Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (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 | (Q9)Sep 30, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Money funds | 43.80%399.88M | 34.83%318.9M | 68.33%329.98M | -13.37%259.31M | -4.96%278.08M | 21.86%236.51M | 5.21%196.03M | 21.68%299.31M | -6.37%292.6M | -20.81%194.09M |
| Transactional financial assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -21.08%1.66M | 693.51%17.87M | -11.48%2.05M |
| Notes receivable and accounts receivable | -6.30%295.47M | -10.30%416.23M | -5.41%358.8M | 29.35%353.01M | 41.28%315.33M | 33.75%464.03M | 26.81%379.34M | -13.27%272.9M | -16.94%223.19M | -7.82%346.94M |
| -Notes receivable | -72.76%696.4K | -31.81%631.79K | -55.71%478.37K | --843.74K | 976.24%2.56M | --926.56K | -77.26%1.08M | ---- | -97.41%237.5K | ---- |
| -Accounts receivable | -5.76%294.77M | -10.26%415.59M | -5.27%358.32M | 29.04%352.16M | 40.28%312.77M | 33.48%463.1M | 28.49%378.26M | -7.28%272.9M | -14.10%222.96M | -4.17%346.94M |
| Other receivables (including interest and dividends) | -2.37%8.93M | -29.51%10.17M | -37.50%11.34M | 16.42%14.85M | -21.58%9.15M | -32.84%14.42M | 40.61%18.14M | -13.59%12.76M | -17.14%11.66M | 53.54%21.48M |
| -Other receivable | -2.37%8.93M | ---- | -37.50%11.34M | ---- | -21.58%9.15M | ---- | 40.61%18.14M | ---- | -17.14%11.66M | ---- |
| Advance payment | 429.09%13.91M | 62.64%61.02M | -55.62%37.89M | -61.09%29.91M | -73.15%2.63M | -50.70%37.52M | 263.75%85.38M | 368.19%76.87M | -33.23%9.79M | 76.47%76.09M |
| Inventories | -16.66%584.19M | -17.67%629.84M | -16.39%585.33M | 5.54%683.38M | 17.17%700.97M | 34.96%765.01M | 13.16%700.06M | 8.71%647.54M | 10.51%598.23M | 1.66%566.84M |
| Receivable financing | 72.36%194.44M | 214.09%82.24M | 33.01%83.06M | 9.63%92.31M | -32.04%112.81M | -64.06%26.18M | -8.65%62.45M | 326.82%84.2M | 92.35%166M | -0.38%72.86M |
| Other current assets | 24.58%39.97M | 14.69%24.49M | -12.50%19M | 52.92%25.32M | 26.66%32.08M | 49.62%21.35M | 50.67%21.71M | 3.68%16.56M | 1.16%25.33M | -16.46%14.27M |
| Total current assets | 5.91%1.54B | -1.42%1.54B | -2.58%1.43B | 3.28%1.46B | 7.91%1.45B | 20.89%1.57B | 19.42%1.46B | 15.22%1.41B | 6.31%1.34B | -2.57%1.29B |
| Non Current assets | ||||||||||
| Fixed assets | -4.50%268.56M | ---- | -6.51%270.89M | ---- | -7.06%281.21M | ---- | -8.47%289.74M | ---- | -8.32%302.56M | ---- |
| Constru in process | 13,164.99%101.86M | ---- | -44.71%314.39K | ---- | 164.78%767.88K | ---- | 8.44%568.62K | ---- | 210.01%290K | ---- |
| Intangible assets | 48.86%67.21M | 49.21%67.93M | -3.25%44.41M | -3.25%44.78M | -3.20%45.15M | -3.26%45.52M | -3.24%45.9M | -3.20%46.28M | -3.14%46.64M | -3.03%47.06M |
| Long deferred expense | --244.44K | -85.28%386.91K | -90.88%243.06K | ---- | ---- | -18.40%2.63M | -21.47%2.67M | -10.33%2.85M | -1.57%3.03M | -2.10%3.22M |
| Deferred tax assets | -14.00%23.99M | 28.79%27.93M | 29.26%27.93M | 39.03%27.9M | 39.03%27.9M | 0.14%21.68M | -0.23%21.6M | -10.42%20.07M | -10.42%20.07M | -5.86%21.65M |
| Usufruct assets | 1,724.16%2.02M | 165.87%347.09K | 157.87%387.14K | 143.85%413.84K | -41.38%110.97K | --130.55K | --150.13K | 1,183.20%169.71K | 472.51%189.29K | ---- |
| Other non current assets | 283.61%1.27M | ---- | ---- | ---- | 177.31%330K | ---- | ---- | ---- | -93.43%119K | 0.00%1.56M |
| Total non current assets | 30.85%465.15M | 10.86%393.45M | -4.56%344.16M | -4.01%350.69M | -4.67%355.47M | -7.61%354.89M | -7.79%360.62M | -8.02%365.34M | -8.06%372.9M | -4.56%384.12M |
| Total assets | 10.82%2B | 0.85%1.94B | -2.97%1.77B | 1.78%1.81B | 5.18%1.81B | 14.37%1.92B | 12.84%1.82B | 9.53%1.78B | 2.82%1.72B | -3.03%1.68B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | -22.42%212.57M | -29.36%264.78M | -31.33%248.58M | -11.80%271.28M | 30.95%274.02M | 83.76%374.84M | 133.55%362M | 144.58%307.58M | 121.58%209.25M | 95.32%203.98M |
| Notes payable and accounts payable | 47.13%457.59M | 27.11%439.84M | 25.53%349.32M | 23.73%339.84M | -2.75%311.01M | 18.32%346.03M | -13.81%278.28M | 2.03%274.66M | -11.10%319.81M | -29.78%292.46M |
| -Notes payable | 611.67%85.4M | 96.63%72.95M | 184.46%71.4M | 43.43%25.1M | -82.95%12M | -56.35%37.1M | -49.09%25.1M | -70.74%17.5M | 27.65%70.4M | -42.45%85M |
| -Accounts payable | 24.47%372.19M | 18.76%366.89M | 9.77%277.92M | 22.39%314.74M | 19.89%299.01M | 48.91%308.93M | -7.46%253.18M | 22.81%257.16M | -18.12%249.41M | -22.81%207.46M |
| Contract liabilities | 56.49%55.81M | 20.85%59.95M | -3.33%48.1M | 25.91%54.87M | -5.41%35.67M | 7.12%49.6M | 51.92%49.76M | -28.26%43.58M | -10.55%37.71M | -14.87%46.31M |
| Advance receipts | -63.98%247.52K | -74.81%138.37K | -74.81%138.37K | -74.81%138.37K | 163.46%687.21K | --549.35K | --549.35K | --549.35K | -48.80%260.84K | ---- |
| Salaries payable | 4.34%25.69M | -15.26%20.38M | -16.61%19.96M | -14.60%17.35M | -3.39%24.62M | 4.15%24.05M | 14.19%23.94M | 11.25%20.32M | 0.98%25.49M | -10.00%23.09M |
| Taxs payable | -10.68%15.87M | -40.32%7.7M | -29.23%10.57M | -26.76%9.99M | -3.14%17.77M | -19.80%12.9M | 47.48%14.94M | 136.43%13.64M | -17.66%18.35M | -26.54%16.08M |
| Other payable (including interest and dividends) | 3.65%13.59M | -1.19%11.43M | 9.41%14.97M | 5.07%15.21M | -11.73%13.11M | -4.65%11.56M | -4.50%13.68M | -0.52%14.48M | 1.95%14.85M | -6.96%12.13M |
| -Dividend payable | 14.29%2M | ---- | ---- | -50.00%1.75M | -50.00%1.75M | ---- | ---- | 0.00%3.5M | 0.00%3.5M | --3.5M |
| -Other payable | 2.02%11.59M | ---- | 9.41%14.97M | ---- | 0.08%11.36M | ---- | 26.38%13.68M | ---- | 2.57%11.35M | ---- |
| Non current liabilities due within one year | 226.77%141.1M | 43,638.60%33.07M | 27,050.60%20.53M | 25,069.77%19.03M | 57,020.97%43.18M | --75.6K | --75.6K | --75.6K | --75.6K | ---- |
| Other current liabilities | 90.29%6.01M | 47.80%6.82M | -5.78%3.86M | -6.95%4.08M | -5.92%3.16M | -13.98%4.62M | 50.67%4.1M | -22.96%4.39M | -17.15%3.36M | 19.03%5.37M |
| Total current liabilities | 28.38%928.49M | 2.41%844.09M | -4.19%716.03M | 7.73%731.79M | 14.95%723.23M | 37.51%824.22M | 33.74%747.32M | 35.86%679.27M | 11.75%629.15M | -6.47%599.41M |
| Current liabilities | ||||||||||
| Long term loan | ---- | --68.57M | --80.59M | --61.08M | --61.08M | ---- | ---- | ---- | ---- | ---- |
| Estimate liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --1.44M | ---- |
| Deferred tax liabilities | -42.11%1.69M | -24.71%2.91M | -24.71%2.91M | -24.71%2.91M | -24.71%2.91M | -14.01%3.87M | -14.01%3.87M | -14.01%3.87M | -14.01%3.87M | -2.70%4.5M |
| Long term deferred income | 624.94%6.34M | 160.55%2.49M | -23.51%775.44K | -22.20%851.18K | -24.24%873.93K | -24.65%954.21K | -23.34%1.01M | -21.81%1.09M | -20.73%1.15M | -18.41%1.27M |
| Lease liabilities | --1.01M | 714.42%334.7K | 823.92%379.7K | 370.42%368.84K | ---- | --41.1K | --41.1K | --78.41K | --78.41K | ---- |
| Total non current liabilities | -86.08%9.03M | 1,427.41%74.31M | 1,619.15%84.66M | 1,193.38%65.21M | 891.26%64.86M | -15.63%4.86M | -15.42%4.92M | -14.53%5.04M | 9.88%6.54M | -16.67%5.77M |
| Total liabilities | 18.96%937.52M | 10.77%918.4M | 6.44%800.69M | 16.47%797M | 23.97%788.1M | 37.00%829.09M | 33.23%752.25M | 35.27%684.31M | 11.73%635.69M | -6.57%605.18M |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M | 0.00%364.72M |
| Capital reserve funds | 0.00%409.81M | 0.00%409.81M | 0.00%409.81M | 0.00%409.81M | 0.00%409.81M | 0.00%409.81M | 1.74%409.81M | 3.54%409.81M | 5.40%409.81M | 5.67%409.8M |
| Surplus reserve funds | 0.00%148.05M | 3.00%148.05M | 3.00%148.05M | 3.00%148.05M | 3.00%148.05M | 6.84%143.74M | 6.84%143.74M | 6.84%143.74M | 6.84%143.74M | 4.62%134.54M |
| Retained profit | -36.08%27.7M | -86.70%15.28M | -101.93%-1.91M | -68.69%39.16M | -62.79%43.34M | -3.71%114.9M | -8.96%98.58M | -27.12%125.1M | -28.67%116.47M | -28.24%119.32M |
| Other composite income | ---2.8M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Specific reserves | 41.64%2.44M | 76.18%1.72M | 76.18%1.72M | 79.33%1.72M | 79.33%1.72M | 108.17%975.89K | 108.17%975.89K | 104.52%958.76K | 104.52%958.76K | --468.79K |
| Shareholders equity without minority interests | -1.83%949.92M | -9.14%939.59M | -9.38%922.4M | -7.74%963.47M | -6.57%967.64M | 0.52%1.03B | 0.69%1.02B | -2.14%1.04B | -1.53%1.04B | -0.38%1.03B |
| Minority interests | 125.44%114.5M | 38.22%78.33M | -13.36%46.48M | -0.38%48.31M | 9.97%50.79M | 26.78%56.67M | 31.35%53.64M | -1.85%48.5M | -7.09%46.18M | -11.75%44.7M |
| Other items effecting shareholder equity | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---0.01 |
| Total shareholder equity | 4.52%1.06B | -6.68%1.02B | -9.58%968.87M | -7.42%1.01B | -5.87%1.02B | 1.61%1.09B | 1.88%1.07B | -2.13%1.09B | -1.78%1.08B | -0.91%1.07B |
| Adjustment items of liabilities and equity | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0.01 |
| Total liabilityies and equity | 10.82%2B | 0.85%1.94B | -2.97%1.77B | 1.78%1.81B | 5.18%1.81B | 14.37%1.92B | 12.84%1.82B | 9.53%1.78B | 2.82%1.72B | -3.03%1.68B |
| 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 | Tianjian Certified Public Accountants (Special General Partnership) | -- | -- | -- | Tianjian Certified Public Accountants (Special General Partnership) | -- | -- | -- | Tianjian 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.