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BP BP PLC

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  • 29.310
  • +0.180+0.62%
Close Nov 29 13:00 ET
  • 29.290
  • -0.020-0.07%
Post 16:55 ET
76.55BMarket Cap29.28P/E (TTM)

BP PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
12.65%34.76B
20.33%35.6B
4.02%32.13B
19.59%28.59B
19.59%28.59B
4.24%30.86B
-10.99%29.59B
-10.53%30.88B
-8.82%23.91B
-8.82%23.91B
-Cash and cash equivalents
15.60%34.6B
20.67%34.89B
3.54%31.51B
18.94%27.75B
18.94%27.75B
2.12%29.93B
-12.67%28.91B
-11.57%30.43B
-10.07%23.33B
-10.07%23.33B
-Short-term investments
-82.08%167M
5.51%708M
36.67%615M
45.85%843M
45.85%843M
210.67%932M
416.15%671M
336.89%450M
106.43%578M
106.43%578M
-Accounts receivable
-17.19%26.13B
4.29%28.89B
1.64%29.91B
-10.82%25.18B
-10.82%25.18B
-9.36%31.56B
-29.18%27.7B
-17.37%29.43B
26.55%28.23B
26.55%28.23B
-Taxes receivable
71.07%1.15B
48.18%978M
20.25%766M
12.48%1.87B
12.48%1.87B
130.03%674M
127.59%660M
149.80%637M
-0.90%1.66B
-0.90%1.66B
-Other receivables
-39.39%220M
-30.26%212M
-40.65%219M
2.00%5.16B
2.00%5.16B
27.37%363M
7.80%304M
4.53%369M
24.73%5.06B
24.73%5.06B
Inventory
-16.28%21.49B
-0.02%23.35B
1.69%24.31B
-18.74%22.82B
-18.74%22.82B
-12.96%25.67B
-31.84%23.35B
-20.61%23.91B
18.43%28.08B
18.43%28.08B
Prepaid assets
-13.80%1.15B
28.33%2.15B
25.46%2.25B
20.46%2.52B
20.46%2.52B
16.11%1.33B
-35.18%1.67B
-31.77%1.79B
-15.85%2.09B
-15.85%2.09B
Restricted cash
----
----
----
-9.96%5.28B
-9.96%5.28B
----
----
----
23.76%5.87B
23.76%5.87B
Total current assets
-9.40%93.68B
5.57%100.62B
2.17%101.41B
-3.29%104.15B
-3.29%104.15B
-4.64%103.41B
-24.83%95.31B
-17.38%99.26B
16.31%107.69B
16.31%107.69B
Non current assets
Net PPE
-7.10%99.56B
-7.24%100.29B
-2.84%102.74B
-1.10%109.05B
-1.10%109.05B
2.02%107.16B
0.91%108.13B
-3.77%105.74B
-5.92%110.26B
-5.92%110.26B
-Gross PPE
----
----
----
5.51%278.64B
5.51%278.64B
----
----
----
-10.46%264.07B
-10.46%264.07B
-Accumulated depreciation
----
----
----
-10.25%-169.59B
-10.25%-169.59B
----
----
----
13.46%-153.82B
13.46%-153.82B
Goodwill and other intangible assets
5.47%23.5B
0.17%22.69B
0.39%22.39B
1.05%18.14B
1.05%18.14B
27.64%22.28B
26.59%22.65B
22.28%22.3B
23.47%17.95B
23.47%17.95B
-Goodwill
4.80%12.87B
1.51%12.39B
3.12%12.38B
4.28%12.47B
4.28%12.47B
10.21%12.28B
6.49%12.21B
1.01%12B
-3.34%11.96B
-3.34%11.96B
-Other intangible assets
6.29%10.63B
-1.40%10.3B
-2.79%10.01B
-5.41%5.66B
-5.41%5.66B
58.41%10B
62.40%10.45B
62.07%10.3B
176.92%5.99B
176.92%5.99B
Financial assets
24.79%11.85B
-3.69%10.26B
-16.32%9.69B
-22.28%9.98B
-22.28%9.98B
1.74%9.5B
27.16%10.66B
48.23%11.58B
83.29%12.84B
83.29%12.84B
Non current prepaid assets
136.50%1.42B
-3.50%661M
-4.73%665M
8.16%623M
8.16%623M
9.29%600M
30.48%685M
21.39%698M
20.25%576M
20.25%576M
Defined pension benefit
-2.51%7.97B
-15.12%7.52B
-18.12%7.8B
-14.25%7.95B
-14.25%7.95B
-18.29%8.17B
-20.55%8.86B
-27.59%9.53B
-22.23%9.27B
-22.23%9.27B
Total non current assets
-0.45%176.03B
-4.42%172.76B
-3.00%174.03B
-2.37%176.15B
-2.37%176.15B
1.02%176.83B
4.89%180.75B
2.29%179.4B
-7.32%180.43B
-7.32%180.43B
Total assets
-3.76%269.71B
-0.97%273.38B
-1.16%275.44B
-2.72%280.29B
-2.72%280.29B
-1.15%280.24B
-7.71%276.07B
-5.70%278.66B
0.30%288.12B
0.30%288.12B
Liabilities
Current liabilities
Payables
-11.66%56.09B
1.37%60.55B
-0.02%61.43B
-6.12%63.89B
-6.12%63.89B
5.14%63.49B
-11.94%59.73B
-4.17%61.44B
25.63%68.05B
25.63%68.05B
-accounts payable
-10.02%54.39B
2.63%57.66B
1.33%58.62B
-10.18%42.41B
-10.18%42.41B
7.41%60.44B
-12.23%56.18B
-5.46%57.85B
26.48%47.21B
26.48%47.21B
-Total tax payable
-44.14%1.71B
-18.48%2.89B
-21.74%2.8B
-22.25%5B
-22.25%5B
-25.87%3.05B
-7.00%3.55B
22.83%3.58B
50.77%6.43B
50.77%6.43B
-Other payable
----
----
----
14.38%16.49B
14.38%16.49B
----
----
----
14.61%14.41B
14.61%14.41B
Current provisions
-2.07%4.11B
-12.20%4.02B
-29.85%3.58B
-30.23%4.42B
-30.23%4.42B
-38.85%4.19B
-25.67%4.57B
-12.20%5.1B
20.47%6.33B
20.47%6.33B
Current debt and capital lease obligation
33.32%7.21B
40.22%6.74B
56.54%7.29B
11.96%5.93B
11.96%5.93B
-5.44%5.41B
-41.53%4.8B
-32.95%4.66B
-27.44%5.3B
-27.44%5.3B
-Current debt
56.13%4.48B
77.16%4.14B
86.67%4.67B
2.69%3.28B
2.69%3.28B
-25.92%2.87B
-63.91%2.34B
-52.05%2.5B
-42.45%3.2B
-42.45%3.2B
-Current capital lease obligation
7.49%2.73B
5.19%2.59B
21.67%2.63B
26.07%2.65B
26.07%2.65B
37.68%2.54B
42.07%2.47B
24.35%2.16B
20.32%2.1B
20.32%2.1B
Current liabilities
-10.02%77.02B
-0.11%81.38B
-2.72%82.29B
-13.07%86.08B
-13.07%86.08B
-17.81%85.6B
-25.61%81.47B
-16.40%84.59B
23.33%99.02B
23.33%99.02B
Non current liabilities
Long term provisions
-5.47%14.65B
-6.43%14.57B
-2.49%14.84B
-1.81%14.72B
-1.81%14.72B
-6.18%15.5B
-14.58%15.57B
-14.67%15.21B
-23.40%14.99B
-23.40%14.99B
Long term debt and capital lease obligation
12.89%61.28B
5.46%58.95B
8.06%56.78B
13.84%57.14B
13.84%57.14B
11.38%54.28B
6.05%55.9B
-15.42%52.54B
-19.67%50.19B
-19.67%50.19B
-Long term debt
15.34%52.99B
7.27%50.84B
4.89%48.35B
11.26%48.67B
11.26%48.67B
7.63%45.94B
2.18%47.4B
-16.79%46.1B
-21.35%43.75B
-21.35%43.75B
-Long term capital lease obligation
-0.61%8.29B
-4.61%8.1B
30.78%8.43B
31.39%8.47B
31.39%8.47B
37.83%8.34B
34.41%8.5B
-4.22%6.45B
-6.08%6.45B
-6.08%6.45B
Non current accrued expenses
-5.97%1.2B
-11.97%1.1B
-1.61%1.29B
6.24%1.31B
6.24%1.31B
24.32%1.27B
38.95%1.25B
40.54%1.31B
27.38%1.23B
27.38%1.23B
Derivative product liabilities
7.84%12.3B
8.68%12.03B
-2.38%11.14B
-23.16%10.4B
-23.16%10.4B
-30.56%11.41B
-14.30%11.07B
25.89%11.41B
112.98%13.54B
112.98%13.54B
Total non current liabilities
5.40%112.74B
0.74%109.81B
1.23%108.21B
2.46%108.72B
2.46%108.72B
0.90%106.97B
0.87%109B
-7.70%106.89B
-8.95%106.11B
-8.95%106.11B
Total liabilities
-1.45%189.76B
0.38%191.19B
-0.51%190.5B
-5.04%194.8B
-5.04%194.8B
-8.37%192.56B
-12.46%190.46B
-11.76%191.48B
4.22%205.13B
4.22%205.13B
Shareholders'equity
Share capital
----
----
----
-6.24%4.5B
-6.24%4.5B
----
----
----
-8.05%4.8B
-8.05%4.8B
-common stock
----
----
----
-6.26%4.48B
-6.26%4.48B
----
----
----
-8.09%4.77B
-8.09%4.77B
-Preferred stock
----
----
----
0.00%21M
0.00%21M
----
----
----
0.00%21M
0.00%21M
Retained earnings
----
----
----
1.75%35.34B
1.75%35.34B
----
----
----
-32.97%34.73B
-32.97%34.73B
Paid-in capital
----
----
----
2.77%16.31B
2.77%16.31B
----
----
----
9.84%15.87B
9.84%15.87B
Less: Treasury stock
----
----
----
-6.83%11.32B
-6.83%11.32B
----
----
----
-3.73%12.15B
-3.73%12.15B
Total stockholders'equity
-10.48%64.83B
-4.71%67.02B
-2.79%69.77B
4.04%70.28B
4.04%70.28B
24.47%72.42B
5.60%70.34B
13.39%71.78B
-10.48%67.55B
-10.48%67.55B
Noncontrolling interests
-0.90%15.12B
-0.58%15.18B
-1.53%15.17B
-1.47%15.21B
-1.47%15.21B
0.70%15.26B
2.07%15.26B
1.22%15.41B
3.08%15.44B
3.08%15.44B
Total equity
-8.82%79.95B
-3.98%82.2B
-2.57%84.94B
3.02%85.49B
3.02%85.49B
19.56%87.68B
4.95%85.6B
11.03%87.18B
-8.24%82.99B
-8.24%82.99B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
--
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 12.65%34.76B 20.33%35.6B 4.02%32.13B 19.59%28.59B 19.59%28.59B 4.24%30.86B -10.99%29.59B -10.53%30.88B -8.82%23.91B -8.82%23.91B
-Cash and cash equivalents 15.60%34.6B 20.67%34.89B 3.54%31.51B 18.94%27.75B 18.94%27.75B 2.12%29.93B -12.67%28.91B -11.57%30.43B -10.07%23.33B -10.07%23.33B
-Short-term investments -82.08%167M 5.51%708M 36.67%615M 45.85%843M 45.85%843M 210.67%932M 416.15%671M 336.89%450M 106.43%578M 106.43%578M
-Accounts receivable -17.19%26.13B 4.29%28.89B 1.64%29.91B -10.82%25.18B -10.82%25.18B -9.36%31.56B -29.18%27.7B -17.37%29.43B 26.55%28.23B 26.55%28.23B
-Taxes receivable 71.07%1.15B 48.18%978M 20.25%766M 12.48%1.87B 12.48%1.87B 130.03%674M 127.59%660M 149.80%637M -0.90%1.66B -0.90%1.66B
-Other receivables -39.39%220M -30.26%212M -40.65%219M 2.00%5.16B 2.00%5.16B 27.37%363M 7.80%304M 4.53%369M 24.73%5.06B 24.73%5.06B
Inventory -16.28%21.49B -0.02%23.35B 1.69%24.31B -18.74%22.82B -18.74%22.82B -12.96%25.67B -31.84%23.35B -20.61%23.91B 18.43%28.08B 18.43%28.08B
Prepaid assets -13.80%1.15B 28.33%2.15B 25.46%2.25B 20.46%2.52B 20.46%2.52B 16.11%1.33B -35.18%1.67B -31.77%1.79B -15.85%2.09B -15.85%2.09B
Restricted cash ---- ---- ---- -9.96%5.28B -9.96%5.28B ---- ---- ---- 23.76%5.87B 23.76%5.87B
Total current assets -9.40%93.68B 5.57%100.62B 2.17%101.41B -3.29%104.15B -3.29%104.15B -4.64%103.41B -24.83%95.31B -17.38%99.26B 16.31%107.69B 16.31%107.69B
Non current assets
Net PPE -7.10%99.56B -7.24%100.29B -2.84%102.74B -1.10%109.05B -1.10%109.05B 2.02%107.16B 0.91%108.13B -3.77%105.74B -5.92%110.26B -5.92%110.26B
-Gross PPE ---- ---- ---- 5.51%278.64B 5.51%278.64B ---- ---- ---- -10.46%264.07B -10.46%264.07B
-Accumulated depreciation ---- ---- ---- -10.25%-169.59B -10.25%-169.59B ---- ---- ---- 13.46%-153.82B 13.46%-153.82B
Goodwill and other intangible assets 5.47%23.5B 0.17%22.69B 0.39%22.39B 1.05%18.14B 1.05%18.14B 27.64%22.28B 26.59%22.65B 22.28%22.3B 23.47%17.95B 23.47%17.95B
-Goodwill 4.80%12.87B 1.51%12.39B 3.12%12.38B 4.28%12.47B 4.28%12.47B 10.21%12.28B 6.49%12.21B 1.01%12B -3.34%11.96B -3.34%11.96B
-Other intangible assets 6.29%10.63B -1.40%10.3B -2.79%10.01B -5.41%5.66B -5.41%5.66B 58.41%10B 62.40%10.45B 62.07%10.3B 176.92%5.99B 176.92%5.99B
Financial assets 24.79%11.85B -3.69%10.26B -16.32%9.69B -22.28%9.98B -22.28%9.98B 1.74%9.5B 27.16%10.66B 48.23%11.58B 83.29%12.84B 83.29%12.84B
Non current prepaid assets 136.50%1.42B -3.50%661M -4.73%665M 8.16%623M 8.16%623M 9.29%600M 30.48%685M 21.39%698M 20.25%576M 20.25%576M
Defined pension benefit -2.51%7.97B -15.12%7.52B -18.12%7.8B -14.25%7.95B -14.25%7.95B -18.29%8.17B -20.55%8.86B -27.59%9.53B -22.23%9.27B -22.23%9.27B
Total non current assets -0.45%176.03B -4.42%172.76B -3.00%174.03B -2.37%176.15B -2.37%176.15B 1.02%176.83B 4.89%180.75B 2.29%179.4B -7.32%180.43B -7.32%180.43B
Total assets -3.76%269.71B -0.97%273.38B -1.16%275.44B -2.72%280.29B -2.72%280.29B -1.15%280.24B -7.71%276.07B -5.70%278.66B 0.30%288.12B 0.30%288.12B
Liabilities
Current liabilities
Payables -11.66%56.09B 1.37%60.55B -0.02%61.43B -6.12%63.89B -6.12%63.89B 5.14%63.49B -11.94%59.73B -4.17%61.44B 25.63%68.05B 25.63%68.05B
-accounts payable -10.02%54.39B 2.63%57.66B 1.33%58.62B -10.18%42.41B -10.18%42.41B 7.41%60.44B -12.23%56.18B -5.46%57.85B 26.48%47.21B 26.48%47.21B
-Total tax payable -44.14%1.71B -18.48%2.89B -21.74%2.8B -22.25%5B -22.25%5B -25.87%3.05B -7.00%3.55B 22.83%3.58B 50.77%6.43B 50.77%6.43B
-Other payable ---- ---- ---- 14.38%16.49B 14.38%16.49B ---- ---- ---- 14.61%14.41B 14.61%14.41B
Current provisions -2.07%4.11B -12.20%4.02B -29.85%3.58B -30.23%4.42B -30.23%4.42B -38.85%4.19B -25.67%4.57B -12.20%5.1B 20.47%6.33B 20.47%6.33B
Current debt and capital lease obligation 33.32%7.21B 40.22%6.74B 56.54%7.29B 11.96%5.93B 11.96%5.93B -5.44%5.41B -41.53%4.8B -32.95%4.66B -27.44%5.3B -27.44%5.3B
-Current debt 56.13%4.48B 77.16%4.14B 86.67%4.67B 2.69%3.28B 2.69%3.28B -25.92%2.87B -63.91%2.34B -52.05%2.5B -42.45%3.2B -42.45%3.2B
-Current capital lease obligation 7.49%2.73B 5.19%2.59B 21.67%2.63B 26.07%2.65B 26.07%2.65B 37.68%2.54B 42.07%2.47B 24.35%2.16B 20.32%2.1B 20.32%2.1B
Current liabilities -10.02%77.02B -0.11%81.38B -2.72%82.29B -13.07%86.08B -13.07%86.08B -17.81%85.6B -25.61%81.47B -16.40%84.59B 23.33%99.02B 23.33%99.02B
Non current liabilities
Long term provisions -5.47%14.65B -6.43%14.57B -2.49%14.84B -1.81%14.72B -1.81%14.72B -6.18%15.5B -14.58%15.57B -14.67%15.21B -23.40%14.99B -23.40%14.99B
Long term debt and capital lease obligation 12.89%61.28B 5.46%58.95B 8.06%56.78B 13.84%57.14B 13.84%57.14B 11.38%54.28B 6.05%55.9B -15.42%52.54B -19.67%50.19B -19.67%50.19B
-Long term debt 15.34%52.99B 7.27%50.84B 4.89%48.35B 11.26%48.67B 11.26%48.67B 7.63%45.94B 2.18%47.4B -16.79%46.1B -21.35%43.75B -21.35%43.75B
-Long term capital lease obligation -0.61%8.29B -4.61%8.1B 30.78%8.43B 31.39%8.47B 31.39%8.47B 37.83%8.34B 34.41%8.5B -4.22%6.45B -6.08%6.45B -6.08%6.45B
Non current accrued expenses -5.97%1.2B -11.97%1.1B -1.61%1.29B 6.24%1.31B 6.24%1.31B 24.32%1.27B 38.95%1.25B 40.54%1.31B 27.38%1.23B 27.38%1.23B
Derivative product liabilities 7.84%12.3B 8.68%12.03B -2.38%11.14B -23.16%10.4B -23.16%10.4B -30.56%11.41B -14.30%11.07B 25.89%11.41B 112.98%13.54B 112.98%13.54B
Total non current liabilities 5.40%112.74B 0.74%109.81B 1.23%108.21B 2.46%108.72B 2.46%108.72B 0.90%106.97B 0.87%109B -7.70%106.89B -8.95%106.11B -8.95%106.11B
Total liabilities -1.45%189.76B 0.38%191.19B -0.51%190.5B -5.04%194.8B -5.04%194.8B -8.37%192.56B -12.46%190.46B -11.76%191.48B 4.22%205.13B 4.22%205.13B
Shareholders'equity
Share capital ---- ---- ---- -6.24%4.5B -6.24%4.5B ---- ---- ---- -8.05%4.8B -8.05%4.8B
-common stock ---- ---- ---- -6.26%4.48B -6.26%4.48B ---- ---- ---- -8.09%4.77B -8.09%4.77B
-Preferred stock ---- ---- ---- 0.00%21M 0.00%21M ---- ---- ---- 0.00%21M 0.00%21M
Retained earnings ---- ---- ---- 1.75%35.34B 1.75%35.34B ---- ---- ---- -32.97%34.73B -32.97%34.73B
Paid-in capital ---- ---- ---- 2.77%16.31B 2.77%16.31B ---- ---- ---- 9.84%15.87B 9.84%15.87B
Less: Treasury stock ---- ---- ---- -6.83%11.32B -6.83%11.32B ---- ---- ---- -3.73%12.15B -3.73%12.15B
Total stockholders'equity -10.48%64.83B -4.71%67.02B -2.79%69.77B 4.04%70.28B 4.04%70.28B 24.47%72.42B 5.60%70.34B 13.39%71.78B -10.48%67.55B -10.48%67.55B
Noncontrolling interests -0.90%15.12B -0.58%15.18B -1.53%15.17B -1.47%15.21B -1.47%15.21B 0.70%15.26B 2.07%15.26B 1.22%15.41B 3.08%15.44B 3.08%15.44B
Total equity -8.82%79.95B -3.98%82.2B -2.57%84.94B 3.02%85.49B 3.02%85.49B 19.56%87.68B 4.95%85.6B 11.03%87.18B -8.24%82.99B -8.24%82.99B
Currency Unit USD USD USD USD USD USD USD USD USD USD
Accounting Standards NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP NonUS-GAAP
Audit Opinions -- -- -- -- -- -- -- -- Unqualified Opinion --

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