Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
5
CNOOC
00883
| (FY)Mar 31, 2026 | (Q4)Mar 31, 2026 | (Q3)Dec 31, 2025 | (Q2)Sep 30, 2025 | (Q1)Jun 30, 2025 | (FY)Mar 31, 2025 | (Q4)Mar 31, 2025 | (Q3)Dec 31, 2024 | (Q2)Sep 30, 2024 | (Q1)Jun 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -15.13%13.73B | -15.13%13.73B | -9.86%14.69B | -9.46%14.99B | -28.64%13.01B | -11.30%16.18B | -11.30%16.18B | -10.21%16.3B | -19.26%16.55B | -10.47%18.24B |
| -Cash and cash equivalents | -15.13%13.73B | -15.13%13.73B | -9.86%14.69B | -9.46%14.99B | -28.64%13.01B | -11.30%16.18B | -11.30%16.18B | -10.21%16.3B | -19.26%16.55B | -10.47%18.24B |
| Receivables | 10.83%23.72B | 10.83%23.72B | 8.70%21.55B | 9.31%22.55B | 11.78%22.01B | 14.86%21.4B | 14.86%21.4B | 19.12%19.83B | 22.59%20.63B | 26.88%19.69B |
| -Accounts receivable | 7.60%9.56B | 7.60%9.56B | 4.71%7.23B | 1.07%8.43B | 3.07%8.06B | 8.01%8.89B | 8.01%8.89B | 9.42%6.9B | 19.18%8.34B | 27.32%7.82B |
| -Gross accounts receivable | 7.60%9.56B | 7.60%9.56B | 4.71%7.23B | 1.07%8.43B | 3.07%8.06B | 8.01%8.89B | 8.01%8.89B | 9.42%6.9B | 19.18%8.34B | 27.32%7.82B |
| -Other receivables | 13.14%14.16B | 13.14%14.16B | 10.83%14.33B | 14.91%14.12B | 17.50%13.96B | 20.28%12.52B | 20.28%12.52B | 25.04%12.93B | 25.03%12.29B | 26.59%11.88B |
| Inventory | -38.46%72M | -38.46%72M | 66.67%165M | 11.22%109M | 68.52%91M | 207.89%117M | 207.89%117M | 26.92%99M | 24.05%98M | -28.00%54M |
| Prepaid assets | -5.14%1.22B | -5.14%1.22B | 6.41%1.2B | 4.28%1.32B | 11.44%1.43B | 23.80%1.29B | 23.80%1.29B | 17.33%1.12B | 31.19%1.26B | 18.11%1.29B |
| Other current assets | -4.43%-330M | -4.43%-330M | -2.00%-255M | -46.11%-282M | 207.19%164M | -84.80%-316M | -84.80%-316M | -73.61%-250M | -7.82%-193M | 29.17%-153M |
| Total current assets | -0.65%38.41B | -0.65%38.41B | 0.68%37.35B | 0.87%38.68B | -6.14%36.71B | 2.35%38.66B | 2.35%38.66B | 3.95%37.1B | 0.41%38.35B | 6.19%39.12B |
| Non current assets | ||||||||||
| Net PPE | -5.03%2.58B | -5.03%2.58B | 1.08%2.61B | -4.27%2.6B | -2.44%2.68B | 3.89%2.72B | 3.89%2.72B | 4.88%2.58B | 10.21%2.72B | 16.77%2.74B |
| -Gross PP&E | -8.26%4.5B | -8.26%4.5B | -1.97%4.48B | -7.54%4.45B | 4.80%4.89B | 11.73%4.91B | 11.73%4.91B | -0.67%4.57B | 6.86%4.81B | 10.68%4.66B |
| -Accumulated depreciation | 12.27%-1.92B | 12.27%-1.92B | 5.94%-1.87B | 11.80%-1.85B | -15.16%-2.21B | -23.31%-2.19B | -23.31%-2.19B | 7.06%-1.99B | -2.80%-2.09B | -3.00%-1.92B |
| Total investment | 1.18%2.91B | 1.18%2.91B | -0.63%2.38B | 2.20%2.23B | 2.73%2.03B | 8.41%2.88B | 8.41%2.88B | 7.42%2.39B | 4.41%2.18B | 4.27%1.98B |
| -Financial asset investment | 1.18%2.91B | 1.18%2.91B | -0.63%2.38B | 2.20%2.23B | 2.73%2.03B | 8.41%2.88B | 8.41%2.88B | 7.42%2.39B | 4.41%2.18B | 4.27%1.98B |
| -Including:Available-for-sale securities | 1.18%2.91B | 1.18%2.91B | -0.63%2.38B | 2.20%2.23B | 2.73%2.03B | 8.41%2.88B | 8.41%2.88B | 7.42%2.39B | 4.41%2.18B | 4.27%1.98B |
| Goodwill and other intangible assets | -76.62%7.21B | -76.62%7.21B | 2.40%29.18B | -7.69%28.71B | -0.52%29.44B | 9.50%30.84B | 9.50%30.84B | -3.32%28.5B | 8.12%31.1B | 10.71%29.59B |
| -Goodwill | -99.34%64M | -99.34%64M | -5.89%8.53B | -18.11%8.53B | -11.05%8.97B | -0.52%9.7B | -0.52%9.7B | -13.76%9.06B | -0.59%10.42B | 2.33%10.09B |
| -Other intangible assets | -66.20%7.15B | -66.20%7.15B | 6.27%20.65B | -2.44%20.18B | 4.93%20.47B | 14.81%21.14B | 14.81%21.14B | 2.46%19.43B | 13.12%20.68B | 15.61%19.51B |
| Deferred tax assets-non current | 15.38%1.66B | 15.38%1.66B | 33.96%1.94B | 38.30%1.89B | 10.51%1.46B | 13.87%1.44B | 13.87%1.44B | 16.80%1.45B | 12.50%1.37B | 12.50%1.32B |
| Total non current assets | -62.08%14.36B | -62.08%14.36B | 3.41%36.1B | -5.18%35.43B | -0.08%35.61B | 9.15%37.87B | 9.15%37.87B | -1.37%34.91B | 8.20%37.37B | 10.84%35.64B |
| Total assets | -31.05%52.77B | -31.05%52.77B | 2.00%73.45B | -2.12%74.11B | -3.25%72.33B | 5.61%76.54B | 5.61%76.54B | 1.30%72.02B | 4.11%75.72B | 8.36%74.76B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 8.83%6.02B | 8.83%6.02B | 83.25%7.34B | 252.66%7.17B | 161.92%5.39B | 168.27%5.53B | 168.27%5.53B | 96.81%4.01B | -0.78%2.03B | 0.24%2.06B |
| -Current debt and capital lease obligation | 8.83%6.02B | 8.83%6.02B | 83.25%7.34B | 252.66%7.17B | 161.92%5.39B | 168.27%5.53B | 168.27%5.53B | 96.81%4.01B | -0.78%2.03B | 0.24%2.06B |
| -Including:Current debt | 9.24%5.9B | 9.24%5.9B | 86.13%7.26B | 273.54%7.1B | 178.85%5.3B | 184.11%5.4B | 184.11%5.4B | 105.21%3.9B | 0.00%1.9B | 0.00%1.9B |
| -Including:Current capital Lease obligation | -8.59%117M | -8.59%117M | -25.00%78M | -50.38%65M | -45.81%84M | -20.00%128M | -20.00%128M | -22.39%104M | -10.88%131M | 3.33%155M |
| Payables | 0.13%14.44B | 0.13%14.44B | -12.99%13.18B | -18.69%14.45B | -16.16%13.6B | -6.77%14.42B | -6.77%14.42B | 5.98%15.15B | 18.36%17.77B | 13.06%16.23B |
| -accounts payable | -4.26%405M | -4.26%405M | -18.26%273M | -25.17%223M | -8.06%331M | -8.04%423M | -8.04%423M | 23.25%334M | 24.69%298M | 33.33%360M |
| -Total tax payable | 14.06%2.42B | 14.06%2.42B | -6.28%955M | 7.03%2.38B | 6.69%2.25B | -6.82%2.12B | -6.82%2.12B | -24.69%1.02B | -4.15%2.22B | 1.44%2.11B |
| -Other payable | -2.20%11.61B | -2.20%11.61B | -13.36%11.95B | -22.31%11.85B | -19.88%11.02B | -6.72%11.88B | -6.72%11.88B | 8.88%13.79B | 22.43%15.25B | 14.61%13.76B |
| Pension and other retirement benefit plans | 4.03%1.08B | 4.03%1.08B | 12.34%792M | 5.70%1B | 8.98%522M | 14.63%1.04B | 14.63%1.04B | 1.29%705M | 14.63%948M | 10.88%479M |
| Accrued and deferred income | 1.28%2.37B | 1.28%2.37B | 3.85%3.18B | 7.44%2.8B | 1.58%3.03B | 3.53%2.34B | 3.53%2.34B | 6.10%3.06B | 0.97%2.61B | 37.37%2.98B |
| Other current liabilities | 2.28%673M | 2.28%673M | -5.88%560M | 9.12%730M | 31.07%831M | 4.94%658M | 4.94%658M | 10.19%595M | 14.16%669M | -5.09%634M |
| Current liabilities | 2.48%24.58B | 2.48%24.58B | 6.53%25.05B | 8.84%26.15B | 4.44%23.37B | 12.50%23.99B | 12.50%23.99B | 14.98%23.51B | 14.10%24.02B | 13.74%22.38B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -51.86%1.22B | -51.86%1.22B | -53.66%1.57B | -54.54%1.55B | -42.22%2.52B | -42.27%2.52B | -42.27%2.52B | -35.88%3.39B | -35.79%3.4B | -30.53%4.35B |
| -Long term debt and capital lease obligation | -51.86%1.22B | -51.86%1.22B | -53.66%1.57B | -54.54%1.55B | -42.22%2.52B | -42.27%2.52B | -42.27%2.52B | -35.88%3.39B | -35.79%3.4B | -30.53%4.35B |
| -Including:Long term debt | -55.32%1.05B | -55.32%1.05B | -57.59%1.4B | -57.59%1.4B | -44.72%2.35B | -44.72%2.35B | -44.72%2.35B | -36.54%3.3B | -36.54%3.3B | -30.91%4.25B |
| -Including:Long term capital lease obligation | -5.17%165M | -5.17%165M | 98.82%169M | 44.12%147M | 61.76%165M | 43.80%174M | 43.80%174M | 7.59%85M | 4.08%102M | -9.73%102M |
| Long term pension and other post-retirement benefit plans | 4.66%247M | 4.66%247M | 31.67%237M | 5.71%222M | 10.58%230M | 16.26%236M | 16.26%236M | -9.09%180M | 4.48%210M | 14.29%208M |
| Non current deferred liabilities | --0 | --0 | 0.85%2.26B | -13.08%2.22B | -4.46%2.31B | 7.92%2.47B | 7.92%2.47B | -7.65%2.24B | 7.58%2.55B | 9.80%2.42B |
| Other non current liabilities | -16.67%5M | -16.67%5M | -28.57%5M | 0.00%5M | 0.00%6M | 0.00%6M | 0.00%6M | 16.67%7M | -28.57%5M | 20.00%6M |
| Total non current liabilities | -71.97%1.47B | -71.97%1.47B | -29.96%4.07B | -35.29%3.99B | -27.54%5.06B | -23.79%5.23B | -23.79%5.23B | -26.51%5.82B | -21.70%6.17B | -19.29%6.99B |
| Total liabilities | -10.85%26.05B | -10.85%26.05B | -0.71%29.12B | -0.18%30.14B | -3.17%28.43B | 3.66%29.22B | 3.66%29.22B | 3.41%29.33B | 4.35%30.19B | 3.65%29.36B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 10.05%2.55B |
| -common stock | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 0.00%2.55B | 10.05%2.55B |
| Additional paid-in capital | -0.38%261M | -0.38%261M | -0.38%261M | -0.38%261M | -0.38%261M | -16.29%262M | -16.29%262M | -26.40%262M | -26.40%262M | 113.01%262M |
| Retained earnings | -38.54%26.69B | -38.54%26.69B | 10.79%45.67B | 12.07%46B | 10.88%44.95B | 11.04%43.43B | 11.04%43.43B | 13.69%41.22B | 13.83%41.05B | 14.93%40.54B |
| Less: Treasury stock | 69.98%9.71B | 69.98%9.71B | 69.98%9.71B | 69.98%9.71B | 149.04%9.25B | 200.05%5.71B | 200.05%5.71B | 185.51%5.71B | 571,200.00%5.71B | 371,200.00%3.71B |
| Other reserves | 2.20%6.7B | 2.20%6.7B | 31.43%5.32B | -34.40%4.63B | -5.64%5.15B | 66.87%6.56B | 66.87%6.56B | -21.37%4.04B | 58.95%7.06B | 124.69%5.46B |
| Other equity interest | 0.00%229M | 0.00%229M | -23.27%244M | -24.76%240M | -22.37%229M | -18.79%229M | -18.79%229M | -23.92%318M | -17.36%319M | -43.05%295M |
| Total stockholders'equity | -43.52%26.72B | -43.52%26.72B | 3.85%44.33B | -3.40%43.97B | -3.30%43.9B | 6.85%47.32B | 6.85%47.32B | -0.10%42.69B | 3.96%45.52B | 11.64%45.39B |
| Total equity | -43.52%26.72B | -43.52%26.72B | 3.85%44.33B | -3.40%43.97B | -3.30%43.9B | 6.85%47.32B | 6.85%47.32B | -0.10%42.69B | 3.96%45.52B | 11.64%45.39B |
| Currency Unit | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY | JPY |
| Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |