China Petroleum & Chemical Corporation logo

China Petroleum & Chemical Corporation

SNPMF | OTC
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$0.60
$0 (0.00%)
Sep 23, 2026, 4:00 PM ET · Market open
Fiscal Quarter
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
107.71B 103.34B 91.3B 115.55B 122.13B 110.96B 121.76B 128.47B 94.87B 101.94B 93.44B 126.6B 139.18B 82.15B 108.59B 90.83B 78.11B 99.25B 87.56B 87.09B 86.45B 75.8B
Short-Term Investments
54.62B 56.08B 54.29B 53.51B 61.48B 63B 41.78B 61.66B 60.77B 77.56B 55.12B 96.8B 101.66B 113.79B 119.34B 126.9B 126.04B 112.36B 109.23B 104.33B 105.39B 73.73B
Long-Term Investments
258.25B 249.97B 243.9B 237.07B 242.77B 235.56B 233.08B 230.73B 232.24B 236.91B 234.67B 221.67B 220.12B 212.49B 209.95B 205.46B 201.19B 196.07B 189.87B 191.99B 150.67B 154.09B
Other Long-Term Assets
108.69B 127.85B 100.8B 117.25B 92.52B 181.42B 89.32B 80.08B 46.13B 71.92B 37.3B 72.31B 32.48B 69.61B 32.85B 70.56B 32.8B 70.82B 42.63B 65.03B 28.49B 63.84B
Receivables
72.4B 71.08B 46.95B 75.38B 81.71B 91.21B 50.87B 98.05B 77.69B 74.03B 99.03B 65.8B 63.72B 76.42B 89.92B 73.57B 71.84B 47.14B 89.16B 43.92B 53.57B 54.25B
Inventory
256.69B 247.85B 256.6B 267.22B 297.1B 274.64B 250.9B 268.25B 281.7B 254.08B 244.24B 282.72B 285.03B 289.86B 207.43B 198.11B 199.23B 182.48B 152.19B 173.05B 180.5B 183.28B
Other Current Assets
2.32B 3.33B 75.39B 7.89B 1.85B -834M 69.12B 1.86B 8.5B 15.34B 19.34B 43.77B 40.39B 35.35B 18.37B 32.46B 24.55B 21.1B 12.53B 7.88B 8.06B 14.46B
Total Current Assets
572.91B 556.36B 524.52B 595.5B 637.68B 608.09B 534.44B 623.99B 573.99B 584.77B 523.14B 677.4B 706.43B 679.87B 558.02B 584.66B 553.44B 519.98B 455.4B 550.98B 507.98B 496.03B
Property-Plant & Equipment
1.17T 1.18T 1.18T 1.14T 1.14T 1.04T 1.14T 1.12T 1.12T 1.09T 1.1T 1.05T 1.04T 1.02T 1.03T 990.95B 996.01B 979.23B 980.38B 958.64B 1.06T 1.06T
Goodwill & Intangibles
29.61B 6.49B 30.57B 6.47B 31.6B 6.47B 32.66B 6.49B 33.78B 6.45B 34.47B 8.78B 37.5B 8.59B 38.31B 8.61B 39.54B 8.62B 40.48B 8.68B 41.67B 8.72B
Total Long-Term Assets
1.57T 1.56T 1.56T 1.5T 1.5T 1.48T 1.49T 1.46T 1.45T 1.43T 1.43T 1.37T 1.35T 1.33T 1.33T 1.3T 1.3T 1.28T 1.28T 1.25T 1.31T 1.31T
Total Assets
2.14T 2.12T 2.08T 2.1T 2.14T 2.09T 2.02T 2.08T 2.03T 2.01T 1.95T 2.05T 2.06T 2.01T 1.89T 1.89T 1.85T 1.8T 1.74T 1.8T 1.82T 1.81T
Account Payables
271.17B 240.94B 256.6B 252.89B 287.46B 260.12B 259B 264.1B 258.26B 240.87B 269.42B 243.78B 236.87B 266.26B 215.64B 231.41B 216.27B 172.43B 161.66B 174.02B 173.57B 168.58B
Deferred Revenue
n/a n/a n/a n/a n/a n/a n/a 138.18B 124.36B 123.33B n/a 145.29B n/a 123.71B n/a 137.17B 127.92B 128.89B n/a 136.95B n/a 137.56B
Short-Term Debt
127.24B 104.14B 92.46B 109.87B 128.83B 126.64B 70.97B 95.01B 106.13B 121.65B 66.33B 135.01B 163.15B 87.54B 38.13B 68.61B 77.44B 85.78B 29.03B 96.03B 120.95B 170.77B
Other Current Liabilities
286.07B 288.91B 255.39B 314.73B 126.57B 291.67B 246.93B 179.73B 162.5B 168.13B 277.81B 244.14B 366.02B 236.13B 281.01B 185.03B 175.57B 155.68B 238.2B 179.45B 299.93B 146.77B
Total Current Liabilities
703.75B 653.47B 673.24B 695.79B 753.35B 696.98B 647.08B 694.32B 668.56B 670.9B 667.39B 784.89B 793.62B 730B 641.28B 637.84B 624B 559.74B 522.19B 601.64B 628.62B 639.27B
Long-Term Debt
222.72B 243.15B 210.5B 191.99B 169.23B 171.23B 187.86B 198.79B 173.15B 142.9B 107.96B 94.94B 92.42B 106.8B 91.99B 89.47B 74.4B 83.74B 83.82B 81.86B 114.11B 72.22B
Other Long-Term Liabilities
74.19B 72.94B 63.33B 73.69B 65.01B 71.42B 62.27B 64.33B 63.45B 63.56B 62.57B 67.59B 65.52B 63.08B 62.77B 67.01B 65.74B 65.73B 64.51B 65.53B 65.87B 63.4B
Total Long-Term Liabilities
457.54B 479.89B 436.06B 426.27B 403.08B 406.35B 421.81B 437.31B 409.75B 380.95B 344.19B 341.01B 335.45B 349.26B 332.9B 339.41B 322.66B 332.68B 328.76B 329.22B 362.83B 321.67B
Total Liabilities
1.16T 1.13T 1.11T 1.12T 1.16T 1.1T 1.07T 1.13T 1.08T 1.05T 1.01T 1.13T 1.13T 1.08T 974.18B 977.25B 946.66B 892.42B 850.95B 930.86B 991.45B 960.93B
Total Debt
529.87B 530.58B 475.7B 480.74B 477.37B 480.12B 440.23B 476.55B 461.96B 448.08B 356.7B 415.34B 440.46B 381.46B 315.52B 345.7B 335.12B 359.57B 300.45B 367.03B 426.47B 437.35B
Book Value
981.51B 986.36B 972.15B 973.5B 984.09B 988.61B 955.81B 952.81B 948.6B 959.31B 939.54B 924.61B 930.74B 934.85B 915.07B 910.04B 906.31B 909.73B 887.95B 868.53B 830.19B 846.61B
Book Value Per Share
8.11 8.12 7.99 8 8.15 8.26 7.99 7.97 7.91 8 7.81 7.66 7.70 7.71 7.56 7.53 7.49 7.51 7.33 7.17 6.86 7
Common Stock
121.25B 121.28B 121.28B 121.7B 121.74B 121.74B 119.35B 119.86B 119.9B 119.9B 119.9B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B 121.07B
Retained Earnings
610.09B n/a 604.36B n/a 609.41B n/a 597.46B 338.01B 591.46B 345.91B 579.7B 318.06B 573.72B n/a 567.7B 311.28B 555.08B 304.5B 322.36B 279.16B 484.43B n/a
Comprehensive Income
34.34B 709.44B 2.08B 694.52B 5.91B 709.45B 6.18B 678.29B 249.53B 686.2B 664.81B 659.32B 665.18B 672.33B 653.11B 647.34B 643.14B 642.65B 242.21B 607.13B 570.29B 590.27B
Shareholders Equity
824.57B 830.72B 815.82B 816.22B 828.14B 831.19B 802.99B 798.15B 795.72B 806.1B 787.6B 780.39B 786.25B 793.4B 774.18B 768.41B 764.21B 763.72B 746.33B 728.2B 691.36B 711.34B
Total Investments
312.87B 306.05B 298.19B 290.59B 299.28B 291.97B 274.86B 292.39B 293.01B 314.46B 289.79B 318.48B 321.78B 326.27B 329.28B 205.46B 327.23B 308.43B 299.1B 191.99B 256.05B 227.82B

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