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 | -75.86%420.05K | -75.86%420.05K | 3,432.79%1.74M | 3,432.79%1.74M | -38.46%49.25K | -38.46%49.25K | -96.88%80.04K | -96.88%80.04K | 1,356.25%2.57M | 1,356.25%2.57M |
| -Cash and cash equivalents | -75.86%420.05K | -75.86%420.05K | 3,432.79%1.74M | 3,432.79%1.74M | -38.46%49.25K | -38.46%49.25K | -96.88%80.04K | -96.88%80.04K | 1,356.25%2.57M | 1,356.25%2.57M |
| Receivables | -68.51%485.77K | -68.51%485.77K | 362.99%1.54M | 362.99%1.54M | 301.31%333.23K | 301.31%333.23K | -74.03%83.04K | -74.03%83.04K | 391.71%319.79K | 391.71%319.79K |
| -Accounts receivable | -90.25%114.97K | -90.25%114.97K | 273.67%1.18M | 273.67%1.18M | 580.92%315.72K | 580.92%315.72K | 987.64%46.37K | 987.64%46.37K | -87.58%4.26K | -87.58%4.26K |
| -Other receivables | 2.12%370.8K | 2.12%370.8K | 1,972.98%363.1K | 1,972.98%363.1K | -52.23%17.52K | -52.23%17.52K | -88.38%36.67K | -88.38%36.67K | 927.19%315.52K | 927.19%315.52K |
| Inventory | 6.23%729.04K | 6.23%729.04K | 507.48%686.3K | 507.48%686.3K | -60.85%112.98K | -60.85%112.98K | --288.55K | --288.55K | ---- | ---- |
| Prepaid assets | -75.24%73.92K | -75.24%73.92K | 648.65%298.54K | 648.65%298.54K | -63.02%39.88K | -63.02%39.88K | 49.26%107.84K | 49.26%107.84K | -37.29%72.25K | -37.29%72.25K |
| Other current assets | 29.45%306.98K | 29.45%306.98K | 23,713,700.00%237.14K | 23,713,700.00%237.14K | --1 | --1 | ---- | ---- | ---- | ---- |
| Total current assets | -55.25%2.02M | -55.25%2.02M | 741.49%4.5M | 741.49%4.5M | -4.31%535.34K | -4.31%535.34K | -81.09%559.47K | -81.09%559.47K | 330.14%2.96M | 330.14%2.96M |
| Non current assets | ||||||||||
| Net PPE | 191.09%1.88M | 191.09%1.88M | -252.71%-2.06M | -252.71%-2.06M | 2.36%1.35M | 2.36%1.35M | 165.04%1.32M | 165.04%1.32M | 239.26%497.14K | 239.26%497.14K |
| -Gross PPE | 222.61%6.14M | 222.61%6.14M | -20.89%1.9M | -20.89%1.9M | 15.46%2.41M | 15.46%2.41M | 84.30%2.08M | 84.30%2.08M | 447.08%1.13M | 447.08%1.13M |
| -Accumulated depreciation | -7.65%-4.27M | -7.65%-4.27M | -274.58%-3.96M | -274.58%-3.96M | -37.97%-1.06M | -37.97%-1.06M | -20.98%-766.95K | -20.98%-766.95K | -12.45%-633.93K | -12.45%-633.93K |
| Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -50.00%1 | -50.00%1 |
| Total non current assets | 191.09%1.88M | 191.09%1.88M | -252.71%-2.06M | -252.71%-2.06M | 2.36%1.35M | 2.36%1.35M | 165.04%1.32M | 165.04%1.32M | 239.26%497.14K | 239.26%497.14K |
| Total assets | 59.16%3.89M | 59.16%3.89M | 29.79%2.45M | 29.79%2.45M | 0.37%1.88M | 0.37%1.88M | -45.69%1.88M | -45.69%1.88M | 944.46%3.46M | 944.46%3.46M |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | -64.38%3.38M | -64.38%3.38M | 136.07%9.48M | 136.07%9.48M | 1,973.01%4.02M | 1,973.01%4.02M | 4.18%193.69K | 4.18%193.69K | -97.01%185.92K | -97.01%185.92K |
| -Current debt | -67.18%3.11M | -67.18%3.11M | 173.50%9.48M | 173.50%9.48M | --3.47M | --3.47M | ---- | ---- | ---- | ---- |
| -Current capital lease obligation | 127,192.34%266.04K | 127,192.34%266.04K | -99.96%209 | -99.96%209 | 183.75%549.58K | 183.75%549.58K | 4.18%193.69K | 4.18%193.69K | 1,286.29%185.92K | 1,286.29%185.92K |
| Payables | 18.50%2.76M | 18.50%2.76M | 101.18%2.33M | 101.18%2.33M | 270.53%1.16M | 270.53%1.16M | 27.41%312.15K | 27.41%312.15K | -89.01%245K | -89.01%245K |
| -accounts payable | -19.93%1.04M | -19.93%1.04M | 355.89%1.29M | 355.89%1.29M | 0.00%284.03K | 0.00%284.03K | 80.00%284.03K | 80.00%284.03K | -85.86%157.79K | -85.86%157.79K |
| -Other payable | 66.73%1.72M | 66.73%1.72M | 18.27%1.03M | 18.27%1.03M | 3,002.78%872.57K | 3,002.78%872.57K | -67.75%28.12K | -67.75%28.12K | -92.17%87.21K | -92.17%87.21K |
| Current provisions | 1,686.77%605.86K | 1,686.77%605.86K | -0.11%33.91K | -0.11%33.91K | 0.11%33.95K | 0.11%33.95K | 0.00%33.91K | 0.00%33.91K | -73.97%33.91K | -73.97%33.91K |
| Pension and other retirement benefit plans | ---- | ---- | ---- | ---- | 0.00%23.14K | 0.00%23.14K | -51.94%23.14K | -51.94%23.14K | 81.99%48.15K | 81.99%48.15K |
| Current liabilities | -43.07%6.74M | -43.07%6.74M | 126.42%11.84M | 126.42%11.84M | 828.93%5.23M | 828.93%5.23M | 9.73%562.89K | 9.73%562.89K | -94.04%512.97K | -94.04%512.97K |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | 131.86%632.45K | 131.86%632.45K | -86.62%272.77K | -86.62%272.77K | 1,318.83%2.04M | 1,318.83%2.04M | 46.43%143.64K | 46.43%143.64K | 291.72%98.1K | 291.72%98.1K |
| -Long term debt | ---- | ---- | ---- | ---- | 3,219.53%1.66M | 3,219.53%1.66M | --50.16K | --50.16K | ---- | ---- |
| -Long term capital lease obligation | 131.86%632.45K | 131.86%632.45K | -26.88%272.77K | -26.88%272.77K | 299.05%373.06K | 299.05%373.06K | -4.70%93.49K | -4.70%93.49K | 291.72%98.1K | 291.72%98.1K |
| Total non current liabilities | 131.86%632.45K | 131.86%632.45K | -86.62%272.77K | -86.62%272.77K | 1,318.83%2.04M | 1,318.83%2.04M | 46.43%143.64K | 46.43%143.64K | 291.72%98.1K | 291.72%98.1K |
| Total liabilities | -39.13%7.37M | -39.13%7.37M | 66.68%12.11M | 66.68%12.11M | 928.53%7.27M | 928.53%7.27M | 15.62%706.53K | 15.62%706.53K | -92.92%611.07K | -92.92%611.07K |
| Shareholders'equity | ||||||||||
| Share capital | 7.43%78.53M | 7.43%78.53M | 4.89%73.1M | 4.89%73.1M | 1.68%69.69M | 1.68%69.69M | 4.11%68.54M | 4.11%68.54M | 16.57%65.83M | 16.57%65.83M |
| -common stock | 7.43%78.53M | 7.43%78.53M | 4.89%73.1M | 4.89%73.1M | 1.68%69.69M | 1.68%69.69M | 4.11%68.54M | 4.11%68.54M | 16.57%65.83M | 16.57%65.83M |
| Retained earnings | -7.73%-83.81M | -7.73%-83.81M | -6.19%-77.8M | -6.19%-77.8M | -5.17%-73.26M | -5.17%-73.26M | -9.22%-69.66M | -9.22%-69.66M | -0.53%-63.78M | -0.53%-63.78M |
| Gains losses not affecting retained earnings | -61.67%1.8M | -61.67%1.8M | 278.81%4.7M | 278.81%4.7M | -45.79%1.24M | -45.79%1.24M | 190.97%2.29M | 190.97%2.29M | 147.15%787.24K | 147.15%787.24K |
| Total stockholders'equity | -47,964.97%-3.48M | -47,964.97%-3.48M | 100.31%7.27K | 100.31%7.27K | -299.13%-2.33M | -299.13%-2.33M | -58.85%1.17M | -58.85%1.17M | 142.80%2.84M | 142.80%2.84M |
| Total equity | -47,964.97%-3.48M | -47,964.97%-3.48M | 100.31%7.27K | 100.31%7.27K | -299.13%-2.33M | -299.13%-2.33M | -58.85%1.17M | -58.85%1.17M | 142.80%2.84M | 142.80%2.84M |
| Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |