Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
SINOPEC CORP
00386
| (FY)Dec 31, 2025 | (Q6)Jun 30, 2025 | (FY)Dec 31, 2024 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Inventory | 11.39%42.11B | -7.93%40.91B | -5.77%37.81B | 12.34%44.43B | 0.44%40.12B | 8.42%39.55B | 23.39%39.95B | 9.23%36.48B | 5.41%32.37B | 30.67%33.39B |
| Accounts receivable | 13.85%55.37B | 21.70%55.99B | 27.43%48.63B | 7.54%46.01B | 24.71%38.16B | 53.07%42.78B | 43.52%30.6B | 33.06%27.95B | 30.24%21.32B | -17.26%21.01B |
| Notes receivable | -0.18%10.56B | 11.51%5.05B | -21.36%10.58B | -30.25%4.53B | 10.09%13.46B | 4.63%6.49B | 23.11%12.22B | 24.94%6.2B | 13.62%9.93B | --4.96B |
| Advance deposits and other receivables | -54.65%3.02B | 7.65%6.25B | -2.13%6.66B | -20.17%5.81B | -12.78%6.81B | -12.36%7.27B | -8.84%7.81B | 14.20%8.3B | 406.02%8.56B | 100.34%7.26B |
| Cash and equivalents | -26.34%30.44B | 10.49%32.14B | 4.56%41.32B | -5.16%29.09B | -9.72%39.52B | 91.45%30.67B | 72.60%43.77B | -15.54%16.02B | 0.78%25.36B | 57.55%18.97B |
| Financial assets at fair value-current assets | -29.25%2.34B | 105.79%2.53B | 245.95%3.31B | -16.49%1.23B | 80.78%957M | 10.77%1.47B | -57.47%529.36M | -35.11%1.33B | -47.67%1.24B | 268.21%2.05B |
| Other current assets | 26.80%1.48B | 36.77%1.81B | -0.82%1.17B | -1.17%1.32B | 57.26%1.18B | 100.78%1.34B | 5.55%750.63M | -10.55%665.16M | 1.14%711.17M | --743.62M |
| Special items of current assets | ---- | ---- | ---- | ---- | ---- | 33.33%400M | 147.17%500M | --300M | --202.29M | ---- |
| Total current assets | 1.85%161.69B | 7.83%155.57B | 9.66%158.76B | 3.16%144.27B | 2.73%144.77B | 31.53%139.85B | 34.07%140.93B | 10.88%106.33B | 16.04%105.11B | 33.25%95.89B |
| Non-current assets | ||||||||||
| Fixed assets | 8.30%27.12B | 14.34%25.43B | 11.85%25.04B | 7.68%22.24B | 12.41%22.39B | 33.52%20.66B | 31.67%19.92B | 14.87%15.47B | 11.54%15.13B | --13.47B |
| Investment property | -0.21%458.71M | -18.98%447.2M | -18.18%459.69M | 5.36%551.93M | 7.66%561.85M | 55.38%523.83M | 50.59%521.87M | -5.48%337.12M | -10.17%346.55M | 19.02%356.67M |
| Construction in progress | -15.38%3.59B | -18.29%4.21B | -4.44%4.24B | 26.18%5.15B | 1.71%4.44B | 49.83%4.08B | 44.30%4.36B | -30.15%2.72B | -6.54%3.02B | --3.9B |
| Long-term receivables | ---- | -32.62%94.39K | -89.00%144.39K | -88.72%140.08K | 5.70%1.31M | -79.76%1.24M | -79.76%1.24M | -30.10%6.13M | 291.74%6.13M | --8.78M |
| long-term investment | 1.57%2.86B | 2.44%2.89B | 0.43%2.82B | 7.76%2.82B | -8.95%2.81B | 28.42%2.62B | 60.30%3.08B | 9.13%2.04B | 11.30%1.92B | --1.87B |
| Intangible assets | -2.47%3.92B | -1.03%3.93B | -0.08%4.02B | 3.54%3.97B | 3.77%4.02B | 19.90%3.84B | 19.82%3.88B | 16.93%3.2B | 16.02%3.24B | 488.21%2.74B |
| Goodwill | 0.00%93.19M | 0.00%93.19M | 0.00%93.19M | -44.38%93.19M | -44.38%93.19M | 142.38%167.54M | 142.38%167.54M | 0.00%69.12M | 0.00%69.12M | -0.00%69.12M |
| Deferred tax assets | 25.83%1.27B | 14.20%1.07B | 15.67%1.01B | 21.91%937.02M | 21.92%869.7M | 72.03%768.62M | 71.47%713.35M | 3.38%446.79M | 11.06%416.01M | 10.89%432.19M |
| Other illiquid assets | 9.42%717.21M | -50.63%677.67M | -19.23%655.46M | 16.93%1.37B | -38.14%811.54M | 160.68%1.17B | 97.85%1.31B | -1.84%450.28M | 19.26%663.12M | --458.74M |
| Special items of non-current assets | -6.39%97.24M | 28.16%109.08M | 3.21%103.88M | 40.05%85.11M | 132.51%100.66M | -7.90%60.77M | -39.56%43.29M | -10.87%65.99M | 2.83%71.63M | -50.61%74.03M |
| Total non-current assets | 3.76%44.91B | 6.31%43.96B | 7.39%43.28B | 7.61%41.35B | 5.53%40.3B | 36.41%38.43B | 32.72%38.19B | 8.91%28.17B | 14.82%28.78B | 25.29%25.87B |
| Total assets | 2.26%206.6B | 7.49%199.53B | 9.17%202.04B | 4.12%185.63B | 3.32%185.07B | 32.55%178.28B | 33.78%179.12B | 10.46%134.5B | 15.77%133.89B | 31.48%121.76B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | 11.31%51.1B | 16.49%50.39B | 17.26%45.9B | 6.81%43.26B | 6.84%39.15B | 30.88%40.5B | 33.88%36.64B | 18.99%30.94B | 16.23%27.37B | -2.70%26B |
| Notes payable | -1.96%12.38B | 18.46%10.98B | 8.18%12.62B | 2.98%9.27B | -12.84%11.67B | -8.58%9B | 15.08%13.39B | 51.74%9.84B | 36.46%11.63B | --6.49B |
| Tax payable | -45.44%967.1M | -1.68%863.74M | 25.58%1.77B | 71.00%878.52M | -38.86%1.41B | 54.36%513.76M | 408.35%2.31B | 6.72%332.83M | 30.38%454.11M | 86.06%311.88M |
| Other payables and accrued expenses | -13.70%2.27B | -8.64%2.71B | -18.49%2.63B | -8.42%2.97B | -13.66%3.23B | 79.20%3.24B | 98.10%3.74B | -23.67%1.81B | -18.71%1.89B | -50.22%2.37B |
| Advance payment | -2.60%50.92M | 60.48%59.01M | 27.64%52.28M | -33.82%36.77M | -20.00%40.96M | 1,234.23%55.56M | 398.99%51.2M | 14.72%4.16M | 645.27%10.26M | --3.63M |
| Short-term borrowing | 26.74%11.85B | 34.65%11.98B | 86.93%9.35B | 51.33%8.9B | -27.29%5B | 23.12%5.88B | 124.88%6.88B | 24.74%4.78B | -30.19%3.06B | --3.83B |
| Other current liabilities | 18.36%1.25B | 9.77%943.09M | -19.32%1.05B | 29.98%859.18M | 31.63%1.31B | 38.94%661.02M | 59.42%992.06M | 65.35%475.75M | -20.84%622.31M | --287.72M |
| Special items of current liabilities | 28.58%3.97B | 10.67%2.69B | 146.40%3.09B | 44.48%2.43B | -72.23%1.25B | -23.48%1.69B | 268.56%4.52B | 26.11%2.2B | -21.65%1.23B | --1.75B |
| Total current liabilities | 2.31%97.95B | 8.10%93.74B | 11.91%95.73B | 3.29%86.72B | -10.99%85.55B | 20.37%83.96B | 38.12%96.11B | 7.02%69.75B | 15.23%69.58B | 45.95%65.17B |
| Net current assets | 1.14%63.75B | 7.42%61.83B | 6.43%63.03B | 2.98%57.56B | 32.13%59.22B | 52.81%55.9B | 26.15%44.82B | 19.07%36.58B | 17.64%35.53B | 12.48%30.72B |
| Total assets less current liabilities | 2.21%108.66B | 6.95%105.79B | 6.82%106.31B | 4.86%98.91B | 19.89%99.53B | 45.67%94.32B | 29.09%83.01B | 14.43%64.75B | 16.36%64.31B | 18.00%56.59B |
| Non-current liabilities | ||||||||||
| Long-term bank loan | -13.40%4.47B | -24.48%4.18B | -14.89%5.16B | 2.40%5.54B | 185.99%6.07B | 12.69%5.41B | -50.48%2.12B | 40.25%4.8B | 19.07%4.28B | -15.97%3.42B |
| Long-term accounts payable | 48.69%-471.1M | 18.83%-1.49B | -24.03%-918.2M | 20.39%-1.83B | 60.50%-740.32M | -220.89%-2.3B | -241.44%-1.87B | -43.35%-716.42M | -2,199.91%-548.94M | ---499.78M |
| Long-term remuneration payable to staff and workers | -18.35%1.48B | 1.79%1.59B | -1.28%1.82B | -8.50%1.56B | -8.45%1.84B | 19.38%1.71B | 31.99%2.01B | -7.11%1.43B | -5.38%1.52B | --1.54B |
| Financial lease liabilities-non-current liabilities | -12.03%352.4M | 6.25%381.01M | 16.91%400.61M | 4.55%358.61M | 1.86%342.66M | -30.33%343M | -39.84%336.41M | -24.25%492.36M | -12.13%559.21M | 0.38%649.97M |
| Deferred tax liability | 27.79%974.77M | 41.75%816.37M | 27.86%762.79M | -13.40%575.91M | 2.20%596.57M | 121.58%665M | 65.88%583.75M | 105.37%300.12M | 139.79%351.91M | 133.65%146.14M |
| Deferred income-non-current liabilities | -0.29%1.19B | -1.54%1.23B | -3.86%1.19B | 1.57%1.25B | 1.79%1.24B | 42.16%1.23B | 43.83%1.22B | -1.04%862.53M | 6.75%846.32M | 20.68%871.59M |
| Other non-current liabilities | 10.44%956.69M | -29.13%998.64M | -44.48%866.25M | -26.94%1.41B | -36.35%1.56B | 169.09%1.93B | 30.61%2.45B | -60.61%716.71M | 5.56%1.88B | --1.82B |
| Total non-current liabilities | -3.99%9.28B | -11.89%8.05B | -15.43%9.66B | -4.09%9.13B | 52.44%11.43B | 11.50%9.52B | -21.43%7.5B | -0.92%8.54B | 4.67%9.54B | 2.23%8.62B |
| Total liabilities | 1.73%107.22B | 6.20%101.79B | 8.68%105.4B | 2.53%95.85B | -6.40%96.97B | 19.41%93.48B | 30.94%103.6B | 6.09%78.29B | 13.85%79.12B | 39.01%73.79B |
| Total assets less total liabilities | 2.83%99.38B | 8.87%97.74B | 9.70%96.65B | 5.87%89.78B | 16.66%88.1B | 50.86%84.8B | 37.89%75.52B | 17.19%56.21B | 18.67%54.77B | 21.36%47.97B |
| Total equity and non-current liabilities | 2.21%108.66B | 6.95%105.79B | 6.82%106.31B | 4.86%98.91B | 19.89%99.53B | 45.67%94.32B | 29.09%83.01B | 14.43%64.75B | 16.36%64.31B | 18.00%56.59B |
| Equity | ||||||||||
| Share capital | 0.00%7.97B | 0.00%7.97B | 0.00%7.97B | 0.00%7.97B | 3.39%7.97B | 3.39%7.97B | 0.00%7.71B | 0.00%7.71B | 0.00%7.71B | 24.11%7.71B |
| Capital reserve | -2.51%14B | 2.91%13.99B | 6.29%14.36B | 0.87%13.59B | -2.89%13.51B | 3.17%13.47B | 7.26%13.92B | 12.41%13.06B | 11.61%12.97B | --11.62B |
| Undistributed profit | 10.18%11.38B | 13.13%10.72B | 15.74%10.33B | 17.03%9.47B | 24.47%8.92B | 38.77%8.09B | 35.36%7.17B | 39.56%5.83B | 55.85%5.3B | --4.18B |
| Special items of shareholders' rights and interests | 11.08%553.78M | 15.14%601.76M | 3.73%498.55M | -10.94%522.63M | -5.86%480.62M | -1.33%586.81M | 1.36%510.54M | 15.09%594.72M | 15.12%503.69M | --516.74M |
| Shareholders' Equity | 2.54%35.01B | 6.67%34.34B | 8.16%34.15B | 4.24%32.19B | 5.62%31.57B | 13.80%30.89B | 11.10%29.89B | 13.60%27.14B | 17.11%26.91B | 25.91%23.89B |
| Non-controlling interest | 2.98%64.37B | 10.10%63.4B | 10.57%62.5B | 6.80%57.59B | 23.89%56.53B | 85.47%53.92B | 63.77%45.63B | 20.74%29.07B | 20.22%27.86B | 17.15%24.08B |
| Total equity | 2.83%99.38B | 8.87%97.74B | 9.70%96.65B | 5.87%89.78B | 16.66%88.1B | 50.86%84.8B | 37.89%75.52B | 17.19%56.21B | 18.67%54.77B | 21.36%47.97B |
| Total equity and total liabilities | 2.26%206.6B | 7.49%199.53B | 9.17%202.04B | 4.12%185.63B | 3.32%185.07B | 32.55%178.28B | 33.78%179.12B | 10.46%134.5B | 15.77%133.89B | 31.48%121.76B |
| 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 | -- | Unqualified Opinion | -- | Unqualified Opinion | -- |
| Auditor | Daxin Certified Public Accountants (Special General Partnership) | -- | Daxin Certified Public Accountants (Special General Partnership) | -- | Dahua Certified Public Accountants (Special General Partnership) | -- | Dahua Certified Public Accountants (Special General Partnership) | -- | ShinWing Certified Public Accountants (Hong Kong) Limited | -- |
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.