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 | -6.99%6.65B | -6.99%6.65B | 128.10%6.97B | 153.42%7.66B | -10.15%7.09B | 18.56%7.15B | 18.56%7.15B | 28.45%3.06B | 15.59%3.02B | 183.94%7.9B |
| -Cash and cash equivalents | 4.12%5.64B | 4.12%5.64B | 80.25%5.51B | 98.76%6.01B | -34.62%5.16B | -10.16%5.41B | -10.16%5.41B | 28.45%3.06B | 15.59%3.02B | 183.94%7.9B |
| -Short-term investments | -41.76%1.01B | -41.76%1.01B | --1.46B | --1.65B | --1.93B | --1.73B | --1.73B | ---- | ---- | ---- |
| Receivables | 0.27%7.37B | 0.27%7.37B | 63.30%7.22B | 52.88%7.11B | 53.12%7.5B | 50.03%7.35B | 50.03%7.35B | -15.24%4.42B | -11.89%4.65B | -9.46%4.9B |
| -Accounts receivable | -8.25%5.04B | -8.25%5.04B | 29.04%5.16B | 24.39%5.26B | 20.64%5.4B | 22.43%5.5B | 22.43%5.5B | -15.81%4B | -11.30%4.23B | -9.29%4.48B |
| -Loans receivable | --0 | --0 | --0 | -86.22%1.55M | --5.2M | -58.33%6.25M | -58.33%6.25M | --8.25M | --11.25M | --0 |
| -Taxes receivable | 35.47%2.16B | 35.47%2.16B | --1.86B | --1.58B | 176,655,100.00%1.77B | 628.71%1.6B | 628.71%1.6B | --0 | --0 | -100.00%1K |
| -Due from related parties current | -72.57%996K | -72.57%996K | -48.63%3.82M | 65.59%5.03M | -74.17%8.9M | -43.84%3.63M | -43.84%3.63M | -1.82%7.44M | -66.14%3.04M | 607.62%34.46M |
| -Other receivables | -32.88%171.19M | -32.88%171.19M | -54.42%187.47M | -37.55%258.58M | -19.17%319.28M | 41.49%255.03M | 41.49%255.03M | -8.42%411.34M | -2.35%414.02M | -1.34%395M |
| -Recievables adjustments allowances | 58.74%-460K | 58.74%-460K | 94.31%-411K | 90.38%-706K | 93.67%-476K | 85.03%-1.12M | 85.03%-1.12M | 6.02%-7.22M | 42.93%-7.34M | 45.77%-7.52M |
| Inventory | -8.02%3.61B | -8.02%3.61B | 23.61%3.99B | 9.81%4.18B | 8.07%4.17B | 3.40%3.93B | 3.40%3.93B | -30.03%3.23B | -38.60%3.81B | -47.85%3.86B |
| Prepaid assets | -0.92%390.4M | -0.92%390.4M | 119.55%249.5M | 278.75%623.79M | 53.15%422.18M | 135.79%394.03M | 135.79%394.03M | -45.64%113.64M | -9.15%164.7M | 26.66%275.66M |
| Restricted cash | --0 | --0 | --0 | --0 | 455.01%561.85M | --988.68M | --988.68M | ---- | ---- | -1,374.82%-158.26M |
| Other current assets | -2.04%646.79M | -2.04%646.79M | 121.71%1.03B | 87.31%613.38M | 94.41%703.02M | 161.17%660.29M | 161.17%660.29M | 29.94%465.35M | 38.63%327.47M | 18.01%361.63M |
| Total current assets | -8.90%18.7B | -8.90%18.7B | 72.11%19.49B | 68.32%20.24B | 19.41%20.51B | 35.21%20.53B | 35.21%20.53B | -11.38%11.32B | -17.13%12.03B | 6.53%17.18B |
| Non current assets | ||||||||||
| Net PPE | -0.54%35.08B | -0.54%35.08B | 37.23%34.66B | 30.31%34.33B | 30.20%34.85B | 34.29%35.27B | 34.29%35.27B | -7.87%25.26B | -6.16%26.34B | -3.47%26.77B |
| -Gross PP&E | -0.29%88.92B | -0.29%88.92B | 37.23%34.66B | 30.31%34.33B | 30.20%34.85B | 18.12%89.19B | 18.12%89.19B | -7.87%25.26B | -6.16%26.34B | -3.47%26.77B |
| -Accumulated depreciation | 0.14%-53.85B | 0.14%-53.85B | ---- | ---- | ---- | -9.50%-53.92B | -9.50%-53.92B | ---- | ---- | ---- |
| Investments and advances | -3.42%1.95B | -3.42%1.95B | -62.24%2.05B | -64.54%2.04B | -62.93%2.11B | -62.67%2.02B | -62.67%2.02B | -8.55%5.43B | -2.52%5.75B | -3.60%5.69B |
| -Long term equity investment | -3.42%1.95B | -3.42%1.95B | -62.24%2.05B | -64.54%2.04B | -62.93%2.11B | -62.67%2.02B | -62.67%2.02B | -8.55%5.43B | -2.52%5.75B | -3.60%5.69B |
| Non current note receivables | --0 | --0 | --0 | --0 | --8.49M | --8.51M | --8.51M | ---- | ---- | ---- |
| Non current prepaid assets | ---- | ---- | ---- | ---- | ---- | --5.36B | --5.36B | ---- | ---- | ---- |
| Goodwill and other intangible assets | -9.41%19.13B | -9.41%19.13B | -0.23%19.49B | -6.97%19.9B | -3.52%20.97B | 2.77%21.12B | 2.77%21.12B | -10.41%19.53B | -3.32%21.39B | 2.48%21.74B |
| -Goodwill | -10.23%11.7B | -10.23%11.7B | -5.93%11.95B | -13.25%12.18B | -9.34%12.93B | -3.23%13.03B | -3.23%13.03B | -11.52%12.7B | -3.10%14.04B | 3.07%14.26B |
| -Other intangible assets | -8.09%7.43B | -8.09%7.43B | 10.37%7.54B | 5.04%7.72B | 7.59%8.04B | 14.18%8.09B | 14.18%8.09B | -8.27%6.83B | -3.74%7.35B | 1.38%7.48B |
| Non current deferred assets | -14.17%1.11B | -14.17%1.11B | -4.67%1.18B | 7.50%1.29B | 15.74%1.4B | 5.92%1.3B | 5.92%1.3B | -6.23%1.24B | -13.55%1.2B | -12.61%1.21B |
| Other non current assets | -3.82%690.42M | -3.82%690.42M | 87.82%710.22M | 87.38%766.45M | 25.97%708.24M | 31.63%717.83M | 31.63%717.83M | -10.79%378.14M | -5.51%409.04M | 31.25%562.23M |
| Total non current assets | -4.04%58.57B | -4.04%58.57B | 12.13%58.69B | 5.98%58.93B | 7.40%60.65B | 11.96%61.03B | 11.96%61.03B | -8.86%52.34B | -4.79%55.61B | -1.15%56.48B |
| Total assets | -5.27%77.27B | -5.27%77.27B | 22.80%78.17B | 17.06%79.18B | 10.20%81.16B | 17.03%81.57B | 17.03%81.57B | -9.32%63.66B | -7.24%67.64B | 0.54%73.65B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -1.71%6.97B | -1.71%6.97B | 227.24%10.5B | 201.96%9.72B | -20.97%6.07B | -7.55%7.1B | -7.55%7.1B | -60.15%3.21B | -69.49%3.22B | 146.60%7.68B |
| -Current debt | -3.63%6.55B | -3.63%6.55B | 245.00%10.1B | 219.12%9.32B | -22.02%5.74B | -7.30%6.8B | -7.30%6.8B | -61.93%2.93B | -71.22%2.92B | 167.06%7.37B |
| -Current capital lease obligation | 42.12%421.84M | 42.12%421.84M | 41.51%396.37M | 33.31%396.27M | 3.98%322.27M | -12.78%296.83M | -12.78%296.83M | -22.01%280.1M | -25.31%297.25M | -12.58%309.94M |
| Payables | 1.30%7.76B | 1.30%7.76B | 26.50%7.24B | 14.00%7.48B | -11.13%7.84B | 34.36%7.66B | 34.36%7.66B | 22.35%5.73B | 31.35%6.56B | -14.41%8.83B |
| -accounts payable | 10.87%6.8B | 10.87%6.8B | 14.49%5.94B | 7.20%6.28B | 9.94%6.64B | 19.26%6.13B | 19.26%6.13B | 24.53%5.18B | 33.17%5.85B | -13.94%6.04B |
| -Total tax payable | -8.18%540.09M | -8.18%540.09M | 41.94%408.33M | 56.25%698.23M | 68.68%808.05M | 139.71%588.21M | 139.71%588.21M | 51.23%287.69M | 35.34%446.86M | 28.59%479.04M |
| -Dividends payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -22.23%2.09B |
| -Due to related parties current | 1.26%94.39M | 1.26%94.39M | 84.59%143.64M | 25.87%88.15M | -24.16%68.73M | -27.39%93.21M | -27.39%93.21M | 6.52%77.82M | 36.17%70.04M | 62.18%90.62M |
| -Other payable | -61.37%327.17M | -61.37%327.17M | 330.00%755.22M | 119.93%416.13M | 148.53%327.15M | 355.50%846.88M | 355.50%846.88M | -30.61%175.63M | -12.71%189.21M | -28.72%131.63M |
| Current accrued expenses | -3.38%1.95B | -3.38%1.95B | 22.33%2.01B | 0.14%1.52B | -3.49%1.61B | 25.68%2.02B | 25.68%2.02B | -7.79%1.64B | -7.77%1.52B | -17.72%1.67B |
| Current deferred liabilities | 25.89%1.24B | 25.89%1.24B | 18.49%1.01B | 7.02%951.93M | 14.64%890.43M | 26.55%986.38M | 26.55%986.38M | 23.92%851.51M | 22.97%889.45M | 15.20%776.73M |
| Other current liabilities | -13.10%506.54M | -13.10%506.54M | 56.92%537.23M | 66.90%494.48M | 140.83%672.58M | 39.66%582.87M | 39.66%582.87M | -20.89%342.37M | -32.38%296.28M | -27.00%279.27M |
| Current liabilities | 0.49%18.43B | 0.49%18.43B | 80.94%21.29B | 61.54%20.16B | -11.15%17.08B | 13.38%18.34B | 13.38%18.34B | -24.70%11.77B | -31.98%12.48B | 16.46%19.23B |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | 2.83%13.1B | 2.83%13.1B | -23.97%11.04B | -24.82%10.95B | -12.62%12.72B | -12.22%12.74B | -12.22%12.74B | 0.04%14.53B | 0.15%14.57B | -23.13%14.55B |
| -Long term debt | 0.21%11.66B | 0.21%11.66B | -28.19%9.69B | -29.13%9.56B | -14.58%11.52B | -13.74%11.64B | -13.74%11.64B | -0.03%13.49B | -0.03%13.49B | -25.02%13.49B |
| -Long term capital lease obligation | 30.50%1.44B | 30.50%1.44B | 31.03%1.36B | 29.04%1.39B | 12.10%1.19B | 7.84%1.1B | 7.84%1.1B | 0.91%1.04B | 2.48%1.08B | 12.90%1.06B |
| Long term provisions | 0.19%561.25M | 0.19%561.25M | 48.47%566.46M | 52.69%566.68M | 51.67%551.83M | 57.43%560.19M | 57.43%560.19M | 8.85%381.53M | 0.65%371.14M | 1.79%363.84M |
| Employee benefits | -46.04%1.49B | -46.04%1.49B | -37.51%1.48B | 14.25%2.71B | 14.51%2.7B | 17.93%2.76B | 17.93%2.76B | 6.20%2.38B | 2.67%2.37B | -0.65%2.36B |
| Non current deferred liabilities | -12.66%3.25B | -12.66%3.25B | 97.06%3.38B | 80.81%3.46B | 101.14%3.85B | 120.80%3.72B | 120.80%3.72B | -9.27%1.72B | -3.08%1.91B | 5.39%1.91B |
| Other non current liabilities | 1.18%687.12M | 1.18%687.12M | 1.19%684.12M | 1.44%682.79M | 8.91%729.81M | -13.31%679.13M | -13.31%679.13M | -13.28%676.08M | -13.23%673.08M | -13.19%670.12M |
| Total non current liabilities | -6.71%19.08B | -6.71%19.08B | -12.79%17.16B | -7.67%18.37B | 3.45%20.54B | 3.97%20.46B | 3.97%20.46B | -0.52%19.68B | -0.39%19.9B | -18.11%19.86B |
| Total liabilities | -3.31%37.51B | -3.31%37.51B | 22.29%38.45B | 19.01%38.54B | -3.73%37.62B | 8.22%38.8B | 8.22%38.8B | -11.20%31.44B | -15.51%32.38B | -4.11%39.08B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B |
| -common stock | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B | 0.00%2.98B |
| Retained earnings | 1.27%14.47B | 1.27%14.47B | 17.05%13.85B | 15.98%14.19B | 34.84%15.31B | 16.38%14.29B | 16.38%14.29B | 2.42%11.83B | 10.11%12.23B | 8.66%11.36B |
| Paid-in capital | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B | 0.00%26.41B |
| Gains losses not affecting retained earnings | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M | 0.00%300M |
| Other equity interest | -28.87%-11.97B | -28.87%-11.97B | -12.00%-11.34B | -42.28%-10.93B | -28.38%-9.53B | -3.27%-9.28B | -3.27%-9.28B | -35.75%-10.13B | -5.21%-7.68B | 14.30%-7.43B |
| Other equity interest | -28.87%-11.97B | -28.87%-11.97B | -12.00%-11.34B | -42.28%-10.93B | -28.38%-9.53B | -3.27%-9.28B | -3.27%-9.28B | -35.75%-10.13B | -5.21%-7.68B | 14.30%-7.43B |
| Total stockholders'equity | -7.20%32.2B | -7.20%32.2B | 2.55%32.19B | -3.77%32.95B | 5.50%35.47B | 5.21%34.7B | 5.21%34.7B | -7.07%31.39B | 2.22%34.24B | 6.81%33.62B |
| Noncontrolling interests | -6.33%7.56B | -6.33%7.56B | 813.26%7.53B | 660.01%7.69B | 751.48%8.07B | 831.01%8.07B | 831.01%8.07B | -18.52%824.35M | -7.28%1.01B | -7.26%947.48M |
| Total equity | -7.04%39.76B | -7.04%39.76B | 23.30%39.72B | 15.27%40.64B | 25.94%43.54B | 26.36%42.77B | 26.36%42.77B | -7.40%32.22B | 1.92%35.26B | 6.37%34.57B |
| Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |