Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CHINA OILFIELD
02883
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 | -34.77%58.69M | -34.77%58.69M | 18.78%89.97M | 18.78%89.97M | 55.63%75.75M | 55.63%75.75M | -33.84%48.67M | -33.84%48.67M | -25.75%73.57M | -25.75%73.57M |
| -Cash and cash equivalents | -34.77%58.69M | -34.77%58.69M | 18.78%89.97M | 18.78%89.97M | 55.63%75.75M | 55.63%75.75M | -33.84%48.67M | -33.84%48.67M | -25.75%73.57M | -25.75%73.57M |
| Receivables | -7.22%37.01M | -7.22%37.01M | -33.03%39.89M | -33.03%39.89M | 44.03%59.57M | 44.03%59.57M | -29.54%41.36M | -29.54%41.36M | 2.53%58.7M | 2.53%58.7M |
| -Accounts receivable | -6.82%36.93M | -6.82%36.93M | -29.92%39.63M | -29.92%39.63M | 42.16%56.56M | 42.16%56.56M | -1.13%39.78M | -1.13%39.78M | -8.08%40.24M | -8.08%40.24M |
| -Other receivables | -68.46%82K | -68.46%82K | -91.36%260K | -91.36%260K | 91.35%3.01M | 91.35%3.01M | -91.48%1.57M | -91.48%1.57M | 36.96%18.46M | 36.96%18.46M |
| Prepaid assets | 3.56%7.74M | 3.56%7.74M | -14.51%7.47M | -14.51%7.47M | 12.69%8.74M | 12.69%8.74M | -11.84%7.75M | -11.84%7.75M | 49.02%8.8M | 49.02%8.8M |
| Current deferred assets | 25.74%4.69M | 25.74%4.69M | -27.28%3.73M | -27.28%3.73M | -10.19%5.13M | -10.19%5.13M | 166.12%5.71M | 166.12%5.71M | 340.66%2.15M | 340.66%2.15M |
| Other current assets | -14.52%11.75M | -14.52%11.75M | -31.01%13.75M | -31.01%13.75M | -14.43%19.93M | -14.43%19.93M | 1,427.28%23.29M | 1,427.28%23.29M | -25.93%1.53M | -25.93%1.53M |
| Total current assets | -22.57%119.88M | -22.57%119.88M | -8.46%154.81M | -8.46%154.81M | 33.39%169.11M | 33.39%169.11M | -12.40%126.78M | -12.40%126.78M | -12.17%144.73M | -12.17%144.73M |
| Non current assets | ||||||||||
| Net PPE | -28.76%19.82M | -28.76%19.82M | -27.88%27.82M | -27.88%27.82M | -21.20%38.58M | -21.20%38.58M | -10.04%48.96M | -10.04%48.96M | -14.14%54.42M | -14.14%54.42M |
| -Gross PPE | -80.66%19.82M | -80.66%19.82M | -18.44%102.47M | -18.44%102.47M | 3.29%125.64M | 3.29%125.64M | 6.13%121.63M | 6.13%121.63M | 5.92%114.6M | 5.92%114.6M |
| -Accumulated depreciation | ---- | ---- | 14.25%-74.65M | 14.25%-74.65M | -19.79%-87.06M | -19.79%-87.06M | -20.75%-72.68M | -20.75%-72.68M | -34.27%-60.19M | -34.27%-60.19M |
| Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -20.61%5.45M | -20.61%5.45M |
| Goodwill and other intangible assets | -6.07%33.42M | -6.07%33.42M | -2.21%35.58M | -2.21%35.58M | -86.22%36.39M | -86.22%36.39M | 4.55%264.06M | 4.55%264.06M | 28.71%252.56M | 28.71%252.56M |
| -Goodwill | ---- | ---- | ---- | ---- | ---- | ---- | -0.95%163.03M | -0.95%163.03M | 21.48%164.59M | 21.48%164.59M |
| -Other intangible assets | -6.07%33.42M | -6.07%33.42M | -2.21%35.58M | -2.21%35.58M | -63.98%36.39M | -63.98%36.39M | 14.84%101.03M | 14.84%101.03M | 44.85%87.97M | 44.85%87.97M |
| Non current deferred assets | -7.36%3.5M | -7.36%3.5M | 114.24%3.78M | 114.24%3.78M | 22.86%1.76M | 22.86%1.76M | 143.22%1.44M | 143.22%1.44M | -83.60%590K | -83.60%590K |
| Other non current assets | -55.33%3.22M | -55.33%3.22M | -16.46%7.21M | -16.46%7.21M | -2.84%8.63M | -2.84%8.63M | --8.88M | --8.88M | ---- | ---- |
| Total non current assets | -19.39%59.96M | -19.39%59.96M | -12.85%74.39M | -12.85%74.39M | -73.60%85.36M | -73.60%85.36M | 3.30%323.33M | 3.30%323.33M | 15.91%313.02M | 15.91%313.02M |
| Total assets | -21.54%179.84M | -21.54%179.84M | -9.93%229.2M | -9.93%229.2M | -43.47%254.47M | -43.47%254.47M | -1.67%450.12M | -1.67%450.12M | 5.27%457.75M | 5.27%457.75M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -2.04%4.51M | -2.04%4.51M | -35.35%4.6M | -35.35%4.6M | -14.20%7.12M | -14.20%7.12M | 4.95%8.29M | 4.95%8.29M | 1.01%7.9M | 1.01%7.9M |
| -Current capital lease obligation | -2.04%4.51M | -2.04%4.51M | -35.35%4.6M | -35.35%4.6M | -14.20%7.12M | -14.20%7.12M | 4.95%8.29M | 4.95%8.29M | 1.01%7.9M | 1.01%7.9M |
| Payables | -18.57%7.8M | -18.57%7.8M | -46.45%9.58M | -46.45%9.58M | 13.68%17.89M | 13.68%17.89M | 16.99%15.74M | 16.99%15.74M | 3.98%13.45M | 3.98%13.45M |
| -accounts payable | -18.57%7.8M | -18.57%7.8M | -20.39%9.58M | -20.39%9.58M | 74.44%12.03M | 74.44%12.03M | 24.99%6.9M | 24.99%6.9M | -3.68%5.52M | -3.68%5.52M |
| -Other payable | ---- | ---- | ---- | ---- | -33.74%5.86M | -33.74%5.86M | 11.42%8.84M | 11.42%8.84M | 10.07%7.93M | 10.07%7.93M |
| Current provisions | -88.25%577K | -88.25%577K | -58.75%4.91M | -58.75%4.91M | --11.91M | --11.91M | ---- | ---- | ---- | ---- |
| Pension and other retirement benefit plans | -8.69%13.05M | -8.69%13.05M | -6.52%14.3M | -6.52%14.3M | 21.27%15.29M | 21.27%15.29M | 6.66%12.61M | 6.66%12.61M | 4.08%11.82M | 4.08%11.82M |
| Current deferred liabilities | -96.74%1.09M | -96.74%1.09M | -8.88%33.51M | -8.88%33.51M | 17.62%36.78M | 17.62%36.78M | -1.97%31.27M | -1.97%31.27M | 0.06%31.9M | 0.06%31.9M |
| Other current liabilities | -1.40%44.02M | -1.40%44.02M | 258.59%44.64M | 258.59%44.64M | -4.56%12.45M | -4.56%12.45M | -12.62%13.04M | -12.62%13.04M | 42.80%14.93M | 42.80%14.93M |
| Current liabilities | -36.30%71.05M | -36.30%71.05M | 9.96%111.54M | 9.96%111.54M | 25.30%101.43M | 25.30%101.43M | 1.19%80.95M | 1.19%80.95M | 7.46%80M | 7.46%80M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -31.21%8.81M | -31.21%8.81M | -38.04%12.81M | -38.04%12.81M | -7.26%20.67M | -7.26%20.67M | -22.78%22.29M | -22.78%22.29M | -16.36%28.86M | -16.36%28.86M |
| -Long term capital lease obligation | -31.21%8.81M | -31.21%8.81M | -38.04%12.81M | -38.04%12.81M | -7.26%20.67M | -7.26%20.67M | -22.78%22.29M | -22.78%22.29M | -16.36%28.86M | -16.36%28.86M |
| Long term provisions | 20.10%1.42M | 20.10%1.42M | -66.05%1.18M | -66.05%1.18M | -44.93%3.47M | -44.93%3.47M | 114.74%6.31M | 114.74%6.31M | 1.14%2.94M | 1.14%2.94M |
| Employee benefits | -32.67%2.06M | -32.67%2.06M | 5.48%3.06M | 5.48%3.06M | 29.15%2.9M | 29.15%2.9M | 7.10%2.25M | 7.10%2.25M | 16.04%2.1M | 16.04%2.1M |
| Non current deferred liabilities | --2.93M | --2.93M | ---- | ---- | -97.56%84K | -97.56%84K | 26.17%3.45M | 26.17%3.45M | -11.24%2.73M | -11.24%2.73M |
| Other non current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 54.38%11.34M | 54.38%11.34M |
| Total non current liabilities | -10.75%15.22M | -10.75%15.22M | -37.16%17.05M | -37.16%17.05M | -20.88%27.13M | -20.88%27.13M | -28.52%34.29M | -28.52%34.29M | -3.37%47.97M | -3.37%47.97M |
| Total liabilities | -32.92%86.26M | -32.92%86.26M | 0.02%128.59M | 0.02%128.59M | 11.56%128.56M | 11.56%128.56M | -9.95%115.24M | -9.95%115.24M | 3.12%127.97M | 3.12%127.97M |
| Shareholders'equity | ||||||||||
| Share capital | -17.41%357.49M | -17.41%357.49M | 0.00%432.87M | 0.00%432.87M | 21.05%432.87M | 21.05%432.87M | 0.85%357.58M | 0.85%357.58M | 0.81%354.58M | 0.81%354.58M |
| -common stock | -17.41%357.49M | -17.41%357.49M | 0.00%432.87M | 0.00%432.87M | 21.05%432.87M | 21.05%432.87M | 0.85%357.58M | 0.85%357.58M | 0.81%354.58M | 0.81%354.58M |
| Retained earnings | 8.64%-286.05M | 8.64%-286.05M | 2.73%-313.12M | 2.73%-313.12M | -870.79%-321.89M | -870.79%-321.89M | 15.08%-33.16M | 15.08%-33.16M | 27.19%-39.05M | 27.19%-39.05M |
| Gains losses not affecting retained earnings | 59.03%22.14M | 59.03%22.14M | -6.80%13.92M | -6.80%13.92M | 42.89%14.94M | 42.89%14.94M | -26.64%10.45M | -26.64%10.45M | 12.61%14.25M | 12.61%14.25M |
| Total stockholders'equity | -29.99%93.58M | -29.99%93.58M | 6.16%133.67M | 6.16%133.67M | -62.40%125.91M | -62.40%125.91M | 1.54%334.88M | 1.54%334.88M | 6.12%329.78M | 6.12%329.78M |
| Total equity | -29.99%93.58M | -29.99%93.58M | 6.16%133.67M | 6.16%133.67M | -62.40%125.91M | -62.40%125.91M | 1.54%334.88M | 1.54%334.88M | 6.12%329.78M | 6.12%329.78M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |