Stock Code
 
 
PETROCHINA COMPANY LTD
Stock Code : 00857
Internet Address : http://www.petrochina.com.cn
 
Chairman  
Dai Houliang

Business Nature  
Oil & Gas

Board Members  
Chairman                              Dai Houliang
Vice Chairman                         Hou Qijun
President                             Huang Yongzhang
Executive Directors                   Ren Lixin, Zhang Daowei
Non-executive Directors               Duan Liangwei, Xie Jun
Independent Non-executive Directors   Cai Jinyong, Jiang Xiao Ming Simon, Zhang Laibin,
                                      Hung Lo Shan Lusan, Ho King Lun Kevin

Main Business  

The Group is principally engaged in the exploration, development, production and marketing of crude oil and natural gas, refining of crude oil and petroleum products, marketing of refined products and trading business, and transmission of natural gas, crude oil and refined products and the sale of natural gas.


Internet Address  
http://www.petrochina.com.cn

Related Indexes  
HS StockCon AH (A) Index
HS StockCon AH (H) Index
HS StockCon AH Prem Index
HS StockCon AH Smart Index
HS StockCon AH (A+H) Index
Hang Seng China Enterprises Index
Hang Seng Energy Industry Index
Hang Seng Composite LargeCap Index
Hang Seng High Dividend Yield Index
Hang Seng Composite Index
Hang Seng Index
Hang Seng China (Hong Kong-listed) 25 Index
Hang Seng China (Hong Kong-listed) 100 Index
HS Mainland Oil & Gas Index

Related Warrants  
Warranty Code Issuer Warranty Type Expiry Date No Of Units Issued Sub Price C Ratio
14487 MACQUARIE BANK LTD WARRANTS 2024/06/04 40,000,000 HK$5.380 1.000
19759 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/07/30 40,000,000 HK$7.500 1.000
19922 BNP PARIBAS ISSUANCE B.V. WARRANTS 2024/08/02 60,000,000 HK$7.500 1.000
19984 BOCI ASIA LTD WARRANTS 2024/05/27 70,000,000 HK$7.680 1.000
20110 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/07/23 70,000,000 HK$7.510 1.000
20476 BNP PARIBAS ISSUANCE B.V. WARRANTS 2024/07/03 40,000,000 HK$6.500 1.000
20788 MORGAN STANLEY ASIA SECURITIES PRODUCTS WARRANTS 2024/07/30 60,000,000 HK$6.800 1.000
20795 UBS AG WARRANTS 2024/07/23 70,000,000 HK$7.510 1.000
20877 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/07/23 50,000,000 HK$6.810 1.000
20886 MACQUARIE BANK LTD WARRANTS 2024/06/25 32,260,000 HK$6.510 1.000
20898 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/07/23 70,000,000 HK$6.810 1.000
20915 UBS AG WARRANTS 2024/07/23 70,000,000 HK$6.810 1.000
20944 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/07/23 70,000,000 HK$6.810 1.000
20995 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2024/07/15 40,000,000 HK$7.000 1.000
21723 BOCI ASIA LTD WARRANTS 2024/08/29 70,000,000 HK$5.700 1.000
21766 DBS BANK LTD WARRANTS 2024/07/31 40,000,000 HK$5.900 1.000
21780 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/09/27 40,000,000 HK$5.550 1.000
21903 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/08/22 70,000,000 HK$5.710 1.000
22031 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2024/09/30 40,000,000 HK$5.800 1.000
22146 HUATAI FINANCIAL HOLDINGS (HONG KONG) LI WARRANTS 2024/08/22 122,000,000 HK$5.710 1.000
22224 UBS AG WARRANTS 2024/07/24 70,000,000 HK$5.910 1.000
22526 BNP PARIBAS ISSUANCE B.V. WARRANTS 2024/10/03 40,000,000 HK$5.800 1.000
22572 MORGAN STANLEY ASIA SECURITIES PRODUCTS WARRANTS 2024/07/30 88,000,000 HK$5.990 1.000
22946 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/07/23 70,000,000 HK$6.000 1.000
22956 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/07/24 70,000,000 HK$5.910 1.000
23009 MACQUARIE BANK LTD WARRANTS 2024/09/23 50,000,000 HK$5.810 1.000
23316 J.P. MORGAN INT'L DERIVATIVES LTD PUT WARRAN 2024/08/13 40,000,000 HK$5.000 1.000
23401 UBS AG PUT WARRAN 2024/08/14 70,000,000 HK$4.880 1.000
23404 CITIGROUP GLOBAL MARKETS HOLDINGS INC PUT WARRAN 2024/08/14 40,000,000 HK$4.600 1.000
23464 MORGAN STANLEY ASIA SECURITIES PRODUCTS PUT WARRAN 2024/08/07 68,000,000 HK$4.590 1.000
23496 THE HONGKONG & SHANGHAI BANKING CORP LTD PUT WARRAN 2024/08/06 50,000,000 HK$4.990 1.000
23509 SGA SOCIETE GENERALE ACCEPTANCE N.V. PUT WARRAN 2024/12/31 150,000,000 HK$6.190 0.200
23515 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/07/23 70,000,000 HK$7.510 1.000
23516 HUATAI FINANCIAL HOLDINGS (HONG KONG) LI WARRANTS 2024/07/23 134,000,000 HK$7.510 1.000
23703 BOCI ASIA LTD WARRANTS 2024/07/30 70,000,000 HK$6.810 1.000
23729 J.P. MORGAN INT'L DERIVATIVES LTD PUT WARRAN 2024/12/20 70,000,000 HK$6.180 0.200
23739 UBS AG PUT WARRAN 2024/12/20 100,000,000 HK$6.180 0.200
23754 THE HONGKONG & SHANGHAI BANKING CORP LTD PUT WARRAN 2024/12/20 80,000,000 HK$6.180 0.200
23780 MACQUARIE BANK LTD PUT WARRAN 2024/10/03 40,000,000 HK$5.250 1.000
23805 BNP PARIBAS ISSUANCE B.V. WARRANTS 2025/01/03 40,000,000 HK$7.500 1.000
23867 CITIGROUP GLOBAL MARKETS HOLDINGS INC PUT WARRAN 2024/12/20 67,000,000 HK$6.200 0.200
24016 MACQUARIE BANK LTD WARRANTS 2025/02/04 34,490,000 HK$8.570 1.000
24084 MORGAN STANLEY ASIA SECURITIES PRODUCTS WARRANTS 2025/01/23 68,000,000 HK$8.580 1.000
24237 BNP PARIBAS ISSUANCE B.V. WARRANTS 2024/11/04 40,000,000 HK$8.800 1.000
24292 BOCI ASIA LTD WARRANTS 2025/02/27 70,000,000 HK$9.800 1.000
24436 BOCI ASIA LTD PUT WARRAN 2024/11/29 70,000,000 HK$6.000 1.000
24443 HUATAI FINANCIAL HOLDINGS (HONG KONG) LI WARRANTS 2024/11/29 40,000,000 HK$9.500 1.000
24462 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/10/18 70,000,000 HK$9.330 1.000
24526 UBS AG WARRANTS 2024/10/21 70,000,000 HK$9.630 1.000
24560 MORGAN STANLEY ASIA SECURITIES PRODUCTS WARRANTS 2024/10/10 68,000,000 HK$9.340 1.000
24595 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/10/14 60,000,000 HK$9.640 1.000
24621 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2025/10/02 120,000,000 HK$7.980 0.200
24629 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/10/14 70,000,000 HK$9.640 1.000
24694 BNP PARIBAS ISSUANCE B.V. WARRANTS 2024/12/03 70,000,000 HK$9.500 1.000
