Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
5
CNOOC
00883
| (FY)Dec 31, 2025 | (Q9)Sep 30, 2025 | (Q6)Jun 30, 2025 | (Q1)Mar 31, 2025 | (FY)Dec 31, 2024 | (Q9)Sep 30, 2024 | (Q6)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q9)Sep 30, 2023 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Inventory | 6.25%6.09B | 7.74%6.21B | 4.14%6.24B | -7.28%5.81B | -11.15%5.73B | -6.36%5.76B | -1.17%5.99B | -8.04%6.27B | 3.40%6.45B | -3.95%6.15B |
| Accounts receivable | -2.05%32.97B | 18.18%39.09B | 5.54%45.01B | 17.78%50.21B | -9.15%33.66B | -29.97%33.08B | 15.09%42.65B | 11.12%42.63B | -2.47%37.05B | 30.34%47.23B |
| Notes receivable | ---- | -88.06%16M | ---- | 176.92%108M | ---- | --134M | ---- | --39M | ---- | ---- |
| Advance deposits and other receivables | ---- | 20.05%4.45B | ---- | -4.35%3.47B | ---- | -18.30%3.71B | ---- | 3.12%3.63B | ---- | 5.93%4.54B |
| Cash and equivalents | -3.20%78.68B | 31.50%242.03B | -34.15%94.14B | 2.92%188.73B | -39.09%81.28B | 21.62%184.06B | 25.33%142.96B | 28.89%183.38B | 55.83%133.44B | 1.32%151.34B |
| Fixed time deposit-current assets | 86.55%136.02B | ---- | 198.15%129.49B | ---- | 325.81%72.91B | ---- | 129.48%43.43B | ---- | -52.11%17.12B | ---- |
| Financial assets at fair value-current assets | ---- | -37.70%30.01B | ---- | -3.75%41.68B | ---- | -16.18%48.18B | ---- | -53.53%43.31B | ---- | -39.85%57.48B |
| Derivative financial instruments-current assets | ---- | ---- | -15.29%72M | ---- | -90.70%4M | ---- | 8,400.00%85M | ---- | 43.33%43M | ---- |
| Other current assets | 21.75%15.63B | 2.34%3.89B | 4.28%13.46B | 8.34%3.64B | 8.21%12.84B | 44.36%3.8B | 15.17%12.91B | 37.77%3.36B | 9.62%11.86B | -2.05%2.63B |
| Special items of current assets | ---- | 28.57%27M | ---- | 43.18%63M | ---- | -22.22%21M | ---- | 41.94%44M | ---- | --27M |
| Total current assets | 11.63%295.38B | 16.49%332.68B | 8.18%321.49B | 3.81%299.77B | 5.73%264.61B | 3.47%285.6B | 9.95%297.17B | -1.21%288.76B | -5.44%250.28B | -8.18%276.03B |
| Non-current assets | ||||||||||
| Fixed assets | ---- | -1.42%6.59B | ---- | -4.19%6.63B | ---- | 1.21%6.69B | ---- | 5.44%6.92B | ---- | 12.10%6.61B |
| Property, plant and equipment | 5.37%666.37B | ---- | 4.95%649.69B | ---- | 6.66%632.41B | ---- | 9.44%619.04B | ---- | 11.30%592.92B | ---- |
| Construction in progress | ---- | 6,860.58%152.37B | ---- | 9,603.39%157.49B | ---- | 21.41%2.19B | ---- | 3.44%1.62B | ---- | 26.70%1.8B |
| Associated company interest | -3.89%24.07B | ---- | -14.05%25.53B | ---- | -13.36%25.05B | ---- | 4.01%29.7B | ---- | 3.46%28.91B | ---- |
| Interests in Joint Venture | -7.24%21.75B | ---- | -1.91%22.21B | ---- | 4.93%23.44B | ---- | 2.30%22.64B | ---- | 6.47%22.34B | ---- |
| long-term investment | ---- | -8.86%47.43B | ---- | -6.25%48.47B | ---- | 1.96%52.04B | ---- | 5.72%51.71B | ---- | 7.82%51.04B |
| Intangible assets | -2.59%16.52B | -3.49%3.46B | -0.10%16.73B | 0.78%3.62B | 1.14%16.96B | -2.85%3.58B | -1.87%16.75B | -2.10%3.59B | 1.02%16.77B | -11.03%3.69B |
| Goodwill | ---- | 1.40%15.11B | ---- | 0.50%15.26B | ---- | -2.40%14.9B | ---- | 3.94%15.19B | ---- | 1.13%15.27B |
| Deferred tax assets | -7.41%23.58B | -9.05%25.02B | -11.45%25.16B | -11.27%25.21B | -10.84%25.47B | -10.66%27.51B | -8.88%28.42B | -3.76%28.41B | -4.43%28.56B | 2.25%30.8B |
