Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (Q1)Mar 31, 2026 | (FY)Dec 31, 2025 | (Q9)Sep 30, 2025 | (Q6)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q9)Sep 30, 2024 | (Q6)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Money funds | 1.94%169.74B | -3.64%141.94B | 7.12%147.53B | 1.33%152.15B | 27.25%166.51B | 14.07%147.31B | 12.67%137.73B | 19.10%150.15B | 2.96%130.85B | 10.33%129.13B |
| Deposit in interbank | -18.46%37.39B | 37.77%40.1B | 31.54%39.56B | 27.04%31.22B | 87.88%45.86B | 10.71%29.11B | -0.19%30.07B | 21.66%24.57B | 14.15%24.41B | 22.87%26.29B |
| Rare metal | 65.44%18.41B | 97.59%15.33B | -37.73%17.65B | -63.33%7.72B | -35.32%11.13B | -23.89%7.76B | 154.70%28.34B | 58.36%21.06B | 224.57%17.2B | 167.97%10.19B |
| Lending capital | 896.39%27.04B | 28.98%49.11B | 76.16%44.67B | -21.79%24.77B | -88.13%2.71B | -6.09%38.07B | 20.94%25.36B | 27.34%31.67B | 10.40%22.86B | 33.64%40.54B |
| Transactional financial assets | -4.18%334.81B | -6.53%333.85B | 4.91%330.97B | 0.73%335.9B | 0.00%349.42B | 1.91%357.16B | -20.09%315.48B | -22.17%333.48B | -11.75%349.4B | -3.12%350.47B |
| Derivative assets | -29.19%19.93B | -23.69%25.69B | -11.79%21.95B | 11.12%24.75B | 29.42%28.15B | 66.93%33.66B | -0.32%24.89B | -26.09%22.28B | 21.40%21.75B | -23.82%20.17B |
| Bought sellback assets | -57.72%27.63B | -20.43%27.03B | -33.74%31.37B | 24.62%65.63B | 67.34%65.36B | 267.15%33.97B | 190.17%47.34B | 223.55%52.67B | -4.57%39.06B | -21.80%9.25B |
| Loan and advance | 15.70%1.85T | 17.59%1.69T | 18.16%1.67T | 19.10%1.63T | 20.91%1.6T | 18.41%1.44T | 20.29%1.42T | 21.19%1.37T | 24.80%1.32T | 20.08%1.21T |
| Debt investment | 30.16%548.93B | 34.73%523.42B | 19.85%482.57B | 11.94%462.67B | 1.10%421.73B | -7.22%388.48B | 1.87%402.64B | 12.39%413.32B | 12.77%417.15B | 23.76%418.71B |
| Other debt investment | 18.24%795B | 19.24%748.92B | 23.26%747.78B | 20.03%697.74B | 33.52%672.39B | 34.95%628.08B | 35.49%606.69B | 42.11%581.32B | 15.84%503.59B | 11.14%465.42B |
| Other equity investment | 20.20%613M | 39.26%713M | 50.23%643M | 162.90%815M | 67.76%510M | 59.50%512M | 15.36%428M | 94.97%310M | 88.82%304M | 89.94%321M |
| Investment property | ---- | ---- | ---- | ---- | 92.86%27M | ---- | ---- | -50.00%12M | -41.67%14M | -41.67%14M |
| Fixed assets | ---- | 0.22%8.63B | ---- | 5.01%8.49B | ---- | 14.09%8.61B | ---- | 3.51%8.09B | ---- | -1.85%7.54B |
| Constru in process | ---- | 7.33%967M | ---- | 7.99%1.15B | ---- | -42.61%901M | ---- | -3.88%1.06B | ---- | 53.32%1.57B |
| Intangible assets | 5.95%4.21B | 7.84%4.33B | 16.93%4.26B | 22.22%3.93B | 33.37%3.97B | 37.95%4.02B | 36.72%3.65B | 25.69%3.21B | 20.98%2.98B | 20.28%2.91B |
| Goodwill | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M | 0.00%293M |
| Deferred tax assets | 15.48%5.34B | 107.76%5.22B | 32.76%5.1B | -18.12%3.72B | -21.97%4.63B | -59.86%2.51B | -38.77%3.84B | -32.34%4.55B | -25.63%5.93B | -9.81%6.26B |
| Other assets | -37.37%7.52B | 118.75%10.62B | 44.11%19.18B | 18.41%16.16B | -32.28%12.01B | -17.14%4.85B | 61.19%13.31B | 9.08%13.65B | 89.59%17.74B | 49.64%5.86B |
| Total assets | 13.64%3.86T | 16.11%3.63T | 16.65%3.58T | 14.39%3.47T | 17.58%3.4T | 15.25%3.13T | 14.88%3.07T | 16.67%3.03T | 14.35%2.89T | 14.60%2.71T |
| Liabilities | ||||||||||
| Borrowing from the central bank | 310.09%153.15B | 51.69%82.88B | -68.23%32.76B | -68.59%34.12B | -65.84%37.35B | -49.96%54.64B | 41.28%103.12B | 51.31%108.62B | 53.94%109.33B | 66.87%109.19B |
| Deposit of interbank | 140.11%183.11B | 40.81%165.9B | 39.44%161.76B | 1.62%101.22B | 9.72%76.26B | 43.47%117.82B | 70.15%116.01B | 31.23%99.6B | -18.09%69.51B | -7.00%82.12B |
| Deposit | 2.67%2.28T | 10.12%2.06T | 9.84%2.08T | 12.93%2.11T | 20.23%2.22T | 17.69%1.87T | 18.08%1.89T | 19.21%1.87T | 15.23%1.84T | 21.23%1.59T |
| Borrowing capital | 7.12%216.12B | 15.80%222.26B | 14.44%217.01B | 13.37%211.36B | 2.51%201.74B | 4.82%191.94B | 22.93%189.63B | 20.70%186.43B | 58.28%196.8B | 67.83%183.11B |
| Transactional financial liabilities | 91.61%8.57B | 50.35%4.88B | -86.61%2.89B | -81.52%2.78B | -62.11%4.47B | -73.73%3.25B | -1.01%21.57B | -51.08%15.06B | -50.35%11.8B | -44.96%12.36B |
| Derivative liabilities | -17.02%17.66B | -43.28%17.22B | -19.80%14.33B | 5.88%17.98B | 37.39%21.28B | 114.00%30.36B | -10.18%17.86B | -33.64%16.98B | 11.02%15.49B | -27.55%14.19B |
| Funds from selling out and repurchasing financial assets | 106.15%210.81B | 106.84%337.7B | 373.77%352.7B | 199.62%276.31B | 67.43%102.26B | 33.13%163.27B | -49.40%74.45B | 23.40%92.22B | 50.56%61.08B | 13.51%122.64B |
| Salaries payable | 44.50%1.42B | 12.87%4.53B | 16.38%3.01B | 25.27%2.17B | 14.32%982M | 3.35%4.02B | -5.96%2.59B | 6.19%1.73B | 1.42%859M | -5.50%3.89B |
| Taxs payable | 43.67%4.25B | 34.72%3.21B | 73.30%2.8B | 15.99%2.39B | 42.66%2.96B | 85.71%2.38B | 37.01%1.61B | 1.53%2.06B | -27.12%2.07B | -9.79%1.28B |
| Estimate liabilities | 9.96%1.95B | 30.58%1.83B | 47.60%2.37B | 41.81%2.54B | -17.54%1.78B | -16.14%1.4B | -13.23%1.61B | -47.08%1.79B | -38.38%2.16B | -45.09%1.67B |
| Bonds payable | 2.42%481.84B | 6.08%459.75B | 6.75%431.01B | 10.08%438.8B | 37.05%470.47B | 16.79%433.4B | 13.08%403.74B | 3.90%398.63B | -4.84%343.27B | -15.05%371.08B |
| Absorbing deposits and interbank deposits | 7.24%2.46T | 11.94%2.22T | 11.55%2.24T | 12.36%2.21T | 19.85%2.29T | 18.96%1.99T | 20.20%2.01T | 19.77%1.97T | 13.55%1.91T | 19.45%1.67T |
| Other liabilitise | 107.35%43.26B | 15.42%18.86B | 36.46%20.26B | 13.63%20.86B | 16.29%20.86B | -1.36%16.34B | -23.34%14.85B | -13.86%18.36B | -14.11%17.94B | -36.38%16.56B |
