Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
SINOPEC CORP
00386
| (FY)Dec 30, 2025 | (Q4)Dec 30, 2025 | (FY)Dec 30, 2024 | (Q4)Dec 30, 2024 | (FY)Dec 30, 2023 | (Q4)Dec 30, 2023 | (FY)Dec 30, 2022 | (Q4)Dec 30, 2022 | (FY)Dec 30, 2021 | (Q4)Dec 30, 2021 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, cash equivalents and short term investments | 6,655.62%59.04M | 6,655.62%59.04M | -67.66%873.95K | -67.66%873.95K | -47.97%2.7M | -47.97%2.7M | 161.04%5.19M | 161.04%5.19M | -74.89%1.99M | -74.89%1.99M |
| -Cash and cash equivalents | 6,655.62%59.04M | 6,655.62%59.04M | -67.66%873.95K | -67.66%873.95K | -47.97%2.7M | -47.97%2.7M | 161.04%5.19M | 161.04%5.19M | -74.89%1.99M | -74.89%1.99M |
| Receivables | 279.39%1.83M | 279.39%1.83M | -5.13%483.2K | -5.13%483.2K | -38.63%509.35K | -38.63%509.35K | 216.43%829.96K | 216.43%829.96K | -73.33%262.29K | -73.33%262.29K |
| -Accounts receivable | 63.42%934.91K | 63.42%934.91K | -13.55%572.09K | -13.55%572.09K | 13.28%661.75K | 13.28%661.75K | 140.28%584.2K | 140.28%584.2K | -72.55%243.13K | -72.55%243.13K |
| -Other receivables | 3,333.26%1.02M | 3,333.26%1.02M | 54.69%29.68K | 54.69%29.68K | -92.90%19.18K | -92.90%19.18K | 428.02%270.26K | 428.02%270.26K | -53.56%51.18K | -53.56%51.18K |
| -Recievables adjustments allowances | -1.66%-120.53K | -1.66%-120.53K | 30.90%-118.57K | 30.90%-118.57K | -600.55%-171.59K | -600.55%-171.59K | 23.53%-24.49K | 23.53%-24.49K | -153.99%-32.03K | -153.99%-32.03K |
| Inventory | 2.57%515.58K | 2.57%515.58K | -63.54%502.65K | -63.54%502.65K | -27.59%1.38M | -27.59%1.38M | 11.56%1.9M | 11.56%1.9M | 115.34%1.71M | 115.34%1.71M |
| Prepaid assets | 383.95%493.52K | 383.95%493.52K | 15.95%101.98K | 15.95%101.98K | -23.06%87.95K | -23.06%87.95K | 25.87%114.31K | 25.87%114.31K | 39.25%90.82K | 39.25%90.82K |
| Total current assets | 3,054.44%61.88M | 3,054.44%61.88M | -58.07%1.96M | -58.07%1.96M | -41.83%4.68M | -41.83%4.68M | 98.60%8.04M | 98.60%8.04M | -58.53%4.05M | -58.53%4.05M |
| Non current assets | ||||||||||
| Net PPE | 19.55%325.09K | 19.55%325.09K | 157.24%271.93K | 157.24%271.93K | -10.39%-475.05K | -10.39%-475.05K | -950.08%-430.34K | -950.08%-430.34K | 181.70%50.62K | 181.70%50.62K |
| -Gross PPE | 49.65%1.41M | 49.65%1.41M | 169.17%940.34K | 169.17%940.34K | 38.22%349.35K | 38.22%349.35K | -52.89%252.75K | -52.89%252.75K | 129.08%536.53K | 129.08%536.53K |
| -Accumulated depreciation | -61.89%-1.08M | -61.89%-1.08M | 18.92%-668.42K | 18.92%-668.42K | -20.69%-824.4K | -20.69%-824.4K | -40.58%-683.1K | -40.58%-683.1K | -64.06%-485.9K | -64.06%-485.9K |
| Investments and advances | --316.14K | --316.14K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| -Other investment | --316.14K | --316.14K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Goodwill and other intangible assets | 556.07%171.58K | 556.07%171.58K | -22.14%26.15K | -22.14%26.15K | 57.56%33.59K | 57.56%33.59K | -77.62%21.32K | -77.62%21.32K | -41.61%95.25K | -41.61%95.25K |
| -Other intangible assets | 556.07%171.58K | 556.07%171.58K | -22.14%26.15K | -22.14%26.15K | 57.56%33.59K | 57.56%33.59K | -77.62%21.32K | -77.62%21.32K | -41.61%95.25K | -41.61%95.25K |
| Non current deferred assets | --1.43M | --1.43M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Total non current assets | 653.67%2.25M | 653.67%2.25M | 167.52%298.08K | 167.52%298.08K | -7.93%-441.46K | -7.93%-441.46K | -380.39%-409.02K | -380.39%-409.02K | 44.17%145.88K | 44.17%145.88K |
| Total assets | 2,737.77%64.13M | 2,737.77%64.13M | -46.66%2.26M | -46.66%2.26M | -44.50%4.24M | -44.50%4.24M | 81.95%7.63M | 81.95%7.63M | -57.48%4.2M | -57.48%4.2M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 47.18%158.66K | 47.18%158.66K | -97.91%107.8K | -97.91%107.8K | 5,828.13%5.16M | 5,828.13%5.16M | -59.70%87.09K | -59.70%87.09K | 1,131.83%216.09K | 1,131.83%216.09K |
