Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
5
CNOOC
00883
| (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 | 24.46%10.74M | 24.46%10.74M | -9.16%8.63M | -9.16%8.63M | 3.71%9.5M | 3.71%9.5M | 118.35%9.16M | 118.35%9.16M | -32.05%4.2M | -32.05%4.2M |
| -Cash and cash equivalents | 27.14%10.64M | 27.14%10.64M | -9.74%8.37M | -9.74%8.37M | 3.75%9.27M | 3.75%9.27M | 125.60%8.93M | 125.60%8.93M | -32.54%3.96M | -32.54%3.96M |
| -Short term investments | -59.45%108.62K | -59.45%108.62K | 13.71%267.88K | 13.71%267.88K | 2.22%235.58K | 2.22%235.58K | -2.78%230.46K | -2.78%230.46K | -22.64%237.06K | -22.64%237.06K |
| Receivables | 12.41%22.63M | 12.41%22.63M | -2.64%20.13M | -2.64%20.13M | 10.52%20.68M | 10.52%20.68M | 65.90%18.71M | 65.90%18.71M | -7.37%11.28M | -7.37%11.28M |
| -Accounts receivable | 13.03%21.89M | 13.03%21.89M | -1.63%19.37M | -1.63%19.37M | 7.35%19.69M | 7.35%19.69M | 76.25%18.34M | 76.25%18.34M | -2.39%10.41M | -2.39%10.41M |
| -Other receivables | 0.56%1.29M | 0.56%1.29M | -20.21%1.29M | -20.21%1.29M | 70.94%1.61M | 70.94%1.61M | -27.50%943.23K | -27.50%943.23K | -29.33%1.3M | -29.33%1.3M |
| -Recievables adjustments allowances | -6.30%-556.79K | -6.30%-556.79K | 16.02%-523.8K | 16.02%-523.8K | -8.47%-623.73K | -8.47%-623.73K | -33.69%-575K | -33.69%-575K | -31.44%-430.09K | -31.44%-430.09K |
| Inventory | 19.02%4.46M | 19.02%4.46M | 7.22%3.75M | 7.22%3.75M | 33.82%3.49M | 33.82%3.49M | 12.00%2.61M | 12.00%2.61M | -49.70%2.33M | -49.70%2.33M |
| Other current assets | -11.98%4.22M | -11.98%4.22M | 88.26%4.8M | 88.26%4.8M | -34.00%2.55M | -34.00%2.55M | 149.39%3.86M | 149.39%3.86M | -23.16%1.55M | -23.16%1.55M |
| Total current assets | 12.73%42.05M | 12.73%42.05M | 2.99%37.31M | 2.99%37.31M | 5.47%36.22M | 5.47%36.22M | 77.46%34.34M | 77.46%34.34M | -22.59%19.35M | -22.59%19.35M |
| Non current assets | ||||||||||
| Net PPE | 6.17%11.43M | 6.17%11.43M | 38.03%10.76M | 38.03%10.76M | 26.50%7.8M | 26.50%7.8M | -6.19%6.16M | -6.19%6.16M | 363.56%6.57M | 363.56%6.57M |
| -Gross PPE | 6.89%24.44M | 6.89%24.44M | 8.00%22.87M | 8.00%22.87M | 17.53%21.17M | 17.53%21.17M | 5.47%18.01M | 5.47%18.01M | 65.57%17.08M | 65.57%17.08M |
| -Accumulated depreciation | -7.54%-13.02M | -7.54%-13.02M | 9.50%-12.1M | 9.50%-12.1M | -12.87%-13.38M | -12.87%-13.38M | -12.76%-11.85M | -12.76%-11.85M | -18.10%-10.51M | -18.10%-10.51M |
| Non current accounts receivable | 3.82%1.27M | 3.82%1.27M | 9.09%1.22M | 9.09%1.22M | -9.26%1.12M | -9.26%1.12M | 5.46%1.23M | 5.46%1.23M | -46.51%1.17M | -46.51%1.17M |
| Goodwill and other intangible assets | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M |
| -Goodwill | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M | 0.00%12.07M |
| Non current deferred assets | -14.27%2.6M | -14.27%2.6M | 11.01%3.03M | 11.01%3.03M | 4.55%2.73M | 4.55%2.73M | 0.00%2.61M | 0.00%2.61M | 0.00%2.61M | 0.00%2.61M |
| Total non current assets | 1.03%27.36M | 1.03%27.36M | 14.20%27.08M | 14.20%27.08M | 7.42%23.72M | 7.42%23.72M | -1.53%22.08M | -1.53%22.08M | 22.62%22.42M | 22.62%22.42M |
| Total assets | 7.80%69.42M | 7.80%69.42M | 7.43%64.39M | 7.43%64.39M | 6.23%59.94M | 6.23%59.94M | 35.06%56.42M | 35.06%56.42M | -3.49%41.77M | -3.49%41.77M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 9.95%1.56M | 9.95%1.56M | 19.90%1.42M | 19.90%1.42M | -5.20%1.18M | -5.20%1.18M | -41.35%1.25M | -41.35%1.25M | -74.49%2.13M | -74.49%2.13M |
| -Current debt | ---- | ---- | ---- | ---- | ---- | ---- | -75.00%300K | -75.00%300K | -84.29%1.2M | -84.29%1.2M |
| -Current capital lease obligation | 9.95%1.56M | 9.95%1.56M | 19.90%1.42M | 19.90%1.42M | 24.82%1.18M | 24.82%1.18M | 2.21%947.49K | 2.21%947.49K | 32.63%926.98K | 32.63%926.98K |
