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00135 KUNLUN ENERGY

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  • 8.280
  • +0.110+1.35%
Not Open Dec 24 12:08 CST
71.69BMarket Cap11.34P/E (TTM)

KUNLUN ENERGY Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Assets
Current assets
Inventory
1.56%1.17B
6.85%1.16B
26.20%1.16B
-12.11%1.08B
-36.26%916M
32.97%1.23B
-3.49%1.44B
-33.83%925M
-18.63%1.49B
-25.04%1.4B
Accounts receivable
-0.07%2.71B
-31.52%1.98B
-15.90%2.71B
5.83%2.89B
-19.67%3.23B
-33.22%2.73B
47.79%4.02B
46.31%4.09B
13.34%2.72B
13.54%2.79B
Advance deposits and other receivables
6.80%7.2B
7.45%8.48B
-13.62%6.74B
-37.81%7.89B
-25.46%7.8B
55.60%12.69B
38.39%10.46B
19.55%8.15B
11.60%7.56B
16.40%6.82B
Cash and equivalents
19.09%29.42B
36.48%27.35B
34.90%24.71B
-29.66%20.04B
-62.29%18.31B
75.10%28.49B
134.61%48.56B
-12.70%16.27B
15.99%20.7B
-8.96%18.64B
Fixed time deposit-current assets
0.74%17.45B
-6.19%18.24B
1.76%17.32B
--19.44B
--17.02B
----
----
----
----
----
Special items of current assets
----
----
----
----
----
----
----
--44.41B
----
----
Total current assets
10.11%57.96B
11.41%57.2B
11.33%52.64B
13.74%51.34B
-26.67%47.28B
-38.87%45.14B
98.60%64.48B
149.05%73.84B
12.54%32.47B
-3.28%29.65B
Non-current assets
Property, plant and equipment
-2.55%65.98B
-2.16%68.03B
-1.62%67.71B
-0.26%69.53B
1.41%68.83B
2.71%69.71B
-35.94%67.87B
-35.83%67.88B
5.50%105.95B
10.26%105.78B
Associated company interest
1.03%8.01B
0.90%7.98B
5.71%7.92B
9.12%7.91B
13.47%7.5B
17.17%7.25B
13.84%6.61B
8.30%6.19B
44.72%5.8B
38.51%5.71B
Interests in Joint Venture
1.79%6.25B
0.88%6.11B
3.30%6.14B
4.83%6.06B
76.36%5.95B
72.55%5.78B
3.56%3.37B
4.53%3.35B
14.29%3.26B
11.60%3.2B
Intangible assets
-8.11%1.65B
-5.08%1.76B
-3.12%1.8B
-5.47%1.85B
--1.86B
25.87%1.96B
----
--1.55B
----
----
Deferred tax assets
-4.14%1.14B
-5.47%1.05B
-5.20%1.19B
-7.39%1.12B
-7.27%1.25B
-6.96%1.2B
-0.74%1.35B
-5.27%1.29B
4.14%1.36B
9.98%1.37B
Other illiquid assets
40.76%1.11B
33.72%1.03B
-9.56%785M
-21.41%771M
--868M
51.62%981M
----
--647M
----
----
Special items of non-current assets
----
----
----
----
----
----
5.09%2.79B
----
22.65%2.65B
15.93%2.19B
Total non-current assets
-1.78%84.37B
-1.41%86.32B
-0.87%85.9B
0.12%87.55B
5.69%86.65B
7.76%87.44B
-31.11%81.99B
-31.38%81.15B
7.46%119.01B
7.57%118.25B
Total assets
2.74%142.33B
3.33%143.52B
3.44%138.54B
4.76%138.89B
-8.56%133.93B
-14.46%132.58B
-3.31%146.46B
4.79%154.99B
8.51%151.48B
5.20%147.9B
Liabilities
Current liabilities
Accounts payable
-0.19%26.34B
0.29%27.8B
-1.58%26.39B
1.66%27.72B
-38.83%26.81B
-2.94%27.27B
37.47%43.83B
-4.12%28.09B
24.72%31.88B
7.11%29.3B
Tax payable
-25.84%927M
-5.47%1.11B
26.39%1.25B
26.93%1.17B
67.91%989M
12.87%921M
-5.00%589M
-18.40%816M
-10.66%620M
-20.51%1B
Short-term borrowing
52.31%8.56B
3.35%5.46B
-8.04%5.62B
-9.69%5.29B
10.53%6.11B
12.97%5.85B
-33.67%5.53B
-40.93%5.18B
-4.16%8.33B
24.04%8.77B
Financial lease liabilities-current liabilities
-12.83%197M
2.88%214M
47.71%226M
17.51%208M
-1.29%153M
12.03%177M
14.81%155M
-29.78%158M
-48.47%135M
50.00%225M
Special items of current liabilities
----
----
----
----
----
----
----
--10.34B
----
----
Total current liabilities
7.58%36.02B
0.58%34.58B
-1.70%33.48B
0.48%34.38B
-32.02%34.06B
-23.26%34.22B
22.28%50.1B
13.48%44.59B
6.42%40.97B
0.40%39.3B
Net current assets
14.52%21.94B
33.38%22.62B
44.90%19.16B
55.28%16.96B
-8.04%13.22B
-62.67%10.92B
269.03%14.38B
403.20%29.25B
11.87%-8.51B
-13.71%-9.65B
Total assets less current liabilities
1.19%106.31B
4.24%108.94B
5.19%105.06B
6.25%104.51B
3.64%99.87B
-10.90%98.36B
-12.80%96.36B
1.65%110.4B
9.31%110.51B
7.05%108.6B
Non-current liabilities
Long-term bank loan
-18.36%15.55B
-3.87%19.03B
4.05%19.05B
6.36%19.79B
-8.94%18.31B
-17.25%18.61B
-25.43%20.11B
-12.58%22.49B
12.54%26.97B
-8.65%25.73B
Financial lease liabilities-non-current liabilities
-12.52%489M
-11.57%497M
6.07%559M
5.05%562M
-2.04%527M
5.73%535M
13.74%538M
28.75%506M
3.96%473M
641.51%393M
Deferred tax liability
11.50%2B
0.65%1.87B
-2.82%1.79B
5.57%1.86B
15.33%1.84B
22.39%1.76B
-9.82%1.6B
-15.26%1.44B
9.65%1.77B
31.35%1.7B
Other non-current liabilities
-1.50%1.57B
10.49%1.76B
-0.44%1.6B
-0.25%1.59B
5.11%1.6B
11.37%1.6B
-17.88%1.53B
-10.33%1.43B
10.27%1.86B
-13.34%1.6B
Total non-current liabilities
-14.72%19.61B
-2.74%23.15B
3.21%23B
5.80%23.81B
-6.25%22.28B
-13.01%22.5B
-23.49%23.77B
-12.06%25.87B
12.09%31.07B
-6.18%29.42B
Total liabilities
-1.50%55.63B
-0.78%57.74B
0.24%56.48B
2.59%58.19B
-23.73%56.34B
-19.50%56.72B
2.54%73.87B
2.55%70.46B
8.80%72.04B
-2.53%68.71B
Total assets less total liabilities
5.65%86.7B
6.30%85.78B
5.76%82.06B
6.38%80.7B
6.88%77.59B
-10.25%75.86B
-8.62%72.59B
6.75%84.53B
8.26%79.44B
12.97%79.19B
Total equity and non-current liabilities
1.19%106.31B
4.24%108.94B
5.19%105.06B
6.25%104.51B
3.64%99.87B
-10.90%98.36B
-12.80%96.36B
1.65%110.4B
9.31%110.51B
7.05%108.6B
Equity
Share capital
0.00%71M
0.00%71M
0.00%71M
0.00%71M
0.00%71M
0.00%71M
0.00%71M
0.00%71M
7.58%71M
9.23%71M
Other reserves
-0.38%31.76B
0.66%31.95B
2.55%31.88B
2.50%31.74B
1.94%31.09B
41.05%30.97B
41.81%30.49B
2.44%21.96B
23.21%21.5B
24.06%21.43B
Retained profit
10.32%32.03B
11.86%31.43B
10.26%29.04B
11.33%28.1B
14.19%26.33B
-20.03%25.24B
-19.03%23.06B
10.79%31.56B
7.08%28.48B
12.31%28.48B
Shareholders' Equity
4.71%63.86B
5.91%63.45B
6.08%60.99B
6.46%59.91B
7.21%57.49B
5.02%56.28B
7.13%53.63B
7.19%53.58B
13.46%50.05B
17.06%49.99B
Non-controlling interest
8.38%22.84B
7.41%22.33B
4.86%21.07B
6.17%20.79B
5.95%20.1B
-36.70%19.59B
-35.46%18.97B
5.98%30.94B
0.42%29.39B
6.60%29.2B
Total equity
5.65%86.7B
6.30%85.78B
5.76%82.06B
6.38%80.7B
6.88%77.59B
-10.25%75.86B
-8.62%72.59B
6.75%84.53B
8.26%79.44B
12.97%79.19B
Total equity and total liabilities
2.74%142.33B
3.33%143.52B
3.44%138.54B
4.76%138.89B
-8.56%133.93B
-14.46%132.58B
-3.31%146.46B
4.79%154.99B
8.51%151.48B
5.20%147.9B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
KPMG
--
KPMG
(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019
Assets
Current assets
Inventory 1.56%1.17B6.85%1.16B26.20%1.16B-12.11%1.08B-36.26%916M32.97%1.23B-3.49%1.44B-33.83%925M-18.63%1.49B-25.04%1.4B
Accounts receivable -0.07%2.71B-31.52%1.98B-15.90%2.71B5.83%2.89B-19.67%3.23B-33.22%2.73B47.79%4.02B46.31%4.09B13.34%2.72B13.54%2.79B
Advance deposits and other receivables 6.80%7.2B7.45%8.48B-13.62%6.74B-37.81%7.89B-25.46%7.8B55.60%12.69B38.39%10.46B19.55%8.15B11.60%7.56B16.40%6.82B
Cash and equivalents 19.09%29.42B36.48%27.35B34.90%24.71B-29.66%20.04B-62.29%18.31B75.10%28.49B134.61%48.56B-12.70%16.27B15.99%20.7B-8.96%18.64B
Fixed time deposit-current assets 0.74%17.45B-6.19%18.24B1.76%17.32B--19.44B--17.02B--------------------
Special items of current assets ------------------------------44.41B--------
Total current assets 10.11%57.96B11.41%57.2B11.33%52.64B13.74%51.34B-26.67%47.28B-38.87%45.14B98.60%64.48B149.05%73.84B12.54%32.47B-3.28%29.65B
Non-current assets
Property, plant and equipment -2.55%65.98B-2.16%68.03B-1.62%67.71B-0.26%69.53B1.41%68.83B2.71%69.71B-35.94%67.87B-35.83%67.88B5.50%105.95B10.26%105.78B
Associated company interest 1.03%8.01B0.90%7.98B5.71%7.92B9.12%7.91B13.47%7.5B17.17%7.25B13.84%6.61B8.30%6.19B44.72%5.8B38.51%5.71B
Interests in Joint Venture 1.79%6.25B0.88%6.11B3.30%6.14B4.83%6.06B76.36%5.95B72.55%5.78B3.56%3.37B4.53%3.35B14.29%3.26B11.60%3.2B
Intangible assets -8.11%1.65B-5.08%1.76B-3.12%1.8B-5.47%1.85B--1.86B25.87%1.96B------1.55B--------
Deferred tax assets -4.14%1.14B-5.47%1.05B-5.20%1.19B-7.39%1.12B-7.27%1.25B-6.96%1.2B-0.74%1.35B-5.27%1.29B4.14%1.36B9.98%1.37B
Other illiquid assets 40.76%1.11B33.72%1.03B-9.56%785M-21.41%771M--868M51.62%981M------647M--------
Special items of non-current assets ------------------------5.09%2.79B----22.65%2.65B15.93%2.19B
Total non-current assets -1.78%84.37B-1.41%86.32B-0.87%85.9B0.12%87.55B5.69%86.65B7.76%87.44B-31.11%81.99B-31.38%81.15B7.46%119.01B7.57%118.25B
Total assets 2.74%142.33B3.33%143.52B3.44%138.54B4.76%138.89B-8.56%133.93B-14.46%132.58B-3.31%146.46B4.79%154.99B8.51%151.48B5.20%147.9B
Liabilities
Current liabilities
Accounts payable -0.19%26.34B0.29%27.8B-1.58%26.39B1.66%27.72B-38.83%26.81B-2.94%27.27B37.47%43.83B-4.12%28.09B24.72%31.88B7.11%29.3B
Tax payable -25.84%927M-5.47%1.11B26.39%1.25B26.93%1.17B67.91%989M12.87%921M-5.00%589M-18.40%816M-10.66%620M-20.51%1B
Short-term borrowing 52.31%8.56B3.35%5.46B-8.04%5.62B-9.69%5.29B10.53%6.11B12.97%5.85B-33.67%5.53B-40.93%5.18B-4.16%8.33B24.04%8.77B
Financial lease liabilities-current liabilities -12.83%197M2.88%214M47.71%226M17.51%208M-1.29%153M12.03%177M14.81%155M-29.78%158M-48.47%135M50.00%225M
Special items of current liabilities ------------------------------10.34B--------
Total current liabilities 7.58%36.02B0.58%34.58B-1.70%33.48B0.48%34.38B-32.02%34.06B-23.26%34.22B22.28%50.1B13.48%44.59B6.42%40.97B0.40%39.3B
Net current assets 14.52%21.94B33.38%22.62B44.90%19.16B55.28%16.96B-8.04%13.22B-62.67%10.92B269.03%14.38B403.20%29.25B11.87%-8.51B-13.71%-9.65B
Total assets less current liabilities 1.19%106.31B4.24%108.94B5.19%105.06B6.25%104.51B3.64%99.87B-10.90%98.36B-12.80%96.36B1.65%110.4B9.31%110.51B7.05%108.6B
Non-current liabilities
Long-term bank loan -18.36%15.55B-3.87%19.03B4.05%19.05B6.36%19.79B-8.94%18.31B-17.25%18.61B-25.43%20.11B-12.58%22.49B12.54%26.97B-8.65%25.73B
Financial lease liabilities-non-current liabilities -12.52%489M-11.57%497M6.07%559M5.05%562M-2.04%527M5.73%535M13.74%538M28.75%506M3.96%473M641.51%393M
Deferred tax liability 11.50%2B0.65%1.87B-2.82%1.79B5.57%1.86B15.33%1.84B22.39%1.76B-9.82%1.6B-15.26%1.44B9.65%1.77B31.35%1.7B
Other non-current liabilities -1.50%1.57B10.49%1.76B-0.44%1.6B-0.25%1.59B5.11%1.6B11.37%1.6B-17.88%1.53B-10.33%1.43B10.27%1.86B-13.34%1.6B
Total non-current liabilities -14.72%19.61B-2.74%23.15B3.21%23B5.80%23.81B-6.25%22.28B-13.01%22.5B-23.49%23.77B-12.06%25.87B12.09%31.07B-6.18%29.42B
Total liabilities -1.50%55.63B-0.78%57.74B0.24%56.48B2.59%58.19B-23.73%56.34B-19.50%56.72B2.54%73.87B2.55%70.46B8.80%72.04B-2.53%68.71B
Total assets less total liabilities 5.65%86.7B6.30%85.78B5.76%82.06B6.38%80.7B6.88%77.59B-10.25%75.86B-8.62%72.59B6.75%84.53B8.26%79.44B12.97%79.19B
Total equity and non-current liabilities 1.19%106.31B4.24%108.94B5.19%105.06B6.25%104.51B3.64%99.87B-10.90%98.36B-12.80%96.36B1.65%110.4B9.31%110.51B7.05%108.6B
Equity
Share capital 0.00%71M0.00%71M0.00%71M0.00%71M0.00%71M0.00%71M0.00%71M0.00%71M7.58%71M9.23%71M
Other reserves -0.38%31.76B0.66%31.95B2.55%31.88B2.50%31.74B1.94%31.09B41.05%30.97B41.81%30.49B2.44%21.96B23.21%21.5B24.06%21.43B
Retained profit 10.32%32.03B11.86%31.43B10.26%29.04B11.33%28.1B14.19%26.33B-20.03%25.24B-19.03%23.06B10.79%31.56B7.08%28.48B12.31%28.48B
Shareholders' Equity 4.71%63.86B5.91%63.45B6.08%60.99B6.46%59.91B7.21%57.49B5.02%56.28B7.13%53.63B7.19%53.58B13.46%50.05B17.06%49.99B
Non-controlling interest 8.38%22.84B7.41%22.33B4.86%21.07B6.17%20.79B5.95%20.1B-36.70%19.59B-35.46%18.97B5.98%30.94B0.42%29.39B6.60%29.2B
Total equity 5.65%86.7B6.30%85.78B5.76%82.06B6.38%80.7B6.88%77.59B-10.25%75.86B-8.62%72.59B6.75%84.53B8.26%79.44B12.97%79.19B
Total equity and total liabilities 2.74%142.33B3.33%143.52B3.44%138.54B4.76%138.89B-8.56%133.93B-14.46%132.58B-3.31%146.46B4.79%154.99B8.51%151.48B5.20%147.9B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--KPMG--KPMG

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.

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