Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
SINOPEC CORP
00386
| (FY)Jun 30, 2025 | (Q4)Jun 30, 2025 | (FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 3.35%30.31M | 3.35%30.31M | -28.53%29.33M | -28.53%29.33M | -53.12%41.04M | -53.12%41.04M | -27.41%87.55M | -27.41%87.55M | 281.37%120.61M | 281.37%120.61M |
| -Cash and cash equivalents | 3.35%30.31M | 3.35%30.31M | -28.53%29.33M | -28.53%29.33M | -53.12%41.04M | -53.12%41.04M | -27.41%87.55M | -27.41%87.55M | 281.37%120.61M | 281.37%120.61M |
| Receivables | -5.88%13.32M | -5.88%13.32M | -48.79%14.16M | -48.79%14.16M | 79.02%27.64M | 79.02%27.64M | 71.10%15.44M | 71.10%15.44M | 351.29%9.02M | 351.29%9.02M |
| -Accounts receivable | -12.25%11.08M | -12.25%11.08M | -18.24%12.63M | -18.24%12.63M | 31.83%15.45M | 31.83%15.45M | 39.12%11.72M | 39.12%11.72M | 583.53%8.42M | 583.53%8.42M |
| -Other receivables | 3.67%3.95M | 3.67%3.95M | -72.43%3.81M | -72.43%3.81M | 158.72%13.82M | 158.72%13.82M | 787.42%5.34M | 787.42%5.34M | -21.57%601.97K | -21.57%601.97K |
| -Recievables adjustments allowances | 25.14%-1.71M | 25.14%-1.71M | -40.41%-2.28M | -40.41%-2.28M | -0.49%-1.63M | -0.49%-1.63M | ---1.62M | ---1.62M | ---- | ---- |
| Inventory | -23.80%2.85M | -23.80%2.85M | -10.34%3.74M | -10.34%3.74M | 3.89%4.17M | 3.89%4.17M | -8.64%4.01M | -8.64%4.01M | --4.39M | --4.39M |
| Prepaid assets | ---- | ---- | ---- | ---- | ---- | ---- | 264.09%2.09M | 264.09%2.09M | 852.31%575.13K | 852.31%575.13K |
| Other current assets | 76.51%2.95M | 76.51%2.95M | -32.38%1.67M | -32.38%1.67M | --2.47M | --2.47M | ---- | ---- | ---- | ---- |
| Total current assets | 1.10%49.44M | 1.10%49.44M | -35.08%48.9M | -35.08%48.9M | -30.96%75.33M | -30.96%75.33M | -18.95%109.1M | -18.95%109.1M | 299.59%134.6M | 299.59%134.6M |
| Non current assets | ||||||||||
| Net PPE | -37.13%17.18M | -37.13%17.18M | -16.45%27.32M | -16.45%27.32M | 10.09%32.7M | 10.09%32.7M | 114.29%29.7M | 114.29%29.7M | 1,876.86%13.86M | 1,876.86%13.86M |
| -Gross PPE | -2.56%39.26M | -2.56%39.26M | 1.83%40.29M | 1.83%40.29M | 15.22%39.57M | 15.22%39.57M | 127.28%34.34M | 127.28%34.34M | 1,053.66%15.11M | 1,053.66%15.11M |
| -Accumulated depreciation | -70.24%-22.08M | -70.24%-22.08M | -88.82%-12.97M | -88.82%-12.97M | -48.00%-6.87M | -48.00%-6.87M | -271.27%-4.64M | -271.27%-4.64M | -105.43%-1.25M | -105.43%-1.25M |
| Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 86.94%1.57M | 86.94%1.57M |
| Goodwill and other intangible assets | 1.55%60.04M | 1.55%60.04M | 4.27%59.13M | 4.27%59.13M | -13.77%56.71M | -13.77%56.71M | -3.25%65.76M | -3.25%65.76M | 238.64%67.97M | 238.64%67.97M |
