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CHK OIL
00632.HK
CHK Oil Limited, an investment holding company, engages in the exploration, exploitation, and sale of oil and natural gas in Hong Kong, the United States, and the People Republic of China. The company holds an exploitation interest in the Utah Gas and Oil Field project located in Utah, the United States. It also trades in oil and oil-related products; and provides corporate services. The company was formerly known as Pearl Oriental Oil Limited and changed its name to CHK Oil Limited in February 2020.
1.039 T
00632.HKMarket value -Rank by Market Cap -/-

Financial Score

22/11/2025 Update
C
Oil and Gas Exploration and ProductionIndustry
Industry Ranking8/15
Industry medianC
Industry averageC
Score Analysis
Peer Comparison
  • Criteria
    Rating
  • Profit ScoreD
    • ROE-8.65%D
    • Profit Margin-13.05%D
    • Gross Margin0.66%E
  • Growth ScoreC
    • Revenue YoY-2.17%D
    • Net Profit YoY43.98%B
    • Total Assets YoY-12.15%E
    • Net Assets YoY-3.37%D
  • Cash ScoreD
    • Cash Flow Margin-766.50%E
    • OCF YoY-2.17%D
  • Operating ScoreC
    • Turnover0.51C
  • Debt ScoreA
    • Gearing Ratio19.16%A

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    News
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    Morning Trend | CHK OIL weakens and hits a new low, main sentiment in the crude oil market is sluggish amid fluctuations

    CHK OIL (632.HK) continued to decline in performance yesterday, as the overall risk appetite in the oil and gas sector decreased under the pressure of fluctuating international oil prices and geopolitical uncertainties. Throughout the day, the main capital was primarily defensive, with active buying nearly disappearing, and the market's wait-and-see sentiment alternated with a dominant short position. The stock hit new recent lows multiple times during the session, with a clear advantage for selling and weak rebound momentum. On the technical front, the daily MACD death cross continued to widen, and the K-line group showed a weak arrangement, with limited rebound energy. Due to frequent disturbances from international news, funds and institutions opted for a high proportion of defensive positions and sector rotation, further amplifying market volatility. The OPEC meeting and significant geopolitical changes became the biggest uncertain variables of the day, impacting stock price fluctuations rapidly and dramatically. Overall, if external positive drivers are not obtained in the short term, the bearish trend is likely to continue, and a reversal seems difficult to be optimistic about. During the session, it is crucial to pay close attention to small-scale rebounds and capital movement signals to respond to potential oversold rebounds. Investors should adopt a conservative approach to avoid collective risks in the sector caused by sudden events. The key for the future market lies in whether liquidity can be restored and guidance from news sources, with profit opportunities relying on policy and international game progress

    Technical Forecast·
    Technical Forecast·