Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -11.35%116M | -11.35%116M | -31.78%74.35M | -16.24%116.11M | -21.38%119.22M | -24.62%130.86M | -24.62%130.86M | -11.09%108.98M | 7.50%138.63M | 11.90%151.64M |
| -Cash and cash equivalents | -12.03%109.9M | -12.03%109.9M | -33.77%68.32M | -17.01%110.22M | -22.31%113.39M | -25.68%124.93M | -25.68%124.93M | -11.95%103.17M | 7.43%132.8M | 12.11%145.96M |
| -Including:Cash | ---- | ---- | ---- | ---- | ---- | -21.20%92.51M | -21.20%92.51M | ---- | ---- | --145.96M |
| -Including:Cash equivalents | ---- | ---- | ---- | ---- | ---- | -36.03%32.42M | -36.03%32.42M | ---- | ---- | ---- |
| -Short term investments | 3.05%6.11M | 3.05%6.11M | 3.63%6.03M | 1.18%5.9M | 2.50%5.83M | 7.84%5.93M | 7.84%5.93M | 7.46%5.82M | 9.14%5.83M | 6.76%5.69M |
| Receivables | 9.61%254.67M | 9.61%254.67M | -7.02%253.79M | -1.51%272.22M | -5.27%269.03M | -3.99%232.34M | -3.99%232.34M | -2.27%272.96M | -5.87%276.39M | -5.97%284.01M |
| -Accounts receivable | -2.01%223.33M | -2.01%223.33M | 0.85%211.51M | -1.48%218.38M | -6.41%220.33M | -4.25%227.91M | -4.25%227.91M | -8.50%209.73M | -5.64%221.66M | -7.52%235.43M |
| -Gross accounts receivable | ---- | ---- | ---- | ---- | ---- | -4.37%231.36M | -4.37%231.36M | ---- | ---- | ---- |
| -Bad debt provision | ---- | ---- | ---- | ---- | ---- | 11.63%-3.44M | 11.63%-3.44M | ---- | ---- | ---- |
| -Other receivables | 607.52%31.34M | 607.52%31.34M | -33.14%42.28M | -1.63%53.84M | 0.26%48.7M | 11.53%4.43M | 11.53%4.43M | 26.27%63.23M | -6.76%54.73M | 2.32%48.58M |
| Inventory | -13.44%289.9M | -13.44%289.9M | -15.15%328.45M | -14.57%308.93M | -11.17%302.72M | -0.60%334.91M | -0.60%334.91M | 5.15%387.1M | -2.49%361.61M | -3.90%340.8M |
| Prepaid assets | ---- | ---- | ---- | ---- | ---- | 20.03%38.94M | 20.03%38.94M | ---- | ---- | ---- |
| Restricted cash | ---- | ---- | ---- | ---- | ---- | 107.65%3.07M | 107.65%3.07M | ---- | ---- | ---- |
| Tax assets-Current | -57.13%5.27M | -57.13%5.27M | -22.00%9.17M | -20.32%9.22M | -14.68%9.18M | 9.85%12.3M | 9.85%12.3M | 2.81%11.76M | 10.13%11.57M | -24.95%10.75M |
| Hedging assets-current | --0 | --0 | --0 | --0 | --0 | 5,975.00%243K | 5,975.00%243K | --0 | --3K | --0 |
| Holding assets for sale | 5.01%13.34M | 5.01%13.34M | -70.79%5.21M | -67.13%6.35M | --12.71M | --12.71M | --12.71M | --17.82M | --19.32M | ---- |
| Total current assets | -11.26%679.19M | -11.26%679.19M | -15.98%670.97M | -11.73%712.83M | -9.44%712.86M | -4.04%765.37M | -4.04%765.37M | 2.20%798.63M | 0.45%807.53M | -2.40%787.2M |
| Non current assets | ||||||||||
| Net PPE | 10.34%1.67B | 10.34%1.67B | 2.67%1.53B | 1.46%1.54B | -0.14%1.53B | -0.92%1.52B | -0.92%1.52B | -2.34%1.49B | -1.18%1.51B | 0.67%1.53B |
| -Gross PP&E | -35.83%1.67B | -35.83%1.67B | 2.67%1.53B | 1.46%1.54B | -0.14%1.53B | 1.46%2.61B | 1.46%2.61B | -2.34%1.49B | -1.18%1.51B | 0.67%1.53B |
| -Accumulated depreciation | ---- | ---- | ---- | ---- | ---- | -4.97%-1.09B | -4.97%-1.09B | ---- | ---- | ---- |
| Investment properties | 101.22%14.37M | 101.22%14.37M | -3.90%7.14M | -3.90%7.14M | -20.49%7.14M | -20.49%7.14M | -20.49%7.14M | -27.01%7.43M | -27.01%7.43M | -11.79%8.98M |
| Total investment | -87.40%91K | -87.40%91K | -92.77%51K | -82.28%238K | -88.97%158K | -55.49%722K | -55.49%722K | -54.57%705K | -93.70%1.34M | -93.74%1.43M |
| -Long-term equity investment | -87.40%91K | -87.40%91K | -92.77%51K | -82.28%238K | -88.97%158K | -55.49%722K | -55.49%722K | -54.57%705K | -8.64%1.34M | 0.84%1.43M |
| -Financial asset investment | ---- | ---- | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| Goodwill and other intangible assets | -1.68%15.97M | -1.68%15.97M | 0.57%16.19M | -2.19%16.27M | -2.43%16.28M | -2.40%16.24M | -2.40%16.24M | -2.83%16.1M | 0.51%16.64M | 2.27%16.68M |
| -Goodwill | ---- | ---- | ---- | ---- | ---- | -2.40%16.24M | -2.40%16.24M | ---- | ---- | ---- |
| Deferred tax assets-non current | -25.39%1.14M | -25.39%1.14M | 37.88%2.33M | 42.36%2.02M | 148.15%1.61M | 113.45%1.52M | 113.45%1.52M | 159.94%1.69M | 110.83%1.42M | -21.50%650K |
| Total non current assets | 10.55%1.7B | 10.55%1.7B | 2.61%1.56B | 1.36%1.56B | -0.31%1.55B | -1.05%1.54B | -1.05%1.54B | -2.49%1.52B | -2.53%1.54B | -0.78%1.56B |
| Total assets | 3.32%2.38B | 3.32%2.38B | -3.80%2.23B | -3.14%2.27B | -3.37%2.27B | -2.07%2.31B | -2.07%2.31B | -0.92%2.32B | -1.52%2.35B | -1.33%2.34B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -1.42%617.18M | -1.42%617.18M | -0.27%634.39M | 6.73%660.54M | 7.01%633.32M | 9.79%626.06M | 9.79%626.06M | 9.03%636.09M | 2.93%618.9M | 3.28%591.83M |
| -Financial or other derivative investment liabilities | --8K | --8K | -95.89%56K | --860K | 4,400.00%135K | ---- | ---- | 13,520.00%1.36M | ---- | -98.87%3K |
| -Current debt and capital lease obligation | -1.42%617.17M | -1.42%617.17M | -0.06%634.34M | 6.59%659.68M | 6.99%633.18M | 9.79%626.06M | 9.79%626.06M | 8.80%634.73M | 2.93%618.9M | 3.33%591.83M |
| -Including:Current debt | 0.72%617.17M | 0.72%617.17M | -0.06%634.34M | 6.59%659.68M | 6.99%633.18M | 9.98%612.74M | 9.98%612.74M | 8.80%634.73M | 2.93%618.9M | 3.33%591.83M |
| -Including:Current capital Lease obligation | ---- | ---- | ---- | ---- | ---- | 1.72%13.32M | 1.72%13.32M | ---- | ---- | ---- |
| Payables | 28.24%153.7M | 28.24%153.7M | -3.09%144.21M | 0.07%140.16M | -3.24%139M | 10.91%119.86M | 10.91%119.86M | 8.33%148.81M | -4.84%140.07M | -5.55%143.65M |
| -accounts payable | -13.91%48.87M | -13.91%48.87M | 1.73%43.88M | 1.80%46.28M | -12.22%40.35M | 0.06%56.76M | 0.06%56.76M | 15.12%43.13M | 3.63%45.46M | -8.45%45.97M |
| -Total tax payable | -69.88%1.82M | -69.88%1.82M | -30.08%895K | 17.13%1.3M | 46.77%1.89M | 12.39%6.05M | 12.39%6.05M | 20.64%1.28M | 52.97%1.11M | -20.48%1.29M |
| -Other payable | 80.58%103.02M | 80.58%103.02M | -4.75%99.44M | -0.98%92.59M | 0.38%96.77M | 24.13%57.05M | 24.13%57.05M | 5.63%104.4M | -8.87%93.5M | -3.85%96.4M |
| Accrued and deferred income | -96.57%1.91M | -96.57%1.91M | 0.00%1.91M | 0.00%1.91M | 0.00%1.91M | -9.48%55.53M | -9.48%55.53M | 26.83%1.91M | 26.83%1.91M | 26.83%1.91M |
| Other current liabilities | ---- | ---- | ---- | ---- | ---- | 443.89%1.2M | 443.89%1.2M | ---- | ---- | ---- |
| Current liabilities | -3.72%772.79M | -3.72%772.79M | -0.80%780.51M | 5.48%802.6M | 5.00%774.23M | 8.49%802.64M | 8.49%802.64M | 8.93%786.8M | 1.45%760.87M | 1.48%737.39M |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 19.87%144.46M | 19.87%144.46M | 21.93%143.22M | 6.47%137.07M | -3.87%131.31M | -15.21%120.51M | -15.21%120.51M | -18.79%117.46M | -4.56%128.74M | 2.58%136.59M |
| -Long term debt and capital lease obligation | 19.87%144.46M | 19.87%144.46M | 21.93%143.22M | 6.47%137.07M | -3.87%131.31M | -15.21%120.51M | -15.21%120.51M | -18.79%117.46M | -4.56%128.74M | 2.58%136.59M |
| -Including:Long term debt | 47.82%144.46M | 47.82%144.46M | 21.93%143.22M | 6.47%137.07M | -3.87%131.31M | -15.41%97.73M | -15.41%97.73M | -18.79%117.46M | -4.56%128.74M | 2.58%136.59M |
| -Including:Long term capital lease obligation | ---- | ---- | ---- | ---- | ---- | -14.34%22.78M | -14.34%22.78M | ---- | ---- | ---- |
| Long term pension and other post-retirement benefit plans | 1.50%72.72M | 1.50%72.72M | 15.99%72.96M | 16.75%72.65M | 15.49%72.77M | 14.76%71.64M | 14.76%71.64M | 1.71%62.91M | -0.07%62.23M | -0.16%63.01M |
| Non current deferred liabilities | 4.43%76.47M | 4.43%76.47M | -34.36%53.45M | -31.06%59M | -28.00%65.15M | -23.24%73.23M | -23.24%73.23M | -22.32%81.43M | -22.03%85.58M | -20.68%90.49M |
| Non current accrued and deferred income | -13.30%12.42M | -13.30%12.42M | -12.87%12.9M | -12.47%13.37M | -12.09%13.85M | -11.74%14.32M | -11.74%14.32M | -13.15%14.8M | -12.29%15.28M | -11.46%15.75M |
| Total non current liabilities | 9.42%306.07M | 9.42%306.07M | 2.14%282.53M | -3.33%282.09M | -7.44%283.08M | -11.54%279.7M | -11.54%279.7M | -15.76%276.6M | -10.03%291.82M | -6.79%305.84M |
| Total liabilities | -0.32%1.08B | -0.32%1.08B | -0.03%1.06B | 3.04%1.08B | 1.35%1.06B | 2.49%1.08B | 2.49%1.08B | 1.22%1.06B | -2.02%1.05B | -1.09%1.04B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M |
| -common stock | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M | 0.00%159.47M |
| Retained earnings | -8.66%544.2M | -8.66%544.2M | -11.90%547.17M | -13.38%563.32M | -11.58%578.96M | -8.74%595.77M | -8.74%595.77M | -3.81%621.06M | -1.45%650.34M | -2.51%654.77M |
| Fixed asset revaluation reserve | ---- | ---- | --396.29M | ---- | --400.36M | --401.37M | --401.37M | ---- | -0.89%408.43M | ---- |
| Other reserves | 31.39%560.83M | 31.39%560.83M | -94.38%24.26M | 1,185.84%424.02M | -94.17%25.78M | -3.59%426.85M | -3.59%426.85M | 1,286.42%431.52M | -5.41%32.98M | 1,229.68%442.07M |
| Total stockholders'equity | 6.97%1.26B | 6.97%1.26B | -7.00%1.13B | -8.34%1.15B | -7.30%1.16B | -5.81%1.18B | -5.81%1.18B | -2.83%1.21B | -1.19%1.25B | -1.65%1.26B |
| Noncontrolling interests | -5.61%40.64M | -5.61%40.64M | -6.61%38.84M | -3.06%43.17M | -3.18%43.76M | -4.60%43.06M | -4.60%43.06M | 2.24%41.59M | 1.02%44.54M | 2.43%45.2M |
| Total equity | 6.53%1.31B | 6.53%1.31B | -6.99%1.17B | -8.16%1.19B | -7.16%1.21B | -5.77%1.23B | -5.77%1.23B | -2.67%1.25B | -1.12%1.3B | -1.51%1.3B |
| 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.