| Total liabilities | 13.94%3.6T | 16.92%3.38T | 16.88%3.32T | 14.59%3.22T | 18.04%3.16T | 15.20%2.89T | 14.97%2.84T | 16.44%2.81T | 13.89%2.68T | 14.19%2.51T |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B | 0.00%6.6B |
| Other equity instruments | 0.06%24.83B | 0.06%24.83B | 40.31%34.81B | 0.00%24.81B | 0.00%24.81B | 0.00%24.81B | 0.00%24.81B | 67.52%24.81B | 67.52%24.81B | 67.52%24.81B |
| -Equity of prefer stock | -67.42%4.83B | -67.42%4.83B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B | 0.00%14.81B |
| -Equity of Perpetual debt | 100.00%20B | 100.00%20B | 100.00%20B | 0.00%10B | 0.00%10B | 0.00%10B | 0.00%10B | --10B | --10B | --10B |
| Capital reserve funds | -0.04%37.6B | -0.04%37.6B | 0.00%37.61B | 0.00%37.61B | 0.00%37.61B | 0.00%37.61B | 0.00%37.61B | 0.00%37.61B | -0.15%37.61B | -0.15%37.61B |
| Surplus reserve funds | 14.41%19.5B | 14.41%19.5B | 15.89%17.04B | 15.89%17.04B | 15.89%17.04B | 15.89%17.04B | 18.04%14.71B | 18.04%14.71B | 18.04%14.71B | 18.04%14.71B |
| Retained profit | 12.59%123.64B | 12.86%115.95B | 14.95%114.26B | 16.70%112.99B | 17.17%109.82B | 17.87%102.73B | 17.85%99.41B | 19.05%96.82B | 20.09%93.72B | 21.91%87.15B |
| Other composite income | 11.61%11.19B | -39.96%9.38B | -13.40%9B | 28.30%12.48B | 29.04%10.02B | 169.16%15.61B | 95.58%10.39B | 69.46%9.73B | 104.74%7.77B | 58.89%5.8B |
| Ordinary risk reserve funds | 16.84%33.97B | 16.50%33.48B | 16.42%33.37B | 16.72%33.26B | 16.50%29.07B | 17.26%28.74B | 18.75%28.66B | 18.45%28.49B | 18.86%24.95B | 17.03%24.51B |
| Shareholders equity without minority interests | 9.51%257.32B | 6.08%247.32B | 13.73%252.69B | 11.89%244.79B | 11.80%234.98B | 15.88%233.15B | 13.78%222.18B | 19.80%218.77B | 20.54%210.18B | 20.03%201.2B |
| Minority interests | 21.53%1.39B | 17.67%1.31B | 15.11%1.24B | 11.06%1.18B | 10.82%1.15B | 9.26%1.11B | 6.73%1.08B | 6.22%1.06B | 12.38%1.04B | 12.78%1.02B |
| Total shareholder equity | 9.57%258.71B | 6.13%248.63B | 13.74%253.93B | 11.89%245.96B | 11.80%236.13B | 15.85%234.26B | 13.74%223.26B | 19.73%219.83B | 20.49%211.21B | 19.99%202.21B |
| Total liabilities and equity | 13.64%3.86T | 16.11%3.63T | 16.65%3.58T | 14.39%3.47T | 17.58%3.4T | 15.25%3.13T | 14.88%3.07T | 16.67%3.03T | 14.35%2.89T | 14.60%2.71T |
| Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
| Accounting Standards | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) |
| Audit Opinions | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion | -- | -- | -- | Unqualified opinion |
| Auditor | -- | Ernst & Young Huaming Accounting Firm (Special General Partnership) | -- | -- | -- | Ernst & Young Huaming Accounting Firm (Special General Partnership) | -- | -- | -- | PwC Zhongtian Certified Public Accountants (Special General Partnership) |
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.