Kunlun Energy Company Limited (FRA:CTJ1)
Germany flag Germany · Delayed Price · Currency is EUR
0.8400
+0.0050 (0.60%)
Last updated: Jan 30, 2026, 5:15 PM CET

Kunlun Energy Company Balance Sheet

Millions CNY. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
29,47927,82727,35320,04228,49416,273
Short-Term Investments
13,39617,26518,23519,439--
Cash & Short-Term Investments
42,87545,09245,58839,48128,49416,273
Cash Growth
-8.53%-1.09%15.47%38.56%75.10%-12.70%
Accounts Receivable
3,4043,8263,1873,8952,8944,085
Other Receivables
-2,0111,9221,6777,8573,200
Receivables
3,4045,8535,1425,90911,4469,298
Inventory
1,2021,1311,1551,0811,230925
Prepaid Expenses
8,9684,7445,1114,6433,8482,798
Other Current Assets
-41720222512044,549
Total Current Assets
56,44957,23757,19851,33945,13873,843
Property, Plant & Equipment
65,14266,79768,03269,53469,71467,877
Long-Term Investments
14,84814,98814,44914,28413,5899,773
Goodwill
406406516515567493
Other Intangible Assets
1,0741,1201,2391,3341,3891,061
Long-Term Deferred Tax Assets
1,2101,1621,0541,1151,2041,294
Other Long-Term Assets
1,6961,6801,031771981647
Total Assets
140,825143,390143,519138,892132,582154,988
Accounts Payable
3,1993,1072,7913,1953,2573,437
Accrued Expenses
6,1846,5437,9788,7078,3928,849
Short-Term Debt
9651,1882,2472,5441,9093,014
Current Portion of Long-Term Debt
3,2787,9453,2172,7433,9452,168
Current Portion of Leases
275258214208177158
Current Income Taxes Payable
587544589623648604
Current Unearned Revenue
10,67112,69013,59612,62111,98410,911
Other Current Liabilities
4,6413,4013,9513,7433,90715,452
Total Current Liabilities
29,80035,67634,58334,38434,21944,593
Long-Term Debt
15,42714,32919,02719,79418,61122,491
Long-Term Leases
480559497562535506
Long-Term Unearned Revenue
--2898232591
Long-Term Deferred Tax Liabilities
2,0662,0111,8701,8581,7601,438
Other Long-Term Liabilities
1,9841,9801,7311,4941,364842
Total Liabilities
49,75754,55557,73658,19056,72170,461
Common Stock
717171717171
Additional Paid-In Capital
-35,99335,99335,99335,99335,993
Retained Earnings
33,93932,29731,42728,09525,23631,557
Comprehensive Income & Other
32,978-3,212-4,042-4,251-5,025-14,037
Total Common Equity
66,98865,14963,44959,90856,27553,584
Minority Interest
24,08023,68622,33420,79419,58630,943
Shareholders' Equity
91,06888,83585,78380,70275,86184,527
Total Liabilities & Equity
140,825143,390143,519138,892132,582154,988
Total Debt
20,42524,27925,20225,85125,17728,337
Net Cash (Debt)
22,45020,81320,38613,6303,317-12,064
Net Cash Growth
1.69%2.10%49.57%310.91%--
Net Cash Per Share
2.592.402.351.570.38-1.39
Filing Date Shares Outstanding
8,6598,6598,6598,6598,6598,659
Total Common Shares Outstanding
8,6598,6598,6598,6598,6598,659
Working Capital
26,64921,56122,61516,95510,91929,250
Book Value Per Share
7.747.527.336.926.506.19
Tangible Book Value
65,50863,62361,69458,05954,31952,030
Tangible Book Value Per Share
7.577.357.126.716.276.01
Buildings
-5,5685,3195,0635,8895,550
Machinery
-83,05983,19380,89475,16568,082
Construction In Progress
-12,46111,98113,30914,79217,155
Source: S&P Global Market Intelligence. Standard template. Financial Sources.