| Other illiquid assets | -36.85%29.72B | -42.73%25.7B | -12.23%36.14B | 21.30%48.59B | 5.36%47.07B | 12.32%44.88B | -8.66%41.18B | 224.26%40.06B | 138.82%44.67B | 174.85%39.96B |
| Special items of non-current assets | 27.78%23M | -19.87%498.4B | -97.56%18M | -19.80%478.1B | -97.97%18M | 9.00%622.01B | -24.95%737M | 12.48%596.11B | -17.58%886M | 14.40%570.65B |
| Total non-current assets | 1.45%803.18B | 0.00%793.8B | 2.47%797.47B | 4.76%802.94B | 4.81%791.67B | 6.69%793.8B | 6.79%778.23B | 14.58%766.42B | 13.69%755.32B | 17.29%744B |
| Total assets | 4.00%1.1T | 4.36%1.13T | 4.05%1.12T | 4.50%1.1T | 5.04%1.06T | 5.82%1.08T | 7.64%1.08T | 9.78%1.06T | 8.24%1.01T | 9.10%1.02T |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Accounts payable | -0.09%59.63B | 4.47%71.85B | 2.09%70.64B | 2.84%66.05B | -2.76%59.69B | -9.44%68.77B | 8.94%69.2B | 3.02%64.22B | 2.66%61.38B | 23.11%75.95B |
| Tax payable | -15.69%16.82B | -15.63%21.92B | -29.67%20.04B | -16.23%22.28B | -20.62%19.95B | 13.82%25.97B | 49.48%28.5B | 68.73%26.59B | 52.18%25.13B | -2.11%22.82B |
| Other payables and accrued expenses | -5.19%10.63B | -7.49%40.74B | -3.31%40.99B | -15.47%10.18B | -5.89%11.21B | 24.58%44.04B | 299.31%42.39B | 15.31%12.04B | 11.54%11.91B | -7.98%35.35B |
| Short-term borrowing | ---- | ---- | ---- | -0.02%4.31B | ---- | 0.00%4.32B | ---- | 0.02%4.32B | ---- | 0.00%4.32B |
| Bank loans and overdrafts | -93.49%1.31B | ---- | -94.22%1.33B | ---- | -8.27%20.08B | ---- | 4.14%22.96B | ---- | -4.05%21.89B | ---- |
| Derivative financial instrument-current liabilities | 66.67%20M | ---- | --108M | ---- | -52.00%12M | ---- | ---- | ---- | -21.88%25M | ---- |
| Financial lease liabilities-current liabilities | -9.63%2.05B | ---- | 4.22%2.15B | ---- | 2.12%2.26B | ---- | -9.47%2.06B | ---- | 18.37%2.22B | ---- |
| Special items of current liabilities | ---- | -80.04%3.54B | ---- | -7.82%18.38B | ---- | -14.10%17.72B | ---- | -3.60%19.94B | ---- | -0.43%20.63B |
| Total current liabilities | -23.24%91.25B | -13.99%143.6B | -18.05%136.15B | -5.02%125.32B | -4.09%118.88B | 1.48%166.95B | 9.09%166.13B | 11.60%131.94B | 9.30%123.94B | 7.24%164.52B |
| Net current assets | 40.07%204.13B | 59.36%189.08B | 41.43%185.34B | 11.24%174.45B | 15.35%145.73B | 6.41%118.65B | 11.06%131.05B | -9.90%156.82B | -16.49%126.34B | -24.26%111.51B |
| Total assets less current liabilities | 7.46%1.01T | 7.72%982.88B | 8.09%982.81B | 5.87%977.39B | 6.32%937.41B | 6.66%912.44B | 7.38%909.28B | 9.53%923.24B | 8.09%881.66B | 9.46%855.51B |
| Non-current liabilities | ||||||||||
| Long-term bank loan | -3.94%58.83B | -8.20%5.17B | -0.56%60.57B | -53.48%5.48B | -30.57%61.24B | -49.29%5.64B | -32.51%60.91B | 5.18%11.77B | -14.48%88.21B | 4.51%11.11B |
| Long-term accounts payable | ---- | -51.56%3.21B | ---- | -51.76%3.22B | ---- | -8.36%6.62B | ---- | -2.11%6.67B | ---- | 1.05%7.23B |
| Financial lease liabilities-non-current liabilities | -8.22%7.61B | -4.04%8.06B | 16.80%8.39B | 11.25%8.3B | 5.57%8.3B | 26.19%8.4B | 6.81%7.18B | 19.62%7.46B | 19.77%7.86B | 20.80%6.66B |
| Deferred tax liability | 8.53%13.59B | 27.15%13.35B | 36.12%13.81B | 14.64%13.23B | 15.45%12.52B | -4.24%10.5B | -6.12%10.15B | 11.06%11.54B | 5.59%10.85B | 8.05%10.96B |
| Provision-non-current liabilities | 16.34%116.04B | ---- | 5.17%105.38B | ---- | 2.73%99.74B | ---- | 10.57%100.2B | ---- | 11.55%97.09B | ---- |
| Issued debt instrument | ---- | 0.50%54.37B | ---- | -28.13%55.32B | ---- | -30.66%54.1B | ---- | -14.71%76.98B | ---- | -18.12%78.02B |
| Other non-current liabilities | -1.98%6.05B | -6.76%2.95B | -36.76%6.29B | -8.31%2.89B | -36.92%6.17B | -2.94%3.17B | -6.75%9.94B | -6.33%3.15B | -4.46%9.78B | -3.03%3.26B |
| Total non-current liabilities | 7.53%202.12B | 1.81%195.31B | 3.22%194.44B | -10.95%191.6B | -12.07%187.97B | -9.03%191.84B | -9.89%188.38B | -0.39%215.16B | -1.60%213.78B | -0.86%210.88B |
| Total liabilities | -4.39%293.38B | -5.54%338.91B | -6.75%330.58B | -8.69%316.92B | -9.14%306.85B | -4.42%358.79B | -1.89%354.5B | 3.85%347.1B | 2.14%337.72B | 2.53%375.4B |
| Total assets less total liabilities | 7.44%805.18B | 9.29%787.57B | 9.36%788.38B | 10.97%785.78B | 12.21%749.44B | 11.79%720.6B | 13.04%720.9B | 12.94%708.08B | 11.61%667.88B | 13.33%644.63B |
| Total equity and non-current liabilities | 7.46%1.01T | 7.72%982.88B | 8.09%982.81B | 5.87%977.39B | 6.32%937.41B | 6.66%912.44B | 7.38%909.28B | 9.53%923.24B | 8.09%881.66B | 9.46%855.51B |
| Equity | ||||||||||
| Share capital | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B | 0.00%75.18B |
| Reserve | 8.21%727.57B | ---- | 10.45%711.29B | ---- | 13.69%672.37B | ---- | 14.73%644.02B | ---- | 13.30%591.41B | ---- |
| Capital reserve | ---- | 0.42%2.86B | ---- | -0.28%2.85B | ---- | -0.56%2.84B | ---- | 0.25%2.86B | ---- | 0.21%2.86B |
| Undistributed profit | ---- | 10.71%631.76B | ---- | 12.89%626.64B | ---- | 16.66%570.64B | ---- | 15.37%555.06B | ---- | 17.50%489.15B |
| Special items of shareholders' rights and interests | ---- | 29.63%35M | ---- | 155.26%97M | ---- | 107.69%27M | ---- | 171.43%38M | ---- | 18.18%13M |
| Shareholders' Equity | 7.38%802.75B | 9.28%785.56B | 9.35%786.47B | 10.95%783.82B | 12.15%747.55B | 11.72%718.83B | 12.99%719.2B | 12.90%706.48B | 11.62%666.59B | 13.34%643.42B |
| Non-controlling interest | 28.92%2.43B | 13.33%2.01B | 11.85%1.91B | 22.81%1.96B | 46.36%1.89B | 45.76%1.77B | 43.40%1.71B | 33.33%1.6B | 7.41%1.29B | 4.65%1.22B |
| Total equity | 7.44%805.18B | 9.29%787.57B | 9.36%788.38B | 10.97%785.78B | 12.21%749.44B | 11.79%720.6B | 13.04%720.9B | 12.94%708.08B | 11.61%667.88B | 13.33%644.63B |
| Total equity and total liabilities | 4.00%1.1T | 4.36%1.13T | 4.05%1.12T | 4.50%1.1T | 5.04%1.06T | 5.82%1.08T | 7.64%1.08T | 9.78%1.06T | 8.24%1.01T | 9.10%1.02T |
| Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
| Accounting Standards | IAS and HKAS | CAS (2007) | IAS and HKAS | CAS (2007) | IAS and HKAS | CAS (2007) | IAS and HKAS | CAS (2007) | IAS and HKAS | CAS (2007) |
| Audit Opinions | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- |
| Auditor | Ernst & Young Huaming Certified Public Accountants (Special General Partnership), Ernst & Young | -- | -- | -- | Ernst & Young Huaming Certified Public Accountants (Special General Partnership), Ernst & Young | -- | -- | -- | Ernst & Young Huaming Certified Public Accountants (Special General Partnership), Ernst & Young | -- |
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.