| Payables | -1.85%17.76M | -1.85%17.76M | 16.02%18.09M | 16.02%18.09M | 25.06%15.59M | 25.06%15.59M | 67.10%12.47M | 67.10%12.47M | -44.49%7.46M | -44.49%7.46M |
| -accounts payable | -1.45%11.49M | -1.45%11.49M | 0.93%11.66M | 0.93%11.66M | 42.13%11.55M | 42.13%11.55M | 69.09%8.13M | 69.09%8.13M | -57.30%4.81M | -57.30%4.81M |
| -Other payable | -2.58%6.26M | -2.58%6.26M | 59.20%6.43M | 59.20%6.43M | -6.93%4.04M | -6.93%4.04M | 63.51%4.34M | 63.51%4.34M | 21.48%2.65M | 21.48%2.65M |
| Pension and other retirement benefit plans | 13.74%4.47M | 13.74%4.47M | -4.55%3.93M | -4.55%3.93M | 21.08%4.12M | 21.08%4.12M | 9.06%3.4M | 9.06%3.4M | -1.98%3.12M | -1.98%3.12M |
| Current deferred liabilities | ---- | ---- | -80.58%17.77K | -80.58%17.77K | 8.96%91.47K | 8.96%91.47K | -25.31%83.95K | -25.31%83.95K | --112.4K | --112.4K |
| Other current liabilities | 93.14%6.06M | 93.14%6.06M | -53.70%3.14M | -53.70%3.14M | -23.06%6.77M | -23.06%6.77M | 250.60%8.8M | 250.60%8.8M | 59.07%2.51M | 59.07%2.51M |
| Current liabilities | 12.21%29.85M | 12.21%29.85M | -4.19%26.6M | -4.19%26.6M | 6.75%27.76M | 6.75%27.76M | 69.61%26.01M | 69.61%26.01M | -48.42%15.33M | -48.42%15.33M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | 8.44%4.48M | 8.44%4.48M | 168.03%4.14M | 168.03%4.14M | 28.93%1.54M | 28.93%1.54M | -35.63%1.2M | -35.63%1.2M | -11.35%1.86M | -11.35%1.86M |
| -Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --300K | --300K |
| -Long term capital lease obligation | 8.44%4.48M | 8.44%4.48M | 168.03%4.14M | 168.03%4.14M | 28.93%1.54M | 28.93%1.54M | -23.25%1.2M | -23.25%1.2M | -25.65%1.56M | -25.65%1.56M |
| Long term provisions | ---- | ---- | 391.22%747.4K | 391.22%747.4K | 38.07%152.15K | 38.07%152.15K | 25.19%110.2K | 25.19%110.2K | 57.21%88.02K | 57.21%88.02K |
| Employee benefits | -40.88%441.84K | -40.88%441.84K | --747.4K | --747.4K | ---- | ---- | ---- | ---- | ---- | ---- |
| Non current deferred liabilities | ---- | ---- | -15.29%31.62K | -15.29%31.62K | -7.55%37.33K | -7.55%37.33K | -13.52%40.38K | -13.52%40.38K | -5.91%46.69K | -5.91%46.69K |
| Total non current liabilities | -12.99%4.93M | -12.99%4.93M | 226.82%5.66M | 226.82%5.66M | 28.58%1.73M | 28.58%1.73M | -32.43%1.35M | -32.43%1.35M | -11.73%1.99M | -11.73%1.99M |
| Total liabilities | 7.79%34.77M | 7.79%34.77M | 9.38%32.26M | 9.38%32.26M | 7.82%29.49M | 7.82%29.49M | 57.87%27.35M | 57.87%27.35M | -45.83%17.33M | -45.83%17.33M |
| Shareholders'equity | ||||||||||
| Share capital | 0.08%60.19M | 0.08%60.19M | 0.07%60.14M | 0.07%60.14M | 0.15%60.1M | 0.15%60.1M | 6.29%60.01M | 6.29%60.01M | 0.00%56.46M | 0.00%56.46M |
| -common stock | 0.08%60.19M | 0.08%60.19M | 0.07%60.14M | 0.07%60.14M | 0.15%60.1M | 0.15%60.1M | 6.29%60.01M | 6.29%60.01M | 0.00%56.46M | 0.00%56.46M |
| Retained earnings | 4.52%-26.08M | 4.52%-26.08M | 7.26%-27.31M | 7.26%-27.31M | 4.68%-29.45M | 4.68%-29.45M | 2.81%-30.9M | 2.81%-30.9M | 10.43%-31.79M | 10.43%-31.79M |
| Gains losses not affecting retained earnings | 960.70%534.42K | 960.70%534.42K | 124.94%50.38K | 124.94%50.38K | -380.90%-202K | -380.90%-202K | 80.52%-42K | 80.52%-42K | -187.69%-215.62K | -187.69%-215.62K |
| Total stockholders'equity | 5.37%34.64M | 5.37%34.64M | 7.99%32.88M | 7.99%32.88M | 4.74%30.44M | 4.74%30.44M | 18.90%29.07M | 18.90%29.07M | 15.29%24.45M | 15.29%24.45M |
| Total equity | 5.37%34.64M | 5.37%34.64M | 7.99%32.88M | 7.99%32.88M | 4.74%30.44M | 4.74%30.44M | 18.90%29.07M | 18.90%29.07M | 15.29%24.45M | 15.29%24.45M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |