Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
KUNLUN ENERGY
00135
| (Q3)Nov 30, 2025 | (Q2)Aug 31, 2025 | (Q1)May 31, 2025 | (FY)Feb 28, 2025 | (Q4)Feb 28, 2025 | (Q3)Nov 30, 2024 | (Q2)Aug 31, 2024 | (Q1)May 31, 2024 | (FY)Feb 29, 2024 | (Q4)Feb 29, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 113.17%235.65K | 209.43%550.5K | 248.74%685.03K | 317.40%650K | 317.40%650K | --110.54K | 8.95%177.91K | 37.38%196.43K | -12.48%155.73K | -12.48%155.73K |
| -Cash and cash equivalents | 113.17%235.65K | 209.43%550.5K | 248.74%685.03K | 317.40%650K | 317.40%650K | --110.54K | 8.95%177.91K | 37.38%196.43K | -12.48%155.73K | -12.48%155.73K |
| Receivables | 111.58%1.09M | 110.73%706.15K | 84.99%802.64K | 70.82%633.74K | 70.82%633.74K | --513.02K | 6.16%335.09K | 35.06%433.88K | 33.70%371K | 33.70%371K |
| -Accounts receivable | 133.42%863.44K | 131.87%554.22K | 101.68%649.12K | 90.53%456.8K | 90.53%456.8K | --369.91K | 26.96%239.02K | 70.39%321.86K | 31.56%239.75K | 31.56%239.75K |
| -Other receivables | 55.14%222.02K | 58.15%151.93K | 37.04%153.52K | 34.82%176.94K | 34.82%176.94K | --143.11K | -24.59%96.07K | -15.37%112.03K | 37.80%131.25K | 37.80%131.25K |
| Prepaid assets | 92.47%158.63K | 55.45%122.55K | 33.90%102.63K | -2.78%94.42K | -2.78%94.42K | --82.42K | 5.76%78.83K | -14.43%76.65K | 5.39%97.12K | 5.39%97.12K |
| Restricted cash | 2.25%26.89K | 2.25%26.89K | 2.25%26.89K | 1.75%26.3K | 1.75%26.3K | --26.3K | 1.75%26.3K | 1.75%26.3K | 0.85%25.85K | 0.85%25.85K |
| Total current assets | 105.75%1.51M | 127.48%1.41M | 120.55%1.62M | 116.17%1.4M | 116.17%1.4M | --732.28K | 6.70%618.13K | 26.50%733.26K | 13.35%649.69K | 13.35%649.69K |
| Non current assets | ||||||||||
| Net PPE | 908.30%8.02K | 335.87%5.44K | -3.23%1.65K | -70.18%455 | -70.18%455 | --795 | -63.96%1.25K | -61.64%1.7K | -63.04%1.53K | -63.04%1.53K |
| -Gross PPE | 2.72%336.25K | 1.76%333.08K | 0.45%328.82K | 0.00%327.34K | 0.00%327.34K | --327.34K | 0.00%327.34K | 0.00%327.34K | 0.56%327.34K | 0.56%327.34K |
| -Accumulated depreciation | -0.52%-328.23K | -0.48%-327.64K | -0.47%-327.17K | -0.33%-326.88K | -0.33%-326.88K | ---326.54K | -0.68%-326.09K | -0.85%-325.63K | -1.38%-325.81K | -1.38%-325.81K |
| Goodwill and other intangible assets | 22.81%56.88K | 27.97%51.74K | 18.08%52.81K | 17.23%52.76K | 17.23%52.76K | --46.32K | -13.87%40.44K | 58.04%44.72K | 28.35%45K | 28.35%45K |
| -Other intangible assets | 22.81%56.88K | 27.97%51.74K | 18.08%52.81K | 17.23%52.76K | 17.23%52.76K | --46.32K | -13.87%40.44K | 58.04%44.72K | 28.35%45K | 28.35%45K |
| Total non current assets | 37.75%64.9K | 37.19%57.19K | 17.30%54.45K | 14.36%53.21K | 14.36%53.21K | --47.11K | -17.31%41.68K | 41.82%46.42K | 18.72%46.53K | 18.72%46.53K |
| Total assets | 101.64%1.57M | 121.77%1.46M | 114.40%1.67M | 109.37%1.46M | 109.37%1.46M | --779.39K | 4.77%659.82K | 27.32%779.68K | 13.69%696.22K | 13.69%696.22K |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Payables | -26.50%715.27K | -44.92%483.82K | -14.70%738.41K | 27.34%967.99K | 27.34%967.99K | --973.1K | 26.71%878.46K | 38.45%865.63K | 51.48%760.18K | 51.48%760.18K |
| -accounts payable | -21.97%664.56K | -37.57%476.09K | -7.55%696.16K | 51.02%911.54K | 51.02%911.54K | --851.67K | 33.82%762.65K | 42.08%753.01K | 56.67%603.6K | 56.67%603.6K |
| -Total tax payable | --0 | --0 | --0 | -13.95%3.53K | -13.95%3.53K | --2.11K | -46.46%1.31K | 202.64%3.79K | -41.54%4.1K | -41.54%4.1K |
| -Other payable | -57.50%50.72K | -93.25%7.73K | -61.18%42.25K | -65.29%52.93K | -65.29%52.93K | --119.32K | -5.33%114.5K | 15.78%108.83K | 39.20%152.48K | 39.20%152.48K |
| Current accrued expenses | 153.28%133.35K | 240.63%165.88K | 66.34%126.73K | 503.80%217.93K | 503.80%217.93K | --52.65K | 11.96%48.7K | 21.54%76.19K | -46.37%36.09K | -46.37%36.09K |
| Current liabilities | -17.27%848.63K | -29.93%649.71K | -8.14%865.14K | 48.93%1.19M | 48.93%1.19M | --1.03M | 25.84%927.16K | 36.91%941.81K | 39.91%796.27K | 39.91%796.27K |
| Non current liabilities | ||||||||||
| Total non current liabilities | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
| Total liabilities | -17.27%848.63K | -29.93%649.71K | -8.14%865.14K | 48.93%1.19M | 48.93%1.19M | --1.03M | 25.84%927.16K | 36.91%941.81K | 39.91%796.27K | 39.91%796.27K |
| Shareholders'equity | ||||||||||
| Share capital | 8.83%9.99M | 8.83%9.99M | 8.83%9.99M | 0.00%9.18M | 0.00%9.18M | --9.18M | 0.00%9.18M | 0.00%9.18M | 0.00%9.18M | 0.00%9.18M |
| -common stock | 8.83%9.99M | 8.83%9.99M | 8.83%9.99M | 0.00%9.18M | 0.00%9.18M | --9.18M | 0.00%9.18M | 0.00%9.18M | 0.00%9.18M | 0.00%9.18M |
| Retained earnings | -0.40%-10.48M | 0.75%-10.35M | -0.31%-10.31M | -0.81%-10.25M | -0.81%-10.25M | ---10.44M | -4.27%-10.43M | -4.01%-10.28M | -5.15%-10.17M | -5.15%-10.17M |
| Gains losses not affecting retained earnings | -11.31%-14.82K | -726.68%-3.27K | -10.09%-3.68K | -1,300.73%-25.06K | -1,300.73%-25.06K | ---13.31K | 118.83%521 | ---3.34K | ---1.79K | ---1.79K |
| Other equity interest | 19.66%1.23M | 19.93%1.18M | 20.23%1.13M | 53.37%1.37M | 53.37%1.37M | --1.03M | 36.60%985.29K | 49.71%942.17K | 66.12%895.35K | 66.12%895.35K |
| Total stockholders'equity | 393.42%722.89K | 404.32%813.58K | 597.44%806.5K | 371.60%271.74K | 371.60%271.74K | ---246.37K | -149.73%-267.34K | -114.68%-162.13K | -331.33%-100.05K | -331.33%-100.05K |
| Total equity | 393.42%722.89K | 404.32%813.58K | 597.44%806.5K | 371.60%271.74K | 371.60%271.74K | ---246.37K | -149.73%-267.34K | -114.68%-162.13K | -331.33%-100.05K | -331.33%-100.05K |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | -- | -- |
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.