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C500-144 · HKEX · Asia

OilGasTr Holdings 144

C5144·Oil & Gas Transition·ConsumerCRisk: Medium

Constituent of the C500 extended carbon-offset universe (Oil & Gas Transition).

CIP Price · Simulated
66.21
-3.82% · 3M
Source: seeded estimate

Key scores and index weight

CIP Score
49.7
C500 · Rank #500 of 500
Carbon Score
48
Consumer
Sentiment
+40
net controversy-weighted
Index Weight
0.20%
quarterly rebalance

Price history and score profile

Price history
66.21
-3.82%
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Score profile · 8 dimensions

Sentiment trend and carbon flows

Sentiment trend · 60d
Carbon flows
  • Credits Produced0 k tCO₂e
  • Credits Retired280,998 k tCO₂e
  • Financial Strength46 / 100
  • Innovation Score100 / 100
  • Transition Score99 / 100
  • Quality Score88 / 100
DATA TIER · Preview v0 — seeded; pending registry & disclosure joins

Sector peers

Sector peers — Oil & Gas Transition
View full index →
#CompanyGradeScoreWeight24h
484
C5432
OilGasTr Holdings 432
C48.40.20%+1.95%
412
C5180
OilGasTr Holdings 180
C61.20.20%-2.92%
407
C5408
OilGasTr Holdings 408
B62.20.20%+0.81%
367
C5348
OilGasTr Holdings 348
B68.40.20%+2.79%
477
C5204
OilGasTr Holdings 204
C55.80.20%-1.63%

Fundamentals and technicals

Fundamentals
est. · v0 seeded
Market Cap$3635.8B
Revenue (TTM)$366.6B
P/E Ratio12.8
EPS (TTM)$1.24
Dividend Yield4.33%
Beta1.09
Gross Margin55.6%
HeadquartersTokyo, Japan
Listed (IPO)
Employees65,555
IndustryOil & Gas Transition
ExchangeHKEX · C5144
Scope 1+2 (kt)9,905
Scope 3 (kt)36,488
Technicals
est. · v0 seededHold
58.39
+2.12% intraday
Open57.10
Prev Close57.18
Day Range56.96 – 58.39
52w Range57.15 – 86.26
Volume6,215,680
Avg Volume8,571,951
SMA 2059.93
SMA 5061.88
SMA 20068.20
RSI (14)34.8
MACD / Signal-1.27 / -1.49
Volatility (30d)16.8%
Sustainability & CDP profile · OilGasTr Holdings 144
Curated, on-demand from the Carbon Index Protocol database.
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SBTi Target Module · OilGasTr Holdings 144
Calculated 1.5°C-aligned target stack · Absolute Contraction Approach · base year 2020.
Well below 2°C
SBTi status
Validated
Targets validated by SBTi
Net-zero year
2049
Residual ≤10% via removals
Required pace
-3.10%/yr
Modelled: -2.51%/yr
Near-term · 2030
Scope 1+2 base11,406 kt CO₂e
Scope 1+2 target (-42%)6,615 kt CO₂e
Scope 1+2 today9,905 kt CO₂e
Scope 3 target (-25%)30,130 kt CO₂e
Long-term · 2049
Total base (S1+2+3)51,579 kt CO₂e
Net-zero target (-90%)5,158 kt CO₂e
Total today46,393 kt CO₂e
Ambition gap+0.59 pp/yr
Decarbonisation pathway
Total scope 1+2+3 trajectory · 20202049 · kt CO₂e
SBTi 1.5°C required Modelled trajectory
  • Methodology: SBTi Absolute Contraction Approach, 2020 base year, 1.5°C pathway.
  • Scope 1+2 near-term: 4.2%/yr linear (= 42% by 2030).
  • Scope 3 is material (>40% of footprint) — SBTi requires near-term 2.5%/yr scope 3 reduction.
  • Long-term: -90% absolute by 2049; residual ≤10% neutralized by durable removals.
Data provenance & validity

Methodology is valid — calculations follow the SBTi Corporate Net-Zero Standard v1.2 (Absolute Contraction Approach: −4.2%/yr scope 1+2, −2.5%/yr scope 3, 90% absolute reduction by net-zero year).

Inputs are modelled, not audited disclosures. Scope 1/2/3 baselines, net-zero year, and SBTi status are deterministically derived per ticker from fundamentalsFor() in src/lib/ci100-fundamentals.ts (seeded by ticker + transition score). Replace with CDP / company-disclosed inventory data for verified results — wire real values into fundamentalsFor() and this module recomputes automatically.

External research · OilGasTr Holdings 144
Market data unavailable — showing v0 seeded estimates. ESG grade, CIP score, sentiment and carbon flows are Carbon Index Protocol curated data, not market data.