| -Goodwill | 0.00%30.76M | 0.00%30.76M | 0.00%30.76M | 0.00%30.76M | 0.70%30.76M | 0.70%30.76M | -31.05%30.55M | -31.05%30.55M | 206.49%44.3M | 206.49%44.3M |
| -Other intangible assets | 3.22%29.28M | 3.22%29.28M | 9.34%28.37M | 9.34%28.37M | -26.32%25.94M | -26.32%25.94M | 48.78%35.21M | 48.78%35.21M | 321.38%23.67M | 321.38%23.67M |
| Defined pension benefit | ---- | ---- | ---- | ---- | ---- | ---- | --47K | --47K | ---- | ---- |
| Non current deferred assets | -59.43%5.63M | -59.43%5.63M | -59.19%13.89M | -59.19%13.89M | 84.37%34.02M | 84.37%34.02M | 50.09%18.45M | 50.09%18.45M | 68.54%12.3M | 68.54%12.3M |
| Other non current assets | 31.48%1.87M | 31.48%1.87M | 79.29%1.42M | 79.29%1.42M | 1,585.11%792K | 1,585.11%792K | --47K | --47K | ---- | ---- |
| Total non current assets | -16.74%84.72M | -16.74%84.72M | -18.08%101.75M | -18.08%101.75M | 8.96%124.22M | 8.96%124.22M | 19.14%114.01M | 19.14%114.01M | 231.04%95.7M | 231.04%95.7M |
| Total assets | -10.95%134.16M | -10.95%134.16M | -24.50%150.65M | -24.50%150.65M | -10.56%199.55M | -10.56%199.55M | -3.12%223.11M | -3.12%223.11M | 267.93%230.3M | 267.93%230.3M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -20.89%1.23M | -20.89%1.23M | 11.06%1.56M | 11.06%1.56M | 2.56%1.4M | 2.56%1.4M | 108.70%1.37M | 108.70%1.37M | 480.63%654.53K | 480.63%654.53K |
| -Current debt | ---- | ---- | ---- | ---- | ---- | ---- | 166.76%776K | 166.76%776K | --290.9K | --290.9K |
| -Current capital lease obligation | -20.89%1.23M | -20.89%1.23M | 11.06%1.56M | 11.06%1.56M | 137.46%1.4M | 137.46%1.4M | 62.25%590K | 62.25%590K | 222.57%363.63K | 222.57%363.63K |
| Payables | -0.85%31.49M | -0.85%31.49M | -9.45%31.76M | -9.45%31.76M | 123.38%35.08M | 123.38%35.08M | -10.54%15.7M | -10.54%15.7M | 1,267.11%17.55M | 1,267.11%17.55M |
| -accounts payable | 24.18%6.72M | 24.18%6.72M | 32.93%5.41M | 32.93%5.41M | 37.56%4.07M | 37.56%4.07M | -69.10%2.96M | -69.10%2.96M | 1,443.63%9.57M | 1,443.63%9.57M |
| -Other payable | -5.99%24.78M | -5.99%24.78M | -15.01%26.36M | -15.01%26.36M | 143.29%31.01M | 143.29%31.01M | 59.72%12.75M | 59.72%12.75M | 1,102.17%7.98M | 1,102.17%7.98M |
| Current provisions | ---- | ---- | ---- | ---- | --651K | --651K | ---- | ---- | 148.61%40.9K | 148.61%40.9K |
| Pension and other retirement benefit plans | -15.79%2.04M | -15.79%2.04M | 3.29%2.42M | 3.29%2.42M | -17.62%2.34M | -17.62%2.34M | -2.39%2.84M | -2.39%2.84M | 996.22%2.91M | 996.22%2.91M |
| Current deferred liabilities | --1.8M | --1.8M | ---- | ---- | 43.90%472K | 43.90%472K | 201.00%328K | 201.00%328K | --108.97K | --108.97K |
| Other current liabilities | 21.02%1.78M | 21.02%1.78M | -72.51%1.47M | -72.51%1.47M | 419.73%5.35M | 419.73%5.35M | 19.00%1.03M | 19.00%1.03M | --864.72K | --864.72K |
| Current liabilities | 3.05%38.34M | 3.05%38.34M | -17.85%37.21M | -17.85%37.21M | 112.94%45.29M | 112.94%45.29M | -3.91%21.27M | -3.91%21.27M | 1,218.46%22.14M | 1,218.46%22.14M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -84.87%242K | -84.87%242K | -51.66%1.6M | -51.66%1.6M | -72.98%3.31M | -72.98%3.31M | 11.76%12.25M | 11.76%12.25M | 3,028.57%10.96M | 3,028.57%10.96M |
| -Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | -13.72%7.62M | -13.72%7.62M | --8.83M | --8.83M |
| -Long term capital lease obligation | -84.87%242K | -84.87%242K | -51.66%1.6M | -51.66%1.6M | -28.55%3.31M | -28.55%3.31M | 117.33%4.63M | 117.33%4.63M | 508.31%2.13M | 508.31%2.13M |
| Long term provisions | ---- | ---- | ---- | ---- | --127K | --127K | ---- | ---- | 204.98%76.31K | 204.98%76.31K |
| Employee benefits | 18.97%345K | 18.97%345K | 31.82%290K | 31.82%290K | -14.73%220K | -14.73%220K | 11.40%258K | 11.40%258K | 68.61%231.6K | 68.61%231.6K |
| Other non current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | 373.11%7.62M | 373.11%7.62M | --1.61M | --1.61M |
| Total non current liabilities | -68.93%587K | -68.93%587K | -48.32%1.89M | -48.32%1.89M | -81.83%3.66M | -81.83%3.66M | 56.27%20.12M | 56.27%20.12M | 2,411.60%12.87M | 2,411.60%12.87M |
| Total liabilities | -0.43%38.93M | -0.43%38.93M | -20.12%39.1M | -20.12%39.1M | 18.27%48.95M | 18.27%48.95M | 18.22%41.39M | 18.22%41.39M | 1,497.52%35.01M | 1,497.52%35.01M |
| Shareholders'equity | ||||||||||
| Share capital | 5.22%321.11M | 5.22%321.11M | 1.73%305.19M | 1.73%305.19M | 18.82%300.01M | 18.82%300.01M | 11.71%252.49M | 11.71%252.49M | 166.09%226.02M | 166.09%226.02M |
| -common stock | 5.22%321.11M | 5.22%321.11M | 1.73%305.19M | 1.73%305.19M | 18.82%300.01M | 18.82%300.01M | 11.71%252.49M | 11.71%252.49M | 166.09%226.02M | 166.09%226.02M |
| Retained earnings | -13.61%-231.24M | -13.61%-231.24M | -23.13%-203.54M | -23.13%-203.54M | -24.55%-165.31M | -24.55%-165.31M | -204.89%-132.72M | -204.89%-132.72M | -66.68%-43.53M | -66.68%-43.53M |
| Gains losses not affecting retained earnings | -45.91%5.36M | -45.91%5.36M | -37.70%9.9M | -37.70%9.9M | -77.13%15.9M | -77.13%15.9M | 438.50%69.52M | 438.50%69.52M | 720.53%12.91M | 720.53%12.91M |
| Total stockholders'equity | -14.64%95.23M | -14.64%95.23M | -25.92%111.55M | -25.92%111.55M | -20.44%150.6M | -20.44%150.6M | -3.13%189.29M | -3.13%189.29M | 223.51%195.4M | 223.51%195.4M |
| Total equity | -14.64%95.23M | -14.64%95.23M | -25.92%111.55M | -25.92%111.55M | -20.44%150.6M | -20.44%150.6M | -3.13%189.29M | -3.13%189.29M | 223.51%195.4M | 223.51%195.4M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |