Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
SINOPEC CORP
00386
| (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 | -4.69%40.2M | -4.69%40.2M | -92.37%42.18M | -92.37%42.18M | 6.43%552.99M | 6.43%552.99M | 88.15%519.6M | 88.15%519.6M | 91.33%276.16M | 91.33%276.16M |
| -Cash and cash equivalents | -4.69%40.2M | -4.69%40.2M | -80.11%42.18M | -80.11%42.18M | -59.19%212.05M | -59.19%212.05M | 88.15%519.6M | 88.15%519.6M | 91.33%276.16M | 91.33%276.16M |
| -Short term investments | ---- | ---- | ---- | ---- | --340.94M | --340.94M | ---- | ---- | ---- | ---- |
| Receivables | -59.31%693K | -59.31%693K | -18.32%1.7M | -18.32%1.7M | -40.67%2.09M | -40.67%2.09M | 87.47%3.51M | 87.47%3.51M | 588.73%1.87M | 588.73%1.87M |
| -Accounts receivable | ---- | ---- | --701K | --701K | ---- | ---- | 192.09%1.05M | 192.09%1.05M | --360.84K | --360.84K |
| -Other receivables | -30.84%693K | -30.84%693K | -51.94%1M | -51.94%1M | -15.24%2.09M | -15.24%2.09M | 62.53%2.46M | 62.53%2.46M | 456.14%1.51M | 456.14%1.51M |
| Prepaid assets | -28.85%3.42M | -28.85%3.42M | -0.99%4.8M | -0.99%4.8M | -93.92%4.85M | -93.92%4.85M | 114.26%79.73M | 114.26%79.73M | 2,419.18%37.21M | 2,419.18%37.21M |
| Total current assets | -8.98%44.31M | -8.98%44.31M | -91.31%48.68M | -91.31%48.68M | -7.12%559.93M | -7.12%559.93M | 91.23%602.84M | 91.23%602.84M | 115.79%315.24M | 115.79%315.24M |
| Non current assets | ||||||||||
| Net PPE | -25.20%1.68M | -25.20%1.68M | -43.14%2.25M | -43.14%2.25M | -83.62%3.96M | -83.62%3.96M | 43.30%24.16M | 43.30%24.16M | 45.67%16.86M | 45.67%16.86M |
| -Gross PPE | -7.50%4.62M | -7.50%4.62M | -22.32%5M | -22.32%5M | -78.60%6.43M | -78.60%6.43M | 52.49%30.07M | 52.49%30.07M | 36.50%19.72M | 36.50%19.72M |
| -Accumulated depreciation | -6.99%-2.94M | -6.99%-2.94M | -10.94%-2.75M | -10.94%-2.75M | 58.07%-2.48M | 58.07%-2.48M | -106.72%-5.91M | -106.72%-5.91M | 0.49%-2.86M | 0.49%-2.86M |
| Investments and advances | 0.52%578K | 0.52%578K | -54.44%575K | -54.44%575K | -98.96%1.26M | -98.96%1.26M | -18.80%121.62M | -18.80%121.62M | 8,567.72%149.78M | 8,567.72%149.78M |
| -Other investment | 0.52%578K | 0.52%578K | -54.44%575K | -54.44%575K | -98.96%1.26M | -98.96%1.26M | -18.80%121.62M | -18.80%121.62M | 8,567.72%149.78M | 8,567.72%149.78M |
| Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | --1.19M | --1.19M | ---- | ---- |
| Goodwill and other intangible assets | -12.26%26.64M | -12.26%26.64M | -27.06%30.36M | -27.06%30.36M | -80.41%41.62M | -80.41%41.62M | 49.02%212.46M | 49.02%212.46M | 151.09%142.57M | 151.09%142.57M |
| -Goodwill | ---- | ---- | ---- | ---- | ---- | ---- | -4.47%35.07M | -4.47%35.07M | --36.71M | --36.71M |
| -Other intangible assets | -12.26%26.64M | -12.26%26.64M | -27.06%30.36M | -27.06%30.36M | -76.54%41.62M | -76.54%41.62M | 67.57%177.4M | 67.57%177.4M | 86.44%105.87M | 86.44%105.87M |
| Other non current assets | ---1K | ---1K | ---- | ---- | ---- | ---- | -31.04%101.82M | -31.04%101.82M | 7,382,266,400.00%147.65M | 7,382,266,400.00%147.65M |
| Total non current assets | -12.92%28.9M | -12.92%28.9M | -29.15%33.19M | -29.15%33.19M | -89.84%46.84M | -89.84%46.84M | 0.96%461.25M | 0.96%461.25M | 551.87%456.86M | 551.87%456.86M |
| Total assets | -10.58%73.21M | -10.58%73.21M | -86.51%81.87M | -86.51%81.87M | -42.98%606.77M | -42.98%606.77M | 37.82%1.06B | 37.82%1.06B | 257.17%772.1M | 257.17%772.1M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -37.83%419K | -37.83%419K | -49.70%674K | -49.70%674K | -70.28%1.34M | -70.28%1.34M | 73.18%4.51M | 73.18%4.51M | 197.56%2.6M | 197.56%2.6M |
| -Current capital lease obligation | -37.83%419K | -37.83%419K | -49.70%674K | -49.70%674K | -70.28%1.34M | -70.28%1.34M | 73.18%4.51M | 73.18%4.51M | 197.56%2.6M | 197.56%2.6M |
| Payables | 1.67%41.13M | 1.67%41.13M | -31.53%40.46M | -31.53%40.46M | 27.96%59.09M | 27.96%59.09M | 17.19%46.18M | 17.19%46.18M | 169.08%39.4M | 169.08%39.4M |
| -accounts payable | -16.43%11.15M | -16.43%11.15M | 73.24%13.35M | 73.24%13.35M | 9.40%7.7M | 9.40%7.7M | 14.04%7.04M | 14.04%7.04M | -17.42%6.17M | -17.42%6.17M |
| -Other payable | 10.57%29.98M | 10.57%29.98M | -47.23%27.11M | -47.23%27.11M | 31.30%51.39M | 31.30%51.39M | 17.78%39.14M | 17.78%39.14M | 363.64%33.23M | 363.64%33.23M |
| Current provisions | 10.68%518K | 10.68%518K | -97.91%468K | -97.91%468K | 325.84%22.34M | 325.84%22.34M | 1,225.73%5.25M | 1,225.73%5.25M | -78.00%395.78K | -78.00%395.78K |
| Pension and other retirement benefit plans | 9.57%3.23M | 9.57%3.23M | -9.29%2.95M | -9.29%2.95M | -24.31%3.25M | -24.31%3.25M | 65.03%4.29M | 65.03%4.29M | 107.16%2.6M | 107.16%2.6M |
| Current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | 541.19%1.28M | 541.19%1.28M | -54.01%199.94K | -54.01%199.94K |
| Other current liabilities | 24.92%19.67M | 24.92%19.67M | -4.13%15.75M | -4.13%15.75M | -68.39%16.43M | -68.39%16.43M | 46.16%51.97M | 46.16%51.97M | 377.81%35.56M | 377.81%35.56M |
| Current liabilities | 7.75%64.97M | 7.75%64.97M | -41.14%60.3M | -41.14%60.3M | -9.72%102.45M | -9.72%102.45M | 40.51%113.48M | 40.51%113.48M | 205.33%80.76M | 205.33%80.76M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -11.20%1.4M | -11.20%1.4M | -30.21%1.57M | -30.21%1.57M | -97.58%2.25M | -97.58%2.25M | 9.15%92.9M | 9.15%92.9M | 941.97%85.11M | 941.97%85.11M |
| -Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | 4.77%79.71M | 4.77%79.71M | --76.08M | --76.08M |
| -Long term capital lease obligation | -11.20%1.4M | -11.20%1.4M | -30.21%1.57M | -30.21%1.57M | -82.94%2.25M | -82.94%2.25M | 45.99%13.19M | 45.99%13.19M | 10.62%9.04M | 10.62%9.04M |
| Long term provisions | 0.00%19K | 0.00%19K | -69.35%19K | -69.35%19K | -84.65%62K | -84.65%62K | --404K | --404K | ---- | ---- |
| Employee benefits | 13.45%818K | 13.45%818K | 30.85%721K | 30.85%721K | 45.77%551K | 45.77%551K | 100.35%378K | 100.35%378K | 125.48%188.67K | 125.48%188.67K |
| Non current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | 89.84%18.18M | 89.84%18.18M | --9.58M | --9.58M |
| Other non current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | 2,416.96%16.79M | 2,416.96%16.79M | -84.65%667K | -84.65%667K |
| Total non current liabilities | -3.42%2.23M | -3.42%2.23M | -19.31%2.31M | -19.31%2.31M | -97.77%2.86M | -97.77%2.86M | 34.65%128.65M | 34.65%128.65M | 658.49%95.55M | 658.49%95.55M |
| Total liabilities | 7.34%67.21M | 7.34%67.21M | -40.55%62.61M | -40.55%62.61M | -56.50%105.31M | -56.50%105.31M | 37.33%242.13M | 37.33%242.13M | 351.53%176.31M | 351.53%176.31M |
| Shareholders'equity | ||||||||||
| Share capital | 0.38%813.67M | 0.38%813.67M | -32.70%810.59M | -32.70%810.59M | 0.61%1.2B | 0.61%1.2B | 79.70%1.2B | 79.70%1.2B | 154.48%666.13M | 154.48%666.13M |
| -common stock | 0.38%813.67M | 0.38%813.67M | -32.70%810.59M | -32.70%810.59M | 0.61%1.2B | 0.61%1.2B | 79.70%1.2B | 79.70%1.2B | 154.48%666.13M | 154.48%666.13M |
| Retained earnings | -2.17%-853.05M | -2.17%-853.05M | -5.34%-834.9M | -5.34%-834.9M | -44.39%-792.58M | -44.39%-792.58M | -95.61%-548.9M | -95.61%-548.9M | -200.18%-280.61M | -200.18%-280.61M |
| Gains losses not affecting retained earnings | 4.17%45.38M | 4.17%45.38M | -51.42%43.57M | -51.42%43.57M | 1.62%89.68M | 1.62%89.68M | 40.90%88.25M | 40.90%88.25M | 607.73%62.63M | 607.73%62.63M |
| Total stockholders'equity | -68.84%6M | -68.84%6M | -96.16%19.26M | -96.16%19.26M | -31.90%501.46M | -31.90%501.46M | 64.31%736.36M | 64.31%736.36M | 153.01%448.15M | 153.01%448.15M |
| Total equity | -68.84%6M | -68.84%6M | -96.16%19.26M | -96.16%19.26M | -31.90%501.46M | -31.90%501.46M | 64.31%736.36M | 64.31%736.36M | 153.01%448.15M | 153.01%448.15M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |