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 | ||||||||||
| Current assets | ||||||||||
| Money funds | 26.07%392.38M | 12.27%433.56M | 10.13%342.73M | 0.68%350.3M | -8.96%311.24M | -3.66%386.17M | -7.47%311.2M | 2.70%347.93M | -13.09%341.88M | 0.62%400.83M |
| Notes receivable and accounts receivable | -14.15%137.72M | -24.66%136.15M | -21.92%146.76M | -9.89%165.64M | -7.86%160.43M | -1.43%180.71M | 7.90%187.97M | 1.39%183.82M | -3.53%174.1M | 1.78%183.34M |
| -Notes receivable | -25.76%3.79M | -68.00%2.01M | 20.47%3.89M | -62.69%2.32M | -36.56%5.11M | -32.38%6.29M | -74.49%3.23M | -50.69%6.22M | -16.35%8.05M | 23.65%9.3M |
| -Accounts receivable | -13.77%133.93M | -23.10%134.14M | -22.66%142.87M | -8.04%163.32M | -6.46%155.32M | 0.22%174.42M | 14.36%184.74M | 5.29%177.59M | -2.80%166.05M | 0.83%174.03M |
| Other receivables (including interest and dividends) | -17.91%7.16M | -8.98%7.47M | -32.27%7.24M | -30.88%7.18M | -17.84%8.72M | -32.60%8.21M | -20.12%10.69M | -28.64%10.39M | -27.24%10.61M | -14.17%12.18M |
| -Other receivable | ---- | -8.98%7.47M | ---- | -30.88%7.18M | ---- | -32.60%8.21M | ---- | -28.64%10.39M | ---- | -14.17%12.18M |
| Contractual assets | -31.37%8.82M | -30.69%8.84M | -20.65%10.75M | 3.51%11.33M | 43.71%12.85M | 23.96%12.75M | 66.78%13.55M | 36.02%10.95M | 26.36%8.94M | 54.22%10.29M |
| Advance payment | 14.62%39.76M | 19.55%29.21M | 10.55%35.18M | 30.38%36.95M | 21.63%34.69M | -13.65%24.43M | -41.24%31.83M | -45.03%28.34M | -41.31%28.52M | -38.14%28.29M |
| Inventories | -9.06%255.76M | -19.45%202.68M | 3.67%311.12M | -6.59%268.97M | -2.50%281.25M | -4.37%251.63M | -5.20%300.11M | -0.67%287.93M | 4.95%288.46M | -11.87%263.13M |
| Receivable financing | --2.84M | --3.33M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Other current assets | -38.37%6.14M | -59.17%4.3M | 1.71%8.75M | -2.75%7.65M | -9.07%9.97M | 0.44%10.53M | -17.68%8.61M | -2.32%7.87M | 81.22%10.97M | 14.38%10.48M |
| Total current assets | 3.84%850.59M | -5.59%825.53M | -0.16%862.53M | -3.33%848.03M | -5.14%819.14M | -3.75%874.43M | -5.40%863.95M | -1.68%877.23M | -6.65%863.48M | -4.65%908.54M |
| Non Current assets | ||||||||||
| Other non-current financial assets | -35.36%27.57M | -25.38%31.52M | 12.97%42.2M | 34.88%43.07M | 35.60%42.65M | 127.15%42.24M | 104.45%37.36M | 77.91%31.93M | 78.42%31.46M | 7.39%18.6M |
| Investment real estate | -14.39%17.18M | -13.89%17.9M | -13.42%18.62M | -12.99%19.34M | -12.58%20.07M | -12.19%20.79M | -11.83%21.51M | -11.49%22.23M | -11.17%22.95M | -10.87%23.67M |
| Long-term equity investment | -37.91%27.91M | -40.62%26.93M | -38.51%26.72M | -54.07%20.34M | 5.34%44.96M | 101.06%45.36M | 114.77%43.45M | 117.44%44.29M | 109.31%42.68M | 35.41%22.56M |
| Fixed assets | ---- | -23.31%91.51M | ---- | -21.08%111.64M | ---- | -21.48%119.33M | ---- | -10.66%141.46M | ---- | -12.73%151.98M |
| Constru in process | ---- | -45.67%345.13K | ---- | 350.33%31.41M | ---- | --635.23K | ---- | --6.98M | ---- | ---- |
| Intangible assets | 37.31%60.03M | 35.97%62.36M | -11.22%41.76M | -8.08%43.92M | -12.33%43.72M | -11.32%45.86M | -10.62%47.04M | -5.67%47.78M | -5.25%49.87M | -5.27%51.71M |
| Goodwill | 0.00%272.94M | 0.00%272.94M | -24.51%272.94M | -24.51%272.94M | -24.51%272.94M | -24.51%272.94M | 0.00%361.58M | 0.00%361.58M | 0.00%361.58M | 0.00%361.58M |
| Long deferred expense | -9.04%18.5M | -8.37%18.98M | -7.45%19.63M | -9.60%19.95M | -10.64%20.34M | -11.79%20.71M | -11.59%21.21M | -10.09%22.06M | -9.35%22.76M | -8.51%23.48M |
| Deferred tax assets | 111.67%6.8M | 109.96%6.75M | -70.77%3.62M | -72.27%3.52M | -77.61%3.21M | -79.03%3.22M | 0.02%12.37M | -0.92%12.7M | 4.53%14.35M | 5.96%15.33M |
| Usufruct assets | -30.33%8.44M | -41.84%8.02M | -7.34%9.59M | -13.94%10.69M | -4.49%12.11M | -6.51%13.79M | -30.83%10.35M | -23.16%12.42M | -34.63%12.68M | -12.31%14.75M |
| Other non current assets | -95.29%1.55M | -83.23%1.98M | -54.60%1.28M | -81.01%1.22M | 657.35%32.91M | -22.57%11.8M | -40.73%2.81M | 159.18%6.42M | 195.35%4.35M | 120.48%15.25M |
| Total non current assets | -12.81%530.8M | -9.63%539.23M | -18.20%576.7M | -18.57%578.04M | -14.87%608.82M | -14.63%596.67M | 0.61%704.98M | 1.02%709.85M | 0.08%715.15M | -2.22%698.91M |
| Total assets | -3.26%1.38B | -7.23%1.36B | -8.27%1.44B | -10.15%1.43B | -9.54%1.43B | -8.48%1.47B | -2.79%1.57B | -0.49%1.59B | -3.72%1.58B | -3.61%1.61B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -84.06%10.01M | -73.84%15.01M |
| Notes payable and accounts payable | 29.81%85.82M | -19.44%76.55M | 6.03%76.78M | -1.40%82.03M | -20.59%66.11M | 25.21%95.02M | -5.15%72.41M | -1.61%83.19M | 15.83%83.26M | 6.02%75.89M |
| -Accounts payable | 29.81%85.82M | -19.44%76.55M | 6.03%76.78M | -1.40%82.03M | -20.59%66.11M | 25.21%95.02M | -5.15%72.41M | -1.61%83.19M | 15.83%83.26M | 6.02%75.89M |
| Contract liabilities | 2.23%167.94M | -8.79%133.82M | 9.51%155.13M | 2.63%143.1M | 28.21%164.27M | 18.10%146.72M | -16.95%141.66M | -6.00%139.43M | -20.33%128.13M | -35.00%124.23M |
| Salaries payable | 1.96%10.71M | 30.45%28.64M | 20.48%12.61M | -0.58%11.27M | 6.51%10.5M | -19.48%21.96M | -5.43%10.47M | -2.77%11.33M | -12.45%9.86M | -4.40%27.27M |
| Taxs payable | -21.95%1.95M | 44.10%11.96M | -28.55%4.45M | -14.48%5.18M | -35.97%2.5M | -48.53%8.3M | -2.11%6.23M | -3.77%6.05M | -41.50%3.9M | 70.11%16.12M |
| Other payable (including interest and dividends) | 4.61%4.55M | -3.55%4.38M | -18.21%3.42M | 4.34%4.2M | 5.17%4.35M | 6.24%4.54M | 14.61%4.19M | 55.60%4.02M | 154.33%4.14M | 74.88%4.27M |
| -Other payable | ---- | -3.55%4.38M | ---- | 4.34%4.2M | ---- | 6.24%4.54M | ---- | 55.60%4.02M | ---- | 74.88%4.27M |
| Non current liabilities due within one year | -18.35%5.57M | -47.32%4.49M | -36.19%4.76M | -21.59%6.3M | -14.05%6.82M | -6.36%8.51M | -17.72%7.46M | -9.57%8.04M | 3.67%7.94M | 15.70%9.09M |
| Other current liabilities | 46.22%22.14M | 43.20%18.55M | 56.51%16.95M | 28.39%13.94M | 34.84%15.14M | 14.60%12.95M | -37.71%10.83M | -33.76%10.86M | -34.21%11.23M | -44.80%11.3M |
| Total current liabilities | 10.74%298.68M | -6.58%278.38M | 8.23%274.1M | 1.17%266.01M | 4.35%269.7M | 5.23%298M | -19.47%253.25M | -11.98%262.93M | -23.94%258.46M | -27.17%283.19M |
| Current liabilities | ||||||||||
| Deferred tax liabilities | -0.99%8.64M | -2.27%9.03M | -24.02%7.97M | -24.68%8.42M | -25.47%8.73M | -24.77%9.24M | -0.91%10.49M | 1.84%11.18M | 3.07%11.71M | -12.97%12.28M |
| Long term deferred income | 203.52%30.08M | 207.37%30.77M | -40.52%10.1M | -43.35%9.62M | -48.61%9.91M | -48.68%10.01M | -10.86%16.99M | -12.39%16.99M | -4.22%19.29M | -1.88%19.51M |
| Lease liabilities | -51.41%4M | -39.85%5.16M | 33.15%8.04M | 3.48%7.7M | 22.29%8.22M | 5.36%8.58M | -16.00%6.04M | -7.72%7.44M | -45.01%6.73M | -13.88%8.15M |
| Total non current liabilities | 59.03%42.72M | 61.55%44.96M | -22.08%26.12M | -27.70%25.75M | -28.79%26.87M | -30.30%27.83M | -9.00%33.52M | -7.35%35.61M | -13.73%37.73M | -8.09%39.93M |
| Total liabilities | 15.12%341.4M | -0.76%323.34M | 4.69%300.22M | -2.27%291.76M | 0.13%296.56M | 0.84%325.83M | -18.37%286.77M | -11.45%298.54M | -22.77%296.18M | -25.26%323.12M |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%204.64M | 0.00%204.64M | 0.00%204.64M | 0.00%204.64M | 0.92%204.64M | 0.92%204.64M | 0.92%204.64M | 0.98%204.64M | 0.96%202.76M | 0.96%202.76M |
| Capital reserve funds | 0.78%813.58M | 0.71%813.07M | 0.49%813.43M | -0.30%807.32M | 1.84%807.32M | 2.00%807.32M | 2.52%809.43M | 2.82%809.73M | 2.90%792.7M | 3.63%791.5M |
| Surplus reserve funds | 0.00%14.95M | 0.00%14.95M | 0.00%14.95M | -0.96%14.95M | 0.00%14.95M | 0.00%14.95M | 0.00%14.95M | 0.97%15.1M | 0.00%14.95M | 0.00%14.95M |
| Retained profit | -119.33%-15.62M | -115.11%-14.43M | -64.27%83.5M | -64.37%85.47M | -68.22%80.78M | -62.96%95.47M | -1.25%233.68M | 1.77%239.85M | -0.62%254.18M | 6.71%257.72M |
| Other composite income | -140.52%-783.71K | -81.16%383.22K | 284.77%1.18M | 21.51%1.73M | 70.65%1.93M | 99.35%2.03M | -84.44%305.8K | -39.60%1.42M | 240.56%1.13M | 6,384.57%1.02M |
| Specific reserves | 23.35%16.68M | 29.95%16.33M | 32.85%15.39M | 37.06%14.46M | 40.60%13.52M | 46.56%12.56M | 48.78%11.58M | 56.35%10.55M | 59.75%9.62M | 61.89%8.57M |
| Shareholders equity without minority interests | -7.99%1.03B | -8.97%1.03B | -11.10%1.13B | -11.92%1.13B | -11.93%1.12B | -10.93%1.14B | 1.67%1.27B | 2.51%1.28B | 2.26%1.28B | 4.09%1.28B |
| Minority interests | -20.72%6.54M | -21.89%6.48M | -21.58%5.93M | -20.88%5.75M | 16.26%8.25M | 6.40%8.29M | -15.59%7.57M | -7.57%7.26M | -20.48%7.1M | -12.76%7.79M |
| Total shareholder equity | -8.08%1.04B | -9.07%1.04B | -11.16%1.14B | -11.97%1.13B | -11.78%1.13B | -10.83%1.15B | 1.55%1.28B | 2.45%1.29B | 2.10%1.28B | 3.97%1.28B |
| Total liabilityies and equity | -3.26%1.38B | -7.23%1.36B | -8.27%1.44B | -10.15%1.43B | -9.54%1.43B | -8.48%1.47B | -2.79%1.57B | -0.49%1.59B | -3.72%1.58B | -3.61%1.61B |
| 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 | -- | Zhongxinghua Certified Public Accountants (Special General Partnership) | -- | -- | -- | Zhongxinghua Certified Public Accountants (Special General Partnership) | -- | -- | -- | Zhongrui Cheng 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.