Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (FY)Dec 31, 2025 | (Q4)Dec 31, 2025 | (Q3)Sep 30, 2025 | (Q2)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q4)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 | -29.75%13.12M | -29.75%13.12M | 18.98%5M | 1,287.23%25.83M | 15.41%21.43M | -24.88%18.67M | -24.88%18.67M | -82.11%4.2M | -94.74%1.86M | -64.32%18.57M |
| -Cash and cash equivalents | -29.75%13.12M | -29.75%13.12M | 18.98%5M | 1,287.23%25.83M | 15.41%21.43M | -24.88%18.67M | -24.88%18.67M | -82.11%4.2M | -94.74%1.86M | -64.32%18.57M |
| Receivables | 195.79%3.73M | 195.79%3.73M | 211.68%2.21M | 129.91%1.83M | 175.01%1.72M | 84.71%1.26M | 84.71%1.26M | 40.66%708.32K | 21.59%794.67K | 7.65%625.75K |
| -Taxes receivable | 46.79%1.14M | 46.79%1.14M | 238.12%1.53M | 371.70%1.29M | 439.36%1.13M | 133.33%773.39K | 133.33%773.39K | 198.85%453.07K | -23.18%272.91K | -27.42%210.03K |
| -Due from related parties current | 4.02%501.48K | 4.02%501.48K | 151.77%642.62K | -2.76%507.2K | 33.94%556.59K | 37.10%482.08K | 37.10%482.08K | -27.48%255.24K | 74.84%521.58K | 43.72%415.54K |
| -Other receivables | 31,634.91%2.1M | 31,634.91%2.1M | --33.13K | 18,273.45%32.52K | 17,665.54%31.45K | 3,253.30%6.61K | 3,253.30%6.61K | ---- | --177 | -93.55%177 |
| Prepaid assets | 25.98%66.19K | 25.98%66.19K | -39.33%30.06K | -58.30%28K | -85.48%28.17K | -74.70%52.54K | -74.70%52.54K | -69.52%49.54K | -65.18%67.15K | 119.37%194.02K |
| Total current assets | -15.37%16.92M | -15.37%16.92M | 45.92%7.24M | 916.45%27.69M | 19.55%23.18M | -22.37%19.99M | -22.37%19.99M | -79.46%4.96M | -92.48%2.72M | -63.22%19.39M |
| Non current assets | ||||||||||
| Net PPE | 38.28%325.7M | 38.28%325.7M | 56.05%306.85M | 52.01%273.75M | 66.26%262.61M | 69.59%235.53M | 69.59%235.53M | 57.14%196.64M | 57.23%180.09M | 66.61%157.96M |
| -Gross PPE | 38.39%345.38M | 38.39%345.38M | 56.27%325.23M | 52.82%290.22M | 67.41%278.7M | 71.52%249.57M | 71.52%249.57M | 59.77%208.13M | 60.97%189.9M | 71.56%166.48M |
| -Accumulated depreciation | -40.15%-19.67M | -40.15%-19.67M | -60.04%-18.39M | -67.85%-16.47M | -88.81%-16.09M | -111.85%-14.04M | -111.85%-14.04M | -123.77%-11.49M | -185.84%-9.81M | -282.16%-8.52M |
| Investments and advances | -9.37%16.42M | -9.37%16.42M | 32.79%21.23M | 18.50%18.82M | 40.10%18.95M | 43.44%18.11M | 43.44%18.11M | 86.44%15.99M | 80.61%15.88M | -18.47%13.52M |
| -Long term equity investment | -9.37%16.42M | -9.37%16.42M | 32.79%21.23M | 18.50%18.82M | 40.10%18.95M | 43.44%18.11M | 43.44%18.11M | 86.44%15.99M | 80.61%15.88M | -18.47%13.52M |
| Goodwill and other intangible assets | -37.35%154.7K | -37.35%154.7K | -34.16%177.76K | -31.47%200.82K | -29.18%223.87K | -27.19%246.93K | -27.19%246.93K | -25.46%269.99K | -21.78%293.04K | -17.78%316.1K |
| Total non current assets | 34.81%342.27M | 34.81%342.27M | 54.19%328.26M | 49.17%292.77M | 64.02%281.78M | 67.20%253.89M | 67.20%253.89M | 58.79%212.89M | 58.65%196.26M | 53.69%171.8M |
| Total assets | 31.15%359.19M | 31.15%359.19M | 54.00%335.49M | 61.04%320.46M | 59.51%304.97M | 54.21%273.88M | 54.21%273.88M | 37.69%217.85M | 24.42%198.99M | 16.22%191.19M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 1.85%3.51M | 1.85%3.51M | 27.12%4.44M | 21.05%4.27M | -11.22%3.55M | -15.69%3.45M | -15.69%3.45M | 5.20%3.49M | 18.48%3.53M | 846.33%4M |
| -Bank in debtedness | 7.79%1.48M | 7.79%1.48M | 8.32%1.5M | 9.35%1.47M | 6.20%1.43M | 2.06%1.37M | 2.06%1.37M | 113.29%1.38M | --1.35M | --1.34M |
| -Current capital lease obligation | -2.06%2.03M | -2.06%2.03M | 39.44%2.94M | 28.26%2.8M | -20.04%2.12M | -24.36%2.08M | -24.36%2.08M | -21.03%2.11M | -26.73%2.18M | 528.38%2.65M |
| Payables | 15.10%9.29M | 15.10%9.29M | 81.67%10.94M | 226.97%8.62M | 272.39%7.65M | 577.08%8.07M | 577.08%8.07M | 849.10%6.02M | -12.17%2.64M | -54.89%2.05M |
| -accounts payable | 15.10%9.29M | 15.10%9.29M | 81.67%10.94M | 226.97%8.62M | 272.39%7.65M | 577.08%8.07M | 577.08%8.07M | 849.10%6.02M | -12.17%2.64M | -54.73%2.05M |
| Current accrued expenses | 62.07%16.49M | 62.07%16.49M | 171.27%17.25M | 80.23%15.13M | 50.70%8.74M | 83.21%10.18M | 83.21%10.18M | 202.40%6.36M | 162.63%8.39M | 53.26%5.8M |
| Current liabilities | 35.03%29.29M | 35.03%29.29M | 105.55%32.63M | 92.47%28.02M | 68.23%19.94M | 100.23%21.69M | 100.23%21.69M | 161.99%15.87M | 58.68%14.56M | 35.29%11.85M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -72.42%922.49K | -72.42%922.49K | -66.75%1.34M | -56.22%2.08M | -45.87%3.28M | -52.16%3.34M | -52.16%3.34M | -30.79%4.04M | -28.33%4.75M | 2,063.48%6.06M |
| -Long term debt | -60.16%865.77K | -60.16%865.77K | -50.67%1.25M | -43.06%1.6M | -39.26%1.91M | -37.40%2.17M | -37.40%2.17M | 51.61%2.54M | --2.81M | --3.14M |
| -Long term capital lease obligation | -95.16%56.72K | -95.16%56.72K | -94.00%90.01K | -75.19%483K | -52.96%1.38M | -66.72%1.17M | -66.72%1.17M | -63.97%1.5M | -70.64%1.95M | 944.24%2.93M |
| Long term accounts payable and other payables | --448.12K | --448.12K | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| Long term provisions | --500.42K | --500.42K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Employee benefits | --257.4K | --257.4K | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| Non current deferred liabilities | -4.75%1.64M | -4.75%1.64M | 3.13%1.67M | -0.32%1.64M | 6.10%1.73M | 8.79%1.73M | 8.79%1.73M | -0.16%1.62M | 3.38%1.64M | 0.13%1.63M |
| Total non current liabilities | -25.60%3.77M | -25.60%3.77M | -46.75%3.01M | -41.87%3.72M | -34.88%5.01M | -40.88%5.07M | -40.88%5.07M | -24.13%5.66M | -22.20%6.4M | 303.86%7.69M |
| Total liabilities | 23.54%33.06M | 23.54%33.06M | 65.52%35.64M | 51.46%31.73M | 27.66%24.95M | 37.87%26.76M | 37.87%26.76M | 59.29%21.53M | 20.45%20.95M | 83.24%19.54M |
| Shareholders'equity | ||||||||||
| Share capital | 28.51%282.62M | 28.51%282.62M | 30.08%261.07M | 39.87%257.71M | 34.38%243.19M | 29.80%219.91M | 29.80%219.91M | 29.10%200.7M | 18.51%184.25M | 16.45%180.97M |
| -common stock | 28.51%282.62M | 28.51%282.62M | 30.08%261.07M | 39.87%257.71M | 34.38%243.19M | 29.80%219.91M | 29.80%219.91M | 29.10%200.7M | 18.51%184.25M | 16.45%180.97M |
| Additional paid-in capital | 1.82%30.04M | 1.82%30.04M | 33.67%29.7M | 32.23%29.59M | 34.95%29.65M | 37.03%29.5M | 37.03%29.5M | 8.55%22.22M | 11.76%22.38M | 41.56%21.97M |
| Retained earnings | -203.27%-34.02M | -203.27%-34.02M | -19.63%-26.31M | -104.10%-31.71M | 8.82%-15.11M | 40.82%-11.22M | 40.82%-11.22M | -50.26%-21.99M | -12.34%-15.54M | -118.34%-16.57M |
| Gains losses not affecting retained earnings | 16.90%-14.25M | 16.90%-14.25M | 38.91%-11.29M | 34.07%-13.45M | 35.23%-14.29M | 24.53%-17.15M | 24.53%-17.15M | 22.74%-18.49M | 22.81%-20.41M | -5.36%-22.06M |
| Other equity interest | 139.81%61.42M | 139.81%61.42M | 244.04%46.34M | 574.46%46.34M | 427.11%36.22M | 202.13%25.61M | 202.13%25.61M | 96.04%13.47M | -0.00%6.87M | -37.52%6.87M |
| Total stockholders'equity | 32.09%325.8M | 32.09%325.8M | 52.88%299.51M | 62.47%288.48M | 63.37%279.66M | 56.35%246.66M | 56.35%246.66M | 35.82%195.91M | 24.96%177.56M | 11.59%171.18M |
| Noncontrolling interests | -29.43%323.2K | -29.43%323.2K | -16.90%337.98K | -49.45%241.48K | -22.85%358.06K | 6.76%457.99K | 6.76%457.99K | -11.62%406.73K | 9.14%477.68K | 5.72%464.09K |
| Total equity | 31.97%326.13M | 31.97%326.13M | 52.73%299.85M | 62.17%288.72M | 63.14%280.02M | 56.22%247.12M | 56.22%247.12M | 35.67%196.32M | 24.91%178.03M | 11.57%171.64M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
| Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.