Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
SHANGHAI PECHEM
00338
5
SINOPEC CORP
00386
| (Q1)Mar 31, 2026 | (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 | |
|---|---|---|---|---|---|---|---|---|---|---|
| Assets | ||||||||||
| Current assets | ||||||||||
| Cash, Cash Equivalents And Short Term Investments | 101.79%70.71B | 14.88%25.97B | 14.88%25.97B | 22.08%15.84B | 50.74%21.3B | 50.63%35.04B | 53.33%22.61B | 53.33%22.61B | -17.93%12.98B | 4.00%14.13B |
| -Cash and cash equivalents | 94.32%68.09B | 12.15%25.35B | 12.15%25.35B | 17.32%15.22B | 46.61%20.71B | 50.63%35.04B | 53.33%22.61B | 53.33%22.61B | -17.93%12.98B | 4.00%14.13B |
| -Short-term investments | --2.62B | --617.56M | --617.56M | --617.76M | --583.46M | ---- | --0 | --0 | ---- | ---- |
| Receivables | 80,414.89%15.78T | -2.79%20.02B | -2.79%20.02B | -9.91%18.93B | -4.65%20.04B | -3.93%19.6B | -2.09%20.6B | -2.09%20.6B | 9.95%21.01B | 12.06%21.02B |
| -Accounts receivable | 91,628.47%10.51T | -15.06%11B | -15.06%11B | -17.58%11.37B | -45.72%11.48B | -13.13%11.46B | 2.85%12.95B | 2.85%12.95B | 14.15%13.79B | 81.56%21.15B |
| -Loans receivable | --929.63M | --1.1B | --1.1B | --50M | --450M | --0 | --0 | --0 | --0 | --0 |
| -Taxes receivable | 41,827.72%34.09B | 209.89%210.34M | 209.89%210.34M | -54.42%124.04M | 11.24%83.77M | -16.71%81.3M | -79.89%67.88M | -79.89%67.88M | -2.42%272.14M | -71.83%75.31M |
| -Other receivables | 73,157.51%7.21T | 3.45%9.65B | 3.45%9.65B | 5.87%9.38B | 465.10%9.91B | 7.20%9.85B | -7.52%9.33B | -7.52%9.33B | 7.89%8.86B | -78.98%1.75B |
| -Recievables adjustments allowances | -110,558.48%-1.98T | -11.06%-1.94B | -11.06%-1.94B | -4.23%-2B | 3.78%-1.88B | 13.76%-1.79B | 11.65%-1.75B | 11.65%-1.75B | -30.65%-1.91B | -30.47%-1.96B |
| Inventory | 12.93%3.89B | -18.93%4.11B | -18.93%4.11B | -9.98%4.1B | 11.40%3.82B | -10.95%3.44B | 22.17%5.07B | 22.17%5.07B | 34.66%4.55B | 16.45%3.43B |
| Prepaid assets | 179,331.93%1.83T | 94.39%1.98B | 94.39%1.98B | 63.10%2.25B | 39.59%2.25B | -9.96%1.02B | -12.11%1.02B | -12.11%1.02B | 9.77%1.38B | 1.64%1.61B |
| Restricted cash | -34.88%306.13M | -18.79%471.02M | -18.79%471.02M | -33.59%369.2M | -0.81%464.81M | -8.96%470.13M | 4.15%580.03M | 4.15%580.03M | -1.34%555.95M | -44.73%468.62M |
| Other current assets | -15,759,545.30%-17.72T | 17.55%154.1M | 17.55%154.1M | -25.98%124.27M | -45.59%144.4M | -77.33%112.44M | -78.88%131.1M | -78.88%131.1M | -21.49%167.87M | -15.84%265.41M |
| Total current assets | 58.79%94.82B | 5.35%52.7B | 5.35%52.7B | 2.39%41.62B | 16.73%48.02B | 19.91%59.71B | 18.32%50.03B | 18.32%50.03B | -0.03%40.65B | 7.70%41.14B |
| Non current assets | ||||||||||
| Net PPE | 92,532.37%195.79T | -7.90%198.52B | -7.90%198.52B | -10.13%201.21B | -10.38%205.23B | -10.46%211.36B | -8.12%215.54B | -8.12%215.54B | 55.88%223.9B | 55.86%228.99B |
| -Gross PP&E | 95,606.17%466.05T | -0.10%466.56B | -0.10%466.56B | -4.28%465.79B | 1.24%488.75B | 0.20%486.95B | 1.47%467.01B | 1.47%467.01B | 28.53%486.6B | 42.30%482.76B |
| -Accumulated depreciation | -97,963.48%-270.26T | -6.59%-268.04B | -6.59%-268.04B | -0.72%-264.58B | -11.73%-283.52B | -10.26%-275.6B | -11.45%-251.47B | -11.45%-251.47B | -11.81%-262.7B | -31.95%-253.76B |
| Investments and advances | 5,291.00%675.42B | 4.35%13.08B | 4.35%13.08B | 4.49%13.07B | -0.07%12.54B | -0.37%12.53B | -0.36%12.53B | -0.36%12.53B | 1,443.21%12.51B | 899.03%12.54B |
| -Long term equity investment | 24.26%15.42B | 4.43%12.96B | 4.43%12.96B | 4.61%12.95B | 0.01%12.42B | -0.31%12.41B | -0.30%12.41B | -0.30%12.41B | 1,766.18%12.38B | 1,020.13%12.42B |
| -Including:Available-for-sale securities | 564,002.56%660B | -1.71%115M | -1.71%115M | -5.65%117M | -5.65%117M | -5.65%117M | -5.65%117M | -5.65%117M | -14.48%124M | -14.48%124M |
| -Including:Held to maturity investments | ---- | --0 | --0 | --0 | --0 | 0.00%2M | 0.00%2M | 0.00%2M | 0.00%2M | 0.00%2M |
| Financial assets | 8,055,455.56%1.45T | --0 | --0 | -97.83%1M | -91.23%5M | -67.86%18M | -52.31%31M | -52.31%31M | -62.60%46M | -33.72%57M |
| Non current note receivables | -63.88%390M | -81.35%125M | -81.35%125M | 187.38%1.23B | 152.32%1.08B | 483.58%1.08B | 262.36%670.38M | 262.36%670.38M | --427.88M | --427.88M |
| Goodwill and other intangible assets | 94,110.09%133.26T | 0.88%148.09B | 0.88%148.09B | 2.71%151.01B | -7.36%139.01B | -6.47%141.45B | -8.04%146.8B | -8.04%146.8B | 11.48%147.02B | 11.60%150.05B |
| -Goodwill | 0.00%11.74B | 0.00%11.75B | 0.00%11.75B | 0.00%11.74B | 0.00%11.74B | 0.00%11.74B | 0.00%11.75B | 0.00%11.75B | 307.55%11.74B | 307.55%11.74B |
| -Other intangible assets | 102,631.60%133.25T | 0.95%136.34B | 0.95%136.34B | 2.95%139.26B | -7.98%127.27B | -7.01%129.7B | -8.68%135.05B | -8.68%135.05B | 4.87%135.28B | 5.12%138.31B |
| Non current deferred assets | 42.26%6.24B | 46.28%6.29B | 46.28%6.29B | 26.45%4.87B | 24.60%4.63B | 20.25%4.39B | 16.17%4.3B | 16.17%4.3B | -14.81%3.85B | -18.71%3.72B |
| Other non current assets | -21,247,889.85%-330.81T | -4.21%1.46B | -4.21%1.46B | -8.19%1.35B | -14.19%1.37B | -6.43%1.56B | 9.25%1.53B | 9.25%1.53B | 28.63%1.47B | 36.95%1.59B |
| Total non current assets | -1.60%366.41B | -3.63%367.57B | -3.63%367.57B | -4.24%372.73B | -8.44%363.86B | -8.15%372.38B | -7.46%381.41B | -7.46%381.41B | 37.97%389.22B | 37.77%397.38B |
| Total assets | 6.74%461.23B | -2.59%420.27B | -2.59%420.27B | -3.61%414.35B | -6.08%411.88B | -5.08%432.09B | -5.06%431.43B | -5.06%431.43B | 33.18%429.87B | 34.25%438.52B |
| Liabilities | ||||||||||
| Current liabilities | ||||||||||
| Current debt and capital lease obligation | 60,715.37%20.6T | -5.49%33.93B | -5.49%33.93B | -15.47%60.06B | -33.53%45.89B | -51.96%33.88B | -50.45%35.9B | -50.45%35.9B | 85.30%71.05B | 167.87%69.04B |
| -Current debt | 104,116.71%20.59T | -2.55%20.56B | -2.55%20.56B | -15.49%46.87B | -38.65%32.57B | -63.81%19.75B | -63.24%21.1B | -63.24%21.1B | 104.98%55.47B | 264.88%53.09B |
| -Current capital lease obligation | -3.83%13.58B | -9.68%13.37B | -9.68%13.37B | -15.37%13.19B | -16.51%13.32B | -11.38%14.12B | -1.70%14.8B | -1.70%14.8B | 38.12%15.59B | 42.14%15.96B |
| Payables | -21.05%61.12B | -17.05%30.09B | -17.05%30.09B | -8.87%52.12B | 2.13%55.2B | 7.41%77.41B | 2.45%36.27B | 2.45%36.27B | 27.26%57.19B | 20.35%54.04B |
| -accounts payable | 14.88%44.78B | -3.17%13.77B | -3.17%13.77B | 8.23%41.22B | 1.89%35.32B | 2.81%38.98B | -11.31%14.22B | -11.31%14.22B | 16.65%38.09B | 10.06%34.67B |
| -Total tax payable | 42.32%8.32B | 28.43%5.79B | 28.43%5.79B | -22.19%2.87B | 12.97%4.35B | 18.52%5.85B | 5.62%4.51B | 5.62%4.51B | 151.94%3.69B | 57.68%3.85B |
| -Dividends payable | ---- | ---- | ---- | ---- | ---- | 24.52%17.07B | ---- | ---- | ---- | ---- |
| -Other payable | -48.31%8.02B | -39.99%10.53B | -39.99%10.53B | -47.94%8.03B | -0.00%15.52B | 0.00%15.51B | 16.15%17.55B | 16.15%17.55B | 42.41%15.42B | 41.61%15.52B |
| Current accrued expenses | ---- | 19.66%27B | 19.66%27B | ---- | ---- | ---- | 23.13%22.56B | 23.13%22.56B | ---- | ---- |
| Current provisions | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B | 0.00%3.36B |
| Current deferred liabilities | 31.33%6.77B | 50.29%7.23B | 50.29%7.23B | 41.63%6.48B | 34.85%5.76B | 35.42%5.15B | 23.82%4.81B | 23.82%4.81B | 5.93%4.58B | -5.91%4.27B |
| Other current liabilities | -4,303,333.21%-20.57T | -10.82%570.88M | -10.82%570.88M | -36.31%627.83M | 42.00%608.1M | 251.75%477.94M | 212.29%640.17M | 212.29%640.17M | 1,115.12%985.73M | 112.40%428.24M |
| Current liabilities | -11.91%105.96B | -1.32%102.18B | -1.32%102.18B | -10.58%122.65B | -15.50%110.82B | -19.76%120.28B | -22.52%103.55B | -22.52%103.55B | 50.66%137.17B | 66.47%131.15B |
| Non current liabilities | ||||||||||
| Long term debt and capital lease obligation | 63,081.60%109.1T | -10.94%158.28B | -10.94%158.28B | -4.54%146.45B | -1.75%154.18B | 6.03%172.68B | 4.60%177.73B | 4.60%177.73B | 53.37%153.42B | 48.83%156.93B |
| -Long term debt | 128,100.61%109.02T | -11.10%77.99B | -11.10%77.99B | 3.87%63.65B | 9.77%68.88B | 29.10%85.04B | 25.60%87.72B | 25.60%87.72B | -15.75%61.28B | -17.79%62.75B |
| -Long term capital lease obligation | -11.35%77.69B | -10.79%80.29B | -10.79%80.29B | -10.14%82.8B | -9.43%85.3B | -9.64%87.64B | -10.07%90B | -10.07%90B | 237.61%92.14B | 223.53%94.18B |
| Long-term accounts payable and other payables | -0.95%32.77B | -0.85%37.12B | -0.85%37.12B | -0.87%36.88B | -32.41%29.94B | -30.13%33.09B | -27.45%37.44B | -27.45%37.44B | -11.93%37.2B | -10.18%44.31B |
| Derivative product liabilities | -32.05%39.41M | 38.64%61M | 38.64%61M | 59.49%62.56M | 164.00%66M | --58M | 15.79%44M | 15.79%44M | --39.22M | --25M |
| Employee benefits | 15.67%4.29B | 16.62%4.32B | 16.62%4.32B | 12.69%3.84B | 13.12%3.78B | 13.23%3.71B | 13.47%3.7B | 13.47%3.7B | 16.60%3.4B | 16.83%3.34B |
| Non current deferred liabilities | -10.00%7.11B | -9.76%7.31B | -9.76%7.31B | --7.5B | --7.7B | --7.9B | --8.1B | --8.1B | ---- | ---- |
| Other non current liabilities | -3,048,999.84%-108.91T | 5.07%3.73B | 5.07%3.73B | -64.79%3.65B | -58.92%3.6B | -44.59%3.57B | -32.89%3.55B | -32.89%3.55B | 240.51%10.35B | 187.31%8.77B |
| Total non current liabilities | 6.20%234.69B | -8.56%210.81B | -8.56%210.81B | -2.96%198.38B | -6.60%199.28B | 0.49%221B | 0.19%230.56B | 0.19%230.56B | 37.90%204.42B | 32.79%213.37B |
| Total liabilities | -0.18%340.65B | -6.32%312.99B | -6.32%312.99B | -6.02%321.03B | -9.99%310.1B | -7.72%341.28B | -8.15%334.11B | -8.15%334.11B | 42.75%341.59B | 43.87%344.52B |
| Shareholders'equity | ||||||||||
| Share capital | 0.00%2.97B | 0.00%5B | 0.00%5B | 0.00%2.97B | 0.00%2.97B | 0.00%2.97B | 0.00%5B | 0.00%5B | 0.00%2.97B | 0.00%2.97B |
| -common stock | 0.00%2.97B | 0.00%5B | 0.00%5B | 0.00%2.97B | 0.00%2.97B | 0.00%2.97B | 0.00%5B | 0.00%5B | 0.00%2.97B | 0.00%2.97B |
| Retained earnings | 45.96%95.18B | 13.93%81.68B | 13.93%81.68B | 8.14%67.74B | 11.50%76.19B | 9.13%65.21B | 10.28%71.7B | 10.28%71.7B | 8.46%62.64B | 11.11%68.33B |
| Paid-in capital | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B | 0.00%22.55B |
| Gains losses not affecting retained earnings | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M | 0.00%500M |
| Other equity interest | -38.81%-731.3M | -1.30%-2.56B | -1.30%-2.56B | -10.87%-539.73M | -16.81%-534.59M | -6.34%-526.83M | -1.47%-2.52B | -1.47%-2.52B | -30.87%-486.8M | -7.64%-457.66M |
| Other equity interest | -38.81%-731.3M | -1.30%-2.56B | -1.30%-2.56B | -10.87%-539.73M | -16.81%-534.59M | -6.34%-526.83M | -1.47%-2.52B | -1.47%-2.52B | -30.87%-486.8M | -7.64%-457.66M |
| Total stockholders'equity | 32.81%120.47B | 10.24%107.18B | 10.24%107.18B | 5.73%93.23B | 8.29%101.68B | 6.36%90.71B | 7.34%97.22B | 7.34%97.22B | 5.72%88.18B | 7.81%93.9B |
| Noncontrolling interests | 2.79%105.22M | 3.32%104.84M | 3.32%104.84M | -1.23%99.96M | -0.42%100.64M | 1.75%102.36M | 0.38%101.47M | 0.38%101.47M | 25.66%101.21M | 26.41%101.07M |
| Total equity | 32.78%120.58B | 10.23%107.28B | 10.23%107.28B | 5.72%93.33B | 8.28%101.78B | 6.35%90.81B | 7.33%97.32B | 7.33%97.32B | 5.74%88.28B | 7.82%94B |
| Currency Unit | THB | THB | THB | THB | THB | THB | THB | THB | THB | THB |