Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
SINOPEC CORP
00386
| (FY)Jun 30, 2025 | (Q4)Jun 30, 2025 | (FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -31.32%1.87M | -31.32%1.87M | 82.29%2.72M | 82.29%2.72M | -58.52%1.49M | -58.52%1.49M | -31.23%3.6M | -31.23%3.6M | 123.78%5.23M | 123.78%5.23M |
| -Cash and cash equivalents | -31.32%1.87M | -31.32%1.87M | 82.29%2.72M | 82.29%2.72M | -58.52%1.49M | -58.52%1.49M | -31.23%3.6M | -31.23%3.6M | 123.78%5.23M | 123.78%5.23M |
| Receivables | -38.91%1.84M | -38.91%1.84M | -16.43%3.02M | -16.43%3.02M | -15.68%3.61M | -15.68%3.61M | 172.88%4.28M | 172.88%4.28M | 37.13%1.57M | 37.13%1.57M |
| -Accounts receivable | -72.69%501.98K | -72.69%501.98K | -32.48%1.84M | -32.48%1.84M | -21.92%2.72M | -21.92%2.72M | 231.57%3.49M | 231.57%3.49M | 74.65%1.05M | 74.65%1.05M |
| -Other receivables | 13.70%1.34M | 13.70%1.34M | 32.67%1.18M | 32.67%1.18M | 11.64%890K | 11.64%890K | 53.79%797.2K | 53.79%797.2K | -4.50%518.36K | -4.50%518.36K |
| Other current assets | -1.02%113.48K | -1.02%113.48K | 66.20%114.65K | 66.20%114.65K | 726.96%68.99K | 726.96%68.99K | -34.65%8.34K | -34.65%8.34K | -69.39%12.77K | -69.39%12.77K |
| Total current assets | -34.64%3.83M | -34.64%3.83M | 13.14%5.85M | 13.14%5.85M | -34.42%5.17M | -34.42%5.17M | 15.81%7.89M | 15.81%7.89M | 93.34%6.81M | 93.34%6.81M |
| Non current assets | ||||||||||
| Net PPE | 488.50%319.29K | 488.50%319.29K | 58.45%-82.19K | 58.45%-82.19K | -364.09%-197.79K | -364.09%-197.79K | -74.25%74.89K | -74.25%74.89K | -1.97%290.88K | -1.97%290.88K |
| -Gross PPE | 131.56%847.82K | 131.56%847.82K | 8.12%366.13K | 8.12%366.13K | -27.54%338.64K | -27.54%338.64K | -12.93%467.32K | -12.93%467.32K | 20.81%536.75K | 20.81%536.75K |
| -Accumulated depreciation | -17.89%-528.53K | -17.89%-528.53K | 16.43%-448.31K | 16.43%-448.31K | -36.70%-536.43K | -36.70%-536.43K | -59.61%-392.43K | -59.61%-392.43K | -66.64%-245.87K | -66.64%-245.87K |
| Goodwill and other intangible assets | -30.01%39.62K | -30.01%39.62K | -5.43%56.6K | -5.43%56.6K | -22.94%59.85K | -22.94%59.85K | -95.10%77.67K | -95.10%77.67K | 2,026.59%1.58M | 2,026.59%1.58M |
| -Other intangible assets | -30.01%39.62K | -30.01%39.62K | -5.43%56.6K | -5.43%56.6K | -22.94%59.85K | -22.94%59.85K | -95.10%77.67K | -95.10%77.67K | 2,026.59%1.58M | 2,026.59%1.58M |
| Total non current assets | 1,502.97%358.91K | 1,502.97%358.91K | 81.45%-25.58K | 81.45%-25.58K | -190.41%-137.94K | -190.41%-137.94K | -91.86%152.56K | -91.86%152.56K | 405.14%1.88M | 405.14%1.88M |
| Total assets | -28.19%4.18M | -28.19%4.18M | 15.73%5.83M | 15.73%5.83M | -37.38%5.04M | -37.38%5.04M | -7.43%8.04M | -7.43%8.04M | 123.05%8.69M | 123.05%8.69M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 19.51%52K | 19.51%52K | -46.35%43.51K | -46.35%43.51K | -28.26%81.09K | -28.26%81.09K | 32.63%113.04K | 32.63%113.04K | 4.46%85.23K | 4.46%85.23K |
| -Current debt | ---- | ---- | ---- | ---- | ---- | ---- | --48.77K | --48.77K | ---- | ---- |
| -Current capital lease obligation | 19.51%52K | 19.51%52K | -46.35%43.51K | -46.35%43.51K | 26.19%81.09K | 26.19%81.09K | -24.60%64.26K | -24.60%64.26K | 4.46%85.23K | 4.46%85.23K |
