Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
KUNLUN ENERGY
00135
5
PETROCHINA
00857
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q2)Jun 30, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 14.88%168.39M | 14.88%168.39M | -33.61%128.96M | -22.59%146.58M | -22.59%146.58M | -13.60%194.25M | 2.51%189.34M | --189.34M | 13.61%224.83M | -0.34%184.7M |
| -Cash and cash equivalents | 14.88%168.39M | 14.88%168.39M | -33.61%128.96M | -22.59%146.58M | -22.59%146.58M | -13.60%194.25M | 2.51%189.34M | --189.34M | 13.61%224.83M | -0.34%184.7M |
| -Accounts receivable | 17.83%38.55M | 17.83%38.55M | -26.87%175.46M | 0.63%32.71M | 0.63%32.71M | 141.02%239.92M | -6.43%32.51M | --32.51M | 13.94%99.54M | 9.21%34.74M |
| -Gross accounts receivable | 15.30%40.11M | 15.30%40.11M | ---- | 0.81%34.79M | 0.81%34.79M | ---- | -6.52%34.51M | --34.51M | ---- | 3.39%36.92M |
| -Bad debt provision | 24.62%-1.57M | 24.62%-1.57M | ---- | -3.79%-2.08M | -3.79%-2.08M | ---- | 7.99%-2M | ---2M | ---- | 44.11%-2.18M |
| -Other receivables | -15.39%111.21M | -15.39%111.21M | ---- | -27.11%131.44M | -27.11%131.44M | ---- | 413.27%180.31M | --180.31M | ---- | -1.93%35.13M |
| Inventory | -11.28%20.12M | -11.28%20.12M | -13.22%21.96M | -34.64%22.68M | -34.64%22.68M | -37.88%25.3M | -40.68%34.7M | --34.7M | -52.64%40.73M | -38.57%58.49M |
| Prepaid assets | -67.38%12.16M | -67.38%12.16M | ---- | 785.44%37.28M | 785.44%37.28M | ---- | -2.25%4.21M | --4.21M | ---- | 24.73%4.31M |
| Deferred assets-Current | 37.15%4.97M | 37.15%4.97M | ---- | -20.20%3.62M | -20.20%3.62M | ---- | -12.63%4.54M | --4.54M | ---- | 37.17%5.2M |
| Total current assets | -5.08%355.4M | -5.08%355.4M | -28.98%326.38M | -15.97%374.44M | -15.97%374.44M | 25.88%459.58M | 38.15%445.61M | --445.61M | -1.68%365.11M | -9.25%322.56M |
| Non current assets | ||||||||||
| Net PPE | -3.30%978.95M | -3.30%978.95M | -3.55%993.87M | -3.51%1.01B | -3.51%1.01B | -3.33%1.03B | -1.65%1.05B | --1.05B | -1.29%1.07B | -3.08%1.07B |
| -Gross PP&E | 0.25%1.45B | 0.25%1.45B | ---- | 0.38%1.45B | 0.38%1.45B | ---- | 1.30%1.44B | --1.44B | ---- | -0.56%1.42B |
| -Accumulated depreciation | -8.48%-473.61M | -8.48%-473.61M | ---- | -10.74%-436.58M | -10.74%-436.58M | ---- | -10.09%-394.23M | ---394.23M | ---- | -7.79%-358.08M |
| Total investment | -5.82%651.81M | -5.82%651.81M | -5.10%681.55M | -4.49%692.07M | -4.49%692.07M | -2.07%718.17M | -2.50%724.64M | --724.64M | -0.56%733.33M | 5.85%743.19M |
| -Long-term equity investment | -6.34%635.64M | -6.34%635.64M | -5.01%669.84M | -4.58%678.64M | -4.58%678.64M | -1.71%705.19M | -2.39%711.23M | --711.23M | -0.41%717.49M | 6.54%728.65M |
| -Including:Available-for-sale securities | 20.38%16.16M | 20.38%16.16M | -9.77%11.71M | 0.10%13.43M | 0.10%13.43M | -18.06%12.98M | -7.77%13.41M | --13.41M | -6.69%15.84M | -19.90%14.54M |
| Financial assets | --0 | --0 | -93.67%258K | -69.02%1.17M | -69.02%1.17M | -41.85%4.08M | -45.25%3.79M | --3.79M | 20.59%7.02M | 115,250.00%6.92M |
| Goodwill and other intangible assets | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | --46.59M | 0.00%46.59M | 0.00%46.59M |
| -Goodwill | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | 0.00%46.59M | --46.59M | 0.00%46.59M | 0.00%46.59M |
| Deferred assets-Non current | 124.26%1.51M | 124.26%1.51M | ---- | -51.72%672K | -51.72%672K | ---- | 42.48%1.39M | --1.39M | ---- | -55.25%977K |
| Total non current assets | 5.46%9.96B | 5.46%9.96B | 4.10%9.85B | 1.67%9.44B | 1.67%9.44B | 1.37%9.47B | 1.72%9.29B | --9.29B | 2.35%9.34B | 3.52%9.13B |
| Total assets | 5.05%10.31B | 5.05%10.31B | 2.56%10.18B | 0.86%9.81B | 0.86%9.81B | 2.29%9.93B | 2.96%9.73B | --9.73B | 2.19%9.7B | 3.03%9.45B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| -Current debt and capital lease obligation | 830.25%180.98M | 830.25%180.98M | -91.94%22.75M | -93.97%19.46M | -93.97%19.46M | -31.14%282.35M | 1,205.29%322.75M | --322.75M | 158.39%410.03M | -87.07%24.73M |
| -Including:Current debt | 863.22%180.4M | 863.22%180.4M | -97.16%7.72M | -94.18%18.73M | -94.18%18.73M | -30.97%271.95M | 1,250.67%321.77M | --321.77M | 191.55%393.95M | -87.49%23.82M |
| -Including:Current capital Lease obligation | -20.25%579K | -20.25%579K | 44.59%15.03M | -25.77%726K | -25.77%726K | -35.39%10.39M | 8.31%978K | --978K | -31.75%16.09M | 12.73%903K |
| Payables | 4.85%167.57M | 4.85%167.57M | -4.95%244.95M | 7.46%159.81M | 7.46%159.81M | 19.92%257.71M | 3.58%148.71M | --148.71M | 7.31%214.89M | 6.34%143.58M |
| -accounts payable | 8.50%60.25M | 8.50%60.25M | -8.18%187.64M | 12.38%55.54M | 12.38%55.54M | 19.66%204.35M | 14.53%49.42M | --49.42M | 2.42%170.77M | 0.86%43.15M |
| -Total tax payable | 3.37%62.09M | 3.37%62.09M | 7.41%57.31M | 25.56%60.07M | 25.56%60.07M | 20.93%53.36M | 12.63%47.84M | --47.84M | 31.61%44.12M | 20.07%42.48M |
| -Other payable | 2.30%45.23M | 2.30%45.23M | ---- | -14.09%44.21M | -14.09%44.21M | ---- | -11.21%51.46M | --51.46M | ---- | 1.92%57.96M |
| Current liabilities | 53.90%423.35M | 53.90%423.35M | -50.38%267.99M | -51.09%275.08M | -51.09%275.08M | -13.58%540.06M | 138.73%562.44M | --562.44M | 74.10%624.94M | -37.90%235.6M |
| Non current liabilities | ||||||||||
| -Long term debt and capital lease obligation | 30.46%418.49M | 30.46%418.49M | 93.83%627.38M | 108.75%320.79M | 108.75%320.79M | 110.48%323.68M | -62.26%153.67M | --153.67M | -62.11%153.78M | 12.81%407.15M |
| -Including:Long term debt | 30.20%417.31M | 30.20%417.31M | 93.74%611.11M | 109.85%320.52M | 109.85%320.52M | 116.52%315.42M | -62.31%152.74M | --152.74M | -62.41%145.68M | 13.09%405.24M |
| -Including:Long term capital lease obligation | 342.48%1.18M | 342.48%1.18M | 96.97%16.27M | -71.49%266K | -71.49%266K | 1.92%8.26M | -51.18%933K | --933K | -55.80%8.11M | -26.30%1.91M |
| -Derivative product liabilities | --4.82M | --4.82M | --8.96M | --0 | --0 | --0 | 53.66%63K | --63K | --30K | -82.10%41K |
| Long-term accounts payable and other payables | 25.37%7.42M | 25.37%7.42M | 32.47%65.42M | --5.92M | --5.92M | 5.23%49.38M | ---- | ---- | 21.15%46.93M | ---- |
| Total non current liabilities | 20.01%629.85M | 20.01%629.85M | 63.34%841.53M | 48.77%524.85M | 48.77%524.85M | 49.65%515.2M | -40.75%352.79M | --352.79M | -41.60%344.28M | 7.43%595.4M |
| Total liabilities | 31.66%1.05B | 31.66%1.05B | 5.14%1.11B | -12.60%799.93M | -12.60%799.93M | 8.88%1.06B | 10.14%915.23M | --915.23M | 2.19%969.23M | -10.99%830.99M |
| Shareholders'equity | ||||||||||
| Share capital | 0.03%1.57B | 0.03%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | --1.57B | 0.00%1.57B | 0.00%1.57B |
| -common stock | 0.03%1.57B | 0.03%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | 0.00%1.57B | --1.57B | 0.00%1.57B | 0.00%1.57B |
| Retained earnings | 3.06%7B | 3.06%7B | 3.44%6.84B | 3.45%6.8B | 3.45%6.8B | 2.30%6.62B | 3.48%6.57B | --6.57B | 3.42%6.47B | 6.81%6.35B |
| Other equity interest | --7.23M | --7.23M | --7.23M | ---- | ---- | ---- | ---- | ---- | 0.88%7.23M | ---- |
| Total stockholders'equity | 2.38%8.61B | 2.38%8.61B | 2.25%8.43B | 2.65%8.41B | 2.65%8.41B | 1.82%8.24B | 2.62%8.19B | --8.19B | 2.38%8.09B | 5.00%7.98B |
| Noncontrolling interests | 6.99%650.74M | 6.99%650.74M | 2.41%645.36M | -2.90%608.24M | -2.90%608.24M | -1.73%630.19M | -2.05%626.42M | --626.42M | -0.19%641.25M | 0.01%639.54M |
| Total equity | 2.69%9.26B | 2.69%9.26B | 2.26%9.07B | 2.25%9.01B | 2.25%9.01B | 1.56%8.87B | 2.27%8.82B | --8.82B | 2.19%8.73B | 4.62%8.62B |
| Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |