Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
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 | 56.43%86.7M | 56.43%86.7M | 78.50%55.43M | 78.50%55.43M | 4.03%31.05M | 4.03%31.05M | -30.34%29.85M | -30.34%29.85M | 294.63%42.85M | 294.63%42.85M |
| -Cash and cash equivalents | -50.13%3.02M | -50.13%3.02M | 79.13%6.05M | 79.13%6.05M | -46.16%3.38M | -46.16%3.38M | -39.45%6.28M | -39.45%6.28M | 160.34%10.37M | 160.34%10.37M |
| -Short term investments | 69.49%83.68M | 69.49%83.68M | 78.42%49.37M | 78.42%49.37M | 17.41%27.67M | 17.41%27.67M | -27.44%23.57M | -27.44%23.57M | 372.44%32.48M | 372.44%32.48M |
| Receivables | 166.57%1.38M | 166.57%1.38M | 35.15%515.92K | 35.15%515.92K | 30.10%381.74K | 30.10%381.74K | 84.74%293.41K | 84.74%293.41K | -19.51%158.83K | -19.51%158.83K |
| -Accounts receivable | -11.83%264.51K | -11.83%264.51K | 27.31%300.01K | 27.31%300.01K | 22.96%235.66K | 22.96%235.66K | 133.52%191.66K | 133.52%191.66K | 22.08%82.07K | 22.08%82.07K |
| -Other receivables | 414.46%1.11M | 414.46%1.11M | 47.80%215.91K | 47.80%215.91K | 43.57%146.08K | 43.57%146.08K | 32.57%101.75K | 32.57%101.75K | -41.00%76.75K | -41.00%76.75K |
| Other current assets | 39.53%356.36K | 39.53%356.36K | 3.34%255.39K | 3.34%255.39K | 22.41%247.13K | 22.41%247.13K | -97.56%201.88K | -97.56%201.88K | 7,786.43%8.26M | 7,786.43%8.26M |
| Total current assets | 57.36%88.43M | 57.36%88.43M | 77.39%56.2M | 77.39%56.2M | 4.41%31.68M | 4.41%31.68M | -40.82%30.34M | -40.82%30.34M | 359.38%51.27M | 359.38%51.27M |
| Non current assets | ||||||||||
| Net PPE | -30.09%221.48K | -30.09%221.48K | -23.62%316.83K | -23.62%316.83K | 213.85%414.81K | 213.85%414.81K | -5,163.71%-364.33K | -5,163.71%-364.33K | -99.05%7.2K | -99.05%7.2K |
| -Gross PPE | -30.09%221.48K | -30.09%221.48K | -23.62%316.83K | -23.62%316.83K | -35.12%414.81K | -35.12%414.81K | -14.37%639.3K | -14.37%639.3K | -30.82%746.55K | -30.82%746.55K |
| -Accumulated depreciation | ---- | ---- | ---- | ---- | ---- | ---- | -35.75%-1M | -35.75%-1M | -129.04%-739.35K | -129.04%-739.35K |
| Investments and advances | ---- | ---- | ---- | ---- | -89.52%240K | -89.52%240K | -7.29%2.29M | -7.29%2.29M | 64.76%2.47M | 64.76%2.47M |
| -Other investment | ---- | ---- | ---- | ---- | -89.52%240K | -89.52%240K | -7.29%2.29M | -7.29%2.29M | 64.76%2.47M | 64.76%2.47M |
| Goodwill and other intangible assets | -4.27%2.01M | -4.27%2.01M | -4.10%2.1M | -4.10%2.1M | -3.94%2.19M | -3.94%2.19M | 747.58%2.28M | 747.58%2.28M | --268.77K | --268.77K |
| -Goodwill | 0.00%1.89M | 0.00%1.89M | 0.00%1.89M | 0.00%1.89M | 0.00%1.89M | 0.00%1.89M | --1.89M | --1.89M | ---- | ---- |
| -Other intangible assets | -42.63%120.68K | -42.63%120.68K | -29.89%210.37K | -29.89%210.37K | -23.01%300.06K | -23.01%300.06K | 45.01%389.75K | 45.01%389.75K | --268.77K | --268.77K |
| Total non current assets | -7.66%2.23M | -7.66%2.23M | -15.04%2.42M | -15.04%2.42M | -32.38%2.84M | -32.38%2.84M | 53.07%4.2M | 53.07%4.2M | 21.76%2.75M | 21.76%2.75M |
| Total assets | 54.68%90.67M | 54.68%90.67M | 69.78%58.61M | 69.78%58.61M | -0.07%34.52M | -0.07%34.52M | -36.04%34.55M | -36.04%34.55M | 302.61%54.01M | 302.61%54.01M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 14.88%75.68K | 14.88%75.68K | 15.52%65.88K | 15.52%65.88K | -67.67%57.03K | -67.67%57.03K | 39.83%176.42K | 39.83%176.42K | -5.61%126.17K | -5.61%126.17K |
| -Current capital lease obligation | 14.88%75.68K | 14.88%75.68K | 15.52%65.88K | 15.52%65.88K | -67.67%57.03K | -67.67%57.03K | 39.83%176.42K | 39.83%176.42K | -5.61%126.17K | -5.61%126.17K |
| Payables | -16.95%882.99K | -16.95%882.99K | -4.26%1.06M | -4.26%1.06M | -28.65%1.11M | -28.65%1.11M | -55.31%1.56M | -55.31%1.56M | 620.03%3.48M | 620.03%3.48M |
| -accounts payable | -36.44%251.15K | -36.44%251.15K | -20.86%395.16K | -20.86%395.16K | -41.69%499.32K | -41.69%499.32K | 83.36%856.38K | 83.36%856.38K | 42.22%467.05K | 42.22%467.05K |
| -Dividends payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --2.74M | --2.74M |
| -Other payable | -5.42%631.84K | -5.42%631.84K | 9.30%668.07K | 9.30%668.07K | -12.70%611.23K | -12.70%611.23K | 154.18%700.18K | 154.18%700.18K | 77.34%275.47K | 77.34%275.47K |
| Other current liabilities | -15.74%12.2M | -15.74%12.2M | 59.00%14.48M | 59.00%14.48M | 45.61%9.11M | 45.61%9.11M | -43.12%6.26M | -43.12%6.26M | 48,851.34%11M | 48,851.34%11M |
| Current liabilities | -15.69%13.16M | -15.69%13.16M | 51.93%15.61M | 51.93%15.61M | 28.64%10.28M | 28.64%10.28M | -45.31%7.99M | -45.31%7.99M | 2,182.80%14.61M | 2,182.80%14.61M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -31.12%167.49K | -31.12%167.49K | -21.32%243.17K | -21.32%243.17K | --309.05K | --309.05K | ---- | ---- | -50.53%176.42K | -50.53%176.42K |
| -Long term capital lease obligation | -31.12%167.49K | -31.12%167.49K | -21.32%243.17K | -21.32%243.17K | --309.05K | --309.05K | ---- | ---- | -50.53%176.42K | -50.53%176.42K |
| Non current deferred liabilities | 64.01%9.4M | 64.01%9.4M | 891,101.24%5.73M | 891,101.24%5.73M | 0.00%643 | 0.00%643 | --643 | --643 | ---- | ---- |
| Total non current liabilities | 60.14%9.57M | 60.14%9.57M | 1,828.86%5.97M | 1,828.86%5.97M | 48,064.07%309.7K | 48,064.07%309.7K | -99.64%643 | -99.64%643 | -50.53%176.42K | -50.53%176.42K |
| Total liabilities | 5.29%22.73M | 5.29%22.73M | 103.91%21.59M | 103.91%21.59M | 32.51%10.59M | 32.51%10.59M | -45.96%7.99M | -45.96%7.99M | 1,383.49%14.78M | 1,383.49%14.78M |
| Shareholders'equity | ||||||||||
| Share capital | 23.34%81M | 23.34%81M | 11.09%65.68M | 11.09%65.68M | 0.16%59.12M | 0.16%59.12M | 0.40%59.03M | 0.40%59.03M | 16.24%58.8M | 16.24%58.8M |
| -common stock | 23.34%81M | 23.34%81M | 11.09%65.68M | 11.09%65.68M | 0.16%59.12M | 0.16%59.12M | 0.40%59.03M | 0.40%59.03M | 16.24%58.8M | 16.24%58.8M |
| Retained earnings | -11.43%-53.83M | -11.43%-53.83M | -8.18%-48.31M | -8.18%-48.31M | -20.46%-44.66M | -20.46%-44.66M | -8.29%-37.07M | -8.29%-37.07M | 16.64%-34.23M | 16.64%-34.23M |
| Gains losses not affecting retained earnings | 107.53%40.76M | 107.53%40.76M | 107.30%19.64M | 107.30%19.64M | 84.77%9.48M | 84.77%9.48M | -71.17%5.13M | -71.17%5.13M | 306.99%17.79M | 306.99%17.79M |
| Total stockholders'equity | 83.57%67.94M | 83.57%67.94M | 54.60%37.01M | 54.60%37.01M | -11.62%23.94M | -11.62%23.94M | -36.05%27.08M | -36.05%27.08M | 204.97%42.35M | 204.97%42.35M |
| Total equity | 83.57%67.94M | 83.57%67.94M | 54.60%37.01M | 54.60%37.01M | -11.62%23.94M | -11.62%23.94M | -36.05%27.08M | -36.05%27.08M | 190.89%42.35M | 190.89%42.35M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |