Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (Q2)Dec 31, 2025 | (FY)Jun 30, 2025 | (Q4)Jun 30, 2025 | (Q2)Dec 31, 2024 | (FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (Q2)Dec 31, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q2)Dec 31, 2022 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -28.29%7.91M | -36.23%7.68M | -36.23%7.68M | -18.35%11.03M | -1.22%12.04M | -1.22%12.04M | 0.84%13.51M | 0.49%12.19M | 0.49%12.19M | 70.99%13.39M |
| -Cash and cash equivalents | -60.83%914.17K | -97.45%94.69K | -97.45%94.69K | -82.72%2.33M | -69.56%3.71M | -69.56%3.71M | 0.84%13.51M | 0.49%12.19M | 0.49%12.19M | 70.99%13.39M |
| -Including:Cash | --914.17K | -97.45%94.69K | -97.45%94.69K | ---- | -69.56%3.71M | -69.56%3.71M | ---- | 0.49%12.19M | 0.49%12.19M | ---- |
| -Short term investments | -19.55%7M | -8.95%7.59M | -8.95%7.59M | --8.7M | --8.33M | --8.33M | ---- | ---- | ---- | ---- |
| Receivables | 88.41%13.86M | 161.42%9.67M | 161.42%9.67M | 4.85%7.36M | -47.94%3.7M | -47.94%3.7M | 34.28%7.02M | -18.62%7.11M | -18.62%7.11M | -62.42%5.22M |
| -Accounts receivable | 88.41%13.39M | 152.48%9.32M | 152.48%9.32M | 6.21%7.11M | -47.48%3.69M | -47.48%3.69M | 34.66%6.69M | -18.96%7.03M | -18.96%7.03M | -61.01%4.97M |
| -Gross accounts receivable | ---- | ---- | ---- | ---- | -47.48%3.69M | -47.48%3.69M | ---- | -18.96%7.03M | -18.96%7.03M | ---- |
| -Bad debt provision | ---- | ---- | ---- | ---- | --0 | --0 | ---- | --0 | --0 | ---- |
| -Other receivables | 88.64%466.48K | 4,267.01%350.8K | 4,267.01%350.8K | -23.47%247.28K | -89.68%8.03K | -89.68%8.03K | 26.86%323.11K | 31.42%77.87K | 31.42%77.87K | -77.98%254.69K |
| Inventory | 60.45%8.51M | 28.34%6.68M | 28.34%6.68M | -16.48%5.31M | -22.59%5.21M | -22.59%5.21M | -2.25%6.35M | 11.48%6.73M | 11.48%6.73M | 26.76%6.5M |
| Prepaid assets | ---- | ---- | ---- | ---- | 2.33%252.88K | 2.33%252.88K | ---- | 43.73%247.12K | 43.73%247.12K | ---- |
| Restricted cash | ---- | ---- | ---- | ---- | --151K | --151K | ---- | --0 | --0 | ---- |
| Tax assets-Current | -99.94%96 | -99.99%96 | -99.99%96 | -81.11%168.52K | 23.96%1.07M | 23.96%1.07M | 9.43%892.18K | -3.88%866.12K | -3.88%866.12K | -59.36%815.33K |
| Total current assets | 26.92%30.28M | 7.17%24.03M | 7.17%24.03M | -14.08%23.86M | -17.36%22.43M | -17.36%22.43M | 7.07%27.77M | -3.35%27.14M | -3.35%27.14M | -10.17%25.93M |
| Non current assets | ||||||||||
| Net PPE | 19.27%60.39M | 30.38%56.2M | 30.38%56.2M | 35.34%50.63M | 17.45%43.1M | 17.45%43.1M | 5.51%37.41M | 83.61%36.7M | 83.61%36.7M | 116.03%35.45M |
| -Gross PP&E | ---- | ---- | ---- | ---- | 19.29%53.75M | 19.29%53.75M | ---- | 69.50%45.06M | 69.50%45.06M | ---- |
| -Accumulated depreciation | ---- | ---- | ---- | ---- | -27.38%-10.64M | -27.38%-10.64M | ---- | -26.74%-8.36M | -26.74%-8.36M | ---- |
| Investment properties | ---- | --0 | --0 | ---- | --0 | --0 | -1.31%1.04M | -1.30%1.05M | -1.30%1.05M | -1.29%1.05M |
| Total investment | ---- | ---- | ---- | ---- | --0 | --0 | ---- | --0 | --0 | ---- |
| -Long-term equity investment | ---- | ---- | ---- | ---- | --0 | --0 | ---- | --0 | --0 | ---- |
| Total non current assets | 19.27%60.39M | 30.38%56.2M | 30.38%56.2M | 31.68%50.63M | 14.20%43.1M | 14.20%43.1M | 5.31%38.45M | 79.34%37.75M | 79.34%37.75M | 108.87%36.51M |
| Total assets | 21.72%90.67M | 22.44%80.24M | 22.44%80.24M | 12.50%74.49M | 1.00%65.53M | 1.00%65.53M | 6.04%66.21M | 32.08%64.88M | 32.08%64.88M | 34.72%62.44M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 46.30%6.62M | 26.01%5.66M | 26.01%5.66M | -22.73%4.52M | -23.60%4.49M | -23.60%4.49M | -13.23%5.85M | 30.42%5.88M | 30.42%5.88M | -10.51%6.74M |
| -Current debt and capital lease obligation | 46.30%6.62M | 26.01%5.66M | 26.01%5.66M | -22.73%4.52M | -23.60%4.49M | -23.60%4.49M | -13.23%5.85M | 30.42%5.88M | 30.42%5.88M | -10.51%6.74M |
| -Including:Current debt | 48.34%6.35M | 32.14%5.47M | 32.14%5.47M | -20.70%4.28M | -19.13%4.14M | -19.13%4.14M | -7.04%5.4M | 44.86%5.12M | 44.86%5.12M | -13.32%5.81M |
| -Including:Current capital Lease obligation | 10.05%265.72K | -46.34%188.54K | -46.34%188.54K | -46.80%241.45K | -53.75%351.34K | -53.75%351.34K | -51.60%453.86K | -21.99%759.58K | -21.99%759.58K | 12.04%937.65K |
| Payables | 27.51%6.78M | 123.75%5.22M | 123.75%5.22M | 23.75%5.32M | -27.70%2.33M | -27.70%2.33M | 97.72%4.3M | -0.61%3.23M | -0.61%3.23M | -57.40%2.17M |
| -accounts payable | 135.16%3.96M | 155.43%2.01M | 155.43%2.01M | 16.98%1.68M | -56.65%787.51K | -56.65%787.51K | 20.49%1.44M | -38.76%1.82M | -38.76%1.82M | -71.90%1.19M |
| -Total tax payable | --440.42K | --451.13K | --451.13K | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| -Other payable | -34.48%2.38M | 78.40%2.76M | 78.40%2.76M | 27.16%3.63M | 9.62%1.54M | 9.62%1.54M | 191.95%2.86M | 403.84%1.41M | 403.84%1.41M | 15.06%978.62K |
| Accrued and deferred income | ---- | ---- | ---- | ---- | -11.88%808.56K | -11.88%808.56K | ---- | 53.66%917.57K | 53.66%917.57K | ---- |
| Current liabilities | 36.15%13.39M | 42.52%10.88M | 42.52%10.88M | -3.05%9.84M | -23.85%7.63M | -23.85%7.63M | 13.80%10.15M | 20.02%10.02M | 20.02%10.02M | -29.43%8.92M |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 7.15%27.48M | 27.73%27.75M | 27.73%27.75M | 38.41%25.65M | 13.57%21.72M | 13.57%21.72M | -7.29%18.53M | 89.59%19.13M | 89.59%19.13M | 183.56%19.99M |
| -Long term debt and capital lease obligation | 7.15%27.48M | 27.73%27.75M | 27.73%27.75M | 38.41%25.65M | 13.57%21.72M | 13.57%21.72M | -7.29%18.53M | 89.59%19.13M | 89.59%19.13M | 183.56%19.99M |
| -Including:Long term debt | 5.97%26.98M | 29.02%27.58M | 29.02%27.58M | 40.66%25.46M | 15.60%21.38M | 15.60%21.38M | -6.37%18.1M | 96.77%18.5M | 96.77%18.5M | 223.68%19.33M |
| -Including:Long term capital lease obligation | 165.09%504.97K | -52.80%161.92K | -52.80%161.92K | -55.81%190.49K | -45.68%343.01K | -45.68%343.01K | -34.34%431.1K | -8.30%631.41K | -8.30%631.41K | -39.01%656.59K |
| Non current deferred liabilities | 34.51%3.41M | 25.82%2.53M | 25.82%2.53M | 9.12%2.53M | 0.80%2.01M | 0.80%2.01M | 16.66%2.32M | 12.13%2M | 12.13%2M | 28.21%1.99M |
| Non current accrued and deferred income | -40.00%45K | -33.33%60K | -33.33%60K | -28.57%75K | -25.00%90K | -25.00%90K | -22.22%105K | -20.00%120K | -20.00%120K | -18.18%135K |
| Total non current liabilities | 9.48%30.94M | 27.34%30.34M | 27.34%30.34M | 34.83%28.26M | 12.16%23.82M | 12.16%23.82M | -5.23%20.96M | 76.75%21.24M | 76.75%21.24M | 152.26%22.11M |
| Total liabilities | 16.36%44.33M | 31.02%41.22M | 31.02%41.22M | 22.47%38.1M | 0.61%31.46M | 0.61%31.46M | 0.24%31.11M | 53.49%31.27M | 53.49%31.27M | 44.99%31.03M |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M |
| -common stock | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M | 0.00%14.77M |
| Retained earnings | 32.64%40.42M | 17.57%33.1M | 17.57%33.1M | 4.39%30.47M | 1.65%28.15M | 1.65%28.15M | 14.51%29.19M | 21.29%27.7M | 21.29%27.7M | 33.97%25.49M |
| Other reserves | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M | 0.00%-8.85M |
| Total stockholders'equity | 27.33%46.33M | 14.52%39.02M | 14.52%39.02M | 3.65%36.39M | 1.36%34.07M | 1.36%34.07M | 11.78%35.11M | 16.91%33.62M | 16.91%33.62M | 25.91%31.41M |
| Total equity | 27.33%46.33M | 14.52%39.02M | 14.52%39.02M | 3.65%36.39M | 1.36%34.07M | 1.36%34.07M | 11.78%35.11M | 16.91%33.62M | 16.91%33.62M | 25.91%31.41M |
| Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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.