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CNU CNOOC Ltd

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15min DelayMarket Closed Nov 15 09:30 ET
0Market Cap0.00P/E (TTM)

CNOOC Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
(FY)Dec 31, 2013
(FY)Dec 31, 2012
(FY)Dec 31, 2011
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-33.34%82.34B
-0.70%123.52B
30.88%124.4B
30.45%95.05B
-9.03%72.86B
-27.52%80.1B
-0.35%110.51B
19.79%110.89B
-20.31%92.57B
63.89%116.17B
Net income from continuing operations
-59.24%34.91B
13.96%85.65B
106.55%75.16B
789.80%36.39B
-130.79%-5.28B
-79.24%17.13B
2.06%82.51B
-10.34%80.85B
-2.59%90.17B
27.49%92.57B
Operating gains losses
-56.38%-1.85B
-151.19%-1.18B
237.23%2.31B
-525.25%-1.68B
119.38%396M
63.04%-2.04B
-1,800.92%-5.53B
171.59%325M
83.17%-454M
-318.29%-2.7B
Depreciation and amortization
-9.35%52.31B
13.50%57.7B
-17.26%50.84B
-10.83%61.44B
-6.17%68.91B
26.00%73.44B
3.24%58.29B
71.58%56.46B
7.80%32.9B
14.07%30.52B
Asset impairment expenditure
148.28%5.2B
-66.92%2.09B
-26.89%6.33B
-19.58%8.66B
292.13%10.77B
-33.35%2.75B
9,255.56%4.12B
-245.16%-45M
40.91%31M
-18.52%22M
Remuneration paid in stock
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-62.58%525M
--1.4B
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----
Remuneration paid in stock
----
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----
----
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-78.00%11M
-65.03%50M
-34.40%143M
Other non cashItems
-1.69%4.72B
9.95%4.8B
-2.28%4.36B
-16.45%4.47B
0.56%5.35B
41.85%5.32B
57.24%3.75B
296.51%2.38B
20.68%601M
-1.19%498M
Change In working capital
247.30%4.53B
-384.74%-3.08B
-19.33%1.08B
125.97%1.34B
220.53%593M
-7.89%-492M
-112.82%-456M
163.91%3.56B
-128.18%-5.57B
245.90%19.76B
-Change in receivables
274.95%5.62B
-241.81%-3.21B
27.24%-940M
54.18%-1.29B
-135.55%-2.82B
6.17%7.93B
231.12%7.47B
-44.73%-5.7B
-144.45%-3.94B
232.43%8.86B
-Change in inventory
272.39%2.25B
-175.81%-1.3B
17.41%1.72B
58.89%1.47B
-35.39%922M
192.66%1.43B
13.24%-1.54B
-257.86%-1.78B
-55.49%-496M
32.84%-319M
-Change in payables and accrued expense
-331.76%-3.34B
378.07%1.44B
-74.21%301M
-53.15%1.17B
125.29%2.49B
-54.24%-9.85B
-157.90%-6.39B
1,072.75%11.03B
-110.11%-1.13B
103.91%11.22B
Tax refund paid
22.19%-17.48B
-43.19%-22.46B
2.49%-15.68B
-73.44%-16.09B
42.04%-9.27B
50.27%-16B
1.45%-32.17B
-29.75%-32.65B
-2.13%-25.16B
-63.84%-24.64B
Cash from discontinued investing activities
Operating cash flow
-33.34%82.34B
-0.70%123.52B
30.88%124.4B
30.45%95.05B
-9.03%72.86B
-27.52%80.1B
-0.35%110.51B
19.79%110.89B
-20.31%92.57B
63.89%116.17B
Investing cash flow
Cash flow from continuing investing activities
24.62%-50.85B
29.33%-67.46B
-47.43%-95.45B
-131.62%-64.75B
63.46%-27.95B
15.17%-76.5B
46.96%-90.18B
-166.52%-170.03B
35.58%-63.8B
-54.25%-99.04B
Capital expenditure reported
-6.94%-71B
-30.18%-66.4B
-6.10%-51B
6.39%-48.07B
24.13%-51.35B
29.27%-67.67B
-20.02%-95.67B
-46.72%-79.72B
-47.55%-54.33B
---36.82B
Net PPE purchase and sale
20.50%-4.42B
-1,803.99%-5.56B
196.36%326M
-79.32%110M
-2.21%532M
-68.35%544M
126.24%1.72B
23.71%-6.55B
45.86%-8.59B
59.79%-15.86B
Net business purchase and sale
16.61%-6.43B
-8,861.63%-7.71B
59.43%-86M
15.54%-212M
-2.45%-251M
---245M
--0
-3,515.38%-87.93B
67.75%-2.43B
64.53%-7.54B
Net investment purchase and sale
172.26%29.61B
123.71%10.87B
-160.55%-45.86B
-180.12%-17.6B
316.90%21.97B
-492.10%-10.13B
-19.93%2.58B
331.92%3.23B
96.52%-1.39B
-879.94%-40.01B
Dividends received (cash flow from investment activities)
-7.94%371M
37.07%403M
-18.11%294M
165.93%359M
-31.12%135M
28.10%196M
142.86%153M
-95.34%63M
634.78%1.35B
25.17%184M
Interest received (cash flow from investment activities)
10.08%1.02B
5.85%923M
30.93%872M
-34.06%666M
24.38%1.01B
-22.00%812M
19.52%1.04B
-45.25%871M
57.06%1.59B
97.47%1.01B
Cash from discontinued investing activities
Investing cash flow
24.62%-50.85B
29.33%-67.46B
-47.43%-95.45B
-131.62%-64.75B
63.46%-27.95B
15.17%-76.5B
46.96%-90.18B
-166.52%-170.03B
35.58%-63.8B
-54.25%-99.04B
Financing cash flow
Cash flow from continuing financing activities
-2.67%-38.7B
-39.04%-37.69B
13.33%-27.11B
27.67%-31.28B
-527.30%-43.24B
64.63%-6.89B
-204.76%-19.49B
619.85%18.6B
112.76%2.58B
-1,157.52%-20.25B
Net issuance payments of debt
-371.85%-7.03B
50.61%2.59B
118.70%1.72B
61.71%-9.18B
-227.52%-23.99B
288.29%18.81B
-88.64%4.84B
112.70%42.66B
685.85%20.06B
-80.68%2.55B
Net common stock issuance
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---256M
Cash dividends paid
10.78%-25.85B
-22.82%-28.97B
-40.06%-23.59B
-19.00%-16.84B
30.69%-14.15B
-1.00%-20.42B
0.05%-20.22B
-29.36%-20.23B
25.11%-15.64B
-45.08%-20.88B
Proceeds from stock option exercised by employees
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--3M
--0
--0
Interest paid (cash flow from financing activities)
-0.03%-6B
-13.94%-6B
-0.27%-5.26B
-2.90%-5.25B
3.43%-5.1B
-28.42%-5.28B
-7.36%-4.11B
-108.71%-3.83B
-10.27%-1.84B
-286.31%-1.67B
Net other financing activities
103.45%183M
-19,050.00%-5.31B
--28M
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Cash from discontinued financing activities
Financing cash flow
-2.67%-38.7B
-39.04%-37.69B
13.33%-27.11B
27.67%-31.28B
-527.30%-43.24B
64.63%-6.89B
-204.76%-19.49B
619.85%18.6B
112.76%2.58B
-1,157.52%-20.25B
Net cash flow
Beginning cash position
124.60%33.68B
15.80%15B
-8.38%12.95B
19.10%14.13B
-20.45%11.87B
4.19%14.92B
-73.98%14.32B
132.38%55.02B
-13.23%23.68B
20.66%27.29B
Current changes in cash
-139.24%-7.21B
899.62%18.37B
289.48%1.84B
-158.08%-970M
150.71%1.67B
-489.70%-3.29B
102.08%845M
-229.27%-40.54B
1,108.07%31.36B
-161.36%-3.11B
Effect of exchange rate changes
-887.78%-2.45B
49.52%311M
196.74%208M
-208.59%-215M
-18.18%198M
198.78%242M
-47.59%-245M
-1,006.67%-166M
96.99%-15M
-25.13%-498M
End cash Position
-28.68%24.02B
124.60%33.68B
15.80%15B
-5.72%12.95B
15.74%13.74B
-20.45%11.87B
4.19%14.92B
-73.98%14.32B
132.38%55.02B
-13.23%23.68B
Free cash from
-86.56%6.92B
-29.57%51.51B
55.66%73.13B
118.36%46.98B
73.22%21.52B
-16.27%12.42B
-38.63%14.84B
-18.15%24.17B
-53.41%29.53B
102.93%63.4B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014(FY)Dec 31, 2013(FY)Dec 31, 2012(FY)Dec 31, 2011
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -33.34%82.34B-0.70%123.52B30.88%124.4B30.45%95.05B-9.03%72.86B-27.52%80.1B-0.35%110.51B19.79%110.89B-20.31%92.57B63.89%116.17B
Net income from continuing operations -59.24%34.91B13.96%85.65B106.55%75.16B789.80%36.39B-130.79%-5.28B-79.24%17.13B2.06%82.51B-10.34%80.85B-2.59%90.17B27.49%92.57B
Operating gains losses -56.38%-1.85B-151.19%-1.18B237.23%2.31B-525.25%-1.68B119.38%396M63.04%-2.04B-1,800.92%-5.53B171.59%325M83.17%-454M-318.29%-2.7B
Depreciation and amortization -9.35%52.31B13.50%57.7B-17.26%50.84B-10.83%61.44B-6.17%68.91B26.00%73.44B3.24%58.29B71.58%56.46B7.80%32.9B14.07%30.52B
Asset impairment expenditure 148.28%5.2B-66.92%2.09B-26.89%6.33B-19.58%8.66B292.13%10.77B-33.35%2.75B9,255.56%4.12B-245.16%-45M40.91%31M-18.52%22M
Remuneration paid in stock -------------62.58%525M--1.4B--------------------
Remuneration paid in stock -----------------------------78.00%11M-65.03%50M-34.40%143M
Other non cashItems -1.69%4.72B9.95%4.8B-2.28%4.36B-16.45%4.47B0.56%5.35B41.85%5.32B57.24%3.75B296.51%2.38B20.68%601M-1.19%498M
Change In working capital 247.30%4.53B-384.74%-3.08B-19.33%1.08B125.97%1.34B220.53%593M-7.89%-492M-112.82%-456M163.91%3.56B-128.18%-5.57B245.90%19.76B
-Change in receivables 274.95%5.62B-241.81%-3.21B27.24%-940M54.18%-1.29B-135.55%-2.82B6.17%7.93B231.12%7.47B-44.73%-5.7B-144.45%-3.94B232.43%8.86B
-Change in inventory 272.39%2.25B-175.81%-1.3B17.41%1.72B58.89%1.47B-35.39%922M192.66%1.43B13.24%-1.54B-257.86%-1.78B-55.49%-496M32.84%-319M
-Change in payables and accrued expense -331.76%-3.34B378.07%1.44B-74.21%301M-53.15%1.17B125.29%2.49B-54.24%-9.85B-157.90%-6.39B1,072.75%11.03B-110.11%-1.13B103.91%11.22B
Tax refund paid 22.19%-17.48B-43.19%-22.46B2.49%-15.68B-73.44%-16.09B42.04%-9.27B50.27%-16B1.45%-32.17B-29.75%-32.65B-2.13%-25.16B-63.84%-24.64B
Cash from discontinued investing activities
Operating cash flow -33.34%82.34B-0.70%123.52B30.88%124.4B30.45%95.05B-9.03%72.86B-27.52%80.1B-0.35%110.51B19.79%110.89B-20.31%92.57B63.89%116.17B
Investing cash flow
Cash flow from continuing investing activities 24.62%-50.85B29.33%-67.46B-47.43%-95.45B-131.62%-64.75B63.46%-27.95B15.17%-76.5B46.96%-90.18B-166.52%-170.03B35.58%-63.8B-54.25%-99.04B
Capital expenditure reported -6.94%-71B-30.18%-66.4B-6.10%-51B6.39%-48.07B24.13%-51.35B29.27%-67.67B-20.02%-95.67B-46.72%-79.72B-47.55%-54.33B---36.82B
Net PPE purchase and sale 20.50%-4.42B-1,803.99%-5.56B196.36%326M-79.32%110M-2.21%532M-68.35%544M126.24%1.72B23.71%-6.55B45.86%-8.59B59.79%-15.86B
Net business purchase and sale 16.61%-6.43B-8,861.63%-7.71B59.43%-86M15.54%-212M-2.45%-251M---245M--0-3,515.38%-87.93B67.75%-2.43B64.53%-7.54B
Net investment purchase and sale 172.26%29.61B123.71%10.87B-160.55%-45.86B-180.12%-17.6B316.90%21.97B-492.10%-10.13B-19.93%2.58B331.92%3.23B96.52%-1.39B-879.94%-40.01B
Dividends received (cash flow from investment activities) -7.94%371M37.07%403M-18.11%294M165.93%359M-31.12%135M28.10%196M142.86%153M-95.34%63M634.78%1.35B25.17%184M
Interest received (cash flow from investment activities) 10.08%1.02B5.85%923M30.93%872M-34.06%666M24.38%1.01B-22.00%812M19.52%1.04B-45.25%871M57.06%1.59B97.47%1.01B
Cash from discontinued investing activities
Investing cash flow 24.62%-50.85B29.33%-67.46B-47.43%-95.45B-131.62%-64.75B63.46%-27.95B15.17%-76.5B46.96%-90.18B-166.52%-170.03B35.58%-63.8B-54.25%-99.04B
Financing cash flow
Cash flow from continuing financing activities -2.67%-38.7B-39.04%-37.69B13.33%-27.11B27.67%-31.28B-527.30%-43.24B64.63%-6.89B-204.76%-19.49B619.85%18.6B112.76%2.58B-1,157.52%-20.25B
Net issuance payments of debt -371.85%-7.03B50.61%2.59B118.70%1.72B61.71%-9.18B-227.52%-23.99B288.29%18.81B-88.64%4.84B112.70%42.66B685.85%20.06B-80.68%2.55B
Net common stock issuance ---------------------------------------256M
Cash dividends paid 10.78%-25.85B-22.82%-28.97B-40.06%-23.59B-19.00%-16.84B30.69%-14.15B-1.00%-20.42B0.05%-20.22B-29.36%-20.23B25.11%-15.64B-45.08%-20.88B
Proceeds from stock option exercised by employees ------------------------------3M--0--0
Interest paid (cash flow from financing activities) -0.03%-6B-13.94%-6B-0.27%-5.26B-2.90%-5.25B3.43%-5.1B-28.42%-5.28B-7.36%-4.11B-108.71%-3.83B-10.27%-1.84B-286.31%-1.67B
Net other financing activities 103.45%183M-19,050.00%-5.31B--28M----------------------------
Cash from discontinued financing activities
Financing cash flow -2.67%-38.7B-39.04%-37.69B13.33%-27.11B27.67%-31.28B-527.30%-43.24B64.63%-6.89B-204.76%-19.49B619.85%18.6B112.76%2.58B-1,157.52%-20.25B
Net cash flow
Beginning cash position 124.60%33.68B15.80%15B-8.38%12.95B19.10%14.13B-20.45%11.87B4.19%14.92B-73.98%14.32B132.38%55.02B-13.23%23.68B20.66%27.29B
Current changes in cash -139.24%-7.21B899.62%18.37B289.48%1.84B-158.08%-970M150.71%1.67B-489.70%-3.29B102.08%845M-229.27%-40.54B1,108.07%31.36B-161.36%-3.11B
Effect of exchange rate changes -887.78%-2.45B49.52%311M196.74%208M-208.59%-215M-18.18%198M198.78%242M-47.59%-245M-1,006.67%-166M96.99%-15M-25.13%-498M
End cash Position -28.68%24.02B124.60%33.68B15.80%15B-5.72%12.95B15.74%13.74B-20.45%11.87B4.19%14.92B-73.98%14.32B132.38%55.02B-13.23%23.68B
Free cash from -86.56%6.92B-29.57%51.51B55.66%73.13B118.36%46.98B73.22%21.52B-16.27%12.42B-38.63%14.84B-18.15%24.17B-53.41%29.53B102.93%63.4B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion with Explanatory Notes

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.

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