Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
CNOOC
00883
5
YANCHANG PETRO
00346
| (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 | 29.73%51.02M | 29.73%51.02M | -15.60%39.33M | -15.60%39.33M | -15.68%46.6M | -15.68%46.6M | -4.00%55.27M | -4.00%55.27M | -12.41%57.57M | -12.41%57.57M |
| -Cash and cash equivalents | 29.73%51.02M | 29.73%51.02M | -15.56%39.33M | -15.56%39.33M | -15.72%46.58M | -15.72%46.58M | -4.00%55.27M | -4.00%55.27M | -12.41%57.57M | -12.41%57.57M |
| -Short term investments | ---- | ---- | ---- | ---- | --21K | --21K | ---- | ---- | ---- | ---- |
| Receivables | 20.53%49.62M | 20.53%49.62M | -5.22%41.17M | -5.22%41.17M | -20.58%43.44M | -20.58%43.44M | 6.87%54.7M | 6.87%54.7M | 3.75%51.18M | 3.75%51.18M |
| -Accounts receivable | 15.74%39.36M | 15.74%39.36M | -7.30%34M | -7.30%34M | -27.87%36.68M | -27.87%36.68M | 11.10%50.86M | 11.10%50.86M | 8.61%45.78M | 8.61%45.78M |
| -Other receivables | 44.72%10.81M | 44.72%10.81M | 1.32%7.47M | 1.32%7.47M | 32.94%7.37M | 32.94%7.37M | -26.37%5.54M | -26.37%5.54M | -19.01%7.53M | -19.01%7.53M |
| -Recievables adjustments allowances | -80.87%-539K | -80.87%-539K | 50.99%-298K | 50.99%-298K | 64.26%-608K | 64.26%-608K | 19.92%-1.7M | 19.92%-1.7M | -0.38%-2.12M | -0.38%-2.12M |
| Inventory | 12.04%29.8M | 12.04%29.8M | -18.30%26.6M | -18.30%26.6M | 16.86%32.55M | 16.86%32.55M | 5.04%27.86M | 5.04%27.86M | 5.51%26.52M | 5.51%26.52M |
| Prepaid assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --8.7M | --8.7M |
| Current deferred assets | ---- | ---- | -5.98%7.07M | -5.98%7.07M | 1,203.64%7.52M | 1,203.64%7.52M | --577K | --577K | ---- | ---- |
| Hedging assets-current | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --2K | --2K |
| Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -64.06%1.15M | -64.06%1.15M |
| Other current assets | 8.42%29.72M | 8.42%29.72M | -13.60%27.41M | -13.60%27.41M | -27.80%31.72M | -27.80%31.72M | 60.66%43.94M | 60.66%43.94M | 113.05%27.35M | 113.05%27.35M |
| Total current assets | 13.13%160.17M | 13.13%160.17M | -12.52%141.58M | -12.52%141.58M | -11.24%161.84M | -11.24%161.84M | 5.72%182.34M | 5.72%182.34M | 9.46%172.47M | 9.46%172.47M |
| Non current assets | ||||||||||
| Net PPE | -8.77%48.03M | -8.77%48.03M | -7.31%52.64M | -7.31%52.64M | -10.21%56.8M | -10.21%56.8M | -10.57%63.25M | -10.57%63.25M | 3.94%70.73M | 3.94%70.73M |
| -Gross PPE | -3.65%199.26M | -3.65%199.26M | 2.95%206.82M | 2.95%206.82M | 0.81%200.88M | 0.81%200.88M | -1.12%199.26M | -1.12%199.26M | 6.22%201.53M | 6.22%201.53M |
| -Accumulated depreciation | 1.91%-151.23M | 1.91%-151.23M | -7.00%-154.17M | -7.00%-154.17M | -5.94%-144.09M | -5.94%-144.09M | -3.98%-136.01M | -3.98%-136.01M | -7.50%-130.8M | -7.50%-130.8M |
| Non current accounts receivable | --34K | --34K | ---- | ---- | -29.40%1.2M | -29.40%1.2M | -43.28%1.7M | -43.28%1.7M | -44.89%2.99M | -44.89%2.99M |
| Goodwill and other intangible assets | -20.57%38.32M | -20.57%38.32M | 1.78%48.24M | 1.78%48.24M | 1.17%47.39M | 1.17%47.39M | -42.57%46.85M | -42.57%46.85M | -4.15%81.57M | -4.15%81.57M |
| -Goodwill | -20.93%34.41M | -20.93%34.41M | 0.00%43.52M | 0.00%43.52M | 0.00%43.52M | 0.00%43.52M | -39.61%43.52M | -39.61%43.52M | 0.00%72.07M | 0.00%72.07M |
| -Other intangible assets | -17.22%3.9M | -17.22%3.9M | 21.80%4.72M | 21.80%4.72M | 16.49%3.87M | 16.49%3.87M | -65.02%3.32M | -65.02%3.32M | -27.10%9.5M | -27.10%9.5M |
| Non current deferred assets | 34.06%10.89M | 34.06%10.89M | -9.36%8.12M | -9.36%8.12M | -44.23%8.96M | -44.23%8.96M | 108.18%16.07M | 108.18%16.07M | 1.67%7.72M | 1.67%7.72M |
| Total non current assets | -10.77%97.27M | -10.77%97.27M | -4.67%109M | -4.67%109M | -10.57%114.35M | -10.57%114.35M | -21.56%127.86M | -21.56%127.86M | -1.90%163M | -1.90%163M |
| Total assets | 2.73%257.43M | 2.73%257.43M | -9.27%250.59M | -9.27%250.59M | -10.96%276.19M | -10.96%276.19M | -7.53%310.2M | -7.53%310.2M | 3.63%335.47M | 3.63%335.47M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -10.15%6.55M | -10.15%6.55M | 22.18%7.29M | 22.18%7.29M | 18.31%5.97M | 18.31%5.97M | -29.24%5.05M | -29.24%5.05M | 0.69%7.13M | 0.69%7.13M |
| -Current debt | ---- | ---- | ---- | ---- | ---- | ---- | --19K | --19K | ---- | ---- |
| -Current capital lease obligation | -10.15%6.55M | -10.15%6.55M | 22.18%7.29M | 22.18%7.29M | 18.76%5.97M | 18.76%5.97M | -29.50%5.03M | -29.50%5.03M | 0.69%7.13M | 0.69%7.13M |
| Payables | -0.37%46.4M | -0.37%46.4M | 25.15%46.57M | 25.15%46.57M | -40.19%37.22M | -40.19%37.22M | 13.33%62.22M | 13.33%62.22M | 18.12%54.9M | 18.12%54.9M |
| -accounts payable | -11.52%31.83M | -11.52%31.83M | 49.35%35.97M | 49.35%35.97M | -43.92%24.08M | -43.92%24.08M | 29.13%42.94M | 29.13%42.94M | 18.76%33.26M | 18.76%33.26M |
| -Other payable | 37.43%14.58M | 37.43%14.58M | -19.24%10.61M | -19.24%10.61M | -31.88%13.13M | -31.88%13.13M | -10.94%19.28M | -10.94%19.28M | 17.16%21.65M | 17.16%21.65M |
| Current provisions | 1,263.24%5.04M | 1,263.24%5.04M | -72.49%370K | -72.49%370K | -92.60%1.35M | -92.60%1.35M | 998.55%18.18M | 998.55%18.18M | -51.06%1.66M | -51.06%1.66M |
| Pension and other retirement benefit plans | -4.26%7.95M | -4.26%7.95M | 3.80%8.31M | 3.80%8.31M | 3.79%8M | 3.79%8M | 18.85%7.71M | 18.85%7.71M | 11.11%6.49M | 11.11%6.49M |
