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 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | -10.64%117.49B | 37.03%152.29B | --152.29B | -2.32%100.35B | 32.25%147.76B | -16.91%131.48B | -12.70%111.14B | 41.62%102.74B | 37.68%111.73B | 0.69%158.24B |
| -Cash and cash equivalents | -10.64%117.49B | 37.03%152.29B | --152.29B | -2.32%100.35B | 32.25%147.76B | -16.91%131.48B | -12.70%111.14B | 41.62%102.74B | 37.68%111.73B | 0.69%158.24B |
| Receivables | 7.25%14.23B | 10.60%16.65B | --16.65B | 17.15%13.72B | 21.91%14.25B | 5.65%13.27B | 8.43%15.06B | -35.92%11.71B | -4.28%11.69B | -3.51%12.56B |
| -Other receivables | 7.25%14.23B | 10.60%16.65B | --16.65B | 17.15%13.72B | 21.91%14.25B | 5.65%13.27B | 8.43%15.06B | -35.92%11.71B | -4.28%11.69B | -3.51%12.56B |
| Inventory | 15.19%658.45B | 7.55%612.12B | --612.12B | 11.73%612.64B | 11.22%589.02B | 5.81%571.63B | 14.06%569.18B | 7.01%548.31B | 14.95%529.62B | 26.25%540.22B |
| Other current assets | 17.04%49.83B | 29.54%45.8B | --45.8B | 55.25%57.62B | 17.67%42.97B | -27.00%42.58B | -32.37%35.35B | -18.07%37.12B | -1.98%36.52B | 48.35%58.33B |
| Total current assets | 10.68%840.01B | 13.16%826.87B | --826.87B | 12.07%784.34B | 15.15%794B | -1.35%758.95B | 5.53%730.73B | 7.92%699.88B | 16.61%689.55B | 20.70%769.34B |
| Non current assets | ||||||||||
| Net PPE | 7.20%1.11T | 3.07%1.03T | --1.03T | 6.99%1.04T | 7.05%1.04T | 18.04%1.04T | 15.17%995.31B | 13.39%972.28B | 14.45%972.81B | 3.68%880.37B |
| -Gross PP&E | 6.77%1.35T | 3.47%1.25T | --1.25T | 6.89%1.27T | 6.89%1.27T | 15.80%1.26T | 13.49%1.21T | 12.12%1.19T | 12.63%1.18T | 3.86%1.09T |
| -Accumulated depreciation | -4.75%-231.6B | -5.32%-228.95B | ---228.95B | -6.45%-228.37B | -6.19%-224.97B | -6.29%-221.11B | -6.40%-217.38B | -6.68%-214.52B | -4.96%-211.86B | -4.59%-208.03B |
| Total investment | 53.19%238.97B | 45.37%220.68B | --220.68B | 17.26%206.87B | 4.02%177.44B | -7.63%156B | -2.95%151.8B | 18.78%176.43B | 21.67%170.58B | 33.53%168.89B |
| -Long-term equity investment | 109.78%26.49B | 83.09%22.96B | --22.96B | 75.78%21.67B | 3.01%12.71B | 109.54%12.63B | 382.60%12.54B | 372.88%12.33B | 315.25%12.34B | 110.37%6.03B |
| -Financial asset investment | 48.20%212.48B | 41.97%197.72B | --197.72B | 12.86%185.2B | 4.10%164.73B | -11.97%143.37B | -9.46%139.27B | 12.45%164.1B | 15.32%158.25B | 31.75%162.87B |
| -Including:Available-for-sale securities | 48.20%212.48B | 41.97%197.72B | --197.72B | 12.86%185.2B | 4.10%164.73B | -11.97%143.37B | -9.46%139.27B | 12.45%164.1B | 15.32%158.25B | 31.75%162.87B |
| Long-term accounts receivable and other receivables | ---- | 51.49%14.05B | --14.05B | ---- | ---- | ---- | 130.41%9.27B | ---- | ---- | ---- |
| Goodwill and other intangible assets | -3.45%132.44B | -0.53%136.54B | --136.54B | 4.97%136.8B | 5.09%136.98B | 5.24%137.18B | 4.29%137.27B | -0.13%130.33B | -0.07%130.34B | -0.14%130.35B |
| -Goodwill | ---- | -6.46%10.66B | --10.66B | ---- | ---- | ---- | 666.55%11.39B | ---- | ---- | ---- |
| -Other intangible assets | -3.45%132.44B | 0.00%125.89B | --125.89B | 4.97%136.8B | 5.09%136.98B | 5.24%137.18B | -3.27%125.88B | -0.13%130.33B | -0.07%130.34B | -0.14%130.35B |
| Defined pension benefit | 229.60%5.68B | 222.63%5.69B | --5.69B | 9.87%1.65B | 11.00%1.69B | 11.96%1.72B | 12.94%1.76B | 35.87%1.5B | 35.78%1.52B | 35.71%1.54B |
| Deferred tax assets-non current | -4.45%2.28B | 10.62%2.29B | --2.29B | 1.93%2.37B | 16.36%2.22B | 5.17%2.38B | -11.00%2.07B | 17.36%2.33B | -1.35%1.91B | 15.74%2.27B |
| Other non current assets | -9.78%55.17B | -23.07%40.78B | --40.78B | -0.67%57.66B | -13.60%51.52B | 8.00%61.15B | 0.66%53B | -27.06%58.05B | -14.79%59.63B | -13.90%56.62B |
| Total non current assets | 10.80%1.55T | 7.06%1.45T | --1.45T | 7.81%1.45T | 5.57%1.41T | 12.71%1.4T | 11.35%1.35T | 9.99%1.34T | 11.99%1.34T | 5.54%1.24T |
| Total assets | 10.76%2.39T | 9.20%2.27T | --2.27T | 9.27%2.23T | 8.83%2.21T | 7.33%2.16T | 9.23%2.08T | 9.27%2.04T | 13.52%2.03T | 10.87%2.01T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -10.85%120.86B | -54.77%75.51B | --75.51B | -45.02%101.65B | -30.37%103.67B | -1.46%135.56B | 42.99%166.95B | 10.93%184.86B | 9.59%148.87B | 33.20%137.56B |
| -Current debt and capital lease obligation | -10.85%120.86B | -54.77%75.51B | --75.51B | -45.02%101.65B | -30.37%103.67B | -1.46%135.56B | 42.99%166.95B | 10.93%184.86B | 9.59%148.87B | 33.20%137.56B |
| -Including:Current debt | -10.85%120.86B | -54.77%75.51B | --75.51B | -45.02%101.65B | -30.37%103.67B | -1.46%135.56B | 42.99%166.95B | 10.93%184.86B | 9.59%148.87B | 33.20%137.56B |
| Payables | -67.01%20.62B | -8.36%36.17B | --36.17B | -1.51%18.35B | -27.52%25B | 78.34%62.49B | 13.43%39.47B | -40.97%18.63B | 59.69%34.49B | 34.62%35.04B |
| -Total tax payable | -9.81%5.69B | -47.58%10.5B | --10.5B | -66.60%1.4B | -47.12%7.53B | 12.47%6.31B | 14.80%20.03B | -58.97%4.18B | 11.34%14.24B | -41.49%5.61B |
| -Other payable | -73.44%14.92B | 32.07%25.67B | --25.67B | 17.34%16.95B | -13.75%17.47B | 90.91%56.18B | 12.06%19.43B | -32.38%14.44B | 129.80%20.26B | 79.06%29.43B |
| Current provisions | 11.38%3.61B | -20.00%8M | --8M | 8.79%3.61B | 4.20%1.14B | 6.85%3.24B | 25.00%10M | 5.50%3.32B | 5.49%1.1B | 5.05%3.04B |
| Pension and other retirement benefit plans | ---- | 9.94%1.14B | --1.14B | ---- | ---- | ---- | 3.29%1.04B | ---- | ---- | ---- |
| Accrued and deferred income | -68.25%2B | -68.25%2B | --2B | 8.62%6.3B | 8.62%6.3B | 8.62%6.3B | -44.25%6.3B | 5.45%5.8B | 5.45%5.8B | 5.45%5.8B |
| Other current liabilities | 11.48%79.94B | -3.49%81.09B | --81.09B | 12.36%71.3B | -0.53%72B | -16.44%71.71B | 10.27%84.03B | -14.29%63.46B | 4.48%72.39B | -36.00%85.82B |
| Current liabilities | -18.72%227.02B | -34.21%195.92B | --195.92B | -27.12%201.2B | -20.76%208.11B | 4.51%279.3B | 24.05%297.79B | -1.72%276.07B | 12.60%262.65B | -1.66%267.26B |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 18.52%1.35T | 21.54%1.27T | --1.27T | 21.13%1.26T | 20.54%1.24T | 11.12%1.14T | 7.56%1.04T | 14.71%1.04T | 17.31%1.03T | 15.00%1.02T |
| -Long term debt and capital lease obligation | 18.52%1.35T | 21.54%1.27T | --1.27T | 21.13%1.26T | 20.54%1.24T | 11.12%1.14T | 7.56%1.04T | 14.71%1.04T | 17.31%1.03T | 15.00%1.02T |
| -Including:Long term debt | 18.52%1.35T | 21.54%1.27T | --1.27T | 21.13%1.26T | 20.54%1.24T | 11.12%1.14T | 7.56%1.04T | 14.71%1.04T | 17.31%1.03T | 15.00%1.02T |
| Long term provisions | 11.90%583M | ---- | ---- | 13.66%574M | 19.07%562M | -80.65%521M | ---- | 32.89%505M | 34.47%472M | 733.44%2.69B |
| Long term pension and other post-retirement benefit plans | -9.59%12.49B | -9.33%13.1B | --13.1B | -1.86%13.79B | -2.05%13.75B | -1.60%13.81B | -0.26%14.45B | 8.26%14.05B | 8.17%14.04B | 9.33%14.03B |
| Non current deferred liabilities | 16.84%67.29B | 24.17%68.88B | --68.88B | 23.96%65.41B | 15.22%60.93B | 7.47%57.59B | 8.20%55.48B | 9.49%52.77B | 10.14%52.88B | 20.23%53.58B |
| Non current accrued and deferred income | -14.32%12.5B | -14.96%12.59B | --12.59B | -8.87%14.59B | -18.70%14.59B | -11.28%14.59B | 41.72%14.81B | -1.45%16.01B | 10.55%17.95B | 1.38%16.45B |
| Other non current liabilities | 9.18%118.31B | 2.89%110.73B | --110.73B | 1.68%109.9B | 0.14%107.86B | -2.97%108.36B | -2.87%107.62B | -4.13%108.08B | -1.16%107.71B | 3.66%111.68B |
| Total non current liabilities | 17.03%1.56T | 19.24%1.47T | --1.47T | 18.89%1.46T | 17.68%1.44T | 9.02%1.33T | 6.80%1.24T | 12.23%1.23T | 14.89%1.22T | 14.02%1.22T |
| Total liabilities | 10.83%1.78T | 8.86%1.67T | --1.67T | 10.46%1.66T | 10.89%1.65T | 8.21%1.61T | 9.76%1.53T | 9.39%1.51T | 14.48%1.49T | 10.85%1.49T |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%92.45B | 0.00%92.45B | --92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B |
| -common stock | 0.00%92.45B | 0.00%92.45B | --92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B | 0.00%92.45B |
| Additional paid-in capital | -0.29%66.07B | -0.29%66.07B | --66.07B | -0.29%66.07B | -0.29%66.07B | 0.00%66.26B | 0.00%66.26B | 0.00%66.26B | 0.00%66.26B | -0.42%66.26B |
| Retained earnings | 9.36%297.18B | 12.37%303.32B | --303.32B | 15.57%276.91B | 14.15%277.94B | 21.61%271.74B | 22.96%269.94B | 17.72%239.6B | 18.32%243.48B | 11.88%223.45B |
| Less: Treasury stock | -51.66%727M | 0.67%752M | --752M | 399.20%3.72B | 282.57%2.85B | 273.20%1.5B | 77.43%747M | 77.62%746M | 78.04%746M | -9.23%403M |
| Fixed asset revaluation reserve | 0.00%42.8B | -0.89%42.8B | --42.8B | -0.89%42.8B | -0.89%42.8B | -0.89%42.8B | 0.00%43.19B | 0.00%43.19B | 0.00%43.19B | 0.00%43.19B |
| Other reserves | 49.14%93.46B | 34.11%87.14B | --87.14B | -2.95%79.08B | -18.38%67.6B | -26.01%62.67B | -14.38%64.98B | 9.79%81.49B | 22.55%82.82B | 47.85%84.7B |
| Total stockholders'equity | 10.63%591.24B | 10.25%591.02B | --591.02B | 6.00%553.59B | 3.14%544.01B | 4.86%534.42B | 7.88%536.06B | 8.98%522.25B | 11.08%527.46B | 11.10%509.65B |
| Noncontrolling interests | 5.69%12.4B | 5.72%12.11B | --12.11B | 1.56%11.97B | 2.49%11.56B | 2.04%11.73B | 2.90%11.46B | 7.24%11.78B | 5.64%11.27B | 4.55%11.49B |
| Total equity | 10.53%603.63B | 10.16%603.14B | --603.14B | 5.90%565.56B | 3.12%555.56B | 4.80%546.15B | 7.77%547.52B | 8.94%534.03B | 10.96%538.73B | 10.94%521.14B |
| 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 |