Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SINOPEC CORP
00386
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 | -18.47%143.41M | -18.47%143.41M | 3.13%187.47M | 49.04%236.05M | -42.32%119.05M | -13.50%175.91M | -13.50%175.91M | -11.15%181.79M | 0.97%158.38M | 159.83%206.39M |
| -Cash and cash equivalents | -18.47%143.41M | -18.47%143.41M | 3.13%187.47M | 49.04%236.05M | -42.32%119.05M | -13.50%175.91M | -13.50%175.91M | -11.15%181.79M | 0.97%158.38M | 159.83%206.39M |
| Receivables | -5.85%203.8M | -5.85%203.8M | -30.49%176.85M | -23.43%223.54M | -21.84%222.71M | -29.25%216.45M | -29.25%216.45M | -20.05%254.42M | -9.78%291.95M | 8.43%284.92M |
| -Accounts receivable | -17.96%105.25M | -17.96%105.25M | -27.27%103.77M | 2.37%144.57M | 7.60%143.9M | -10.15%128.29M | -10.15%128.29M | -11.00%142.69M | -18.41%141.23M | 4.14%133.74M |
| -Notes receivable | 63.56%62.12M | 63.56%62.12M | 30.73%47.09M | 1.39%45.51M | 18.79%38.68M | 14.32%37.98M | 14.32%37.98M | 1.01%36.02M | -6.80%44.89M | -8.29%32.56M |
| -Taxes receivable | -17.68%17.67M | -17.68%17.67M | -70.91%13.23M | -78.88%15.9M | -81.77%17.46M | -79.04%21.46M | -79.04%21.46M | -55.36%45.48M | -15.61%75.3M | 17.48%95.8M |
| -Other receivables | -34.66%18.76M | -34.66%18.76M | -57.80%12.76M | -42.48%17.57M | -0.70%22.66M | 4.42%28.72M | 4.42%28.72M | 48.35%30.24M | 132.37%30.54M | 31.93%22.82M |
| Inventory | -33.15%483.22M | -33.15%483.22M | -23.74%523.29M | 10.32%777.92M | 6.75%816.03M | 9.96%722.8M | 9.96%722.8M | 4.16%686.17M | 11.02%705.16M | 6.72%764.42M |
| Holding assets for sale | --0 | --0 | 3,099.36%877.84M | --0 | --20.9M | --22.77M | --22.77M | 4,442.72%27.44M | 144.89%27.44M | --0 |
| Other current assets | -42.41%24.39M | -42.41%24.39M | -20.66%23.97M | 11.23%39.16M | -8.28%40.01M | -5.62%42.34M | -5.62%42.34M | 5.33%30.21M | -4.30%35.2M | -7.20%43.62M |
| Total current assets | -27.57%854.81M | -27.57%854.81M | 51.64%1.79B | 4.81%1.28B | -6.21%1.22B | -2.57%1.18B | -2.57%1.18B | -2.55%1.18B | 4.68%1.22B | 16.36%1.3B |
| Non current assets | ||||||||||
| Net PPE | -21.74%1.79B | -21.74%1.79B | -22.42%1.79B | -6.40%2.21B | -5.97%2.25B | -5.08%2.28B | -5.08%2.28B | -4.93%2.31B | -3.17%2.36B | -2.39%2.39B |
| -Gross PPE | -20.80%3.43B | -20.80%3.43B | -22.42%1.79B | -6.40%2.21B | -5.97%2.25B | 1.77%4.33B | 1.77%4.33B | -4.93%2.31B | -3.17%2.36B | -2.39%2.39B |
| -Accumulated depreciation | 19.74%-1.64B | 19.74%-1.64B | ---- | ---- | ---- | -10.67%-2.05B | -10.67%-2.05B | ---- | ---- | ---- |
| Investment properties | 30.68%55.66M | 30.68%55.66M | 62.87%56.59M | 82.73%63.49M | -25.47%42.59M | -25.47%42.59M | -25.47%42.59M | 78.27%34.74M | 556.91%34.74M | 980.43%57.14M |
| Investments and advances | 854.56%121.83M | 854.56%121.83M | -48.15%8.31M | -22.42%12.5M | -19.78%12.86M | -18.96%12.76M | -18.96%12.76M | -31.78%16.02M | -29.55%16.11M | -32.24%16.03M |
| -Long term equity investment | 14,463.46%113.6M | 14,463.46%113.6M | ---- | ---- | ---- | 8.18%780K | 8.18%780K | ---- | ---- | ---- |
| -Other investment | -31.28%8.24M | -31.28%8.24M | ---- | ---- | ---- | -20.26%11.98M | -20.26%11.98M | ---- | ---- | ---- |
| Goodwill and other intangible assets | -23.21%627.26M | -23.21%627.26M | -12.72%712M | -2.24%802.41M | -1.14%812.92M | -0.68%816.88M | -0.68%816.88M | -1.62%815.73M | -0.79%820.81M | -1.36%822.29M |
| -Goodwill | -18.85%387.35M | -18.85%387.35M | -18.85%387.35M | 0.00%477.35M | 0.00%477.35M | 0.00%477.35M | 0.00%477.35M | 0.00%477.35M | 0.00%477.35M | 0.00%477.35M |
| -Other intangible assets | -29.34%239.91M | -29.34%239.91M | -4.06%324.65M | -5.36%325.06M | -2.72%335.57M | -1.62%339.53M | -1.62%339.53M | -3.81%338.38M | -1.88%343.46M | -3.19%344.94M |
| Defined pension benefit | 125.49%50.58M | 125.49%50.58M | -25.99%24.2M | -86.73%15.5M | -16.45%27.2M | -16.26%22.43M | -16.26%22.43M | -31.50%32.7M | 135.01%116.8M | 96.14%32.56M |
| Non current deferred assets | -22.48%36.12M | -22.48%36.12M | 7.78%45.19M | 7.77%45.81M | 15.74%48.59M | 14.04%46.59M | 14.04%46.59M | -1.66%41.93M | 2.54%42.5M | -1.28%41.98M |
| Other non current assets | -67.36%8.13M | -67.36%8.13M | -11.01%19.05M | 6.08%23.62M | 7.33%23.94M | 11.56%24.92M | 11.56%24.92M | 124.87%21.41M | 131.97%22.27M | 141.82%22.3M |
| Total non current assets | -17.33%2.69B | -17.33%2.69B | -18.80%2.66B | -7.06%3.17B | -4.93%3.22B | -4.17%3.25B | -4.17%3.25B | -3.80%3.27B | 0.58%3.41B | 0.08%3.39B |
| Total assets | -20.06%3.54B | -20.06%3.54B | -0.14%4.45B | -3.94%4.45B | -5.29%4.44B | -3.75%4.43B | -3.75%4.43B | -3.47%4.45B | 1.63%4.63B | 4.12%4.69B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -93.98%20.55M | -93.98%20.55M | 9.10%370.38M | 14.80%391.38M | -22.55%341.9M | -22.20%341.38M | -22.20%341.38M | -22.29%339.49M | -21.83%340.92M | 1,047.29%441.47M |
| -Current debt | -99.30%2.1M | -99.30%2.1M | 16.99%351.86M | 17.08%351.67M | -24.79%302.01M | -24.77%301.48M | -24.77%301.48M | -24.56%300.77M | -24.60%300.37M | 35,434.34%401.54M |
| -Current capital lease obligation | -53.74%18.46M | -53.74%18.46M | -52.17%18.52M | -2.06%39.71M | -0.09%39.89M | 4.91%39.9M | 4.91%39.9M | 1.43%38.72M | 7.40%40.54M | 6.91%39.93M |
| Payables | 7.65%606.9M | 7.65%606.9M | 3.09%586.65M | 24.55%680.21M | -3.93%569.2M | 2.35%563.77M | 2.35%563.77M | -2.30%569.08M | 3.03%546.14M | -2.37%592.48M |
| -accounts payable | -8.30%514.59M | -8.30%514.59M | -10.53%507.11M | 15.53%628.26M | -7.15%548.44M | 2.32%561.18M | 2.32%561.18M | -2.56%566.76M | 2.90%543.79M | -2.49%590.7M |
| -Total tax payable | 3,457.38%92.31M | 3,457.38%92.31M | 3,331.49%79.54M | 2,109.91%51.96M | 1,060.63%20.75M | 8.94%2.6M | 8.94%2.6M | 178.27%2.32M | 46.94%2.35M | 62.55%1.79M |
| Current provisions | -28.44%10.36M | -28.44%10.36M | -18.88%6.81M | -5.08%9.18M | 72.24%11.34M | 47.09%14.48M | 47.09%14.48M | -41.88%8.39M | -59.42%9.67M | -81.76%6.59M |
| Current deferred liabilities | -2.63%16.88M | -2.63%16.88M | ---- | ---- | ---- | 20.47%17.33M | 20.47%17.33M | ---- | ---- | ---- |
| Other current liabilities | -67.17%6.65M | -67.17%6.65M | 1,229.95%256.64M | 17.43%29.34M | 36.67%34.88M | 8.97%20.25M | 8.97%20.25M | 32.25%19.3M | 38.83%24.99M | -40.00%25.52M |
| Current liabilities | -30.91%661.34M | -30.91%661.34M | 30.36%1.22B | 20.44%1.11B | -10.20%957.32M | -7.28%957.22M | -7.28%957.22M | -10.69%936.26M | -8.57%921.72M | 47.24%1.07B |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -21.22%1.21B | -21.22%1.21B | -21.97%1.27B | -21.48%1.37B | -10.05%1.51B | -9.10%1.54B | -9.10%1.54B | -5.07%1.63B | 2.10%1.74B | -11.25%1.68B |
| -Long term debt | -18.27%1.14B | -18.27%1.14B | -19.47%1.19B | -22.29%1.23B | -10.27%1.37B | -10.30%1.39B | -10.30%1.39B | -6.16%1.48B | 0.98%1.58B | -12.98%1.53B |
| -Long term capital lease obligation | -48.97%75.46M | -48.97%75.46M | -46.86%78.75M | -13.28%136.63M | -7.86%142.7M | 3.94%147.89M | 3.94%147.89M | 7.47%148.21M | 14.98%157.55M | 10.38%154.86M |
| Long term provisions | -30.50%2.72M | -30.50%2.72M | 30.41%2.6M | 56.26%3.12M | 35.89%2.77M | 91.67%3.91M | 91.67%3.91M | -12.28%1.99M | -12.41%2M | -43.90%2.04M |
| Employee benefits | -10.08%56.11M | -10.08%56.11M | -1.37%60.59M | 1.71%61.84M | 0.19%62.35M | -2.81%62.4M | -2.81%62.4M | 4.47%61.43M | -5.38%60.8M | -5.66%62.23M |
| Non current deferred liabilities | -12.58%284.22M | -12.58%284.22M | -17.69%256.09M | -4.93%313.94M | 1.43%322.53M | 9.77%325.14M | 9.77%325.14M | 27.77%311.15M | 47.96%330.23M | 45.26%317.98M |
| Other non current liabilities | -11.83%4.59M | -11.83%4.59M | -17.79%5.48M | 325.11%4.96M | 442.51%6.52M | 363.08%5.21M | 363.08%5.21M | 603.69%6.67M | 25.75%1.17M | -45.29%1.2M |
| Total non current liabilities | -19.40%1.56B | -19.40%1.56B | -20.61%1.59B | -17.99%1.75B | -7.67%1.91B | -5.88%1.94B | -5.88%1.94B | -0.55%2.01B | 6.99%2.13B | -5.51%2.07B |
| Total liabilities | -23.21%2.22B | -23.21%2.22B | -4.40%2.81B | -6.40%2.86B | -8.53%2.86B | -6.35%2.89B | -6.35%2.89B | -4.02%2.94B | 1.77%3.05B | 7.61%3.13B |
| Shareholders'equity | ||||||||||
| Share capital | 3.63%930.41M | 3.63%930.41M | 4.27%930.51M | 1.96%904.23M | 2.51%900.87M | 2.79%897.84M | 2.79%897.84M | 3.00%892.41M | 3.24%886.88M | 3.32%878.85M |
| -common stock | 3.63%930.41M | 3.63%930.41M | 4.27%930.51M | 1.96%904.23M | 2.51%900.87M | 2.79%897.84M | 2.79%897.84M | 3.00%892.41M | 3.24%886.88M | 3.32%878.85M |
| Additional paid-in capital | -4.26%11.95M | -4.26%11.95M | 82.35%15.84M | 107.43%14.05M | 160.12%20.16M | 286.80%12.48M | 286.80%12.48M | 419.81%8.69M | --6.77M | 154.35%7.75M |
| Retained earnings | -41.59%343.11M | -41.59%343.11M | 14.65%651.16M | -1.37%631.84M | -2.74%611.33M | -1.68%587.39M | -1.68%587.39M | -13.00%567.98M | -4.66%640.59M | -13.72%628.55M |
| Less: Treasury stock | 58.53%5.44M | 58.53%5.44M | -81.58%632K | -81.58%632K | -52.23%3.43M | -52.23%3.43M | -52.23%3.43M | -52.23%3.43M | -52.23%3.43M | -72.28%7.18M |
| Gains losses not affecting retained earnings | -6.89%40.96M | -6.89%40.96M | -17.41%36.78M | -12.62%38.64M | -3.26%43.83M | -8.02%43.99M | -8.02%43.99M | 33.09%44.53M | 46.67%44.22M | 36.79%45.31M |
| Total stockholders'equity | -14.13%1.32B | -14.13%1.32B | 8.18%1.63B | 0.83%1.59B | 1.25%1.57B | 1.55%1.54B | 1.55%1.54B | -2.40%1.51B | 1.36%1.58B | -2.27%1.55B |
| Total equity | -14.13%1.32B | -14.13%1.32B | 8.18%1.63B | 0.83%1.59B | 1.25%1.57B | 1.55%1.54B | 1.55%1.54B | -2.40%1.51B | 1.36%1.58B | -2.27%1.55B |
| 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.