24706 MORGAN STANLEY ASIA SECURITIES PRODUCTS WARRANTS 2025/09/24 99,000,000 HK$7.990 0.200
24777 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2025/09/24 100,000,000 HK$7.990 0.200
24808 CITIC SECURITIES BROKERAGE (HK) LIMITED WARRANTS 2024/10/28 50,000,000 HK$8.800 1.000
24864 UBS AG WARRANTS 2025/09/24 70,000,000 HK$7.990 0.200
24883 DBS BANK LTD WARRANTS 2024/11/22 70,000,000 HK$9.510 1.000
24975 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2025/09/24 80,000,000 HK$7.990 0.200
24992 BNP PARIBAS ISSUANCE B.V. WARRANTS 2025/10/03 70,000,000 HK$7.990 0.200
25013 GUOTAI JUNAN SECURITIES (HONG KONG) LIMI WARRANTS 2024/11/22 70,000,000 HK$9.510 1.000
50162 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2025/09/29 80,000,000 HK$5.250 0.100
50245 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/10/18 60,000,000 HK$5.350 0.100
50479 UBS AG WARRANTS 2025/10/13 60,000,000 HK$5.450 0.100
50551 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/12/02 40,000,000 HK$5.360 0.100
50629 BOCI ASIA LTD WARRANTS 2024/08/30 40,000,000 HK$5.550 0.100
50664 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/12/30 50,000,000 HK$5.650 0.100
51382 UBS AG WARRANTS 2025/11/03 60,000,000 HK$5.730 0.100
52616 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2026/10/30 80,000,000 HK$5.750 0.100
52899 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/11/08 60,000,000 HK$5.750 0.100
52974 UBS AG WARRANTS 2025/11/17 60,000,000 HK$6.030 0.100
53194 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/12/02 40,000,000 HK$5.800 0.100
54484 BOCI ASIA LTD WARRANTS 2024/07/30 40,000,000 HK$6.450 0.100
54502 CITIGROUP GLOBAL MARKETS HOLDINGS INC PUT WARRAN 2025/06/02 40,000,000 HK$7.950 0.100
54505 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/12/02 40,000,000 HK$6.280 0.100
54526 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2026/11/27 80,000,000 HK$6.350 0.100
54611 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2026/10/09 60,000,000 HK$6.350 0.100
54612 J.P. MORGAN INT'L DERIVATIVES LTD PUT WARRAN 2025/05/09 60,000,000 HK$7.950 0.100
54628 UBS AG PUT WARRAN 2025/04/11 60,000,000 HK$8.150 0.100
54643 UBS AG WARRANTS 2024/10/24 60,000,000 HK$6.350 0.100
54697 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/08/14 40,000,000 HK$6.150 0.100
55122 SGA SOCIETE GENERALE ACCEPTANCE N.V. PUT WARRAN 2025/04/29 80,000,000 HK$8.350 0.100
55144 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/11/04 40,000,000 HK$6.650 0.100
55332 UBS AG PUT WARRAN 2025/04/22 60,000,000 HK$9.150 0.100
55529 CITIGROUP GLOBAL MARKETS HOLDINGS INC PUT WARRAN 2024/12/02 40,000,000 HK$8.950 0.100
57926 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2026/07/02 40,000,000 HK$6.850 0.100
57945 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2024/05/30 80,000,000 HK$4.450 0.100
58011 UBS AG WARRANTS 2026/10/09 60,000,000 HK$6.850 0.100
58039 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2024/10/25 80,000,000 HK$4.050 0.100
58997 BOCI ASIA LTD WARRANTS 2024/07/30 40,000,000 HK$4.530 0.100
59137 UBS AG WARRANTS 2024/10/22 60,000,000 HK$3.850 0.100
61168 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/07/30 60,000,000 HK$4.550 0.100
62415 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/11/28 60,000,000 HK$4.250 0.100
63369 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/11/01 60,000,000 HK$4.060 0.100
64695 UBS AG WARRANTS 2024/10/21 60,000,000 HK$4.650 0.100
67392 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2025/09/29 80,000,000 HK$3.650 0.100
68235 CITIGROUP GLOBAL MARKETS HOLDINGS INC WARRANTS 2024/10/02 40,000,000 HK$4.950 0.100
68260 THE HONGKONG & SHANGHAI BANKING CORP LTD WARRANTS 2024/12/30 60,000,000 HK$5.050 0.100
68340 SGA SOCIETE GENERALE ACCEPTANCE N.V. WARRANTS 2026/10/29 80,000,000 HK$4.850 0.100
68388 UBS AG WARRANTS 2024/10/18 60,000,000 HK$5.150 0.100
68491 J.P. MORGAN INT'L DERIVATIVES LTD WARRANTS 2024/10/04 60,000,000 HK$4.950 0.100
68536 BOCI ASIA LTD WARRANTS 2024/07/24 40,000,000 HK$4.950 0.100

Major Shareholders  
Shareholders Current Holding % Held Date Previous Holding % Held Date
CNPC - A SHS# 150,923,565,570 82.460 2023/06/30 150,923,565,570 82.460 2023/02/17
BLACKROCK, INC. - H SHS* 1,472,617,558 6.980 2023/06/30 1,472,578,603 6.980 2023/04/05
J.P. MORGAN CHASE & CO.-H SHS* 1,054,671,454 - 2019/09/19 1,479,802,005 7.010 2018/12/31
CNPC - H SHS* 291,518,000 1.380 2023/06/30 291,518,000 1.380 2022/12/31
*-calculated by H shs only - - - - - -
#-calculated by all sh capital - - - - - -

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