Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
PETROCHINA
00857
5
KUNLUN ENERGY
00135
| (Q2)Mar 31, 2026 | (Q1)Dec 31, 2025 | (FY)Sep 30, 2025 | (Q4)Sep 30, 2025 | (Q3)Jun 30, 2025 | (Q2)Mar 31, 2025 | (Q1)Dec 31, 2024 | (FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 515.81%6.11M | 689.16%7.35M | 260.31%5.19M | 260.31%5.19M | 15.71%1.85M | -57.72%991.71K | -68.75%930.81K | -58.72%1.44M | -58.72%1.44M | -62.68%1.6M |
| -Cash and cash equivalents | 515.81%6.11M | 689.16%7.35M | 260.31%5.19M | 260.31%5.19M | 15.71%1.85M | -57.72%991.71K | -68.75%930.81K | -58.72%1.44M | -58.72%1.44M | -62.68%1.6M |
| Receivables | 1,739.31%2.19M | 118.73%101.11K | 238.62%137.62K | 238.62%137.62K | --373.56K | --118.85K | 3.07%46.22K | -54.32%40.64K | -54.32%40.64K | --0 |
| -Accounts receivable | -65.45%41.06K | 93.07%89.24K | 81.48%73.76K | 81.48%73.76K | --373.56K | --118.85K | 3.07%46.22K | -54.32%40.64K | -54.32%40.64K | --0 |
| -Due from related parties current | --0 | --11.86K | --63.86K | --63.86K | ---- | ---- | ---- | --0 | --0 | ---- |
| -Other receivables | --2.15M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Inventory | 9.49%429.68K | 19.55%371.96K | -5.74%371.07K | -5.74%371.07K | -36.03%261.13K | --392.45K | --311.13K | --393.65K | --393.65K | --408.19K |
| Prepaid assets | 513.06%130.47K | 321.15%146.77K | 78.99%108.59K | 78.99%108.59K | -46.73%34.85K | -51.52%21.28K | -56.68%34.85K | -41.56%60.67K | -41.56%60.67K | -70.35%65.43K |
| Total current assets | 480.81%8.85M | 502.07%7.97M | 200.07%5.81M | 200.07%5.81M | 21.58%2.52M | -36.20%1.52M | -57.38%1.32M | -47.44%1.94M | -47.44%1.94M | -54.99%2.07M |
| Non current assets | ||||||||||
| Net PPE | -74.81%103.83K | -65.17%159.22K | -56.32%219.32K | -56.32%219.32K | -71.15%367.28K | --412.23K | --457.18K | --502.13K | --502.13K | --1.27M |
| -Gross PPE | 0.00%592.02K | -0.00%592.02K | 0.00%592.02K | 0.00%592.02K | --592.02K | --592.02K | --592.02K | --592.02K | --592.02K | ---- |
| -Accumulated depreciation | -171.52%-488.19K | -220.96%-432.81K | -314.59%-372.71K | -314.59%-372.71K | ---224.75K | ---179.8K | ---134.85K | ---89.9K | ---89.9K | ---- |
| Investments and advances | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 | -55.84%276.44K |
| -Long term equity investment | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 | -55.84%276.44K |
| Goodwill and other intangible assets | -84.43%878.16K | -91.14%971.76K | -89.09%1.07M | -89.09%1.07M | -76.64%4.6M | -55.12%5.64M | 28.72%10.97M | 62.60%9.76M | 62.60%9.76M | 289.05%19.71M |
| -Goodwill | --0 | --0 | --0 | --0 | --0 | --0 | ---- | --0 | --0 | -77.86%656.16K |
| -Other intangible assets | -84.43%878.16K | -91.14%971.76K | -89.09%1.07M | -89.09%1.07M | -75.84%4.6M | -55.12%5.64M | 28.72%10.97M | 62.60%9.76M | 62.60%9.76M | 806.10%19.06M |
| Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -98.83%125K |
| Total non current assets | -83.78%982K | -90.10%1.13M | -87.48%1.28M | -87.48%1.28M | -76.75%4.97M | -53.33%6.05M | 31.29%11.43M | 65.95%10.26M | 65.95%10.26M | 30.83%21.39M |
| Total assets | 29.78%9.84M | -28.65%9.1M | -41.85%7.09M | -41.85%7.09M | -68.07%7.49M | -50.66%7.58M | 7.98%12.75M | 23.63%12.2M | 23.63%12.2M | 11.98%23.46M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -83.31%123.62K | -76.20%157.74K | -20.55%588.31K | -20.55%588.31K | 169.27%740.48K | 492.39%740.48K | 430.15%662.69K | 492.39%740.48K | 492.39%740.48K | 120.00%275K |
| -Current debt | ---- | -97.30%11.79K | -24.58%387.48K | -24.58%387.48K | 86.81%513.73K | 310.98%513.73K | 248.74%435.93K | 310.98%513.73K | 310.98%513.73K | 120.00%275K |
| -Current capital lease obligation | -45.48%123.62K | -35.64%145.95K | -11.43%200.83K | -11.43%200.83K | --226.75K | --226.75K | --226.75K | --226.75K | --226.75K | ---- |
| Payables | 75.29%423.95K | -57.07%188.16K | -67.14%134.15K | -67.14%134.15K | -45.04%443.57K | 59.63%241.85K | 59.79%438.29K | -21.07%408.21K | -21.07%408.21K | 10.45%807.11K |
| -accounts payable | 75.29%423.95K | -57.07%188.16K | -67.14%134.15K | -67.14%134.15K | -45.04%443.57K | 59.63%241.85K | 59.79%438.29K | -21.07%408.21K | -21.07%408.21K | 10.45%807.11K |
| Current accrued expenses | --138.82K | --128.93K | -44.12%173.77K | -44.12%173.77K | ---- | ---- | ---- | --310.96K | --310.96K | ---- |
| Current deferred liabilities | 169.52%839.75K | 37.88%884.8K | 21.91%1.5M | 21.91%1.5M | -79.07%261.79K | --311.57K | 1,504.26%641.7K | 2,974.55%1.23M | 2,974.55%1.23M | 3,027.68%1.25M |
| Other current liabilities | ---- | ---- | ---- | ---- | -70.81%261.53K | 271.51%730.29K | 82.10%484.6K | 23.90%261.53K | 23.90%261.53K | 816.90%895.96K |
| Current liabilities | -24.60%1.53M | -38.96%1.36M | -10.93%2.4M | -10.93%2.4M | -47.13%1.71M | 327.88%2.02M | 215.74%2.23M | 201.08%2.69M | 201.08%2.69M | 171.27%3.23M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | ---- | -99.29%10.34K | -30.98%1.03M | -30.98%1.03M | -26.20%1.04M | --1.25M | --1.45M | --1.5M | --1.5M | --1.41M |
| -Long term debt | ---- | -99.19%10.34K | -18.87%1.03M | -18.87%1.03M | -31.63%964.42K | --1.12M | --1.28M | --1.28M | --1.28M | --1.41M |
| -Long term capital lease obligation | ---- | ---- | --0 | --0 | --76.61K | --125.72K | --174.83K | --223.94K | --223.94K | ---- |
| Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -99.64%1.55K |
| Total non current liabilities | --0 | -99.29%10.34K | -30.98%1.03M | -30.98%1.03M | -26.28%1.04M | 19,401.11%1.25M | 2,866.79%1.45M | 2,770.16%1.5M | 2,770.16%1.5M | 229.77%1.41M |
| Total liabilities | -53.33%1.53M | -62.75%1.37M | -18.11%3.43M | -18.11%3.43M | -40.78%2.75M | 581.99%3.27M | 387.56%3.68M | 343.04%4.19M | 343.04%4.19M | 186.75%4.64M |
| Shareholders'equity | ||||||||||
| Share capital | 12.54%33.29M | 12.97%33.16M | 2.22%29.94M | 2.22%29.94M | 2.27%30.37M | 19.00%29.58M | 18.08%29.35M | 17.85%29.29M | 17.85%29.29M | 17.08%29.7M |
| -common stock | 12.54%33.29M | 12.97%33.16M | 2.22%29.94M | 2.22%29.94M | 2.27%30.37M | 19.00%29.58M | 18.08%29.35M | 17.85%29.29M | 17.85%29.29M | 17.08%29.7M |
| Additional paid-in capital | 11.86%4.39M | 7.97%4.38M | 0.76%4.42M | 0.76%4.42M | -7.56%3.55M | 21.61%3.92M | 25.84%4.05M | 37.00%4.39M | 37.00%4.39M | 13.83%3.84M |
| Retained earnings | -4.97%-33.62M | -25.54%-34.11M | -17.09%-32.87M | -17.09%-32.87M | -98.15%-32.01M | -136.04%-32.03M | -56.14%-27.17M | -43.84%-28.08M | -43.84%-28.08M | -55.36%-16.15M |
| Gains losses not affecting retained earnings | ---- | ---- | --0 | --0 | --119.44K | --119.44K | --119.44K | --119.44K | --119.44K | ---- |
| Other equity interest | 63.97%4.53M | 63.97%4.53M | 0.00%2.34M | 0.00%2.34M | 99.53%2.76M | 648.01%2.76M | 648.01%2.76M | 533.98%2.34M | 533.98%2.34M | --1.38M |
| Total stockholders'equity | 97.15%8.59M | -12.78%7.95M | -52.47%3.83M | -52.47%3.83M | -74.46%4.79M | -70.73%4.36M | -17.48%9.11M | -9.46%8.07M | -9.46%8.07M | -2.50%18.77M |
| Noncontrolling interests | -492.23%-277.13K | -433.46%-221.99K | -201.22%-170.93K | -201.22%-170.93K | -207.95%-51.97K | ---46.79K | -538.27%-41.61K | -547.31%-56.75K | -547.31%-56.75K | -40.04%48.15K |
| Total equity | 92.86%8.31M | -14.83%7.73M | -54.27%3.66M | -54.27%3.66M | -74.80%4.74M | -71.05%4.31M | -17.92%9.07M | -10.22%8.01M | -10.22%8.01M | -2.66%18.82M |
| 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 | -- | -- | -- | -- | 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.