Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
SINOPEC CORP
00386
| (FY)Jun 30, 2025 | (FY)Jun 30, 2024 | (FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | (FY)Jun 30, 2019 | (FY)Jun 30, 2018 | (FY)Jun 30, 2017 | (FY)Jun 30, 2016 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Operating cash flow (direct method) | ||||||||||
| Cash income from operating activities | -7.25%920.89M | 10.63%992.85M | 13.63%897.46M | 50.02%789.82M | -13.71%526.47M | 17.73%610.11M | 20.89%518.24M | 25.27%428.7M | 13.54%342.21M | 301.39M |
| Revenue from customers | -7.25%920.89M | 10.63%992.85M | 13.63%897.46M | 50.02%789.82M | -13.71%526.47M | 17.73%610.11M | 20.89%518.24M | 25.27%428.7M | 13.54%342.21M | --301.39M |
| Cash paid | 10.20%-702.07M | -17.38%-781.8M | -11.63%-666.07M | -51.02%-596.69M | 20.18%-395.11M | -19.81%-494.97M | -26.07%-413.14M | -23.76%-327.72M | -9.91%-264.79M | -240.92M |
| Payments to suppliers for goods and services | 10.20%-702.07M | -17.38%-781.8M | -11.63%-666.07M | -51.02%-596.69M | 20.18%-395.11M | -19.81%-494.97M | -26.07%-413.14M | -23.76%-327.72M | -9.91%-264.79M | ---240.92M |
| Direct interest paid | -3.71%-24.11M | -72.72%-23.25M | -118.11%-13.46M | -29.23%-6.17M | 12.72%-4.78M | -255.56%-5.47M | -25.02%-1.54M | -342.81%-1.23M | -169.90%-278K | ---103K |
| Direct interest received | -14.29%2.91M | 18.63%3.39M | 230.37%2.86M | -54.47%866K | 237.83%1.9M | 89.56%563K | -19.73%297K | 9.14%370K | -40.21%339K | --567K |
| Direct tax refund paid | 13.62%-64.98M | -48.93%-75.23M | -7.04%-50.52M | -307.24%-47.19M | 63.36%-11.59M | -8.47%-31.62M | -13.97%-29.15M | -37.05%-25.58M | -9.18%-18.66M | ---17.09M |
| Operating cash flow | 14.38%132.63M | -31.90%115.96M | 21.08%170.28M | 20.30%140.63M | 48.73%116.9M | 5.22%78.6M | 0.23%74.71M | 26.73%74.53M | 34.14%58.81M | --43.84M |
| Investing cash flow | ||||||||||
| Cash flow from continuing investing activities | 42.04%-51.29M | 28.70%-88.49M | 57.24%-124.11M | -1,377.54%-290.28M | 18.85%-19.65M | -18.85%-24.21M | 55.87%-20.37M | 13.87%-46.16M | -484.76%-53.6M | -9.17M |
| Net PPE purchase and sale | 34.91%-9.26M | 16.94%-14.23M | 42.22%-17.13M | -52.24%-29.65M | 13.15%-19.47M | -13.97%-22.42M | 30.94%-19.67M | -81.85%-28.49M | -70.91%-15.67M | ---9.17M |
| Net intangibles purchas and sale | -29.26%-51.62M | -83.08%-39.94M | ---21.81M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Net business purchase and sale | 81.47%-3.99M | 73.36%-21.56M | 68.93%-80.91M | ---260.44M | ---- | ---- | ---- | 64.29%-13.55M | ---37.93M | ---- |
| Net investment purchase and sale | 199.98%13.48M | -216.93%-13.48M | -2,162.77%-4.25M | -9.30%-188K | 90.38%-172K | -156.90%-1.79M | 83.15%-696K | ---4.13M | ---- | ---- |
| Dividends received (cash flow from investment activities) | -84.13%113K | --712K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Cash from discontinued investing activities | ||||||||||
| Investing cash flow | 42.04%-51.29M | 28.70%-88.49M | 57.24%-124.11M | -1,377.54%-290.28M | 18.85%-19.65M | -18.85%-24.21M | 55.87%-20.37M | 13.87%-46.16M | -484.76%-53.6M | ---9.17M |
| Financing cash flow | ||||||||||
| Cash flow from continuing financing activities | 15.96%-68.72M | -8.71%-81.76M | -300.51%-75.21M | 139.18%37.51M | -148.57%-95.72M | 507.46%197.07M | -119.92%-48.37M | -1,280.52%-21.99M | 103.70%1.86M | -50.4M |
| Net issuance payments of debt | -86.29%9.6M | 33.56%70M | -47.59%52.41M | 2,172.11%100M | ---4.83M | --0 | -118.98%-4.3M | -41.52%22.68M | --38.77M | --0 |
| Net common stock issuance | 73.61%-232K | 90.09%-879K | -59.30%-8.87M | 39.24%-5.57M | -103.96%-9.16M | 7,598.07%231.64M | 131.05%3.01M | ---9.69M | ---- | ---- |
| Cash dividends paid | 59.69%-50.58M | -30.67%-125.48M | -155.56%-96.03M | 41.52%-37.58M | -236.69%-64.25M | 59.46%-19.08M | -34.33%-47.07M | -12.00%-35.04M | 34.82%-31.29M | ---48M |
| Net other financing activities | 45.86%-27.51M | -11.78%-50.81M | -17.45%-45.45M | -10.68%-38.7M | -12.95%-34.97M | ---30.96M | ---- | 101.14%64K | -134.33%-5.62M | ---2.4M |
| Cash from discontinued financing activities | ||||||||||
| Financing cash flow | 15.96%-68.72M | -8.71%-81.76M | -300.51%-75.21M | 139.18%37.51M | -148.57%-95.72M | 507.46%197.07M | -119.92%-48.37M | -1,280.52%-21.99M | 103.70%1.86M | ---50.4M |
| Net cash flow | ||||||||||
| Beginning cash position | -35.41%107.62M | -15.25%166.63M | -35.95%196.61M | -0.05%306.95M | 447.80%307.09M | 14.85%56.06M | 16.33%48.81M | 18.68%41.96M | -30.93%35.35M | --51.18M |
| Current changes in cash | 123.26%12.63M | -86.94%-54.29M | 74.10%-29.04M | -7,409.97%-112.14M | -99.39%1.53M | 4,113.57%251.47M | -6.41%5.97M | -9.87%6.38M | 144.99%7.08M | ---15.72M |
| Effect of exchange rate changes | 126.10%1.23M | -401.81%-4.71M | -152.31%-939K | 207.16%1.8M | -284.17%-1.68M | -134.01%-436K | 170.46%1.28M | 200.85%474K | -339.25%-470K | ---107K |
| End cash Position | 12.88%121.48M | -35.41%107.62M | -15.25%166.63M | -35.95%196.61M | -0.05%306.95M | 447.80%307.09M | 14.85%56.06M | 16.33%48.81M | 18.68%41.96M | --35.35M |
| Free cash from | 16.11%71.75M | -52.95%61.79M | 18.33%131.33M | 14.70%110.99M | 72.23%96.76M | 2.09%56.18M | 19.51%55.03M | 6.72%46.05M | 24.42%43.15M | --34.68M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |