Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (Q2)Jan 31, 2026 | (Q1)Oct 31, 2025 | (FY)Jul 31, 2025 | (Q4)Jul 31, 2025 | (Q3)Apr 30, 2025 | (Q2)Jan 31, 2025 | (Q1)Oct 31, 2024 | (FY)Jul 31, 2024 | (Q4)Jul 31, 2024 | (Q3)Apr 30, 2024 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -7.43%712.05M | 7.75%752.79M | 12.14%845.38M | 12.14%845.38M | 17.78%816.08M | 3.21%769.17M | -0.14%698.65M | 10.43%753.88M | 10.43%753.88M | 19.08%692.87M |
| -Cash and cash equivalents | -7.31%711.9M | 7.91%752.65M | 12.29%845.23M | 12.29%845.23M | 17.62%814.92M | 3.05%768.02M | -0.30%697.49M | 10.26%752.72M | 10.26%752.72M | 19.08%692.87M |
| -Including:Cash | ---- | ---- | 12.29%845.23M | 12.29%845.23M | ---- | ---- | ---- | 10.26%752.72M | 10.26%752.72M | ---- |
| -Short term investments | -87.31%147K | -87.56%144K | -87.56%144K | -87.56%144K | --1.16M | --1.16M | --1.16M | --1.16M | --1.16M | ---- |
| Receivables | -25.92%939.61M | -27.08%1.14B | -25.12%1.12B | -25.12%1.12B | -1.18%1.34B | 1.38%1.27B | 7.50%1.56B | 9.53%1.5B | 9.53%1.5B | 0.78%1.36B |
| -Accounts receivable | -26.09%841.77M | -28.66%1.01B | -21.99%964.74M | -21.99%964.74M | -1.60%1.19B | 4.06%1.14B | 8.87%1.41B | 12.90%1.24B | 12.90%1.24B | 0.59%1.2B |
| -Other receivables | -24.44%97.84M | -11.54%127.52M | -39.99%155.83M | -39.99%155.83M | 2.12%155.89M | -17.34%129.5M | -4.33%144.15M | -4.13%259.7M | -4.13%259.7M | 2.32%152.65M |
| Inventory | -13.56%426.37M | -10.97%437.17M | -26.86%448.6M | -26.86%448.6M | -27.37%421.24M | -19.36%493.24M | -25.27%491.02M | -12.85%613.38M | -12.85%613.38M | -17.63%579.96M |
| Prepaid assets | ---- | ---- | -70.13%6.48M | -70.13%6.48M | ---- | ---- | ---- | --21.69M | --21.69M | ---- |
| Restricted cash | ---- | ---- | 1,050.21%13.49M | 1,050.21%13.49M | ---- | ---- | ---- | -82.15%1.17M | -82.15%1.17M | ---- |
| Tax assets-Current | -68.61%7.76M | -40.99%13.41M | 23.90%20.46M | 23.90%20.46M | -4.14%26.63M | 4.29%24.72M | 1.65%22.73M | -12.70%16.51M | -12.70%16.51M | 10.71%27.78M |
| Total current assets | -18.38%2.09B | -15.55%2.34B | -15.44%2.45B | -15.44%2.45B | -1.98%2.61B | -2.90%2.56B | -2.05%2.77B | 4.49%2.9B | 4.49%2.9B | 0.01%2.66B |
| Non current assets | ||||||||||
| Net PPE | 8.98%1.03B | 8.82%1B | 10.79%1.01B | 10.79%1.01B | -15.35%959.78M | -16.53%947.8M | -18.82%920.64M | -16.23%909.86M | -16.23%909.86M | -11.94%1.13B |
| -Gross PP&E | 8.98%1.03B | 8.82%1B | 10.68%1.91B | 10.68%1.91B | -15.35%959.78M | -16.53%947.8M | -18.82%920.64M | -19.25%1.73B | -19.25%1.73B | -11.94%1.13B |
| -Accumulated depreciation | ---- | ---- | -10.56%-903.7M | -10.56%-903.7M | ---- | ---- | ---- | 22.36%-817.42M | 22.36%-817.42M | ---- |
| Investment properties | -5.69%29.17M | -10.40%30.92M | -1.39%31.44M | -1.39%31.44M | -2.83%29.96M | 1.26%30.93M | 6.19%34.51M | 5.46%31.89M | 5.46%31.89M | 27.54%30.83M |
| Prepaid assets-non current | --61.73M | --80.9M | --86.58M | --86.58M | ---- | ---- | ---- | --0 | --0 | ---- |
| Total investment | 1.37%168.48M | -24.10%160.39M | -37.61%142.78M | -37.61%142.78M | 10.49%142.81M | 11.11%166.19M | 56.12%211.3M | 60.24%228.86M | 60.24%228.86M | -25.46%129.26M |
| -Long-term equity investment | -13.41%98.1M | -11.21%101.59M | -10.98%102.02M | -10.98%102.02M | 559.50%113.13M | 682.52%113.29M | 1,447.00%114.42M | 786.27%114.6M | 786.27%114.6M | 199.58%17.15M |
| -Financial asset investment | ---- | ---- | -64.32%40.77M | -64.32%40.77M | ---- | ---- | ---- | -12.03%114.27M | -12.03%114.27M | ---- |
| -Including:Available-for-sale securities | ---- | ---- | -64.32%40.77M | -64.32%40.77M | ---- | ---- | ---- | -12.03%114.27M | -12.03%114.27M | ---- |
| -Other investment | 33.03%70.38M | -39.31%58.8M | --40.77M | --40.77M | -73.52%29.68M | -60.84%52.91M | -24.28%96.89M | ---- | ---- | -33.15%112.11M |
| Goodwill and other intangible assets | ---- | ---- | --0 | --0 | -56.22%1.95M | -56.11%1.96M | -52.81%1.96M | --1.97M | --1.97M | --4.45M |
| -Goodwill | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --1.56M | --1.56M | ---- |
| -Other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --411K | --411K | ---- |
| Deferred tax assets-non current | -18.80%1.7M | -18.80%1.7M | -18.80%1.7M | -18.80%1.7M | -60.09%2.1M | -59.89%2.1M | -60.08%2.1M | -58.76%2.1M | -58.76%2.1M | 0.63%5.25M |
| Total non current assets | 12.62%1.29B | 8.99%1.28B | 8.16%1.27B | 8.16%1.27B | -12.81%1.14B | -13.30%1.15B | -10.73%1.17B | -7.09%1.17B | -7.09%1.17B | -12.53%1.3B |
| Total assets | -8.77%3.38B | -8.26%3.61B | -8.64%3.73B | -8.64%3.73B | -5.55%3.74B | -6.38%3.7B | -4.80%3.94B | 0.87%4.08B | 0.87%4.08B | -4.50%3.96B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -44.88%224.67M | -51.71%282.33M | 36.80%454.56M | 36.80%454.56M | 97.74%557.7M | 20.58%407.62M | 74.49%584.65M | 13.29%332.28M | 13.29%332.28M | -11.50%282.04M |
| -Current debt and capital lease obligation | -44.88%224.67M | -51.71%282.33M | 36.80%454.56M | 36.80%454.56M | 97.74%557.7M | 20.58%407.62M | 74.49%584.65M | 13.29%332.28M | 13.29%332.28M | -11.50%282.04M |
| -Including:Current debt | -44.58%224.23M | -51.55%281.87M | 36.76%454.08M | 36.76%454.08M | 96.85%554.73M | 19.83%404.64M | 74.15%581.75M | 13.86%332.04M | 13.86%332.04M | -10.91%281.8M |
| -Including:Current capital Lease obligation | -85.25%439K | -84.39%453K | 93.09%475K | 93.09%475K | 1,118.03%2.97M | 691.49%2.98M | 186.48%2.9M | -85.45%246K | -85.45%246K | -89.74%244K |
| Payables | 10.31%669.92M | 17.21%758.1M | -16.51%596.36M | -16.51%596.36M | -11.05%571.59M | 0.27%607.28M | -15.35%646.81M | 3.42%714.3M | 3.42%714.3M | -4.70%642.62M |
| -accounts payable | 9.11%652.48M | 17.55%749.21M | -21.30%505.88M | -21.30%505.88M | -11.06%571.15M | 1.33%598.01M | -14.95%637.38M | 6.98%642.83M | 6.98%642.83M | -4.70%642.15M |
| -Total tax payable | 88.18%17.44M | -5.68%8.89M | -53.55%4.35M | -53.55%4.35M | -6.81%438K | -40.16%9.27M | -35.91%9.43M | -40.65%9.37M | -40.65%9.37M | -7.11%470K |
| -Other payable | ---- | ---- | 38.70%86.12M | 38.70%86.12M | ---- | ---- | ---- | -16.10%62.09M | -16.10%62.09M | ---- |
| Accrued and deferred income | -94.36%665K | -98.74%112K | -13.10%98.99M | -13.10%98.99M | -57.29%11.53M | -44.83%11.8M | -52.19%8.86M | -9.60%113.91M | -9.60%113.91M | 217.26%26.99M |
| Current liabilities | -12.80%895.26M | -16.11%1.04B | -0.91%1.15B | -0.91%1.15B | 19.88%1.14B | 6.39%1.03B | 10.97%1.24B | 4.55%1.16B | 4.55%1.16B | -4.98%951.65M |
| Non current liabilities | ||||||||||
| Non current financial liabilities | -1.90%364.42M | -2.58%371.54M | -33.53%382.72M | -33.53%382.72M | -38.28%361.36M | -35.73%371.49M | -35.11%381.4M | -1.60%575.79M | -1.60%575.79M | -4.61%585.48M |
| -Long term debt and capital lease obligation | -1.90%364.42M | -2.58%371.54M | -33.53%382.72M | -33.53%382.72M | -38.28%361.36M | -35.73%371.49M | -35.11%381.4M | -1.60%575.79M | -1.60%575.79M | -4.61%585.48M |
| -Including:Long term debt | -8.95%317.19M | -10.14%322.5M | -42.24%332.4M | -42.24%332.4M | -42.24%337.96M | -39.72%348.37M | -38.92%358.89M | -1.62%575.47M | -1.62%575.47M | -4.63%585.09M |
| -Including:Long term capital lease obligation | 104.29%47.24M | 117.81%49.04M | 15,383.08%50.32M | 15,383.08%50.32M | 5,945.74%23.4M | 21,112.84%23.12M | 14,712.50%22.52M | 66.67%325K | 66.67%325K | 63.29%387K |
| Long term accounts payable and other payables | --6.05M | --6.42M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Long term pension and other post-retirement benefit plans | ---- | ---- | --6.32M | --6.32M | ---- | ---- | ---- | --0 | --0 | ---- |
| Non current deferred liabilities | -42.67%29.49M | -35.31%32.43M | -27.91%35.2M | -27.91%35.2M | -36.99%52.12M | -24.08%51.44M | -29.02%50.13M | -28.77%48.82M | -28.77%48.82M | -19.91%82.71M |
| Total non current liabilities | -5.43%399.96M | -4.90%410.39M | -32.08%424.24M | -32.08%424.24M | -38.12%413.47M | -34.51%422.93M | -34.45%431.53M | -4.45%624.61M | -4.45%624.61M | -6.81%668.19M |
| Total liabilities | -10.65%1.3B | -13.21%1.45B | -11.82%1.57B | -11.82%1.57B | -4.05%1.55B | -10.01%1.45B | -5.87%1.67B | 1.21%1.79B | 1.21%1.79B | -5.74%1.62B |
| Shareholders'equity | ||||||||||
| Share capital | 0.80%946.34M | 1.08%946.34M | 1.36%946.34M | 1.36%946.34M | 7.05%944.46M | 6.46%938.8M | 6.34%936.2M | 6.88%933.64M | 6.88%933.64M | 1.71%882.29M |
| -common stock | 0.80%946.34M | 1.08%946.34M | 1.36%946.34M | 1.36%946.34M | 7.05%944.46M | 6.46%938.8M | 6.34%936.2M | 6.88%933.64M | 6.88%933.64M | 1.71%882.29M |
| Retained earnings | -3.76%1.25B | --1.29B | -4.58%1.26B | -4.58%1.26B | 7.06%1.3B | 9.20%1.3B | ---- | 13.95%1.32B | 13.95%1.32B | 10.86%1.22B |
| Less: Treasury stock | ---- | ---- | 37.85%62.84M | 37.85%62.84M | ---- | ---- | ---- | 168.40%45.58M | 168.40%45.58M | ---- |
| Fixed asset revaluation reserve | ---- | ---- | --0 | --0 | ---- | ---- | ---- | -1.83%4.3M | -1.83%4.3M | ---- |
| Other reserves | -633.26%-106.87M | -105.49%-73.24M | -89.88%7.89M | -89.88%7.89M | -155.76%-60.8M | -85.72%20.04M | 774.69%1.33B | -25.55%77.98M | -25.55%77.98M | -64.26%109.04M |
| Other equity interest | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -97.97%429K | -97.97%429K | ---- |
| Total stockholders'equity | -7.45%2.09B | -4.60%2.17B | -6.10%2.15B | -6.10%2.15B | -0.98%2.19B | 2.07%2.25B | 2.11%2.27B | 6.79%2.29B | 6.79%2.29B | -2.73%2.21B |
| Noncontrolling interests | -7,480.65%-2.29M | -4.62%-1.95M | -301.89%-1.7M | -301.89%-1.7M | -100.22%-291K | -99.98%31K | -101.33%-1.86M | -100.32%-423K | -100.32%-423K | -16.44%132.25M |
| Total equity | -7.56%2.08B | -4.61%2.16B | -6.16%2.15B | -6.16%2.15B | -6.58%2.19B | -3.89%2.25B | -4.00%2.27B | 0.61%2.29B | 0.61%2.29B | -3.62%2.34B |
| 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.