| -Current debt | ---- | ---- | ---- | ---- | --4.98M | --4.98M | ---- | ---- | ---- | ---- |
| -Current capital lease obligation | 47.18%158.66K | 47.18%158.66K | -39.82%107.8K | -39.82%107.8K | 105.68%179.12K | 105.68%179.12K | -59.70%87.09K | -59.70%87.09K | --216.09K | --216.09K |
| Payables | 269.60%2.46M | 269.60%2.46M | -29.84%666K | -29.84%666K | -42.28%949.29K | -42.28%949.29K | 185.05%1.64M | 185.05%1.64M | -53.00%577.01K | -53.00%577.01K |
| -accounts payable | 454.88%814.06K | 454.88%814.06K | -72.27%146.71K | -72.27%146.71K | -38.08%529.12K | -38.08%529.12K | 885.44%854.55K | 885.44%854.55K | -72.98%86.72K | -72.98%86.72K |
| -Other payable | 217.25%1.65M | 217.25%1.65M | 23.59%519.29K | 23.59%519.29K | -46.83%420.18K | -46.83%420.18K | 61.17%790.22K | 61.17%790.22K | -45.93%490.29K | -45.93%490.29K |
| Current deferred liabilities | --10.44M | --10.44M | ---- | ---- | --142.53K | --142.53K | ---- | ---- | ---- | ---- |
| Other current liabilities | ---- | ---- | 297.19%215K | 297.19%215K | --54.13K | --54.13K | ---- | ---- | ---- | ---- |
| Current liabilities | 1,220.50%13.06M | 1,220.50%13.06M | -84.33%988.81K | -84.33%988.81K | 264.27%6.31M | 264.27%6.31M | 118.37%1.73M | 118.37%1.73M | -36.31%793.09K | -36.31%793.09K |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -34.17%47.6K | -34.17%47.6K | -55.44%72.3K | -55.44%72.3K | -96.11%162.24K | -96.11%162.24K | 3,246.92%4.17M | 3,246.92%4.17M | 8,005.34%124.5K | 8,005.34%124.5K |
| -Long term debt | ---- | ---- | ---- | ---- | -97.74%93.35K | -97.74%93.35K | --4.14M | --4.14M | ---- | ---- |
| -Long term capital lease obligation | -34.17%47.6K | -34.17%47.6K | 4.95%72.3K | 4.95%72.3K | 139.25%68.89K | 139.25%68.89K | -76.87%28.8K | -76.87%28.8K | --124.5K | --124.5K |
| Employee benefits | 19.21%56.95K | 19.21%56.95K | 2.16%47.77K | 2.16%47.77K | -0.57%46.76K | -0.57%46.76K | -40.04%47.03K | -40.04%47.03K | -33.23%78.43K | -33.23%78.43K |
| Total non current liabilities | -12.93%104.55K | -12.93%104.55K | -42.55%120.07K | -42.55%120.07K | -95.04%209K | -95.04%209K | 1,976.57%4.21M | 1,976.57%4.21M | 70.54%202.93K | 70.54%202.93K |
| Total liabilities | 1,086.93%13.16M | 1,086.93%13.16M | -82.99%1.11M | -82.99%1.11M | 9.62%6.52M | 9.62%6.52M | 496.95%5.95M | 496.95%5.95M | -26.99%996.02K | -26.99%996.02K |
| Shareholders'equity | ||||||||||
| Share capital | 127.45%67.12M | 127.45%67.12M | 24.25%29.51M | 24.25%29.51M | 0.01%23.75M | 0.01%23.75M | 11.11%23.75M | 11.11%23.75M | 0.06%21.38M | 0.06%21.38M |
| -common stock | 127.45%67.12M | 127.45%67.12M | 24.25%29.51M | 24.25%29.51M | 0.01%23.75M | 0.01%23.75M | 11.11%23.75M | 11.11%23.75M | 0.06%21.38M | 0.06%21.38M |
| Retained earnings | 27.72%-20.95M | 27.72%-20.95M | -11.15%-28.99M | -11.15%-28.99M | -11.39%-26.08M | -11.39%-26.08M | -10.78%-23.41M | -10.78%-23.41M | -39.25%-21.13M | -39.25%-21.13M |
| Gains losses not affecting retained earnings | 664.50%4.8M | 664.50%4.8M | 284.78%627.72K | 284.78%627.72K | -145.30%-339.72K | -145.30%-339.72K | -64.17%749.87K | -64.17%749.87K | -5.97%2.09M | -5.97%2.09M |
| Total stockholders'equity | 4,328.21%50.97M | 4,328.21%50.97M | 143.15%1.15M | 143.15%1.15M | -345.28%-2.67M | -345.28%-2.67M | -53.43%1.09M | -53.43%1.09M | -72.24%2.34M | -72.24%2.34M |
| Total equity | 4,328.21%50.97M | 4,328.21%50.97M | 143.15%1.15M | 143.15%1.15M | -345.28%-2.67M | -345.28%-2.67M | -53.43%1.09M | -53.43%1.09M | -72.24%2.34M | -72.24%2.34M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |