Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
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 | ||||||||||
| Current assets | ||||||||||
| Inventory | 10.22%41.68B | 16.47%45.36B | 11.20%41.78B | 16.01%40.9B | 11.76%37.82B | 6.34%38.94B | 7.21%37.58B | 6.36%35.26B | 5.26%33.84B | 6.28%36.62B |
| Accounts receivable | 6.79%91.15B | 4.02%82.31B | 6.87%88.78B | 6.71%86.38B | 5.06%85.35B | 8.49%79.13B | 9.08%83.07B | 4.56%80.95B | 8.49%81.25B | 9.25%72.93B |
| Notes receivable | -15.84%831.91M | -8.16%1.03B | -24.82%1.07B | -50.73%841.72M | -41.67%988.49M | -41.21%1.12B | 11.73%1.42B | 21.23%1.71B | 21.70%1.69B | 6.06%1.91B |
| Advance deposits and other receivables | -4.69%2.06B | -16.73%1.62B | -32.70%2.1B | -26.92%2.65B | -69.97%2.16B | -38.95%1.95B | -45.73%3.12B | -0.82%3.63B | 28.23%7.2B | -17.52%3.19B |
| Cash and equivalents | -13.70%31.21B | -8.46%32.72B | 8.60%36.73B | 6.59%39.09B | 20.39%36.17B | 17.13%35.74B | 15.58%33.82B | 17.04%36.68B | 11.09%30.04B | 11.37%30.52B |
| Financial assets at fair value-current assets | 11.74%9.9B | 20.02%10.36B | -8.72%7.82B | 17.14%8.4B | 24.23%8.86B | -14.96%8.63B | -24.91%8.56B | -37.27%7.18B | -35.54%7.14B | 5.60%10.15B |
| Other current assets | 21.08%1.15B | 17.88%1.33B | -26.79%1.03B | -1.50%1.13B | 3.33%952.14M | -14.74%1.13B | 46.37%1.41B | 2.40%1.15B | 10.67%921.44M | 8.93%1.33B |
| Special items of current assets | -41.81%51.13M | -11.73%88.12M | 4.72%54.1M | 17.84%63.97M | 58.85%87.87M | 24.77%99.84M | -48.01%51.66M | -66.09%54.28M | -66.85%55.32M | -57.98%80.02M |
| Total current assets | 3.12%182.84B | 5.03%180.46B | 5.84%183.93B | 7.49%184.46B | 5.92%177.31B | 5.78%171.82B | 5.56%173.79B | 4.14%171.6B | 6.51%167.41B | 8.64%162.43B |
| Non-current assets | ||||||||||
| Fixed assets | 3.74%15.22B | 3.91%15.49B | 16.84%14.69B | 26.59%14.95B | 22.98%14.67B | 22.67%14.91B | 13.04%12.57B | 4.45%11.81B | 4.77%11.93B | 5.34%12.16B |
| Investment property | 1.66%361.87M | 12.55%411.93M | 11.18%378.44M | 26.96%422.07M | 5.79%355.96M | 16.31%366.01M | 14.21%340.38M | 38.49%332.45M | 48.93%336.48M | 27.70%314.67M |
| Construction in progress | -9.65%2.08B | -7.19%1.99B | -36.79%2.48B | -45.44%2.38B | -45.19%2.3B | -39.81%2.15B | -1.41%3.92B | 25.76%4.37B | 32.74%4.2B | 28.53%3.57B |
| Long-term receivables | -12.63%342.69M | -20.27%307.93M | -42.12%332.46M | -42.61%342.38M | 73.76%392.24M | 69.45%386.24M | 188.52%574.4M | 196.99%596.54M | 10.47%225.74M | 7.37%227.94M |
| Development expenditure | -44.26%102.87M | -52.05%103.24M | 0.16%220.55M | 0.14%222.37M | -39.86%184.56M | -30.65%215.32M | -41.47%220.2M | -38.98%222.05M | -9.20%306.87M | -9.37%310.51M |
| long-term investment | -2.02%7.04B | -13.10%7.01B | -13.64%7.02B | -15.43%6.9B | -16.04%7.18B | -3.41%8.07B | -4.90%8.13B | -4.95%8.15B | -8.99%8.55B | -9.54%8.35B |
| Intangible assets | 54.91%8.63B | 55.65%8.74B | 55.34%8.94B | 57.61%9.16B | -5.27%5.57B | -7.16%5.62B | -3.93%5.75B | -5.00%5.81B | -3.72%5.88B | -3.10%6.05B |
| Goodwill | 13.92%12.67B | 13.64%12.67B | 11.64%12.74B | 12.68%12.84B | -2.38%11.12B | -2.17%11.15B | 0.22%11.41B | 0.05%11.39B | 0.49%11.39B | 0.51%11.39B |
| Deferred tax assets | -4.28%1.69B | 0.77%1.64B | -3.96%1.73B | -2.54%1.72B | -5.22%1.77B | -5.20%1.63B | 16.09%1.81B | 10.28%1.76B | 20.49%1.87B | 11.87%1.72B |
| Other illiquid assets | -23.36%346.29M | -18.91%391.98M | 23.76%380.48M | 15.44%462.34M | 17.43%451.86M | 9.69%483.38M | -18.29%307.42M | -14.63%400.51M | -4.70%384.8M | -0.70%440.69M |
| Special items of non-current assets | -18.48%533.48M | -17.50%551.07M | -4.56%545.29M | -1.02%564.9M | 9.62%654.38M | 9.83%667.95M | -11.21%571.31M | -12.51%570.72M | -1.87%596.93M | 1.42%608.14M |
| Total non-current assets | 8.17%52.53B | 6.68%52.69B | 5.73%52.82B | 7.80%53.61B | -2.90%48.56B | -0.31%49.39B | 2.96%49.95B | 2.47%49.73B | 2.35%50.01B | 1.89%49.54B |
| Total assets | 4.20%235.37B | 5.40%233.15B | 5.81%236.75B | 7.56%238.07B | 3.89%225.87B | 4.36%221.21B | 4.97%223.74B | 3.76%221.34B | 5.52%217.42B | 6.98%211.97B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | 2.22%53.33B | 4.68%52.59B | 3.15%56.66B | 6.93%55.9B | 2.17%52.17B | 4.86%50.24B | 5.10%54.93B | 4.45%52.28B | 7.94%51.07B | 5.07%47.92B |
| Notes payable | 10.04%9.02B | -4.66%8.81B | 16.76%7.89B | 15.14%7.11B | 30.49%8.2B | 37.57%9.24B | 1.70%6.76B | 1.05%6.18B | 1.37%6.29B | 12.68%6.72B |
| Tax payable | -2.49%1.32B | 17.58%1.49B | 45.14%1.38B | 40.81%1.24B | 10.06%1.36B | 3.85%1.26B | -8.55%952.11M | -32.03%880.42M | -3.06%1.23B | -15.52%1.22B |
| Other payables and accrued expenses | 6.09%16.06B | -0.39%16.73B | -3.44%16.32B | -1.47%17.89B | -8.90%15.14B | -6.42%16.8B | 6.21%16.9B | -8.64%18.16B | 5.61%16.62B | 8.95%17.95B |
| Short-term borrowing | 8.84%46.7B | 15.84%44.09B | 14.64%44.49B | 12.62%45.62B | 14.70%42.91B | 7.04%38.06B | 10.61%38.81B | 20.12%40.51B | 15.76%37.41B | 28.14%35.56B |
| Other current liabilities | -15.92%5.24B | -15.96%5.23B | -16.36%5.19B | 0.09%6.17B | 0.94%6.24B | -1.02%6.23B | 0.65%6.21B | -0.58%6.16B | -0.55%6.18B | -1.46%6.29B |
| Special items of current liabilities | -1.40%2.19B | 234.56%2.82B | 101.84%3.91B | 52.02%3.43B | -37.91%2.22B | -71.55%843.76M | -33.98%1.94B | -46.79%2.25B | 67.75%3.57B | -8.77%2.97B |
| Total current liabilities | 4.35%136.51B | 7.27%135.2B | 7.30%138.99B | 8.54%140.13B | 4.42%130.81B | 3.00%126.04B | 5.80%129.53B | 3.83%129.1B | 9.60%125.27B | 10.55%122.37B |
| Net current assets | -0.36%46.33B | -1.13%45.27B | 1.54%44.94B | 4.30%44.33B | 10.36%46.5B | 14.28%45.78B | 4.87%44.26B | 5.09%42.5B | -1.72%42.13B | 3.19%40.06B |
| Total assets less current liabilities | 4.00%98.86B | 2.92%97.95B | 3.76%97.76B | 6.18%97.94B | 3.16%95.06B | 6.22%95.17B | 3.85%94.21B | 3.66%92.23B | 0.45%92.14B | 2.47%89.6B |
| Non-current liabilities | ||||||||||
| Long-term bank loan | -50.80%3.26B | -49.16%4.24B | -46.42%4.12B | -28.81%4.7B | -0.01%6.62B | 43.99%8.33B | 2.70%7.69B | -3.94%6.6B | -22.98%6.62B | -7.57%5.79B |
| Long-term accounts payable | -23.24%9M | -1.68%9M | ---- | ---- | 18.58%11.72M | 12.13%9.15M | 11.83%9.08M | 8.04%8.78M | 17.14%9.89M | 2.10%8.16M |
| Long-term remuneration payable to staff and workers | 25.93%45.28M | 11.54%43.68M | 143.44%61.24M | 14.75%56.8M | -3.09%35.95M | 0.71%39.16M | -34.41%25.16M | 27.62%49.5M | -2.50%37.1M | -0.07%38.88M |
| Financial lease liabilities-non-current liabilities | 0.01%1.46B | -17.68%1.15B | -25.85%1.2B | -5.87%1.41B | -3.44%1.46B | -9.92%1.4B | 23.31%1.62B | 13.23%1.5B | 8.02%1.51B | 19.09%1.55B |
| Deferred tax liability | 131.90%1.83B | 138.24%1.95B | 118.61%1.92B | 105.64%2.02B | -21.06%788.19M | -19.63%816.45M | -5.56%876.71M | -0.14%984.21M | 1.56%998.51M | -3.18%1.02B |
| Deferred income-non-current liabilities | 1.39%551.5M | 4.06%573.38M | -10.29%528.97M | -3.67%603.63M | -14.09%543.95M | -13.02%550.99M | 9.53%589.68M | 11.35%626.65M | 12.38%633.16M | 18.50%633.48M |
| Other non-current liabilities | -37.91%160.81M | -46.93%132.28M | 36.17%274.69M | 23.66%247.43M | 24.59%259.01M | 23.16%249.26M | -13.26%201.73M | -9.82%200.09M | -12.57%207.9M | -10.16%202.4M |
| Total non-current liabilities | -24.23%7.39B | -28.57%8.16B | -26.41%8.13B | -9.25%9.08B | -2.98%9.76B | 23.23%11.43B | 4.53%11.05B | -0.32%10B | -15.14%10.06B | -1.77%9.27B |
| Total liabilities | 2.37%143.9B | 4.29%143.36B | 4.65%147.12B | 7.26%149.21B | 3.87%140.57B | 4.42%137.47B | 5.70%140.58B | 3.52%139.11B | 7.27%135.33B | 9.58%131.65B |
| Total assets less total liabilities | 7.23%91.47B | 7.22%89.79B | 7.77%89.62B | 8.06%88.86B | 3.92%85.3B | 4.25%83.74B | 3.76%83.16B | 4.16%82.23B | 2.76%82.09B | 2.98%80.33B |
| Total equity and non-current liabilities | 4.00%98.86B | 2.92%97.95B | 3.76%97.76B | 6.18%97.94B | 3.16%95.06B | 6.22%95.17B | 3.85%94.21B | 3.66%92.23B | 0.45%92.14B | 2.47%89.6B |
| Equity | ||||||||||
| Share capital | 0.00%3.71B | 0.01%3.71B | 0.10%3.71B | 0.13%3.71B | 0.14%3.71B | 0.13%3.71B | 0.04%3.7B | 0.01%3.7B | 0.13%3.7B | 0.16%3.7B |
| Capital reserve | 0.14%29.7B | 0.13%29.69B | 1.29%29.7B | 1.48%29.7B | 1.60%29.66B | 1.58%29.65B | 0.53%29.32B | 0.34%29.26B | 0.25%29.19B | 0.31%29.19B |
| Undistributed profit | 11.24%42.14B | 11.42%40.72B | 12.59%40.6B | 13.25%39.91B | 7.11%37.88B | 8.06%36.55B | 6.01%36.06B | 7.36%35.25B | 4.02%35.36B | 4.13%33.82B |
| Shareholders' Equity | 5.88%77.3B | 5.88%75.89B | 6.94%75.78B | 7.29%75.1B | 4.21%73.01B | 4.60%71.68B | 3.44%70.87B | 3.91%69.99B | 2.18%70.06B | 2.18%68.52B |
| Non-controlling interest | 15.27%14.17B | 15.16%13.9B | 12.59%13.84B | 12.46%13.76B | 2.22%12.29B | 2.24%12.07B | 5.66%12.29B | 5.65%12.24B | 6.28%12.02B | 7.88%11.8B |
| Total equity | 7.23%91.47B | 7.22%89.79B | 7.77%89.62B | 8.06%88.86B | 3.92%85.3B | 4.25%83.74B | 3.76%83.16B | 4.16%82.23B | 2.76%82.09B | 2.98%80.33B |
| Total equity and total liabilities | 4.20%235.37B | 5.40%233.15B | 5.81%236.75B | 7.56%238.07B | 3.89%225.87B | 4.36%221.21B | 4.97%223.74B | 3.76%221.34B | 5.52%217.42B | 6.98%211.97B |
| 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 | -- | Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership) | -- | -- | -- | Deloitte Touche Tohmatsu Certified Public Accountants (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.