Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
YANCHANG PETRO
00346
| (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 | -32.26%89.14M | -32.26%89.14M | -27.07%81.25M | -21.54%76.93M | -20.78%71.1M | 9.69%131.6M | 9.69%131.6M | 112.39%111.4M | 28.96%98.06M | 11.09%89.74M |
| -Cash and cash equivalents | -33.42%87.62M | -33.42%87.62M | -26.33%80.76M | -13.15%76.45M | -13.45%66.81M | 22.13%131.6M | 22.13%131.6M | 110.19%109.63M | 16.21%88.03M | -4.09%77.2M |
| -Including:Cash | -33.42%87.62M | -33.42%87.62M | -26.33%80.76M | -13.15%76.45M | -13.45%66.81M | 22.13%131.6M | 22.13%131.6M | 110.19%109.63M | 16.21%88.03M | -4.09%77.2M |
| -Short term investments | 1,449,423.81%1.52M | 1,449,423.81%1.52M | -72.74%483K | -95.19%482K | -65.86%4.28M | -100.00%105 | -100.00%105 | 506.85%1.77M | 3,334.59%10.03M | 4,195.89%12.54M |
| Receivables | -59.97%101.03M | -59.97%101.03M | -4.78%338.73M | 10.62%352.53M | 16.59%341.68M | 13.84%252.41M | 13.84%252.41M | 12.63%355.72M | 0.92%318.68M | -6.54%293.07M |
| -Accounts receivable | -59.96%82.08M | -59.96%82.08M | -2.70%270.5M | 4.62%288.87M | -12.28%222.94M | 2.74%204.97M | 2.74%204.97M | 0.66%277.99M | -6.35%276.11M | -15.07%254.16M |
| -Gross accounts receivable | ---- | ---- | ---- | ---- | ---- | 1.88%208.47M | 1.88%208.47M | ---- | ---- | ---- |
| -Bad debt provision | ---- | ---- | ---- | ---- | ---- | 31.57%-3.51M | 31.57%-3.51M | ---- | ---- | ---- |
| -Other receivables | -60.04%18.96M | -60.04%18.96M | -12.21%68.24M | 49.54%63.66M | 205.19%118.74M | 113.57%47.44M | 113.57%47.44M | 96.03%77.73M | 102.99%42.57M | 171.45%38.91M |
| Inventory | -50.47%95.53M | -50.47%95.53M | 54.18%186.62M | 27.26%175.26M | -6.55%154.24M | 3.27%192.88M | 3.27%192.88M | -14.66%121.04M | -29.16%137.72M | -35.27%165.05M |
| Prepaid assets | ---- | ---- | ---- | ---- | ---- | 44.08%7.97M | 44.08%7.97M | ---- | ---- | ---- |
| Restricted cash | ---- | ---- | ---- | ---- | ---- | 3.86%479.9K | 3.86%479.9K | ---- | ---- | ---- |
| Tax assets-Current | --7.17M | --7.17M | 4,872.53%4.53M | 3,084.38%2.04M | 1,260.66%830K | --0 | --0 | -74.79%91K | -89.86%64K | -90.98%61K |
| Hedging assets-current | --0 | --0 | --11K | --0 | -30.00%7K | --328K | --328K | ---- | ---- | --10K |
| Holding assets for sale | --425.7M | --425.7M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Total current assets | 22.70%718.57M | 22.70%718.57M | 3.89%611.13M | 9.42%606.76M | 3.64%567.85M | 9.54%585.66M | 9.54%585.66M | 15.21%588.25M | -5.51%554.53M | -15.74%547.93M |
| Non current assets | ||||||||||
| Net PPE | 4.92%225.06M | 4.92%225.06M | 25.49%247.8M | 14.62%229.99M | 6.25%215.72M | 3.94%214.52M | 3.94%214.52M | -6.99%197.47M | -10.74%200.66M | -12.13%203.04M |
| -Gross PP&E | ---- | ---- | 25.49%247.8M | 14.62%229.99M | 6.25%215.72M | 0.15%332.5M | 0.15%332.5M | -6.99%197.47M | -10.74%200.66M | -12.13%203.04M |
| -Accumulated depreciation | ---- | ---- | ---- | ---- | ---- | 6.07%-117.98M | 6.07%-117.98M | ---- | ---- | ---- |
| Total investment | ---- | ---- | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| -Long-term equity investment | ---- | ---- | ---- | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
| Long-term accounts receivable and other receivables | -23.31%408K | -23.31%408K | 70.69%495K | 41.56%579K | 423.88%702K | 35.37%532K | 35.37%532K | -45.79%290K | -38.96%409K | -83.29%134K |
| Goodwill and other intangible assets | -2.57%10.29M | -2.57%10.29M | 24.27%10.36M | 24.91%10.43M | 25.54%10.5M | 26.18%10.57M | 26.18%10.57M | -42.22%8.34M | -42.13%8.35M | -42.05%8.36M |
| -Goodwill | 0.00%7.94M | 0.00%7.94M | 0.00%7.94M | 0.00%7.94M | 0.01%7.94M | 0.00%7.94M | 0.00%7.94M | -44.95%7.94M | -44.95%7.94M | -44.95%7.94M |
| -Other intangible assets | -10.37%2.35M | -10.37%2.35M | 513.71%2.42M | 512.32%2.49M | 509.55%2.55M | 509.77%2.62M | 509.77%2.62M | --394K | --406K | --419K |
| Deferred tax assets-non current | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --26K |
| Total non current assets | 4.50%235.77M | 4.50%235.77M | 25.50%258.66M | 15.08%241M | 7.26%226.92M | 4.86%225.62M | 4.86%225.62M | -9.32%206.1M | -12.71%209.42M | -14.10%211.56M |
| Total assets | 17.63%954.34M | 17.63%954.34M | 9.50%869.79M | 10.97%847.75M | 4.65%794.77M | 8.20%811.28M | 8.20%811.28M | 7.65%794.35M | -7.60%763.94M | -15.29%759.48M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Financial liabilities | -41.84%114.71M | -41.84%114.71M | 12.74%279.8M | 20.58%255.26M | 0.90%204.62M | 8.99%197.25M | 8.99%197.25M | 90.28%248.19M | 21.07%211.7M | -35.23%202.79M |
| -Financial or other derivative investment liabilities | ---- | ---- | ---- | 14,800.00%149K | --2K | --0 | --0 | 3,700.00%38K | -66.67%1K | --0 |
| -Current debt and capital lease obligation | -41.84%114.71M | -41.84%114.71M | 12.75%279.8M | 20.51%255.11M | 0.90%204.62M | 9.03%197.25M | 9.03%197.25M | 90.25%248.15M | 21.07%211.7M | -35.19%202.79M |
| -Including:Current debt | -45.40%103.65M | -45.40%103.65M | 10.52%268.78M | 18.87%245.77M | -0.87%195.87M | 8.20%189.83M | 8.20%189.83M | 94.03%243.21M | 22.97%206.75M | -35.42%197.59M |
| -Including:Current capital Lease obligation | 48.96%11.06M | 48.96%11.06M | 122.78%11.02M | 88.86%9.35M | 68.15%8.76M | 35.69%7.43M | 35.69%7.43M | -2.77%4.95M | -26.45%4.95M | -25.30%5.21M |
| Payables | -34.02%86.16M | -34.02%86.16M | 4.76%108.75M | 5.11%124.5M | -16.74%108.68M | 46.75%130.59M | 46.75%130.59M | -21.44%103.8M | -21.40%118.44M | 28.51%130.53M |
| -accounts payable | -50.70%51.19M | -50.70%51.19M | -22.33%35.68M | 27.64%72.93M | -37.90%44.64M | 60.87%103.82M | 60.87%103.82M | -27.71%45.94M | -35.70%57.13M | 57.20%71.88M |
| -Total tax payable | -30.28%5.44M | -30.28%5.44M | 16.44%7.73M | 3.39%13.93M | -35.59%10.63M | -28.61%7.81M | -28.61%7.81M | -47.47%6.64M | -28.81%13.47M | -3.10%16.5M |
| -Other payable | 55.72%29.53M | 55.72%29.53M | 27.55%65.33M | -21.30%37.64M | 26.73%53.41M | 40.31%18.96M | 40.31%18.96M | -8.43%51.22M | 11.47%47.83M | 8.58%42.15M |
| Accrued and deferred income | -80.33%4.51M | -80.33%4.51M | 830.02%7.87M | 481.29%5.5M | 226.93%3.76M | 4.86%22.95M | 4.86%22.95M | 14.17%846K | 214.29%946K | 197.42%1.15M |
| Held for sale liabilities | --296.27M | --296.27M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Other current liabilities | ---- | ---- | ---- | ---- | ---- | -42.86%2M | -42.86%2M | ---- | ---- | ---- |
| Current liabilities | 42.20%501.66M | 42.20%501.66M | 12.35%396.42M | 16.36%385.26M | -5.20%317.06M | 19.45%352.79M | 19.45%352.79M | 34.00%352.84M | 1.61%331.08M | -19.42%334.47M |
| Non current liabilities | ||||||||||
| Non current financial liabilities | 55.10%129.5M | 55.10%129.5M | 39.08%114.13M | 24.85%105.84M | 16.06%100.68M | -6.29%83.5M | -6.29%83.5M | -16.75%82.06M | -23.18%84.78M | -24.78%86.75M |
| -Long term debt and capital lease obligation | 55.10%129.5M | 55.10%129.5M | 39.08%114.13M | 24.85%105.84M | 16.06%100.68M | -6.29%83.5M | -6.29%83.5M | -16.75%82.06M | -23.18%84.78M | -24.78%86.75M |
| -Including:Long term debt | -23.02%25.51M | -23.02%25.51M | -22.36%28.27M | -21.79%30.31M | -18.29%32.34M | -18.94%33.13M | -18.94%33.13M | -14.13%36.41M | -12.38%38.75M | -13.90%39.59M |
| -Including:Long term capital lease obligation | 106.49%104M | 106.49%104M | 88.10%85.86M | 64.10%75.54M | 44.90%68.33M | 4.44%50.36M | 4.44%50.36M | -18.74%45.64M | -30.40%46.03M | -31.99%47.16M |
| Long term provisions | 2,436.73%1.24M | 2,436.73%1.24M | --752K | --386K | --106K | --49K | --49K | ---- | ---- | ---- |
| Non current deferred liabilities | -57.45%11.84M | -57.45%11.84M | 0.26%25.31M | -0.09%25.44M | 18.94%25.43M | 8.25%27.83M | 8.25%27.83M | -1.15%25.25M | -1.15%25.47M | -5.32%21.38M |
| Total non current liabilities | 28.03%142.59M | 28.03%142.59M | 30.65%140.19M | 19.43%131.67M | 16.73%126.22M | -2.99%111.37M | -2.99%111.37M | -13.54%107.31M | -19.01%110.25M | -21.59%108.13M |
| Total liabilities | 38.80%644.24M | 38.80%644.24M | 16.62%536.61M | 17.13%516.93M | 0.15%443.28M | 13.17%464.17M | 13.17%464.17M | 18.77%460.15M | -4.47%441.33M | -19.96%442.6M |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M |
| -common stock | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M | 0.00%671.44M |
| Retained earnings | 4.42%199.82M | 4.42%199.82M | 1.10%187.39M | 5.26%182.53M | 21.39%203.18M | 0.63%191.36M | 0.63%191.36M | -8.59%185.35M | -20.05%173.41M | -14.35%167.38M |
| Less: Treasury stock | --27M | --27M | --1.76M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
| Fixed asset revaluation reserve | -45.38%22.3M | -45.38%22.3M | -4.33%32.95M | -4.96%33.12M | -5.09%33.3M | 15.59%40.83M | 15.59%40.83M | -3.14%34.44M | -2.63%34.85M | -2.60%35.09M |
| Other reserves | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M | 0.00%-559.3M |
| Total stockholders'equity | -10.76%307.27M | -10.76%307.27M | -0.36%330.72M | 2.31%327.79M | 10.81%348.63M | 1.99%344.33M | 1.99%344.33M | -5.29%331.93M | -12.18%320.4M | -8.44%314.61M |
| Noncontrolling interests | 1.62%2.83M | 1.62%2.83M | 7.95%2.46M | 36.82%3.03M | 26.16%2.86M | 37.23%2.78M | 37.23%2.78M | --2.28M | --2.22M | --2.27M |
| Total equity | -10.66%310.09M | -10.66%310.09M | -0.31%333.18M | 2.54%330.82M | 10.92%351.49M | 2.20%347.11M | 2.20%347.11M | -4.64%334.2M | -11.57%322.62M | -7.78%316.88M |
| Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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.