Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
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 | -14.22%733.67M | -7.63%833.97M | 40.25%1.14B | 17.68%1.06B | 3.75%855.27M | 5.76%902.83M | -7.55%812.52M | 17.01%904.44M | 6.10%824.39M | 17.52%853.63M |
| Transactional financial assets | -3.82%337.92M | -18.06%287.5M | -33.52%284.07M | -13.00%220.56M | -2.04%351.35M | -3.96%350.87M | 55.54%427.27M | -18.50%253.53M | 13.60%358.67M | -28.52%365.33M |
| Notes receivable and accounts receivable | 47.35%456.48M | 46.42%467.76M | -10.13%422.65M | -12.55%366.47M | -14.52%309.79M | -24.56%319.45M | 16.00%470.28M | 26.05%419.07M | 28.16%362.41M | 21.84%423.47M |
| -Notes receivable | 138.96%26.11M | 33.54%26.39M | -13.28%11.59M | 119.82%7.5M | -56.93%10.93M | -25.00%19.76M | 39.77%13.37M | 4.99%3.41M | 340.30%25.38M | 84.56%26.35M |
| -Accounts receivable | 44.00%430.37M | 47.27%441.37M | -10.04%411.06M | -13.64%358.97M | -11.33%298.86M | -24.53%299.69M | 15.42%456.91M | 26.26%415.66M | 21.66%337.04M | 19.15%397.13M |
| Other receivables (including interest and dividends) | -18.57%2.31M | -13.60%1.4M | 10.85%2.65M | 47.58%2.69M | -9.81%2.84M | -8.97%1.62M | -5.72%2.39M | -27.63%1.82M | 18.69%3.15M | -20.41%1.78M |
| -Other receivable | ---- | -13.60%1.4M | ---- | 47.58%2.69M | ---- | -8.97%1.62M | ---- | -27.63%1.82M | ---- | -20.41%1.78M |
| Advance payment | -86.69%4.7M | -27.55%6.81M | -24.21%12.29M | -1.51%11.76M | 38.17%35.33M | -29.27%9.4M | -46.49%16.22M | -17.67%11.94M | -14.58%25.57M | 18.18%13.29M |
| Inventories | -18.63%127.6M | -5.70%136.01M | 19.06%148.51M | 22.59%160.49M | 15.49%156.82M | 3.37%144.24M | -24.55%124.73M | -28.79%130.91M | -20.88%135.79M | -6.23%139.54M |
| Receivable financing | 57.95%45.65M | -41.69%63.52M | 34.37%25.96M | 49.85%14.77M | -25.84%28.9M | 661.46%108.94M | 11.20%19.32M | -48.35%9.86M | -44.25%38.97M | -68.89%14.31M |
| Other current assets | 508.22%161.21M | 593.67%157.85M | 17.01%24.57M | 18.70%27.24M | 74.47%26.51M | 119.88%22.75M | 1,093.01%20.99M | 525.47%22.95M | 580.35%15.19M | 575.38%10.35M |
| Total current assets | 5.81%1.87B | 5.09%1.95B | 8.79%2.06B | 6.49%1.87B | 0.15%1.77B | 2.11%1.86B | 6.61%1.89B | 6.97%1.75B | 6.80%1.76B | 1.49%1.82B |
| Non Current assets | ||||||||||
| Other equity investment | -2.23%19.02M | -14.80%19.09M | -69.11%19.45M | -69.27%19.45M | -69.27%19.45M | -64.61%22.4M | 13.93%62.94M | 14.57%63.3M | 40.82%63.3M | 66.35%63.3M |
| Fixed assets | ---- | 121.90%545.58M | ---- | 79.27%430.9M | ---- | 28.75%245.86M | ---- | 28.54%240.37M | ---- | 7.86%190.96M |
| Constru in process | ---- | -80.76%46.43M | ---- | -46.20%89.34M | ---- | 87.34%241.32M | ---- | 2,494.94%166.06M | ---- | 4,878.79%128.81M |
| Intangible assets | -29.49%67.6M | -28.44%71.48M | -14.21%87.84M | 0.46%92.08M | 0.63%95.87M | 0.82%99.88M | 0.49%102.38M | -13.23%91.66M | -12.25%95.27M | -11.79%99.07M |
| Development expenditure | ---- | ---- | 12.30%108.96M | 16.27%107.47M | 16.84%105.47M | 23.00%102.95M | 52.36%97.03M | 60.37%92.43M | 77.34%90.27M | 84.65%83.7M |
| Long deferred expense | -91.83%202.56K | -91.12%231.69K | -90.48%260.82K | -18.17%2.35M | -33.65%2.48M | -16.66%2.61M | -12.02%2.74M | -11.80%2.87M | 9.66%3.74M | -11.92%3.13M |
| Deferred tax assets | 134.77%24.97M | 112.27%23.56M | -12.92%12.21M | -13.60%10.85M | -16.24%10.63M | -17.17%11.1M | 98.85%14.02M | 75.67%12.55M | 84.01%12.7M | 73.26%13.4M |
| Usufruct assets | -61.27%1.86M | -58.78%2.42M | -30.79%3.01M | 64.13%3.8M | 55.39%4.8M | 52.36%5.87M | 16.74%4.34M | 5.12%2.31M | -9.11%3.09M | -0.98%3.85M |
| Other non current assets | 542.47%125.95M | 547.90%125.61M | -82.04%3.88M | -45.51%12.67M | -58.13%19.6M | -46.15%19.39M | -72.79%21.6M | -55.65%23.25M | -19.39%46.82M | 221.65%36M |
| Total non current assets | 9.84%828.36M | 10.96%838.32M | 8.75%807.76M | 10.57%772.92M | 14.37%754.12M | 20.59%755.52M | 41.39%742.77M | 45.25%699.05M | 41.55%659.36M | 51.02%626.51M |
| Adjustment items of total assets | ---- | ---- | ---0.01 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Total assets | 7.02%2.7B | 6.79%2.79B | 8.78%2.87B | 7.65%2.64B | 4.02%2.52B | 6.84%2.62B | 14.55%2.64B | 15.66%2.45B | 14.44%2.42B | 10.79%2.45B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Short term loan | 972.29%190.98M | 117.31%181.49M | -8.85%138.14M | 1.00%86.6M | -49.85%17.81M | 222.80%83.52M | 1,232.99%151.55M | 757.50%85.75M | 232.32%35.51M | 84.89%25.87M |
| Notes payable and accounts payable | -14.97%266.08M | -9.07%336.49M | -22.93%280.1M | -6.83%292.05M | -18.23%312.93M | -20.39%370.07M | -6.36%363.43M | 5.03%313.45M | 36.77%382.7M | 27.10%464.87M |
| -Notes payable | -21.76%55.63M | -15.01%103.96M | 159.78%86.22M | 905.28%88.39M | 38.84%71.11M | 126.68%122.32M | 67.90%33.19M | 50.33%8.79M | --51.22M | --53.96M |
| -Accounts payable | -12.97%210.44M | -6.15%232.53M | -41.29%193.88M | -33.15%203.66M | -27.05%241.82M | -39.71%247.76M | -10.35%330.24M | 4.13%304.66M | 18.46%331.48M | 12.35%410.91M |
| Contract liabilities | -97.82%605.15K | -98.22%485.74K | -5.78%27.67M | -10.25%27.59M | -14.58%27.77M | -20.41%27.24M | -24.41%29.36M | -24.98%30.74M | -24.39%32.51M | -4.31%34.22M |
| Salaries payable | 8.97%17.8M | -8.58%24.8M | 31.68%28.45M | 38.25%22.36M | -18.27%16.33M | -8.29%27.13M | 28.44%21.6M | 19.44%16.17M | -9.47%19.98M | -16.53%29.58M |
| Taxs payable | 91.18%24.76M | 376.57%39.34M | 56.81%35.67M | -33.45%25.81M | -2.65%12.95M | -56.68%8.26M | 1.83%22.75M | 564.48%38.78M | 126.45%13.3M | 63.06%19.05M |
| Other payable (including interest and dividends) | 246.86%61.06M | 222.02%60.16M | 967.87%179.85M | 254.95%61.79M | 24.54%17.6M | 14.81%18.68M | 17.22%16.84M | 1.18%17.41M | 5.61%14.13M | 9.41%16.27M |
| -Other payable | ---- | 222.02%60.16M | ---- | 254.95%61.79M | ---- | 14.81%18.68M | ---- | 1.18%17.41M | ---- | 9.41%16.27M |
| Non current liabilities due within one year | 1,931.77%59.39M | 1,938.96%59.41M | 1,927.48%59.48M | 3,145.21%30.44M | 141.81%2.92M | 93.45%2.91M | 41.56%2.93M | --938.03K | 13.99%1.21M | 12.81%1.51M |
| Other current liabilities | -7.23%78.67K | 127.62%145.62K | -17.69%119.77K | -77.62%109.62K | -94.52%84.8K | -84.76%63.98K | -80.42%145.5K | 8.89%489.81K | 1,453.17%1.55M | 30.45%419.89K |
| Total current liabilities | 51.99%620.74M | 30.58%702.33M | 23.14%749.47M | 8.54%546.75M | -18.47%408.41M | -9.11%537.87M | 23.03%608.61M | 30.35%503.73M | 33.22%500.9M | 23.51%591.8M |
| Current liabilities | ||||||||||
| Deferred tax liabilities | -9.97%2.93M | -10.31%2.6M | -66.94%2.24M | -43.82%3.52M | -45.94%3.26M | -54.95%2.9M | 1.87%6.78M | 2.44%6.27M | 11.22%6.03M | 25.89%6.44M |
| Long term deferred income | 107.07%63.96M | 85.01%60.04M | -14.94%27.75M | -14.17%29.32M | -13.47%30.89M | -12.83%32.45M | -15.86%32.62M | -15.26%34.16M | -14.70%35.7M | -14.18%37.23M |
| Lease liabilities | ---- | -84.51%255.15K | -48.13%514.26K | 128.71%784.34K | 88.21%1.42M | 196.68%1.65M | 271.80%991.49K | -4.75%342.95K | 94.29%756.04K | 91.84%555.2K |
| Other non current liabilities | --24.7M | --24.87M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Total non current liabilities | 59.68%325.57M | 77.74%350.95M | 85.04%293.47M | 31.30%198.89M | 80.50%203.89M | 177.27%197.45M | 145.91%158.6M | 217.58%151.48M | 137.05%112.96M | 45.98%71.21M |
| Total liabilities | 54.55%946.31M | 43.24%1.05B | 35.94%1.04B | 13.80%745.64M | -0.25%612.3M | 10.91%735.33M | 37.20%767.21M | 50.92%655.21M | 44.90%613.87M | 25.59%663.01M |
| Shareholders equity | ||||||||||
| Paid-in capital | 0.00%170.94M | 0.00%170.94M | 0.00%170.94M | 0.00%170.94M | 0.00%170.94M | 0.00%170.94M | 0.02%170.94M | 0.02%170.94M | 0.02%170.94M | 0.02%170.94M |
| Capital reserve funds | -10.27%1.13B | -10.46%1.12B | -9.05%1.14B | -0.63%1.24B | 0.57%1.26B | 0.09%1.25B | 0.04%1.25B | 0.14%1.25B | 0.45%1.25B | 0.45%1.25B |
| Surplus reserve funds | 0.00%69.07M | 0.00%69.07M | 11.06%69.07M | 11.06%69.07M | 11.06%69.07M | 11.06%69.07M | 14.13%62.19M | 14.13%62.19M | 14.13%62.19M | 14.13%62.19M |
| Retained profit | -8.73%409.53M | -4.64%403.4M | 19.48%475.31M | 26.50%420.18M | 26.84%448.7M | 27.56%423.03M | 29.64%397.83M | 27.95%332.16M | 31.79%353.76M | 29.40%331.62M |
| Less:Treasury stock | -25.04%45.06M | -25.04%45.06M | -25.04%45.06M | -25.04%45.06M | 0.00%60.11M | 0.00%60.11M | 0.00%60.11M | 0.00%60.11M | 25.62%60.11M | 25.62%60.11M |
| Other composite income | -31.97%-14.11M | -5.28%-11.32M | -896.88%-10.85M | -682.12%-9.11M | -862.10%-10.69M | -1,377.76%-10.75M | -78.08%-1.09M | -66.66%-1.16M | 56.80%-1.11M | 71.74%-727.54K |
| Shareholders equity without minority interests | -8.35%1.72B | -7.38%1.71B | -1.29%1.8B | 5.37%1.85B | 5.60%1.88B | 5.10%1.84B | 5.73%1.82B | 4.88%1.75B | 5.21%1.78B | 4.67%1.75B |
| Minority interests | -1.21%33.19M | -11.84%32.67M | -41.80%28.84M | 7.09%47.52M | -1.14%33.6M | 18.33%37.05M | 131.28%49.55M | 198.60%44.37M | 441.61%33.99M | 402.30%31.31M |
| Total shareholder equity | -8.23%1.75B | -7.47%1.74B | -2.36%1.83B | 5.41%1.9B | 5.47%1.91B | 5.33%1.88B | 7.28%1.87B | 6.58%1.8B | 6.83%1.81B | 6.15%1.79B |
| Total liabilityies and equity | 7.02%2.7B | 6.79%2.79B | 8.78%2.87B | 7.65%2.64B | 4.02%2.52B | 6.84%2.62B | 14.55%2.64B | 15.66%2.45B | 14.44%2.42B | 10.79%2.45B |
| 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 |
| Auditor | -- | -- | -- | -- | -- | -- | -- | -- | -- | Zhonghui 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.