| Current deferred liabilities | --6.14M | --6.14M | ---- | ---- | 0.00%199K | 0.00%199K | -95.96%199K | -95.96%199K | 710.20%4.93M | 710.20%4.93M |
| Other current liabilities | -21.47%8.76M | -21.47%8.76M | -70.89%11.15M | -70.89%11.15M | 24.40%38.31M | 24.40%38.31M | 137.85%30.79M | 137.85%30.79M | -17.65%12.95M | -17.65%12.95M |
| Current liabilities | 9.70%80.85M | 9.70%80.85M | -19.05%73.7M | -19.05%73.7M | -26.67%91.04M | -26.67%91.04M | 41.00%124.16M | 41.00%124.16M | 11.30%88.05M | 11.30%88.05M |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | -5.76%10.7M | -5.76%10.7M | -41.38%11.36M | -41.38%11.36M | -12.54%19.38M | -12.54%19.38M | -8.63%22.15M | -8.63%22.15M | 50.39%24.25M | 50.39%24.25M |
| -Long term capital lease obligation | -5.76%10.7M | -5.76%10.7M | -41.38%11.36M | -41.38%11.36M | -12.54%19.38M | -12.54%19.38M | -8.63%22.15M | -8.63%22.15M | 50.39%24.25M | 50.39%24.25M |
| Employee benefits | -59.31%118K | -59.31%118K | 111.68%290K | 111.68%290K | -62.57%137K | -62.57%137K | -48.16%366K | -48.16%366K | 17.08%706K | 17.08%706K |
| Total non current liabilities | -7.09%10.82M | -7.09%10.82M | -40.30%11.65M | -40.30%11.65M | -13.36%19.51M | -13.36%19.51M | -9.75%22.52M | -9.75%22.52M | 37.99%24.95M | 37.99%24.95M |
| Total liabilities | 7.41%91.67M | 7.41%91.67M | -22.80%85.34M | -22.80%85.34M | -24.63%110.55M | -24.63%110.55M | 29.80%146.68M | 29.80%146.68M | 16.27%113M | 16.27%113M |
| Shareholders'equity | ||||||||||
| Share capital | -1.70%248.86M | -1.70%248.86M | -0.08%253.16M | -0.08%253.16M | 0.08%253.36M | 0.08%253.36M | -0.22%253.17M | -0.22%253.17M | -0.52%253.73M | -0.52%253.73M |
| -common stock | -1.70%248.86M | -1.70%248.86M | -0.08%253.16M | -0.08%253.16M | 0.08%253.36M | 0.08%253.36M | -0.22%253.17M | -0.22%253.17M | -0.52%253.73M | -0.52%253.73M |
| Retained earnings | 1.72%-84.91M | 1.72%-84.91M | -0.20%-86.4M | -0.20%-86.4M | 2.52%-86.23M | 2.52%-86.23M | -200.93%-88.46M | -200.93%-88.46M | -14.37%-29.4M | -14.37%-29.4M |
| Gains losses not affecting retained earnings | 220.28%1.82M | 220.28%1.82M | -1.00%-1.51M | -1.00%-1.51M | -25.76%-1.5M | -25.76%-1.5M | 36.12%-1.19M | 36.12%-1.19M | 33.90%-1.87M | 33.90%-1.87M |
| Total stockholders'equity | 0.32%165.77M | 0.32%165.77M | -0.24%165.24M | -0.24%165.24M | 1.29%165.63M | 1.29%165.63M | -26.50%163.52M | -26.50%163.52M | -1.79%222.47M | -1.79%222.47M |
| Total equity | 0.32%165.77M | 0.32%165.77M | -0.24%165.24M | -0.24%165.24M | 1.29%165.63M | 1.29%165.63M | -26.50%163.52M | -26.50%163.52M | -1.79%222.47M | -1.79%222.47M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |