Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
PETROCHINA
00857
5
KUNLUN ENERGY
00135
| (FY)Dec 30, 2025 | (Q4)Dec 30, 2025 | (FY)Dec 30, 2024 | (Q4)Dec 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -1.88%20.83M | -1.88%20.83M | -48.79%21.23M | -48.79%21.23M | 136.54%41.46M | 136.54%41.46M | -2.44%17.53M | -2.44%17.53M | 5.32%17.97M | 5.32%17.97M |
| -Cash and cash equivalents | 40.73%1.73M | 40.73%1.73M | -15.70%1.23M | -15.70%1.23M | -4.45%1.46M | -4.45%1.46M | 58.24%1.53M | 58.24%1.53M | -68.43%965K | -68.43%965K |
| -Short term investments | -4.50%19.1M | -4.50%19.1M | -50.00%20M | -50.00%20M | 150.00%40M | 150.00%40M | -5.88%16M | -5.88%16M | 21.43%17M | 21.43%17M |
| Receivables | -26.51%549K | -26.51%549K | -61.53%747K | -61.53%747K | -37.29%1.94M | -37.29%1.94M | 23.78%3.1M | 23.78%3.1M | 9.07%2.5M | 9.07%2.5M |
| -Accounts receivable | ---- | ---- | -61.53%747K | -61.53%747K | 19.95%1.94M | 19.95%1.94M | 22.37%1.62M | 22.37%1.62M | -2.65%1.32M | -2.65%1.32M |
| -Other receivables | --549K | --549K | ---- | ---- | ---- | ---- | 25.36%1.48M | 25.36%1.48M | 26.10%1.18M | 26.10%1.18M |
| Prepaid assets | --790K | --790K | ---- | ---- | 9.22%154K | 9.22%154K | -2.08%141K | -2.08%141K | -66.04%144K | -66.04%144K |
| Total current assets | 0.88%22.17M | 0.88%22.17M | -49.54%21.98M | -49.54%21.98M | 109.75%43.55M | 109.75%43.55M | 0.75%20.77M | 0.75%20.77M | 4.23%20.61M | 4.23%20.61M |
| Non current assets | ||||||||||
| Net PPE | -17.08%607K | -17.08%607K | 13.84%732K | 13.84%732K | -37.02%643K | -37.02%643K | -46.57%1.02M | -46.57%1.02M | -18.40%1.91M | -18.40%1.91M |
| -Gross PPE | 390.57%3.59M | 390.57%3.59M | -75.79%732K | -75.79%732K | -14.31%3.02M | -14.31%3.02M | -15.40%3.53M | -15.40%3.53M | -3.74%4.17M | -3.74%4.17M |
| -Accumulated depreciation | ---2.98M | ---2.98M | ---- | ---- | 5.07%-2.38M | 5.07%-2.38M | -10.98%-2.51M | -10.98%-2.51M | -13.52%-2.26M | -13.52%-2.26M |
| Investments and advances | -11.88%58.26M | -11.88%58.26M | -59.37%66.11M | -59.37%66.11M | -15.33%162.7M | -15.33%162.7M | -23.82%192.15M | -23.82%192.15M | 6.59%252.23M | 6.59%252.23M |
| -Financial asset investment | ---- | ---- | ---- | ---- | -15.90%80.8M | -15.90%80.8M | -23.82%96.07M | -23.82%96.07M | 6.59%126.12M | 6.59%126.12M |
| -Including:Trading securities | ---- | ---- | ---- | ---- | -15.90%80.8M | -15.90%80.8M | -23.82%96.07M | -23.82%96.07M | 6.59%126.12M | 6.59%126.12M |
| -Other investment | -11.88%58.26M | -11.88%58.26M | -19.28%66.11M | -19.28%66.11M | -14.75%81.9M | -14.75%81.9M | -23.82%96.08M | -23.82%96.08M | 6.59%126.12M | 6.59%126.12M |
| Non current accounts receivable | 23.34%3.47M | 23.34%3.47M | 239.57%2.82M | 239.57%2.82M | 0.00%829K | 0.00%829K | 0.00%829K | 0.00%829K | -0.00%829K | -0.00%829K |
| Total non current assets | -10.51%62.33M | -10.51%62.33M | -57.57%69.65M | -57.57%69.65M | -15.37%164.17M | -15.37%164.17M | -23.91%194M | -23.91%194M | 6.32%254.97M | 6.32%254.97M |
| Total assets | -7.78%84.5M | -7.78%84.5M | -55.89%91.63M | -55.89%91.63M | -3.28%207.73M | -3.28%207.73M | -22.07%214.76M | -22.07%214.76M | 6.17%275.58M | 6.17%275.58M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -28.41%63K | -28.41%63K | -17.76%88K | -17.76%88K | -74.58%107K | -74.58%107K | -20.11%421K | -20.11%421K | 16.34%527K | 16.34%527K |
| -Current capital lease obligation | -28.41%63K | -28.41%63K | -17.76%88K | -17.76%88K | -74.58%107K | -74.58%107K | -20.11%421K | -20.11%421K | 16.34%527K | 16.34%527K |
| Payables | -5.74%1.68M | -5.74%1.68M | 17.51%1.78M | 17.51%1.78M | 5.14%1.51M | 5.14%1.51M | -16.92%1.44M | -16.92%1.44M | 19.20%1.73M | 19.20%1.73M |
| -accounts payable | -5.74%1.68M | -5.74%1.68M | 17.51%1.78M | 17.51%1.78M | 5.14%1.51M | 5.14%1.51M | -16.92%1.44M | -16.92%1.44M | 19.20%1.73M | 19.20%1.73M |
| Current provisions | -1.51%1.5M | -1.51%1.5M | -12.38%1.52M | -12.38%1.52M | -1.70%1.74M | -1.70%1.74M | -3.71%1.77M | -3.71%1.77M | -2.29%1.84M | -2.29%1.84M |
| Pension and other retirement benefit plans | -54.72%321K | -54.72%321K | --709K | --709K | ---- | ---- | ---- | ---- | ---- | ---- |
| Current liabilities | -13.13%3.56M | -13.13%3.56M | 22.04%4.1M | 22.04%4.1M | -7.44%3.36M | -7.44%3.36M | -11.41%3.63M | -11.41%3.63M | 0.42%4.09M | 0.42%4.09M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -42.42%19K | -42.42%19K | 10.00%33K | 10.00%33K | -74.58%30K | -74.58%30K | -73.48%118K | -73.48%118K | -12.40%445K | -12.40%445K |
| -Long term capital lease obligation | -42.42%19K | -42.42%19K | 10.00%33K | 10.00%33K | -74.58%30K | -74.58%30K | -73.48%118K | -73.48%118K | -12.40%445K | -12.40%445K |
| Long term accounts payable and other payables | 0.00%194K | 0.00%194K | -50.00%194K | -50.00%194K | 0.00%388K | 0.00%388K | -0.00%388K | -0.00%388K | 0.00%388K | 0.00%388K |
| Long term provisions | 0.00%110K | 0.00%110K | -78.17%110K | -78.17%110K | 5.44%504K | 5.44%504K | 18.91%478K | 18.91%478K | 16.52%402K | 16.52%402K |
| Non current deferred liabilities | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | 0.00%6.76M | -0.00%6.76M | -0.00%6.76M |
| Total non current liabilities | -0.20%7.08M | -0.20%7.08M | -7.62%7.1M | -7.62%7.1M | -0.80%7.68M | -0.80%7.68M | -3.14%7.74M | -3.14%7.74M | -2.93%7.99M | -2.93%7.99M |
| Total liabilities | -4.93%10.64M | -4.93%10.64M | 1.40%11.19M | 1.40%11.19M | -2.92%11.04M | -2.92%11.04M | -5.94%11.37M | -5.94%11.37M | -1.82%12.09M | -1.82%12.09M |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | -0.00%401.06M | -0.00%401.06M | 0.00%401.06M | 0.00%401.06M |
| -common stock | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | 0.00%401.06M | -0.00%401.06M | -0.00%401.06M | 0.00%401.06M | 0.00%401.06M |
| Retained earnings | -2.00%-370.11M | -2.00%-370.11M | -1.95%-362.87M | -1.95%-362.87M | -1.28%-355.92M | -1.28%-355.92M | -0.85%-351.42M | -0.85%-351.42M | -1.24%-348.47M | -1.24%-348.47M |
| Gains losses not affecting retained earnings | 1.58%42.91M | 1.58%42.91M | -17.15%42.25M | -17.15%42.25M | 4.90%50.99M | 4.90%50.99M | -35.42%48.61M | -35.42%48.61M | 17.24%75.27M | 17.24%75.27M |
| Total stockholders'equity | -8.17%73.86M | -8.17%73.86M | -16.33%80.44M | -16.33%80.44M | -2.15%96.14M | -2.15%96.14M | -23.16%98.25M | -23.16%98.25M | 5.63%127.86M | 5.63%127.86M |
| Total equity | -8.17%73.86M | -8.17%73.86M | -16.33%80.44M | -16.33%80.44M | -2.15%96.14M | -2.15%96.14M | -23.16%98.25M | -23.16%98.25M | 5.63%127.86M | 5.63%127.86M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |