Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
KUNLUN ENERGY
00135
5
PETROCHINA
00857
| (FY)Mar 31, 2026 | (Q4)Mar 31, 2026 | (Q2)Sep 30, 2025 | (Q1)Jun 30, 2025 | (FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | (FY)Mar 31, 2024 | (Q4)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 6.30%5.17B | 6.30%5.17B | 8.32%4.94B | 8.40%4.67B | 20.72%4.86B | 20.72%4.86B | 18.05%4.56B | 16.56%4.31B | 9.65%4.03B | 9.65%4.03B |
| -Cash and cash equivalents | 6.30%5.17B | 6.30%5.17B | 8.32%4.94B | 8.40%4.67B | 20.72%4.86B | 20.72%4.86B | 18.05%4.56B | 16.56%4.31B | 9.65%4.03B | 9.65%4.03B |
| Receivables | -5.94%1.51B | -5.94%1.51B | 1.76%1.38B | 6.14%1.38B | 6.60%1.6B | 6.60%1.6B | 14.42%1.36B | 30.61%1.3B | 57.47%1.5B | 57.47%1.5B |
| -Accounts receivable | 6.39%1.27B | 6.39%1.27B | 1.76%1.38B | 6.14%1.38B | -7.68%1.19B | -7.68%1.19B | 14.42%1.36B | 30.61%1.3B | 48.83%1.29B | 48.83%1.29B |
| -Gross accounts receivable | 6.39%1.27B | 6.39%1.27B | 1.76%1.38B | 6.14%1.38B | -7.68%1.19B | -7.68%1.19B | 14.42%1.36B | 30.61%1.3B | 48.83%1.29B | 48.83%1.29B |
| -Other receivables | -41.50%241.31M | -41.50%241.31M | ---- | ---- | 92.53%412.48M | 92.53%412.48M | ---- | ---- | 142.00%214.24M | 142.00%214.24M |
| Tax assets-Current | -56.41%367K | -56.41%367K | ---- | ---- | -47.44%842K | -47.44%842K | ---- | ---- | -98.07%1.6M | -98.07%1.6M |
| Other current assets | 18.01%165.62M | 18.01%165.62M | -1.95%183.96M | -11.34%198.81M | 8.52%140.34M | 8.52%140.34M | -4.07%187.61M | -22.19%224.25M | 0.36%129.32M | 0.36%129.32M |
| Total current assets | 3.57%6.84B | 3.57%6.84B | 6.54%6.51B | 7.14%6.24B | 16.68%6.6B | 16.68%6.6B | 16.40%6.11B | 17.12%5.83B | 16.99%5.66B | 16.99%5.66B |
| Non current assets | ||||||||||
| Net PPE | -31.60%299.53M | -31.60%299.53M | 46.93%361.14M | 30.79%393.34M | 28.75%437.92M | 28.75%437.92M | -25.18%245.8M | 7.75%300.74M | 64.12%340.14M | 64.12%340.14M |
| -Gross PP&E | -12.38%630.21M | -12.38%630.21M | 46.93%361.14M | 30.79%393.34M | 23.07%719.25M | 23.07%719.25M | -25.18%245.8M | 7.75%300.74M | 37.71%584.43M | 37.71%584.43M |
| -Accumulated depreciation | -17.54%-330.67M | -17.54%-330.67M | ---- | ---- | -15.17%-281.33M | -15.17%-281.33M | ---- | ---- | -12.50%-244.29M | -12.50%-244.29M |
| Total investment | -23.55%313.14M | -23.55%313.14M | -22.51%369.47M | -26.08%415.18M | -15.53%409.6M | -15.53%409.6M | --476.81M | --561.62M | 45.65%484.93M | 45.65%484.93M |
| -Long-term equity investment | 2.35%58.49M | 2.35%58.49M | -5.26%58.25M | -12.21%57.83M | -9.20%57.15M | -9.20%57.15M | --61.48M | --65.88M | -1.04%62.94M | -1.04%62.94M |
| -Financial asset investment | -27.75%254.65M | -27.75%254.65M | -25.07%311.22M | -27.92%357.34M | -16.48%352.45M | -16.48%352.45M | --415.33M | --495.75M | 56.68%421.99M | 56.68%421.99M |
| -Including:Available-for-sale securities | -27.75%254.65M | -27.75%254.65M | -25.07%311.22M | -27.92%357.34M | -16.48%352.45M | -16.48%352.45M | --415.33M | --495.75M | 56.68%421.99M | 56.68%421.99M |
| Goodwill and other intangible assets | 279.80%81.32M | 279.80%81.32M | 395.34%50.09M | 187.10%31.24M | 59.49%21.41M | 59.49%21.41M | -27.57%10.11M | -35.82%10.88M | -33.94%13.43M | -33.94%13.43M |
| -Other intangible assets | 279.80%81.32M | 279.80%81.32M | 395.34%50.09M | 187.10%31.24M | 59.49%21.41M | 59.49%21.41M | -27.57%10.11M | -35.82%10.88M | -33.94%13.43M | -33.94%13.43M |
| Deferred tax assets-non current | 5.94%323.18M | 5.94%323.18M | 4.86%310.92M | 4.76%306.51M | 2.09%305.06M | 2.09%305.06M | -3.87%296.5M | -4.92%292.57M | -1.30%298.81M | -1.30%298.81M |
| Other non current assets | 28.10%118.32M | 28.10%118.32M | 27.43%111.78M | 6.64%91.25M | 6.98%92.36M | 6.98%92.36M | -84.08%87.72M | -81.27%85.57M | -9.90%86.33M | -9.90%86.33M |
| Total non current assets | -10.33%1.14B | -10.33%1.14B | 7.74%1.2B | -1.11%1.24B | 3.49%1.27B | 3.49%1.27B | -7.08%1.12B | 17.99%1.25B | 27.59%1.22B | 27.59%1.22B |
| Total assets | 1.33%7.98B | 1.33%7.98B | 6.73%7.71B | 5.68%7.48B | 14.33%7.87B | 14.33%7.87B | 12.03%7.22B | 17.27%7.08B | 18.74%6.88B | 18.74%6.88B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -7.64%210.04M | -7.64%210.04M | 31.96%222.16M | 15.01%220.36M | 6.57%227.42M | 6.57%227.42M | -21.00%168.36M | 0.52%191.61M | 16.55%213.39M | 16.55%213.39M |
| -Current debt and capital lease obligation | -7.64%210.04M | -7.64%210.04M | 31.96%222.16M | 15.01%220.36M | 6.57%227.42M | 6.57%227.42M | -21.00%168.36M | 0.52%191.61M | 16.55%213.39M | 16.55%213.39M |
| -Including:Current debt | 0.86%100.86M | 0.86%100.86M | 2.65%102.65M | 0.00%100M | 0.00%100M | 0.00%100M | 0.00%100M | 0.00%100M | 0.00%100M | 0.00%100M |
| -Including:Current capital Lease obligation | -14.31%109.18M | -14.31%109.18M | 74.84%119.51M | 31.39%120.36M | 12.37%127.42M | 12.37%127.42M | -39.57%68.36M | 1.10%91.61M | 36.48%113.39M | 36.48%113.39M |
| Payables | -19.72%313.09M | -19.72%313.09M | -10.86%270.63M | -18.55%182.13M | 7.65%389.97M | 7.65%389.97M | 16.64%303.58M | 15.27%223.62M | 169.12%362.26M | 169.12%362.26M |
| -accounts payable | -34.46%85.03M | -34.46%85.03M | -42.04%80.67M | -48.47%62.93M | 6.67%129.74M | 6.67%129.74M | 20.48%139.19M | 14.28%122.13M | 116.01%121.62M | 116.01%121.62M |
| -Total tax payable | -12.37%228.05M | -12.37%228.05M | 15.55%189.96M | 17.45%119.2M | 8.14%260.24M | 8.14%260.24M | 13.57%164.4M | 16.47%101.49M | 207.30%240.65M | 207.30%240.65M |
| Pension and other retirement benefit plans | -1.65%52.2M | -1.65%52.2M | -1.60%135.63M | -23.30%38.77M | -5.76%53.07M | -5.76%53.07M | -8.57%137.84M | -15.30%50.54M | 3.49%56.31M | 3.49%56.31M |
| Accrued and deferred income | 1.89%798.08M | 1.89%798.08M | 2.22%862.92M | 2.14%889.28M | 2.62%783.27M | 2.62%783.27M | 13.78%844.21M | 14.53%870.64M | 9.71%763.26M | 9.71%763.26M |
| Other current liabilities | -3.74%305.99M | -3.74%305.99M | -6.67%242.75M | 15.99%361.07M | -3.88%317.89M | -3.88%317.89M | -19.04%260.09M | -3.38%311.3M | 23.07%330.73M | 23.07%330.73M |
| Current liabilities | -5.21%1.68B | -5.21%1.68B | 1.17%1.73B | 2.66%1.69B | 2.65%1.77B | 2.65%1.77B | 1.58%1.71B | 7.93%1.65B | 29.13%1.73B | 29.13%1.73B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -60.37%71.35M | -60.37%71.35M | 152.43%120.53M | 131.26%148.77M | 139.38%180.06M | 139.38%180.06M | -12.78%47.75M | 52.46%64.33M | 21.58%75.22M | 21.58%75.22M |
| -Long term debt and capital lease obligation | -60.37%71.35M | -60.37%71.35M | 152.43%120.53M | 131.26%148.77M | 139.38%180.06M | 139.38%180.06M | -12.78%47.75M | 52.46%64.33M | 21.58%75.22M | 21.58%75.22M |
| -Including:Long term capital lease obligation | -60.37%71.35M | -60.37%71.35M | 152.43%120.53M | 131.26%148.77M | 139.38%180.06M | 139.38%180.06M | -12.78%47.75M | 52.46%64.33M | 21.58%75.22M | 21.58%75.22M |
| Long term provisions | 0.76%18.53M | 0.76%18.53M | 0.76%18.46M | 0.76%18.42M | -3.81%18.39M | -3.81%18.39M | -3.97%18.32M | 12.32%18.28M | 17.59%19.12M | 17.59%19.12M |
| Long term pension and other post-retirement benefit plans | -38.59%77.36M | -38.59%77.36M | 6.50%139.13M | -1.33%130.39M | -22.90%125.96M | -22.90%125.96M | 6.02%130.64M | 10.07%132.15M | 50.43%163.36M | 50.43%163.36M |
| Non current deferred liabilities | -40.01%103.53M | -40.01%103.53M | -25.86%133.52M | -38.37%121.91M | -4.31%172.59M | -4.31%172.59M | -7.15%180.1M | 5.34%197.79M | -1.72%180.36M | -1.72%180.36M |
| Other non current liabilities | -33.33%4K | -33.33%4K | 0.00%5K | -20.00%4K | 20.00%6K | 20.00%6K | -16.67%5K | 0.00%5K | 0.00%5K | 0.00%5K |
| Total non current liabilities | -45.52%270.77M | -45.52%270.77M | 9.24%411.64M | 1.68%419.5M | 13.45%497M | 13.45%497M | -3.64%376.81M | 12.63%412.56M | 18.31%438.07M | 18.31%438.07M |
| Total liabilities | -14.04%1.95B | -14.04%1.95B | 2.62%2.15B | 2.47%2.11B | 4.83%2.27B | 4.83%2.27B | 0.60%2.09B | 8.84%2.06B | 26.79%2.16B | 26.79%2.16B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%922.82M | 0.00%922.82M | 0.14%922.82M | 0.23%922.82M | 9.85%922.82M | 9.85%922.82M | 14.53%921.52M | 15.07%920.74M | 5.05%840.1M | 5.05%840.1M |
| -common stock | 0.00%922.82M | 0.00%922.82M | 0.14%922.82M | 0.23%922.82M | 9.85%922.82M | 9.85%922.82M | 14.53%921.52M | 15.07%920.74M | 5.05%840.1M | 5.05%840.1M |
| Additional paid-in capital | 0.24%829.46M | 0.24%829.46M | 0.16%827.43M | 0.25%827.43M | 11.11%827.43M | 11.11%827.43M | 16.49%826.14M | 17.11%825.35M | 5.74%744.72M | 5.74%744.72M |
| Retained earnings | 10.60%4.25B | 10.60%4.25B | 14.52%3.92B | 14.02%3.63B | 22.46%3.84B | 22.46%3.84B | 17.69%3.42B | 17.18%3.18B | 14.50%3.13B | 14.50%3.13B |
| Less: Treasury stock | 0.00%295.67M | 0.00%295.67M | 0.00%295.67M | 0.02%295.67M | 0.02%295.67M | 0.02%295.67M | 0.02%295.67M | 0.00%295.61M | 0.00%295.61M | 0.00%295.61M |
| Other reserves | 29.59%316.45M | 29.59%316.45M | -19.85%171.55M | -39.18%216.43M | -10.37%244.19M | -10.37%244.19M | -11.93%214.04M | 60.97%355.86M | 89.01%272.44M | 89.01%272.44M |
| Other equity interest | -90.03%6.41M | -90.03%6.41M | -85.38%6.41M | 121.42%74.47M | 173.03%64.26M | 173.03%64.26M | 26,961.73%43.84M | 19,918.45%33.63M | 13,908.93%23.54M | 13,908.93%23.54M |
| Total stockholders'equity | 7.56%6.03B | 7.56%6.03B | 8.18%5.55B | 7.00%5.37B | 18.69%5.6B | 18.69%5.6B | 17.46%5.13B | 21.13%5.02B | 15.39%4.72B | 15.39%4.72B |
| Noncontrolling interests | ---- | ---- | --11.43M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Total equity | 7.56%6.03B | 7.56%6.03B | 8.40%5.56B | 7.00%5.37B | 18.69%5.6B | 18.69%5.6B | 17.46%5.13B | 21.13%5.02B | 15.39%4.72B | 15.39%4.72B |
| 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 |