Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
SINOPEC CORP
00386
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -10.78%219.82B | --219.82B | -19.91%242.18B | -24.45%236.17B | -35.61%215.56B | -39.16%246.39B | -21.07%302.38B | -16.06%312.6B | -3.39%334.78B | 19.22%405.01B |
| -Cash and cash equivalents | -10.59%218.77B | --218.77B | -18.94%240.21B | -24.60%234.6B | -35.65%214.37B | -39.30%244.68B | -22.48%296.33B | -16.39%311.14B | -3.40%333.12B | 18.84%403.08B |
| -Short term investments | -38.18%1.05B | --1.05B | -67.41%1.97B | 7.04%1.57B | -28.05%1.19B | -11.34%1.71B | 613.58%6.04B | 460.54%1.46B | -1.66%1.66B | 265.59%1.92B |
| Receivables | 15.41%181.21B | --181.21B | 7.82%151.83B | 25.68%158.71B | 17.54%136.49B | 31.85%157.02B | 23.94%140.82B | 13.91%126.27B | 18.39%116.13B | 6.56%119.08B |
| -Accounts receivable | 15.41%181.21B | --181.21B | 7.82%151.83B | 25.68%158.71B | 17.54%136.49B | 31.85%157.02B | 23.94%140.82B | 13.91%126.27B | 18.39%116.13B | 6.56%119.08B |
| Inventory | -7.53%67.44B | --67.44B | -2.42%71.28B | -5.83%72.86B | -2.14%73.16B | 2.20%72.93B | 2.39%73.04B | 1.08%77.37B | 4.42%74.76B | 0.97%71.36B |
| Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | --2.83B | ---- | ---- | ---- |
| Other current assets | -10.15%24.88B | --24.88B | -14.02%25.51B | -14.91%23.13B | -10.58%25.02B | 76.69%27.69B | 123.27%29.67B | 121.07%27.18B | 164.54%27.98B | 11.21%15.67B |
| Total current assets | -2.12%493.35B | --493.35B | -10.56%490.8B | -9.67%490.86B | -18.68%450.23B | -17.52%504.03B | -5.61%548.74B | -5.34%543.42B | 4.74%553.64B | 12.71%611.12B |
| Non current assets | ||||||||||
| Net PPE | 26.69%141.23B | --141.23B | 27.11%130.8B | 20.24%125.41B | 16.28%114.83B | 17.96%111.48B | 10.79%102.9B | 13.38%104.3B | 9.63%98.76B | 6.07%94.51B |
| Total investment | -28.28%25.81B | --25.81B | -5.26%34.97B | -26.48%38.53B | -12.25%43.42B | -21.31%35.99B | -23.20%36.91B | 48.87%52.41B | 32.58%49.48B | 25.18%45.73B |
| -Long-term equity investment | 190.24%9.24B | --9.24B | --0 | -69.68%4.44B | -73.85%3.4B | -74.23%3.19B | -73.01%3.38B | --14.65B | --13B | --12.36B |
| -Financial asset investment | -49.49%16.57B | --16.57B | 4.29%34.97B | -9.72%34.09B | 9.71%40.02B | -1.72%32.8B | -5.65%33.53B | 7.27%37.77B | -2.26%36.48B | -8.64%33.37B |
| -Including:Available-for-sale securities | -49.49%16.57B | --16.57B | 4.29%34.97B | -9.72%34.09B | 9.71%40.02B | -1.72%32.8B | -5.65%33.53B | 7.27%37.77B | -2.26%36.48B | -8.64%33.37B |
| Goodwill and other intangible assets | 11.14%384.91B | --384.91B | 24.15%354.13B | 15.64%343.07B | 14.48%338.75B | 70.30%346.33B | 38.79%285.24B | 49.10%296.66B | 46.75%295.9B | 1.41%203.37B |
| -Goodwill | 1.36%183.5B | --183.5B | 1.93%179.11B | -2.67%177.88B | -4.16%177.87B | 28.90%181.03B | 24.73%175.72B | 29.66%182.77B | 35.44%185.59B | 3.45%140.45B |
| -Other intangible assets | 21.85%201.42B | --201.42B | 59.81%175.02B | 45.04%165.19B | 45.84%160.87B | 162.72%165.3B | 69.45%109.52B | 96.35%113.89B | 70.72%110.31B | -2.88%62.92B |
| Defined pension benefit | 7.02%21.16B | --21.16B | 36.06%21.85B | 25.16%19.96B | 25.05%19.97B | 26.32%19.78B | 8.77%16.06B | 7.89%15.95B | 8.21%15.97B | 2.91%15.66B |
| Deferred tax assets-non current | -22.31%32.05B | --32.05B | -20.24%35.64B | -21.86%39.24B | -6.47%42.63B | -16.71%41.26B | -21.44%44.68B | -17.28%50.21B | -16.80%45.57B | -6.44%49.54B |
| Other non current assets | 9.85%9.35B | --9.35B | 24.54%9.27B | 33.76%9.44B | 43.97%9.46B | 41.43%8.51B | 61.48%7.44B | 77.04%7.06B | 82.60%6.57B | 79.27%6.02B |
| Total non current assets | 9.08%614.51B | --614.51B | 18.94%586.65B | 9.32%575.65B | 11.09%569.04B | 35.80%563.34B | 16.69%493.23B | 29.82%526.59B | 27.37%512.24B | 4.31%414.82B |
| Total assets | 3.79%1.11T | --1.11T | 3.41%1.08T | -0.33%1.07T | -4.37%1.02T | 4.04%1.07T | 3.78%1.04T | 9.22%1.07T | 14.52%1.07T | 9.16%1.03T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | 90.92%8.84B | --8.84B | 124.70%10.91B | 119.54%11.08B | 1.88%4.49B | -43.12%4.63B | -8.93%4.86B | -25.78%5.05B | -4.57%4.4B | 42.01%8.14B |
| -Other financial liabilities | 90.92%8.84B | --8.84B | 124.70%10.91B | 119.54%11.08B | 1.88%4.49B | -43.12%4.63B | -8.93%4.86B | -25.78%5.05B | -4.57%4.4B | 42.01%8.14B |
| Payables | 8.25%134.71B | --134.71B | 13.86%135.24B | -2.77%114.84B | -14.01%103.55B | 28.29%124.45B | 24.33%118.78B | 32.56%118.11B | 74.08%120.42B | 33.79%97.01B |
| -accounts payable | 3.29%125.04B | --125.04B | 13.53%123.72B | -5.24%108.73B | -16.67%98.38B | 30.20%121.06B | 21.86%108.97B | 40.35%114.75B | 78.11%118.06B | 31.11%92.98B |
| -Total tax payable | 185.70%9.67B | --9.67B | 17.48%11.52B | 81.44%6.11B | 118.90%5.17B | -15.86%3.38B | 60.48%9.81B | -54.17%3.37B | -18.28%2.36B | 154.24%4.02B |
| Current provisions | -11.33%3.94B | --3.94B | 78.28%5.29B | 63.24%5.15B | 38.67%4.03B | 86.68%4.44B | -30.40%2.97B | -2.53%3.16B | 3.93%2.91B | -19.79%2.38B |
| Other current liabilities | 7.82%33.6B | --33.6B | 15.95%33.72B | 66.71%46.83B | -5.62%27.2B | 21.16%31.16B | 5.84%29.08B | 18.16%28.09B | 17.65%28.82B | -10.16%25.72B |
| Current liabilities | 9.96%181.08B | --181.08B | 18.93%185.16B | 15.22%177.9B | -11.04%139.27B | 23.60%164.68B | 17.40%155.68B | 25.62%154.4B | 54.87%156.56B | 21.32%133.24B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -7.61%22.28B | --22.28B | 21.87%22.97B | 13.27%23B | 17.46%22.49B | 49.71%24.12B | 7.60%18.85B | 14.18%20.3B | 12.93%19.15B | -8.19%16.11B |
| -Other financial liabilities-Non current | -7.61%22.28B | --22.28B | 21.87%22.97B | 13.27%23B | 17.46%22.49B | 49.71%24.12B | 7.60%18.85B | 14.18%20.3B | 12.93%19.15B | -8.19%16.11B |
| Long term provisions | -31.78%4.41B | --4.41B | -15.41%7.22B | 10.55%7.36B | -25.17%6.14B | -23.33%6.47B | -3.20%8.54B | -21.79%6.66B | 8.91%8.2B | 12.04%8.44B |
| Long term pension and other post-retirement benefit plans | 2.94%280M | --280M | -28.99%289M | -30.62%281M | -25.29%257M | -7.17%272M | 10.90%407M | 6.30%405M | 4.88%344M | 2.09%293M |
| Non current deferred liabilities | -10.83%387M | --387M | -11.89%400M | -24.47%389M | -94.91%397M | 1.40%434M | 2.48%454M | 19.21%515M | 1,771.94%7.81B | 5.94%428M |
| Other non current liabilities | -70.43%6.09B | --6.09B | -32.95%15.28B | -37.67%15.61B | -35.35%19.3B | -33.64%20.58B | -29.14%22.78B | -28.23%25.04B | -20.45%29.85B | -25.19%31.02B |
| Total non current liabilities | -35.52%33.45B | --33.45B | -9.54%46.16B | -11.88%46.63B | -25.66%48.59B | -7.83%51.88B | -13.94%51.04B | -14.64%52.92B | 4.13%65.36B | -16.28%56.29B |
| Total liabilities | -0.93%214.53B | --214.53B | 11.90%231.32B | 8.30%224.53B | -15.35%187.86B | 14.26%216.55B | 7.72%206.72B | 12.12%207.32B | 35.44%221.91B | 7.04%189.52B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%26.75B | --26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B |
| -common stock | 0.00%26.75B | --26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B | 0.00%26.75B |
| Additional paid-in capital | 0.00%427.73B | --427.73B | -7.95%427.72B | -7.95%427.71B | -7.97%427.72B | -7.96%427.73B | -0.01%464.66B | -0.00%464.64B | 0.06%464.77B | 0.06%464.73B |
| Retained earnings | 9.51%406.32B | --406.32B | 2.45%372.8B | 3.09%372.23B | 7.13%362.04B | 9.53%371.05B | 17.18%363.9B | 23.17%361.08B | 18.88%337.93B | 18.51%338.76B |
| Less: Treasury stock | -5.13%5.59B | --5.59B | -85.60%5.65B | -80.88%5.72B | -43.49%5.82B | 100.72%5.89B | 1,229.45%39.27B | 905.41%29.94B | 233.02%10.3B | -7.68%2.93B |
| Other equity interest | 22.29%38.12B | --38.12B | 27.56%24.51B | -47.66%21.02B | -16.47%20.73B | 242.11%31.17B | 46.74%19.21B | 204.32%40.17B | 548.39%24.82B | 182.69%9.11B |
| Total stockholders'equity | 5.00%893.33B | --893.33B | 1.30%846.12B | -2.40%841.98B | -1.49%831.42B | 1.72%850.81B | 2.84%835.25B | 8.54%862.69B | 10.05%843.97B | 9.65%836.42B |
| Total equity | 5.00%893.33B | --893.33B | 1.30%846.12B | -2.40%841.98B | -1.49%831.42B | 1.72%850.81B | 2.84%835.25B | 8.54%862.69B | 10.05%843.97B | 9.65%836.42B |
| 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 |