)Aug 31, 2025 | (Q4)Aug 31, 2025 | (Q3)May 31, 2025 | (Q2)Feb 28, 2025 | (FY)Aug 31, 2024 | (Q4)Aug 31, 2024 | (Q3)May 31, 2024 | (Q2)Feb 29, 2024 | (Q1)Nov 30, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 10.50%3.56B | 12.28%3.42B | 12.28%3.42B | 13.74%3.03B | 36.41%3.22B | 53.97%3.04B | 53.97%3.04B | 54.63%2.66B | 56.18%2.36B | 59.59%1.95B |
| -Cash and cash equivalents | 10.50%3.56B | 12.28%3.42B | 12.28%3.42B | 13.74%3.03B | 36.41%3.22B | 53.97%3.04B | 53.97%3.04B | 54.63%2.66B | 56.18%2.36B | 59.59%1.95B |
| Receivables | 63.16%165.72M | 32.03%131.03M | 32.03%131.03M | 53.15%102.33M | 23.38%101.57M | 69.58%99.24M | 69.58%99.24M | 31.56%66.82M | 70.15%82.32M | 52.11%83.96M |
| -Accounts receivable | 63.16%165.72M | 32.03%131.03M | 32.03%131.03M | 53.15%102.33M | 23.38%101.57M | 69.58%99.24M | 69.58%99.24M | 31.56%66.82M | 70.15%82.32M | 52.11%83.96M |
| -Gross accounts receivable | 63.16%165.72M | 32.03%131.03M | 32.03%131.03M | 53.15%102.33M | 23.38%101.57M | 69.58%99.24M | 69.58%99.24M | 31.56%66.82M | 70.15%82.32M | 52.11%83.96M |
| Inventory | 88.26%29.45M | -5.34%19.62M | -5.34%19.62M | 21.72%19.73M | -14.98%15.64M | 39.50%20.72M | 39.50%20.72M | -0.18%16.21M | -13.66%18.4M | -36.99%14.23M |
| Prepaid assets | 34.56%95.66M | 29.85%86.69M | 29.85%86.69M | 70.58%100.46M | 1.26%71.09M | -4.56%66.77M | -4.56%66.77M | 8.94%58.9M | 70.00%70.2M | 36.41%60.69M |
| Other current assets | 17.98%53.27M | -26.90%47.32M | -26.90%47.32M | -25.52%46.82M | 80.84%45.15M | 392.37%64.73M | 392.37%64.73M | 271.62%62.86M | 2,354.97%24.97M | 1,870.38%15.23M |
| Total current assets | 13.00%3.9B | 12.35%3.7B | 12.35%3.7B | 15.01%3.3B | 35.09%3.45B | 54.46%3.29B | 54.46%3.29B | 54.17%2.87B | 57.47%2.56B | 57.94%2.13B |
| Non current assets | ||||||||||
| Net PPE | 6.54%532.38M | 35.01%547M | 35.01%547M | 29.52%534.02M | 30.93%499.69M | 11.46%405.15M | 11.46%405.15M | 22.51%412.3M | 11.93%381.64M | 3.87%358.62M |
| -Gross PP&E | 5.29%628.24M | 30.70%631.14M | 30.70%631.14M | 32.35%641.45M | 32.55%596.66M | 13.73%482.88M | 13.73%482.88M | 23.01%484.65M | 13.97%450.15M | 6.96%423.39M |
| -Accumulated depreciation | 1.14%-95.86M | -8.23%-84.14M | -8.23%-84.14M | -48.47%-107.43M | -41.54%-96.97M | -27.23%-77.74M | -27.23%-77.74M | -25.91%-72.36M | -26.82%-68.51M | -27.99%-64.77M |
| Prepaid assets-non current | -68.50%474K | 106.21%730K | 106.21%730K | 108.17%1.1M | 192.80%1.51M | -78.51%354K | -78.51%354K | -51.96%526K | -69.68%514K | -12.33%889K |
| Total investment | 23.54%38.28M | 210.55%34.99M | 210.55%34.99M | 203.18%34.99M | 310.95%30.99M | 43.82%11.27M | 43.82%11.27M | 188.53%11.54M | --7.54M | --7.83M |
| -Financial asset investment | 23.54%38.28M | 210.55%34.99M | 210.55%34.99M | 203.18%34.99M | 310.95%30.99M | 43.82%11.27M | 43.82%11.27M | 188.53%11.54M | --7.54M | --7.83M |
| -Including:Available-for-sale securities | 23.54%38.28M | 210.55%34.99M | 210.55%34.99M | 203.18%34.99M | 310.95%30.99M | 43.82%11.27M | 43.82%11.27M | 188.53%11.54M | --7.54M | --7.83M |
| Deferred tax assets-non current | 15.24%202.2M | 15.24%202.2M | 15.24%202.2M | 43.45%175.45M | 43.45%175.45M | 43.45%175.45M | 43.45%175.45M | 89.42%122.31M | 89.42%122.31M | 89.42%122.31M |
| Other non current assets | 198.05%2.45M | 0.12%821K | 0.12%821K | 0.00%820K | 0.24%822K | -0.24%820K | -0.24%820K | -0.49%820K | -0.24%820K | -0.12%821K |
| Total non current assets | 9.50%775.79M | 32.49%785.74M | 32.49%785.74M | 36.33%746.38M | 38.15%708.46M | 19.54%593.04M | 19.54%593.04M | 34.51%547.49M | 25.67%512.82M | 19.14%490.47M |
| Total assets | 12.40%4.68B | 15.43%4.49B | 15.43%4.49B | 18.43%4.04B | 35.60%4.16B | 47.87%3.89B | 47.87%3.89B | 50.64%3.41B | 51.08%3.07B | 48.85%2.62B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 3.29%69.13M | 29.26%75.83M | 29.26%75.83M | 4.03%65.19M | 19.66%66.93M | -18.32%58.67M | -18.32%58.67M | -16.02%62.66M | -33.26%55.93M | -38.67%63.04M |
| -Current debt and capital lease obligation | 3.29%69.13M | 29.26%75.83M | 29.26%75.83M | 4.03%65.19M | 19.66%66.93M | -18.32%58.67M | -18.32%58.67M | -16.02%62.66M | -33.26%55.93M | -38.67%63.04M |
| -Including:Current debt | 3.29%69.13M | 29.26%75.83M | 29.26%75.83M | 4.03%65.19M | 19.66%66.93M | -18.32%58.67M | -18.32%58.67M | -16.02%62.66M | -33.26%55.93M | -38.67%63.04M |
| Payables | 13.31%494M | 11.61%592.36M | 11.61%592.36M | 13.77%388.36M | 43.51%435.99M | 41.17%530.74M | 41.17%530.74M | 76.46%341.36M | 81.47%303.81M | 62.44%221.32M |
| -accounts payable | 41.56%44.86M | 57.81%43.43M | 57.81%43.43M | 43.65%33.27M | 42.91%31.69M | 48.58%27.52M | 48.58%27.52M | 37.02%23.16M | 60.84%22.18M | 62.45%20.26M |
| -Total tax payable | 2.46%243M | 30.01%236.92M | 30.01%236.92M | 45.18%168M | 56.50%237.17M | 22.74%182.24M | 22.74%182.24M | 28.28%115.72M | 51.91%151.55M | 106.62%110.45M |
| -Other payable | 23.35%206.14M | -2.80%312.01M | -2.80%312.01M | -7.60%187.1M | 28.48%167.13M | 53.60%320.99M | 53.60%320.99M | 134.52%202.48M | 141.48%130.08M | 28.86%90.62M |
| Pension and other retirement benefit plans | 24.11%100.85M | -52.66%93.5M | -52.66%93.5M | -33.34%45.32M | 22.00%81.26M | 65.89%197.51M | 65.89%197.51M | 131.06%67.99M | 9.03%66.6M | 37.67%34.7M |
| Accrued and deferred income | 12.70%1.19B | 3.40%1.12B | 3.40%1.12B | 6.92%1.06B | 14.48%1.05B | 39.11%1.09B | 39.11%1.09B | 27.38%989.45M | 31.59%920.11M | 46.75%778.38M |
| Other current liabilities | -1.17%117.14M | 19.90%140.01M | 19.90%140.01M | 23.78%153.23M | 34.14%118.52M | 34.85%116.78M | 34.85%116.78M | 40.76%123.79M | 61.90%88.35M | 61.10%106.56M |
| Current liabilities | 12.08%1.97B | 1.76%2.03B | 1.76%2.03B | 7.87%1.71B | 22.39%1.76B | 38.74%1.99B | 38.74%1.99B | 36.40%1.59B | 34.58%1.43B | 39.87%1.2B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -4.55%141.15M | 86.03%173.71M | 86.03%173.71M | 25.56%132M | 118.17%147.88M | -1.13%93.38M | -1.13%93.38M | 27.76%105.13M | -29.92%67.78M | -29.86%81.12M |
| -Long term debt and capital lease obligation | -4.55%141.15M | 86.03%173.71M | 86.03%173.71M | 25.56%132M | 118.17%147.88M | -1.13%93.38M | -1.13%93.38M | 27.76%105.13M | -29.92%67.78M | -29.86%81.12M |
| -Including:Long term debt | -4.55%141.15M | 86.03%173.71M | 86.03%173.71M | 25.56%132M | 118.17%147.88M | -1.13%93.38M | -1.13%93.38M | 27.76%105.13M | -29.92%67.78M | -29.86%81.12M |
| Long term provisions | 0.27%6.42M | 0.27%6.42M | 0.27%6.42M | 0.28%6.4M | 0.28%6.4M | 0.28%6.4M | 0.28%6.4M | 0.27%6.39M | 0.27%6.39M | 0.27%6.39M |
| Other non current liabilities | -50.00%1K | 100.00%2K | 100.00%2K | --1K | --2K | -50.00%1K | -50.00%1K | ---- | ---- | 100.00%2K |
| Total non current liabilities | -4.35%147.57M | 80.53%180.14M | 80.53%180.14M | 24.11%138.4M | 108.03%154.28M | -1.04%99.79M | -1.04%99.79M | 25.78%111.51M | -28.05%74.17M | -28.29%87.5M |
| Total liabilities | 10.76%2.12B | 5.52%2.21B | 5.52%2.21B | 8.94%1.85B | 26.60%1.91B | 36.13%2.09B | 36.13%2.09B | 35.65%1.7B | 29.06%1.51B | 31.41%1.29B |
| Shareholders'equity | ||||||||||
| Share capital | 5.85%352.16M | 7.24%346.39M | 7.24%346.39M | 4.25%334.15M | 5.37%332.7M | 15.31%323M | 15.31%323M | 17.40%320.52M | 25.86%315.73M | 14.22%286.54M |
| -common stock | 5.85%352.16M | 7.24%346.39M | 7.24%346.39M | 4.25%334.15M | 5.37%332.7M | 15.31%323M | 15.31%323M | 17.40%320.52M | 25.86%315.73M | 14.22%286.54M |
| Additional paid-in capital | 4.04%349.16M | 7.31%343.39M | 7.31%343.39M | 8.94%345.92M | 7.32%335.61M | 15.48%320M | 15.48%320M | 17.59%317.52M | 26.17%312.73M | 14.39%283.54M |
| Retained earnings | 33.70%2.1B | 63.44%1.87B | 63.44%1.87B | 63.12%1.75B | 68.75%1.57B | 114.02%1.15B | 114.02%1.15B | 127.92%1.07B | 156.63%930.65M | 174.24%755.46M |
| Less: Treasury stock | 65,491.52%263.02M | 74,782.54%300.28M | 74,782.54%300.28M | 63,139.40%253.59M | 0.00%401K | 14.90%401K | 14.90%401K | 239.83%401K | 702.00%401K | --349K |
| Other equity interest | 78.87%25.26M | 125.02%19.46M | 125.02%19.46M | 204.73%16.74M | 520.39%14.12M | 794.42%8.65M | 794.42%8.65M | 417.23%5.49M | 56.64%2.28M | -39.30%882K |
| Total stockholders'equity | 13.80%2.56B | 26.96%2.28B | 26.96%2.28B | 27.81%2.19B | 44.30%2.25B | 64.37%1.8B | 64.37%1.8B | 69.11%1.72B | 80.93%1.56B | 70.96%1.33B |
| Total equity | 13.80%2.56B | 26.96%2.28B | 26.96%2.28B | 27.81%2.19B | 44.30%2.25B | 64.37%1.8B | 64.37%1.8B | 69.11%1.72B | 80.93%1.56B | 70.96%1.33B |
| 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 |