| Payables | -1.27%2.85M | -1.27%2.85M | -21.69%2.89M | -21.69%2.89M | -9.87%3.69M | -9.87%3.69M | 44.27%4.1M | 44.27%4.1M | 118.87%2.84M | 118.87%2.84M |
| -accounts payable | -54.89%1.3M | -54.89%1.3M | 10.55%2.89M | 10.55%2.89M | 1.77%2.62M | 1.77%2.62M | 50.22%2.57M | 50.22%2.57M | 95.40%1.71M | 95.40%1.71M |
| -Other payable | --1.55M | --1.55M | ---- | ---- | -29.46%1.08M | -29.46%1.08M | 35.24%1.53M | 35.24%1.53M | 167.59%1.13M | 167.59%1.13M |
| Current provisions | ---- | ---- | 21.45%776.2K | 21.45%776.2K | 57.17%639.09K | 57.17%639.09K | 77.35%406.62K | 77.35%406.62K | -48.72%229.27K | -48.72%229.27K |
| Pension and other retirement benefit plans | 21.11%940.03K | 21.11%940.03K | 21.45%776.2K | 21.45%776.2K | --639.09K | --639.09K | ---- | ---- | ---- | ---- |
| Current deferred liabilities | -21.15%1.34M | -21.15%1.34M | -37.28%1.7M | -37.28%1.7M | 87.37%2.71M | 87.37%2.71M | 27.62%1.45M | 27.62%1.45M | 39.83%1.13M | 39.83%1.13M |
| Current liabilities | -16.17%5.19M | -16.17%5.19M | -20.29%6.19M | -20.29%6.19M | 28.05%7.76M | 28.05%7.76M | 41.40%6.06M | 41.40%6.06M | 62.60%4.29M | 62.60%4.29M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -14.78%299.75K | -14.78%299.75K | 63.00%351.74K | 63.00%351.74K | -24.10%215.79K | -24.10%215.79K | -6.77%284.32K | -6.77%284.32K | -11.82%304.95K | -11.82%304.95K |
| -Long term capital lease obligation | -14.78%299.75K | -14.78%299.75K | 63.00%351.74K | 63.00%351.74K | -24.10%215.79K | -24.10%215.79K | -6.77%284.32K | -6.77%284.32K | -11.82%304.95K | -11.82%304.95K |
| Employee benefits | ---- | ---- | ---- | ---- | ---- | ---- | --88.09K | --88.09K | ---- | ---- |
| Non current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --311.92K | --311.92K |
| Total non current liabilities | -14.78%299.75K | -14.78%299.75K | 63.00%351.74K | 63.00%351.74K | -42.06%215.79K | -42.06%215.79K | -39.63%372.41K | -39.63%372.41K | 78.37%616.87K | 78.37%616.87K |
| Total liabilities | -16.09%5.49M | -16.09%5.49M | -18.04%6.54M | -18.04%6.54M | 23.99%7.98M | 23.99%7.98M | 31.21%6.44M | 31.21%6.44M | 64.43%4.9M | 64.43%4.9M |
| Shareholders'equity | ||||||||||
| Share capital | 0.68%19.2M | 0.68%19.2M | 37.66%19.08M | 37.66%19.08M | 0.50%13.86M | 0.50%13.86M | 0.04%13.79M | 0.04%13.79M | 50.20%13.78M | 50.20%13.78M |
| -common stock | 0.68%19.2M | 0.68%19.2M | 37.66%19.08M | 37.66%19.08M | 0.50%13.86M | 0.50%13.86M | 0.04%13.79M | 0.04%13.79M | 50.20%13.78M | 50.20%13.78M |
| Retained earnings | -7.03%-25.77M | -7.03%-25.77M | -27.74%-24.07M | -27.74%-24.07M | -27.32%-18.85M | -27.32%-18.85M | -26.47%-14.8M | -26.47%-14.8M | -11.72%-11.7M | -11.72%-11.7M |
| Gains losses not affecting retained earnings | 21.44%5.26M | 21.44%5.26M | 27.06%4.33M | 27.06%4.33M | -11.02%3.41M | -11.02%3.41M | 52.56%3.83M | 52.56%3.83M | 12.15%2.51M | 12.15%2.51M |
| Total stockholders'equity | -94.91%-1.3M | -94.91%-1.3M | 57.74%-668.32K | 57.74%-668.32K | -156.16%-1.58M | -156.16%-1.58M | -38.64%2.82M | -38.64%2.82M | 389.01%4.59M | 389.01%4.59M |
| Total equity | -94.91%-1.3M | -94.91%-1.3M | 57.74%-668.32K | 57.74%-668.32K | -156.16%-1.58M | -156.16%-1.58M | -38.64%2.82M | -38.64%2.82M | 389.01%4.59M | 389.01%4.59M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |