PetroChina  Limited logo

PetroChina Limited

PCCYF | OTC
Chart Builder DCF Calculator
$1.16
-$0.02 (-1.69%)
At close: Sep 24, 2026, 2:18 PM ET
$1.18
+$0.02 (+1.72%)
After-hours: Sep 23, 2026, 4:00 PM ET
TTM
Period Ending
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Q2 2022
Jun 29, 2022
Q1 2022
Mar 30, 2022
Q4 2021
Dec 30, 2021
Q3 2021
Sep 29, 2021
Q2 2021
Jun 29, 2021
Q1 2021
Mar 30, 2021
Q4 2020
Dec 30, 2020
Q3 2020
Sep 29, 2020
Q2 2020
Jun 29, 2020
Q1 2020
Mar 30, 2020
Cash & Equivalents
284.49B 291.57B 216.25B 253.6B 238.88B 260.52B 269.87B 237.51B 219.17B 242.24B 191.19B 235.26B 221.16B 170.53B 136.79B 172.58B 154.39B 111.8B 118.63B 75.52B 90.34B 77.31B
Short-Term Investments
9.03B 8.13B 2.82B 7.58B 9.9B 22.34B 7.4B 51.68B 58.01B 64.25B 42.11B 37.83B 31.27B 24.29B 30.72B 32.43B 33.64B 34.38B 27.32B 30.79B 23.41B 21.42B
Long-Term Investments
n/a 287.6B 287.97B 282.77B 283.4B 290.63B 281.81B 283.07B 285.56B 280.55B 274.53B 277.88B 277.3B 281.97B 275.02B 274B 268.46B 264B 260.62B 258.46B 108.36B 106.36B
Other Long-Term Assets
362.06B 67.56B 55.53B 76.74B 74.31B 58.4B 46.78B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Receivables
171.68B 157.64B 114.87B 148.42B 142.88B 136.88B 111.83B 105.74B 81.36B 82.58B 150.57B 98.56B 114.19B 95.1B 133.39B 91.5B 78.99B 88.55B 114.59B 166.85B 68.02B 85.52B
Inventory
155.72B 143.15B 168.34B 172.45B 182.67B 169.32B 180.53B 186.71B 168.16B 155.18B 167.75B 206.49B 221.7B 174.1B 143.85B 147.96B 168.56B 163.81B 128.54B 159.14B 175.3B 185.87B
Other Current Assets
68.7B 67.81B 74.39B 74.89B 140.76B 129.83B 123.74B 143.17B 133.72B 133.03B 140.79B 191.85B 164.31B 138.45B 116.73B 103.48B 111.5B 149B 151.88B 119.57B 115.06B 117.3B
Total Current Assets
710.68B 689.02B 590.84B 679.98B 672.37B 670.99B 658.52B 724.8B 660.42B 677.29B 613.87B 769.99B 752.63B 602.46B 480.84B 547.94B 547.09B 547.54B 486.77B 551.88B 472.13B 487.41B
Property-Plant & Equipment
1.65T 1.67T 1.69T 1.61T 1.61T 1.61T 1.65T 1.67T 1.67T 1.66T 1.7T 1.65T 1.65T 1.64T 1.67T 1.64T 1.63T 1.63T 1.66T 1.67T 1.96T 2T
Goodwill & Intangibles
99.12B 99.87B 100.23B 98.78B 99.01B 99.17B 100.19B 100.1B 100.56B 99.49B 69.81B 99.45B 98.66B 98.43B 66.34B 96.38B 94.36B 94.52B 67.49B 72.6B 104.52B 101.41B
Total Long-Term Assets
2.14T 2.15T 2.16T 2.1T 2.1T 2.08T 2.09T 2.06T 2.06T 2.03T 2.06T 2.02T 2.02T 2.01T 2.02T 2T 1.98T 1.98T 2T 2.01T 2.21T 2.24T
Total Assets
2.85T 2.84T 2.75T 2.78T 2.77T 2.75T 2.75T 2.78T 2.72T 2.71T 2.67T 2.79T 2.77T 2.61T 2.5T 2.55T 2.53T 2.53T 2.49T 2.57T 2.68T 2.73T
Account Payables
270.71B 272.3B 287.68B 272.49B 7.77B 269.54B 79.41B 297.59B 17.12B 272.21B 83.74B 297.21B 39.9B 293.16B 46.39B 236.38B 233.83B 219.19B 239.63B 202.15B 203.97B 223.62B
Deferred Revenue
n/a n/a n/a n/a 268.74B 78.45B 83.93B 86.33B 75.61B 74.25B 77.34B 84.92B 83.69B 75.32B 78.48B 89.63B 88.47B 91.14B 91.48B 93.32B 92.38B 84.99B
Short-Term Debt
46.41B 41.87B 45.96B 35.38B 141.27B 108.35B 177.28B 163.53B 162.26B 166.74B 100.64B 102.73B 96.98B 71.42B 53.28B 97.7B 114.97B 125.66B 117.54B 224.48B 187.53B 285.92B
Other Current Liabilities
222.29B 216.57B 211.14B 217.97B 298.29B 79.59B 242.27B 106.24B 297.15B 94.14B 281.46B 141.23B 345.06B 90.62B 221.8B 96.11B 290.9B 109.64B 295.5B 99.11B 223.9B 90.79B
Total Current Liabilities
684.27B 655.9B 637.32B 715.33B 716.64B 627.84B 689.01B 753.93B 696.55B 678.08B 624.26B 753.97B 752.21B 603.57B 518.16B 609.43B 602.64B 571.07B 605.42B 681.97B 664.12B 711.97B
Long-Term Debt
91.91B 101.79B 98.07B 88.54B 81.13B 152.29B 143.2B 134.34B 140.24B 159.82B 222.48B 239.48B 238.73B 271.04B 287.18B 279.68B 267.76B 290.54B 251.38B 237.82B 314.96B 247.55B
Other Long-Term Liabilities
175.46B 173.1B 172.1B 157.76B 156.36B 154.75B 153.3B 34.39B 32.65B 31.31B 7.59B 31.94B 31.04B 30.41B 35.43B 28.12B 26.81B 27.95B 27.25B 27B 33.89B 33.69B
Total Long-Term Liabilities
412.22B 421.53B 405.83B 382.6B 373.5B 445.48B 433.08B 430.42B 434.68B 451.79B 511.37B 526.62B 524.65B 554.92B 575.24B 549.69B 536.56B 560.53B 516.09B 523.69B 612.83B 586.61B
Total Liabilities
1.1T 1.08T 1.04T 1.1T 1.09T 1.07T 1.12T 1.18T 1.13T 1.13T 1.14T 1.28T 1.28T 1.16T 1.09T 1.16T 1.14T 1.13T 1.12T 1.21T 1.28T 1.3T
Total Debt
256.79B 263.74B 254B 235.06B 334.57B 374.15B 433.92B 419.64B 443.72B 451.04B 464.51B 470.02B 464.45B 471.92B 470.3B 507.01B 513.16B 547.56B 498.14B 592.05B 664.07B 704.27B
Book Value
1.75T 1.76T 1.71T 1.68T 1.68T 1.68T 1.63T 1.6T 1.59T 1.58T 1.54T 1.51T 1.5T 1.45T 1.41T 1.39T 1.39T 1.4T 1.37T 1.36T 1.4T 1.43T
Book Value Per Share
9.74 9.80 9.34 9.17 9.17 9.18 8.91 8.73 8.62 8.64 8.40 8.39 8.17 7.84 7.70 7.59 7.61 7.55 7.47 7.44 7.62 7.83
Common Stock
183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B 183.02B
Retained Earnings
1.02T 1.03T 982.23B 964.34B 960.7B 959.86B 914.38B 903.22B 895.34B 894.5B 853.59B 837.56B 836.76B 811.04B 771.98B 763.22B 764.99B 755.68B 727.96B 725.33B 701.05B 726.89B
Comprehensive Income
n/a n/a n/a n/a 340.91B 348.49B 264.18B 332.35B 334.58B 330.98B 332.72B 322.38B 314.84B 309.74B 308.56B 299.39B 303.45B 303.07B 304.18B 301.94B 304.67B 302.3B
Shareholders Equity
1.56T 1.56T 1.52T 1.49T 1.49T 1.49T 1.45T 1.42T 1.41T 1.41T 1.37T 1.34T 1.33T 1.3T 1.26T 1.25T 1.25T 1.24T 1.22T 1.21T 1.19T 1.21T
Total Investments
295.96B 295.73B 290.78B 290.35B 293.3B 312.96B 289.22B 334.75B 343.58B 344.8B 316.64B 315.71B 308.57B 306.26B 305.74B 306.42B 302.1B 298.38B 287.94B 289.24B 131.78B 127.77B

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