Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
中國海洋石油
00883
5
中國石油化工股份
00386
| (FY)2025/12/31 | (Q6)2025/06/30 | (FY)2024/12/31 | (Q6)2024/06/30 | (FY)2023/12/31 | (Q6)2023/06/30 | (FY)2022/12/31 | (Q6)2022/06/30 | (FY)2021/12/31 | (Q6)2021/06/30 | |
|---|---|---|---|---|---|---|---|---|---|---|
| 經營活動現金流量 | ||||||||||
| 除稅前溢利 | -37.11%-31.72億 | -105.17%-7.08億 | -70.00%-23.14億 | -5,500.88%-3.45億 | -338.20%-13.61億 | -101.95%-616.4萬 | -140.57%-3.11億 | -48.26%3.16億 | 42.68%7.65億 | 37.16%6.1億 |
| 利潤調整項 | ||||||||||
| 利息(收入)-調整 | -177.24%-222.9萬 | 1.80%-43.6萬 | 39.64%-80.4萬 | 45.52%-44.4萬 | 59.48%-133.2萬 | 62.82%-81.5萬 | 37.70%-328.7萬 | 77.19%-219.2萬 | 54.19%-527.6萬 | -22.70%-961.1萬 |
| 應占附屬公司(盈)虧 | 1,373.85%2,406.8萬 | -2,293.65%-138.2萬 | -94.73%163.3萬 | 100.84%6.3萬 | -64.68%3,099.5萬 | -687.48%-746.1萬 | 196.43%8,775.5萬 | 103.84%127萬 | -4.75%-9,100.2萬 | 17.05%-3,308.7萬 |
| 減值與撥備: | 63.16%3.94億 | 81,109.09%4,466.5萬 | -77.10%2.42億 | 101.26%5.5萬 | 1,400.81%10.55億 | -122.66%-435萬 | 301.47%7,027.7萬 | 676.70%1,920萬 | -12.42%1,750.5萬 | -74.82%247.2萬 |
| -其他減值與撥備 | 63.16%3.94億 | 81,109.09%4,466.5萬 | -77.10%2.42億 | 101.26%5.5萬 | 1,400.81%10.55億 | -122.66%-435萬 | 301.47%7,027.7萬 | 676.70%1,920萬 | -12.42%1,750.5萬 | -74.82%247.2萬 |
| 重估盈餘: | 66.46%17.05億 | 53,275.54%1.24億 | 178.83%10.24億 | 93.20%-23.3萬 | 876.35%3.67億 | 84.61%-342.4萬 | -67.91%3,762.4萬 | -272.11%-2,224.9萬 | 244.60%1.17億 | -83.80%1,292.7萬 |
| -投資物業公平值(增)減 | 66.46%17.05億 | 53,275.54%1.24億 | 178.83%10.24億 | 93.20%-23.3萬 | 876.35%3.67億 | 84.61%-342.4萬 | -67.91%3,762.4萬 | -272.07%-2,224.9萬 | 244.61%1.17億 | 119.35%1,293萬 |
| -其他公平值變動 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---3,000 | -50.00%-3,000 |
| 出售資產損(益): | -114.35%-6.3萬 | 216.76%109.6萬 | -98.35%43.9萬 | -60.37%34.6萬 | -49.51%2,666.6萬 | 645.63%87.3萬 | 109.21%5,281萬 | 99.98%-16萬 | -5,346.24%-5.73億 | -440,410.12%-7.4億 |
| -出售附屬公司權益損(益) | ---- | ---- | ---- | ---- | ---- | ---- | -88.27%5,209.5萬 | ---- | --4.44億 | ---7.39億 |
| -出售物業、機器及設備損(益) | -114.35%-6.3萬 | 216.76%109.6萬 | -98.35%43.9萬 | 5,042.86%34.6萬 | 3,629.51%2,666.6萬 | 95.63%-7,000 | 100.07%71.5萬 | 83.69%-16萬 | -9,409.44%-10.17億 | -483.93%-98.1萬 |
| -出售其他資產損(益) | ---- | ---- | ---- | ---- | ---- | --88萬 | ---- | ---- | ---- | ---- |
| 折舊及攤銷: | -12.38%1,436.5萬 | -25.00%689萬 | -32.37%1,639.4萬 | -31.55%918.7萬 | -27.72%2,424萬 | -30.34%1,342.2萬 | -35.66%3,353.6萬 | -22.98%1,926.8萬 | -17.57%5,212.4萬 | -16.09%2,501.8萬 |
| -折舊 | -12.04%1,157.7萬 | -19.46%531.7萬 | -28.09%1,316.2萬 | -39.91%660.2萬 | -31.28%1,830.4萬 | -33.73%1,098.7萬 | -25.09%2,663.4萬 | -11.76%1,657.9萬 | -30.61%3,555.5萬 | -21.02%1,878.9萬 |
| -無形資產攤銷 | -13.74%278.8萬 | -39.15%157.3萬 | -45.55%323.2萬 | 6.16%258.5萬 | -14.00%593.6萬 | -9.45%243.5萬 | -58.34%690.2萬 | -56.83%268.9萬 | 38.13%1,656.9萬 | 3.37%622.9萬 |
| 財務費用 | 32.11%10.63億 | 26.43%5.05億 | 16.88%8.05億 | 61.32%4億 | 18.46%6.88億 | 22.47%2.48億 | -29.25%5.81億 | -52.70%2.02億 | -1.30%8.21億 | 78.97%4.28億 |
| 經營調整特殊項目 | -477.50%-7,700.9萬 | -181.84%-1,079.5萬 | 90.67%-1,333.5萬 | 107.73%1,319.1萬 | -167.63%-1.43億 | -199.59%-1.71億 | 330.35%2.11億 | 768.26%1.71億 | 84.71%-9,173.6萬 | 94.36%-2,563.4萬 |
| 經營資金變動前經營溢利 | 78.60%-5,112.4萬 | -150.79%-3,896.2萬 | -134.78%-2.39億 | 10.69%7,671.3萬 | -9.65%6.87億 | -90.16%6,930.5萬 | -24.88%7.61億 | 161.10%7.04億 | 18.41%10.12億 | -10.18%2.7億 |
| 經營資金變動項目 | ||||||||||
| 存貨(增加)減少 | -98.80%50.6萬 | -102.06%-55.4萬 | -68.63%4,204.5萬 | -71.37%2,695.3萬 | 222.98%1.34億 | 185.22%9,414.6萬 | -66.81%-1.09億 | -730.16%-1.1億 | -429.31%-6,532.7萬 | 57.54%-1,330.7萬 |
| 發展中物業(增)減 | -50.91%30.92億 | -135.60%-2.98億 | 419.82%62.98億 | 75.26%-1.27億 | 320.55%12.12億 | 81.87%-5.11億 | 58.59%-5.49億 | -860.22%-28.21億 | -213.29%-13.27億 | 163.45%3.71億 |
| 應收帳款(增加)減少 | -52.90%471.9萬 | -157.33%-5,274.4萬 | 108.73%1,002萬 | 341.96%9,199.8萬 | -267.85%-1.15億 | -148.71%-3,802.2萬 | 531.55%6,841.4萬 | -52.32%7,806.1萬 | -105.88%-1,585.3萬 | -19.76%1.64億 |
| 應付帳款增加(減少) | -123.92%-1.37億 | 193.42%2.87億 | 249.70%5.72億 | -364.74%-3.07億 | -391.27%-3.82億 | 77.93%-6,615.4萬 | -82.62%1.31億 | -149.50%-3億 | 973.55%7.55億 | 58.94%-1.2億 |
| 預付款項(增)減 | -48.45%1.99億 | 367.69%7,442.5萬 | 255.09%3.86億 | 53.23%-2,780.3萬 | 115.29%1.09億 | -253.70%-5,944.7萬 | 117.71%5,047.9萬 | 114.54%3,867.8萬 | -142.98%-2.85億 | 106.89%1,802.8萬 |
| 營運資金變動特殊專案 | 59.17%-26.26億 | -31.92%3.21億 | -646.52%-64.32億 | -49.94%4.72億 | -339.25%-8.62億 | -66.95%9.42億 | -83.75%3.6億 | 285.36%28.52億 | 394.00%22.16億 | 50.31%7.4億 |
| 營運資本變動調整項目 | ---5,400萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 經營業務現金收入 | -32.90%4.28億 | 42.18%2.92億 | -18.50%6.38億 | -52.25%2.06億 | 9.88%7.83億 | -2.49%4.31億 | -68.90%7.12億 | -69.08%4.42億 | -33.90%22.91億 | 158.84%14.29億 |
| 已繳中國所得稅 | 47.40%-1.7億 | 49.55%-4,128.1萬 | -211.41%-3.24億 | -49.73%-8,182.2萬 | 16.87%-1.04億 | 56.00%-5,464.7萬 | 49.75%-1.25億 | 24.92%-1.24億 | 23.85%-2.49億 | 4.87%-1.65億 |
| 已收利息-經營 | 177.24%222.9萬 | -1.80%43.6萬 | -39.64%80.4萬 | -45.52%44.4萬 | -59.46%133.2萬 | -62.82%81.5萬 | -38.23%328.6萬 | -77.19%219.2萬 | -53.81%532萬 | 22.70%961.1萬 |
| 經營業務調整項目 | --5,400萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| 經營活動現金淨額 | -0.28%3.14億 | 102.39%2.52億 | -53.72%3.15億 | -67.02%1.24億 | 15.17%6.8億 | 17.88%3.77億 | -71.15%5.91億 | -74.88%3.2億 | -35.02%20.47億 | 229.80%12.73億 |
| 投資活動現金流量 | ||||||||||
| 已收利息-投資 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 250,050.00%500.3萬 |
| 已收股息-投資 | -34.90%132.8萬 | -35.00%132.6萬 | 0.00%204萬 | --204萬 | -89.92%204萬 | ---- | 571.79%2,024.1萬 | 565.43%2,005.6萬 | 97.83%301.3萬 | --301.4萬 |
| 受限制現金(增)減 | 379.37%9,175.6萬 | -155.85%-3,737.1萬 | 453.94%1,914.1萬 | 200.88%6,691.9萬 | -105.44%-540.8萬 | -171.48%-6,633.5萬 | -85.20%9,940.4萬 | -60.05%9,280.8萬 | 4,824.26%6.72億 | -21.50%2.32億 |
| 出售固定資產 | -88.77%3.1萬 | ---- | -94.33%27.6萬 | 73.45%103.2萬 | 6.68%486.9萬 | 283.87%59.5萬 | 43.39%456.4萬 | -91.13%15.5萬 | -71.39%318.3萬 | 432.62%174.7萬 |
| 購買固定資產 | -20.60%-177.4萬 | 16.13%-2.6萬 | -275.26%-147.1萬 | 96.82%-3.1萬 | 97.20%-39.2萬 | 88.64%-97.4萬 | 34.30%-1,397.8萬 | 66.31%-857.5萬 | 30.11%-2,127.6萬 | -141.06%-2,545.6萬 |
| 出售無形資產 | ---- | ---- | ---- | ---- | ---- | -99.89%1,000 | ---- | --90.1萬 | --202萬 | ---- |
| 購買無形資產 | ---- | ---- | ---- | ---- | 99.63%-1.7萬 | 87.86%-1.7萬 | 66.91%-461.8萬 | 93.18%-14萬 | 7.56%-1,395.4萬 | 71.43%-205.4萬 |
| 出售附屬公司 | -58.37%132.1萬 | -94.08%84.9萬 | -57.49%317.3萬 | 239.47%1,434.6萬 | -83.63%746.5萬 | -66.82%422.6萬 | 20.97%4,560.1萬 | -98.35%1,273.7萬 | 318.83%3,769.5萬 | 4,883.70%7.74億 |
| 收購附屬公司 | ---- | ---- | 4,015.71%4,111.5萬 | ---- | 79.05%-105萬 | -138.79%-1,196.8萬 | 99.14%-501.2萬 | 99.14%-501.2萬 | 77.90%-5.85億 | 78.15%-5.8億 |
| 收回投資所得現金 | -85.73%420.9萬 | -78.42%420.9萬 | 273.42%2,950萬 | --1,950萬 | --790萬 | ---- | ---- | ---- | 2,418.82%5.04億 | 3,401.78%4.99億 |
| 投資支付現金 | 7.20%-122.4萬 | 93.07%-15.2萬 | 67.89%-131.9萬 | ---219.4萬 | 32.09%-410.8萬 | ---- | 55.90%-604.9萬 | -198.70%-553.5萬 | 86.94%-1,371.5萬 | 98.10%-185.3萬 |
| 投資業務其他專案 | ---- | ---- | ---- | --394.7萬 | ---- | ---- | -100.21%-203.9萬 | -154.05%-150.9萬 | 2,365.76%9.88億 | 257.65%279.2萬 |
| 投資業務現金淨額 | 3.45%9,564.7萬 | -129.52%-3,116.5萬 | 718.26%9,245.5萬 | 241.74%1.06億 | -91.82%1,129.9萬 | -170.33%-7,447.2萬 | -91.24%1.38億 | -88.35%1.06億 | 155.76%15.76億 | 137.18%9.09億 |
| 融資前現金淨額 | 0.57%4.1億 | -4.09%2.2億 | -41.10%4.07億 | -24.01%2.3億 | -5.11%6.91億 | -28.93%3.03億 | -79.89%7.29億 | -80.49%4.26億 | 1,023.34%36.23億 | 206.02%21.82億 |
| 融資活動現金流量 | ||||||||||
| 新增借款 | -89.46%20.4萬 | -78.53%20.4萬 | -99.85%193.5萬 | -99.84%95萬 | -63.30%13.34億 | -19.55%6.08億 | 302.93%36.37億 | 157.62%7.56億 | -85.55%9.03億 | -93.49%2.94億 |
| 償還借款 | 11.45%-2.55億 | 10.15%-1.38億 | 81.76%-2.88億 | 77.52%-1.53億 | 60.62%-15.8億 | 34.41%-6.82億 | -19.46%-40.12億 | 43.46%-10.39億 | 38.29%-33.58億 | 13.85%-18.38億 |
| 已付利息-融資 | -5.74%-1.44億 | 27.98%-5,098.7萬 | 64.30%-1.36億 | 70.48%-7,079.5萬 | 41.71%-3.8億 | 32.92%-2.4億 | 47.88%-6.52億 | 54.99%-3.57億 | 1.32%-12.52億 | -50.78%-7.94億 |
| 融資業務其他項目 | ---5,002.7萬 | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 79.10%-2,023萬 | -150.86%-2,322.7萬 |
| 融資業務現金淨額 | -5.76%-4.51億 | 15.39%-1.91億 | 33.84%-4.26億 | 28.96%-2.25億 | 38.34%-6.44億 | 50.98%-3.17億 | 72.17%-10.44億 | 72.79%-6.47億 | -379.23%-37.52億 | -249.26%-23.79億 |
| 現金淨額 | -118.11%-4,099萬 | 572.38%2,969.9萬 | -139.54%-1,879.3萬 | 129.77%441.7萬 | 115.06%4,752.8萬 | 93.31%-1,483.6萬 | -144.64%-3.16億 | -12.57%-2.22億 | 71.97%-1.29億 | 57.57%-1.97億 |
| 期初現金 | -10.74%1.56億 | -10.74%1.56億 | 37.27%1.75億 | 37.27%1.75億 | -71.23%1.28億 | -71.23%1.28億 | -22.55%4.43億 | -22.55%4.43億 | -44.59%5.72億 | -44.59%5.72億 |
| 期末現金 | -26.23%1.15億 | 3.62%1.86億 | -10.74%1.56億 | 59.26%1.79億 | 37.27%1.75億 | -49.12%1.13億 | -71.23%1.28億 | -40.98%2.21億 | -22.55%4.43億 | -33.98%3.75億 |
| 現金結存分析 | ||||||||||
| 貨幣單位 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 | 人民幣 |
| 會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。