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 | -7.16%20.4M | -7.16%20.4M | 101.81%21.97M | 101.81%21.97M | -71.50%10.89M | -71.50%10.89M | 4.82%38.2M | 4.82%38.2M | 55.69%36.44M | 55.69%36.44M |
| -Cash and cash equivalents | -74.16%4.35M | -74.16%4.35M | 79.21%16.83M | 79.21%16.83M | -74.34%9.39M | -74.34%9.39M | 5.67%36.61M | 5.67%36.61M | 50.87%34.64M | 50.87%34.64M |
| -Short term investments | 212.31%16.05M | 212.31%16.05M | 243.82%5.14M | 243.82%5.14M | -5.95%1.49M | -5.95%1.49M | -11.59%1.59M | -11.59%1.59M | 305.05%1.8M | 305.05%1.8M |
| Receivables | -22.37%6.92M | -22.37%6.92M | -4.26%8.91M | -4.26%8.91M | -70.25%9.31M | -70.25%9.31M | -4.74%31.3M | -4.74%31.3M | 168.23%32.86M | 168.23%32.86M |
| -Accounts receivable | -45.53%1.79M | -45.53%1.79M | 111.25%3.28M | 111.25%3.28M | -13.12%1.55M | -13.12%1.55M | 52.79%1.79M | 52.79%1.79M | 44.68%1.17M | 44.68%1.17M |
| -Other receivables | -7.55%5.21M | -7.55%5.21M | -27.66%5.64M | -27.66%5.64M | -73.63%7.79M | -73.63%7.79M | -6.86%29.54M | -6.86%29.54M | 175.77%31.71M | 175.77%31.71M |
| -Recievables adjustments allowances | ---75K | ---75K | ---- | ---- | -52.25%-30.45K | -52.25%-30.45K | 1.23%-20K | 1.23%-20K | 64.47%-20.25K | 64.47%-20.25K |
| Inventory | ---- | ---- | ---- | ---- | ---- | ---- | -18.14%30.5K | -18.14%30.5K | 441.95%37.26K | 441.95%37.26K |
| Prepaid assets | 35.49%1.24M | 35.49%1.24M | -14.53%918.6K | -14.53%918.6K | 26.64%1.07M | 26.64%1.07M | -3.70%848.73K | -3.70%848.73K | 0.41%881.33K | 0.41%881.33K |
| Hedging assets-current | -69.25%440.23K | -69.25%440.23K | -41.84%1.43M | -41.84%1.43M | -25.77%2.46M | -25.77%2.46M | -63.96%3.32M | -63.96%3.32M | 214.27%9.2M | 214.27%9.2M |
| Holding assets for sale | ---- | ---- | -94.30%2.44M | -94.30%2.44M | --42.86M | --42.86M | ---- | ---- | ---- | ---- |
| Other current assets | 121.79%5.48M | 121.79%5.48M | -88.45%2.47M | -88.45%2.47M | 221.33%21.4M | 221.33%21.4M | -14.59%6.66M | -14.59%6.66M | -17.44%7.8M | -17.44%7.8M |
| Total current assets | -9.61%34.49M | -9.61%34.49M | -56.64%38.15M | -56.64%38.15M | 9.51%88M | 9.51%88M | -7.87%80.35M | -7.87%80.35M | 78.31%87.22M | 78.31%87.22M |
| Non current assets | ||||||||||
| Net PPE | 491.80%3.54M | 491.80%3.54M | -75.88%598.71K | -75.88%598.71K | -18.27%2.48M | -18.27%2.48M | -17.14%3.04M | -17.14%3.04M | -18.14%3.67M | -18.14%3.67M |
| -Gross PPE | 491.80%3.54M | 491.80%3.54M | -93.10%598.71K | -93.10%598.71K | -24.87%8.67M | -24.87%8.67M | 5.29%11.54M | 5.29%11.54M | 14.05%10.96M | 14.05%10.96M |
| -Accumulated depreciation | ---- | ---- | ---- | ---- | 27.22%-6.19M | 27.22%-6.19M | -16.57%-8.5M | -16.57%-8.5M | -42.13%-7.3M | -42.13%-7.3M |
| Investments and advances | 0.41%10.7M | 0.41%10.7M | 1,716.38%10.65M | 1,716.38%10.65M | 646.78%586.58K | 646.78%586.58K | -30.84%78.55K | -30.84%78.55K | 2.73%113.57K | 2.73%113.57K |
| -Long term equity investment | 0.41%10.7M | 0.41%10.7M | --10.65M | --10.65M | ---- | ---- | -68.30%16.25K | -68.30%16.25K | --51.25K | --51.25K |
| -Other investment | ---- | ---- | 1,716.38%10.65M | 1,716.38%10.65M | 841.51%586.58K | 841.51%586.58K | -0.03%62.3K | -0.03%62.3K | -43.62%62.32K | -43.62%62.32K |
| Financial assets | 269.30%4.59M | 269.30%4.59M | -26.73%1.24M | -26.73%1.24M | -75.91%1.69M | -75.91%1.69M | -46.19%7.04M | -46.19%7.04M | 34.85%13.07M | 34.85%13.07M |
| Goodwill and other intangible assets | -36.98%15.78M | -36.98%15.78M | -21.71%25.04M | -21.71%25.04M | -10.30%31.98M | -10.30%31.98M | 26.25%35.65M | 26.25%35.65M | 16.14%28.24M | 16.14%28.24M |
| -Goodwill | -44.54%5.76M | -44.54%5.76M | -38.08%10.38M | -38.08%10.38M | -4.52%16.76M | -4.52%16.76M | 57.13%17.56M | 57.13%17.56M | 3.24%11.17M | 3.24%11.17M |
| -Other intangible assets | -31.63%10.02M | -31.63%10.02M | -3.68%14.66M | -3.68%14.66M | -15.91%15.22M | -15.91%15.22M | 6.03%18.1M | 6.03%18.1M | 26.48%17.07M | 26.48%17.07M |
| Non current deferred assets | 5.60%2.87M | 5.60%2.87M | -72.79%2.71M | -72.79%2.71M | 66.25%9.98M | 66.25%9.98M | -0.93%6M | -0.93%6M | -16.66%6.06M | -16.66%6.06M |
| Other non current assets | 9.31%1.08M | 9.31%1.08M | -3.04%987.86K | -3.04%987.86K | -71.21%1.02M | -71.21%1.02M | -12.43%3.54M | -12.43%3.54M | -37.83%4.04M | -37.83%4.04M |
| Total non current assets | -6.51%38.55M | -6.51%38.55M | -13.62%41.24M | -13.62%41.24M | -13.74%47.74M | -13.74%47.74M | 0.27%55.34M | 0.27%55.34M | 5.39%55.19M | 5.39%55.19M |
| Total assets | -8.00%73.04M | -8.00%73.04M | -41.51%79.39M | -41.51%79.39M | 0.03%135.74M | 0.03%135.74M | -4.71%135.7M | -4.71%135.7M | 40.61%142.41M | 40.61%142.41M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 317.39%1.6M | 317.39%1.6M | -74.20%383.43K | -74.20%383.43K | 5.99%1.49M | 5.99%1.49M | 27.14%1.4M | 27.14%1.4M | -18.00%1.1M | -18.00%1.1M |
| -Current debt | --809K | --809K | ---- | ---- | 0.98%495.59K | 0.98%495.59K | 54.70%490.78K | 54.70%490.78K | -52.11%317.25K | -52.11%317.25K |
| -Current capital lease obligation | 106.41%791.43K | 106.41%791.43K | -61.28%383.43K | -61.28%383.43K | 8.68%990.34K | 8.68%990.34K | 16.01%911.23K | 16.01%911.23K | 15.11%785.5K | 15.11%785.5K |
| Payables | -2.03%6.67M | -2.03%6.67M | -80.60%6.81M | -80.60%6.81M | -27.50%35.1M | -27.50%35.1M | -5.13%48.41M | -5.13%48.41M | 128.01%51.03M | 128.01%51.03M |
| -accounts payable | 9.65%607.09K | 9.65%607.09K | -70.48%553.68K | -70.48%553.68K | -95.43%1.88M | -95.43%1.88M | -8.65%41.07M | -8.65%41.07M | 6,409.19%44.96M | 6,409.19%44.96M |
| -Other payable | -3.06%6.07M | -3.06%6.07M | -81.17%6.26M | -81.17%6.26M | 352.63%33.22M | 352.63%33.22M | 21.00%7.34M | 21.00%7.34M | -72.03%6.07M | -72.03%6.07M |
| Current provisions | -69.25%440.23K | -69.25%440.23K | -41.84%1.43M | -41.84%1.43M | -25.77%2.46M | -25.77%2.46M | -63.96%3.32M | -63.96%3.32M | 214.27%9.2M | 214.27%9.2M |
| Pension and other retirement benefit plans | -14.26%934.44K | -14.26%934.44K | -20.36%1.09M | -20.36%1.09M | -26.80%1.37M | -26.80%1.37M | 28.60%1.87M | 28.60%1.87M | 99.82%1.45M | 99.82%1.45M |
| Current deferred liabilities | -14.54%3.21M | -14.54%3.21M | -65.88%3.75M | -65.88%3.75M | 14.81%10.99M | 14.81%10.99M | -19.89%9.57M | -19.89%9.57M | -12.11%11.95M | -12.11%11.95M |
| Other current liabilities | -90.05%450K | -90.05%450K | -86.19%4.52M | -86.19%4.52M | 942.58%32.74M | 942.58%32.74M | 124.30%3.14M | 124.30%3.14M | 46.18%1.4M | 46.18%1.4M |
| Current liabilities | -26.04%13.3M | -26.04%13.3M | -78.62%17.99M | -78.62%17.99M | 24.27%84.15M | 24.27%84.15M | -11.07%67.71M | -11.07%67.71M | 81.56%76.14M | 81.56%76.14M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | 637.86%2.37M | 637.86%2.37M | -88.09%321.21K | -88.09%321.21K | 76.83%2.7M | 76.83%2.7M | -30.46%1.53M | -30.46%1.53M | -25.63%2.19M | -25.63%2.19M |
| -Long term debt | ---- | ---- | ---- | ---- | --1.75M | --1.75M | ---- | ---- | ---- | ---- |
| -Long term capital lease obligation | 637.86%2.37M | 637.86%2.37M | -66.11%321.21K | -66.11%321.21K | -37.87%947.9K | -37.87%947.9K | -30.46%1.53M | -30.46%1.53M | -25.63%2.19M | -25.63%2.19M |
| Derivative product liabilities | 269.30%4.59M | 269.30%4.59M | -26.73%1.24M | -26.73%1.24M | -75.91%1.69M | -75.91%1.69M | -46.19%7.04M | -46.19%7.04M | 34.85%13.07M | 34.85%13.07M |
| Employee benefits | 6.55%120.38K | 6.55%120.38K | -18.54%112.98K | -18.54%112.98K | -11.07%138.68K | -11.07%138.68K | -45.98%155.95K | -45.98%155.95K | 192.08%288.69K | 192.08%288.69K |
| Non current deferred liabilities | 60.47%4.17M | 60.47%4.17M | -35.25%2.6M | -35.25%2.6M | -50.69%4.02M | -50.69%4.02M | -0.33%8.15M | -0.33%8.15M | -36.55%8.17M | -36.55%8.17M |
| Other non current liabilities | ---- | ---- | --450K | --450K | ---- | ---- | 92.92%2.75M | 92.92%2.75M | 196.96%1.42M | 196.96%1.42M |
| Total non current liabilities | 138.00%11.25M | 138.00%11.25M | -44.70%4.73M | -44.70%4.73M | -56.41%8.55M | -56.41%8.55M | -22.04%19.61M | -22.04%19.61M | -3.64%25.15M | -3.64%25.15M |
| Total liabilities | 8.10%24.55M | 8.10%24.55M | -75.50%22.71M | -75.50%22.71M | 6.15%92.69M | 6.15%92.69M | -13.79%87.32M | -13.79%87.32M | 48.87%101.29M | 48.87%101.29M |
| Shareholders'equity | ||||||||||
| Share capital | -5.24%48.89M | -5.24%48.89M | -4.22%51.59M | -4.22%51.59M | -1.14%53.87M | -1.14%53.87M | 5.76%54.49M | 5.76%54.49M | 6.24%51.52M | 6.24%51.52M |
| -common stock | -5.24%48.89M | -5.24%48.89M | -4.22%51.59M | -4.22%51.59M | -1.14%53.87M | -1.14%53.87M | 5.76%54.49M | 5.76%54.49M | 6.24%51.52M | 6.24%51.52M |
| Retained earnings | -120.98%-950.86K | -120.98%-950.86K | 138.96%4.53M | 138.96%4.53M | -70.28%-11.64M | -70.28%-11.64M | 38.83%-6.83M | 38.83%-6.83M | 28.81%-11.17M | 28.81%-11.17M |
| Gains losses not affecting retained earnings | 0.00%548.12K | 0.00%548.12K | -32.33%548.12K | -32.33%548.12K | 12.90%810.03K | 12.90%810.03K | -6.24%717.47K | -6.24%717.47K | 76.09%765.22K | 76.09%765.22K |
| Total stockholders'equity | -14.45%48.49M | -14.45%48.49M | 31.67%56.68M | 31.67%56.68M | -11.02%43.04M | -11.02%43.04M | 17.65%48.38M | 17.65%48.38M | 23.70%41.12M | 23.70%41.12M |
| Total equity | -14.45%48.49M | -14.45%48.49M | 31.67%56.68M | 31.67%56.68M | -11.02%43.04M | -11.02%43.04M | 17.65%48.38M | 17.65%48.38M | 23.70%41.12M | 23.70%41.12M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |