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BP PLC

Income Statement - BP PLC (BP)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total revenue 189.34 189.19 210.13 241.39 157.74 105.94 159.31 298.76 240.21 183.01 222.89 353.57 379.14 370.87 375.52 301.86 243.97 361.14 284.37 265.91
Cost of revenue 155.81 158.95 162.06 186.30 134.88 95.76 131.72 269.88 221.30 176.48 218.09 327.40 346.44 343.08 329.18 286.07 190.73 302.69 230.69 214.60
Gross profit 33.53 30.24 48.07 55.10 22.86 10.18 27.58 28.88 18.90 6.52 4.81 26.17 32.70 27.79 46.34 15.79 53.24 58.45 53.67 51.31
Total operating expenses + 18.06 17.39 17.02 13.65 12.19 10.76 11.39 13.62 12.59 12.22 13.91 16.33 16.51 14.83 15.48 24.87 26.65 28.14 28.19 26.61
Operating income 15.47 12.85 31.05 41.45 10.67 -0.57 16.19 16.34 7.92 -4.42 -10.36 12.87 18.90 13.70 34.99 -13.53 26.59 35.73 31.55 31.89
Non-operating income (net) -7.72 -6.07 -7.30 -26.04 4.56 -24.32 -8.04 0.38 -0.74 2.12 0.79 -7.92 11.32 5.11 3.84 8.70 -1.46 -1.45 0.06 2.76
Income before tax 7.75 6.78 23.75 15.41 15.23 -24.89 8.15 16.72 7.18 -2.30 -9.57 4.95 30.22 18.81 38.83 -4.83 25.12 34.28 31.61 34.64
Income tax expense 6.45 5.55 7.87 16.76 6.74 -4.16 3.96 7.15 3.71 -2.47 -3.17 0.95 6.46 6.99 12.74 -1.50 8.37 12.62 10.44 12.33
Net income 0.06 0.38 15.24 -2.49 7.57 -20.31 4.03 9.38 3.39 0.12 -6.48 3.78 23.45 11.58 25.70 -3.72 16.58 21.16 20.85 22.00
Show Quarterly Income Statement

Income Statement - BP PLC (BP)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total revenue 52.26 47.38 48.42 46.63 46.91 45.75 47.25 47.30 48.88 52.14 53.27 48.54 56.18 69.26 55.01 67.87 49.26 50.55 36.17 36.47 34.54 44.79 26.31 31.68 59.65 71.11 68.29 72.68 66.32 75.68 79.47 75.44 68.17 67.82 60.02 56.51 55.86 51.01 47.05 46.44 38.51 49.17 54.73 62.05 54.20 74.00 93.90 60.65 91.71 93.72 96.60 94.71 94.11 92.89 90.59 93.34 94.04 93.44 96.17 102.14 85.33 75.80 72.03 74.90 74.38 74.87 66.42 56.04 48.00 66.03 103.37 110.90 87.75 84.44 71.33 73.08 61.31 66.64 73.00 73.17 63.29
Cost of revenue 39.63 39.71 39.55 38.08 38.46 39.96 39.73 40.17 39.09 41.32 40.63 39.73 40.38 45.21 51.29 50.88 38.91 42.76 34.26 31.73 26.13 42.57 22.39 28.05 59.24 64.10 62.17 66.03 58.51 69.37 70.98 68.28 61.25 64.06 54.25 52.46 50.54 48.32 44.21 47.09 36.87 47.49 51.45 67.28 49.13 71.69 86.75 65.87 82.88 87.44 88.18 87.09 83.72 90.69 80.35 88.12 83.92 80.47 83.66 86.84 70.06 67.39 66.28 93.75 58.66 57.33 53.38 42.68 37.35 52.38 86.67 87.21 70.80 62.16 60.60 56.41 48.41 48.49 55.06 56.40 49.04
Gross profit 12.63 7.68 8.87 8.54 8.44 5.79 7.53 7.13 9.79 10.82 12.64 8.81 15.80 24.04 3.72 16.99 10.35 7.80 1.91 4.74 8.41 2.22 3.93 3.63 0.41 7.01 6.12 6.64 7.81 6.31 8.49 7.16 6.92 3.76 5.77 4.06 5.32 2.69 2.84 -0.65 1.65 1.69 3.29 -5.23 5.06 2.31 7.15 -5.23 8.84 6.27 8.42 7.62 10.39 2.20 10.24 5.23 10.12 12.97 12.52 15.30 15.27 8.41 5.76 -18.85 15.72 17.54 13.04 13.36 10.66 13.66 16.70 23.70 16.95 22.27 10.73 16.67 12.90 18.16 17.95 16.77 14.25
Total operating expenses + 4.67 4.67 4.50 4.38 4.51 4.27 4.30 4.35 4.47 5.23 4.56 4.13 3.85 3.41 3.49 3.58 3.17 3.30 3.19 2.98 2.71 -6.94 2.63 12.18 2.89 3.26 2.83 2.79 3.13 4.11 3.11 3.09 3.31 3.50 2.93 3.39 2.77 3.01 3.45 3.05 2.71 4.01 3.06 -5.23 2.96 4.52 4.16 -5.23 4.15 5.66 3.92 3.66 3.28 3.70 3.92 3.83 3.39 4.25 6.44 6.80 6.14 6.19 6.08 6.30 5.99 6.84 6.79 6.58 6.11 14.87 6.68 9.03 6.15 8.98 5.54 6.93 7.60 8.32 7.03 6.68 5.91
Operating income 7.96 3.00 4.37 4.16 3.93 1.51 3.22 2.79 5.32 5.59 8.08 4.68 11.95 20.64 0.23 13.41 7.17 4.50 -1.28 1.76 5.70 9.16 1.30 -8.56 -2.48 3.75 3.29 3.85 4.67 2.20 5.38 4.07 3.62 0.25 2.84 0.67 2.56 -0.32 -0.61 -3.70 -1.07 -2.32 0.23 -9.12 2.11 0.81 2.99 -9.12 4.69 3.33 4.50 3.97 7.11 -3.04 6.93 2.14 7.67 10.09 6.08 8.50 9.13 2.22 -0.33 -25.16 9.73 10.70 6.25 6.79 4.55 -1.21 10.02 14.67 10.80 13.29 5.19 9.74 5.30 9.84 10.92 10.09 8.34
Non-operating income (net) -0.59 -4.51 -1.14 -1.28 -0.80 -2.02 -1.83 -1.53 -0.69 -4.49 -0.77 -1.19 -0.10 -3.73 1.75 0.66 -24.71 -0.46 0.79 3.38 0.85 -8.07 -1.15 -13.05 -2.05 -3.50 -3.31 -0.70 0.11 0.19 0.06 0.93 0.30 0.93 0.12 0.26 -0.44 0.94 1.94 0.32 0.20 -1.78 0.64 0.50 0.17 -8.89 -0.38 0.50 0.58 -2.13 0.68 0.15 12.62 6.50 1.31 -3.95 1.26 1.03 1.28 0.23 2.14 6.34 1.91 0.81 -0.35 -4.07 1.34 -0.02 -0.42 -2.70 2.27 -0.17 0.60 -6.23 1.44 0.98 1.89 -15.04 -0.01 0.62 0.39
Income before tax 7.37 -1.50 3.24 2.88 3.13 -0.50 1.40 1.25 4.63 1.10 7.31 3.49 11.85 16.90 1.98 14.06 -17.54 4.04 -0.50 5.14 6.54 1.09 0.15 -21.60 -4.52 0.25 -0.03 3.15 4.78 2.39 5.43 4.99 3.91 1.18 2.96 0.93 2.12 0.62 1.33 -3.38 -0.87 -4.10 0.87 -8.61 2.28 -8.08 2.61 -8.61 5.27 1.20 5.17 4.12 19.73 3.46 8.24 -1.82 8.92 11.12 7.35 8.73 11.27 8.56 1.58 -24.34 9.38 6.63 7.59 6.77 4.13 -3.91 12.29 14.51 11.40 7.07 6.64 10.72 7.19 -5.20 10.91 10.71 8.73
Income tax expense 3.15 1.62 1.73 0.95 2.15 1.12 1.03 1.18 2.22 0.66 2.24 1.54 3.43 5.74 3.96 4.53 2.53 1.46 1.85 1.78 1.64 -0.40 0.46 -4.08 -0.14 0.23 0.71 1.24 1.78 1.62 2.03 2.12 1.38 1.12 1.20 0.77 0.62 0.07 -0.25 -1.99 -0.31 -0.78 0.81 -2.83 -0.38 -3.71 1.29 -2.83 1.65 0.10 1.58 1.99 2.79 1.78 2.74 -0.48 2.95 3.34 2.27 3.04 4.08 2.90 -0.29 -7.30 3.19 2.25 2.24 2.34 1.53 -0.71 4.10 5.04 4.19 2.56 2.16 3.28 2.44 1.53 4.61 3.44 2.93
Net income 3.84 -3.42 1.16 1.63 0.69 -1.96 0.21 -0.13 2.26 0.37 4.86 1.79 8.22 10.80 -2.16 9.26 -20.38 2.33 -2.54 3.12 4.67 1.36 -0.45 -16.85 -4.37 0.02 -0.75 1.82 2.93 0.77 3.35 2.80 2.47 0.03 1.77 0.14 1.45 0.50 1.62 -1.42 -0.58 -3.31 0.05 -5.82 2.60 -4.41 1.29 -5.82 3.53 1.04 3.50 2.04 16.86 1.62 5.43 -1.39 5.92 7.69 4.91 5.62 7.12 5.57 1.79 -17.15 6.08 4.30 5.34 4.39 2.56 -3.34 8.05 9.36 7.09 4.40 4.41 7.38 4.66 3.20 6.23 7.27 5.62
about 3 hours ago
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Balance Sheet - BP PLC (BP)

$ (Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 36.71 34.53 28.59 23.91 26.22 29.53 20.97 22.69 25.71 23.53 26.61 30.09 22.99 19.87 14.36 24.44 13.31 8.37 3.56 2.59
Accounts receivable, net 27.62 26.19 30.34 33.29 26.36 17.85 23.94 20.06 19.48 14.45 21.91 30.22 29.99 27.27 -1.90 39.06 29.78 40.82 49.38 43.46
Inventories 22.50 23.23 22.82 28.08 23.71 16.87 20.88 17.99 19.01 17.66 14.14 18.37 29.23 27.87 25.66 26.22 22.61 16.82 26.55 18.92
Other current assets 14.95 18.89 22.40 22.41 16.30 8.73 16.27 10.58 10.77 12.18 16.17 19.13 14.63 64.77 57.57 47.91 6.93 32.86 48.80 52.76
Total current assets 101.79 102.83 104.15 107.69 92.59 72.98 82.06 71.31 74.97 67.81 70.60 87.26 96.84 111.26 95.68 96.85 67.65 66.38 80.20 75.34
Total non-current assets + 176.74 179.39 176.15 180.43 194.68 194.67 213.14 210.87 201.55 195.50 191.23 197.04 208.85 189.73 195.24 175.41 168.32 161.85 155.87 142.26
Total assets 278.53 282.23 280.29 288.12 287.27 267.65 295.19 282.18 276.52 263.32 261.83 284.31 305.69 300.99 290.93 272.26 235.97 228.24 236.08 217.60
Total current liabilities + 80.58 82.24 86.08 99.02 80.29 59.80 73.60 68.24 64.73 58.35 54.72 63.62 72.81 77.86 82.42 83.88 59.32 69.79 77.23 75.35
Total non-current liabilities + 123.95 121.67 108.72 106.11 116.55 122.29 120.89 112.39 111.39 108.12 108.72 108.05 102.47 103.51 96.03 92.49 74.54 66.34 64.19 56.78
Total liabilities 204.53 203.91 194.80 205.13 196.83 182.09 194.49 180.63 176.11 166.47 163.45 171.66 175.28 181.37 178.45 176.37 133.86 136.13 141.42 132.14
Total stockholders' equity + 53.05 59.25 70.28 67.55 75.46 71.25 98.41 99.44 98.49 95.29 97.22 111.44 129.30 118.41 111.47 94.99 101.61 91.30 93.69 84.62
Common shares outstanding 2,652 2,803 2,958 3,165 3,377 3,370 3,400 3,350 3,303 3,143 3,054 3,083 3,174 3,193 3,189 3,166 3,156 3,160 3,223 3,364
Show Quarterly Balance Sheet

Balance Sheet - BP PLC (BP)

$ (Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 35.76 36.71 35.05 35.31 34.05 34.53 34.76 35.60 32.13 28.59 30.86 29.59 30.88 23.91 29.60 33.24 34.52 26.22 30.89 34.42 31.89 29.53 31.05 34.34 18.23 22.64 19.81 20.81 21.39 22.69 26.29 22.29 22.36 25.71 25.86 23.35 23.83 23.53 25.57 23.62 23.20 26.61 31.95 32.88 32.74 30.09 31.03 27.88 27.79 22.99 30.04 29.03 28.28 19.87 16.36 15.19 14.40 14.36 18.28 20.16 20.17 20.09 19.19 13.44 12.20 13.31 15.42 15.72 16.11 8.20 6.14 3.59 4.82 3.56 2.41 2.64 1.96 2.59 3.20 2.59 2.94
Accounts receivable, net 35.98 27.62 27.59 27.81 28.76 26.19 26.35 30.08 30.13 30.34 31.92 28.01 29.80 33.29 35.10 39.40 35.96 26.36 25.81 23.91 20.46 17.85 16.51 16.89 17.57 24.14 22.79 24.34 24.49 20.06 27.40 24.92 23.21 19.48 21.62 20.18 20.74 14.45 21.49 22.31 21.74 13.68 24.66 28.84 27.68 30.22 36.45 38.11 38.16 29.99 37.99 37.85 37.57 27.27 41.52 38.62 41.65 -1.90 41.14 43.18 43.01 2.64 36.55 38.73 31.40 29.78 28.99 29.43 26.40 32.86 51.52 48.48 56.59 42.48 3.74 50.74 51.05 42.38 3.19 3.55 3.92
Inventories 36.60 22.50 24.15 24.75 24.71 23.23 21.49 23.35 24.31 22.82 25.67 23.35 23.91 28.08 29.49 34.26 30.11 23.71 25.23 22.61 20.87 16.87 13.84 12.50 11.64 20.88 19.24 20.04 21.43 17.99 21.89 21.00 20.80 19.01 18.08 16.45 17.24 17.66 15.90 16.40 14.28 14.14 16.93 20.03 18.93 18.37 26.58 29.44 28.84 29.23 29.39 28.31 28.63 27.87 28.30 26.43 30.15 25.66 26.60 27.48 28.66 26.22 21.96 22.11 23.22 22.61 18.99 18.65 15.29 16.82 27.28 35.18 26.86 26.55 21.78 20.65 19.81 18.92 19.36 18.92 18.82
Other current assets 19.30 14.95 9.07 14.20 13.56 18.89 11.07 11.60 14.85 22.40 14.96 14.38 14.68 22.41 14.24 19.91 19.54 16.30 8.55 5.82 4.90 8.73 9.43 10.24 16.87 14.40 14.07 6.35 5.39 10.58 10.07 8.47 5.83 10.77 6.81 4.74 5.20 12.18 6.64 10.23 7.55 16.17 8.01 9.19 8.09 19.13 8.47 8.88 8.80 14.63 8.27 47.46 51.60 64.77 13.60 14.41 15.74 57.57 14.36 18.21 15.51 47.91 43.11 41.70 2.89 6.93 3.29 3.27 3.25 32.86 51.85 20.60 56.84 48.80 46.91 50.92 51.14 52.76 51.44 50.28 49.65
Total current assets 127.64 101.79 95.86 102.07 101.08 102.83 93.68 100.62 101.41 104.15 103.41 95.31 99.26 107.69 108.44 126.80 120.13 92.59 90.48 86.75 78.12 72.98 70.83 73.97 64.30 82.06 75.91 71.54 72.70 71.31 85.65 76.69 72.20 74.97 72.37 64.72 67.01 67.81 69.01 72.57 66.77 70.60 81.54 90.95 87.43 87.26 102.52 104.32 103.59 96.84 105.68 104.80 108.50 111.26 99.79 94.65 101.93 95.68 100.39 109.03 107.33 96.85 84.26 77.25 69.70 67.65 66.68 67.07 61.06 66.38 85.27 107.85 88.52 78.92 74.85 74.20 72.91 74.26 77.19 75.34 75.33
Total non-current assets + 174.10 176.74 184.60 182.66 180.32 179.39 176.03 172.76 174.03 176.15 176.83 180.75 179.40 180.43 175.04 172.33 175.38 194.68 196.06 197.33 191.81 194.67 189.43 189.21 209.56 213.14 210.36 221.62 220.58 210.87 197.29 198.94 203.09 201.55 199.12 198.40 197.95 195.50 193.21 190.57 192.08 191.23 191.76 194.48 194.98 197.04 207.18 211.14 206.69 208.85 205.71 202.46 202.31 189.73 202.47 197.91 201.61 195.24 190.34 181.96 179.26 175.41 172.85 171.37 170.94 168.32 168.47 166.29 162.15 161.85 170.85 175.96 164.15 157.16 150.76 147.69 143.94 143.34 136.34 142.26 131.77
Total assets 301.74 278.53 280.46 284.74 281.40 282.23 269.71 273.38 275.44 280.29 280.24 276.07 278.66 288.12 283.48 299.13 295.51 287.27 286.54 284.09 269.93 267.65 260.25 263.18 273.86 295.19 286.26 293.16 293.28 282.18 282.94 275.63 275.29 276.52 271.49 263.12 264.96 263.32 262.22 263.14 258.85 261.83 273.30 285.43 282.41 284.31 309.69 315.46 310.27 305.69 311.39 307.25 310.81 300.99 302.26 292.56 303.54 290.93 290.73 291.00 286.59 272.26 257.11 248.62 240.64 235.97 235.15 233.36 223.20 228.24 256.12 283.81 252.67 236.08 225.61 221.89 216.86 217.60 213.53 217.60 207.09
Total current liabilities + 104.71 80.58 80.36 84.09 82.81 82.24 77.02 81.38 82.29 86.08 85.60 81.47 84.59 99.02 104.14 109.51 101.19 80.29 78.11 70.57 60.72 59.80 58.08 57.07 63.70 73.60 64.97 66.86 71.27 68.24 69.59 69.53 63.81 64.73 59.57 54.84 56.13 58.35 55.04 58.21 51.61 54.72 58.16 65.37 60.77 63.62 72.18 74.43 74.27 72.81 74.63 75.47 78.59 77.86 79.65 76.20 82.85 82.42 87.23 86.92 88.94 82.83 83.62 80.31 61.78 59.32 58.30 63.01 63.89 69.79 80.31 101.04 82.94 77.07 73.81 73.07 73.51 75.30 72.41 75.35 71.35
Total non-current liabilities + 120.08 123.95 122.45 120.87 120.63 121.67 112.74 109.81 108.21 108.72 106.97 109.00 106.89 106.11 106.01 108.06 115.81 116.55 119.16 120.28 118.62 122.29 120.02 123.30 119.69 120.89 121.28 122.68 118.67 112.39 109.93 104.33 109.32 111.39 111.79 109.81 109.55 108.12 114.38 110.82 109.95 108.72 112.54 112.71 110.13 108.05 110.62 108.05 105.80 102.47 105.50 101.65 101.13 103.51 103.83 103.04 101.47 96.03 93.21 95.66 94.47 93.54 83.12 81.95 73.88 74.54 76.04 73.40 68.13 66.34 69.03 76.32 70.02 64.36 60.31 59.41 57.60 56.84 56.04 56.78 54.87
Total liabilities 224.78 204.53 202.81 204.96 203.44 203.91 189.76 191.19 190.50 194.80 192.56 190.46 191.48 205.13 210.15 217.57 216.99 196.83 197.27 190.85 179.34 182.09 178.10 180.37 183.38 194.49 186.25 189.54 189.95 180.63 179.52 173.86 173.12 176.11 171.35 164.65 165.68 166.47 169.42 169.03 161.56 163.45 170.70 178.08 170.90 171.66 182.80 182.48 180.07 175.28 180.14 177.12 179.73 181.37 183.49 179.24 184.32 178.45 180.44 182.59 183.41 176.37 166.75 162.25 135.66 133.86 134.34 136.41 132.02 136.13 149.33 177.36 152.96 141.42 134.12 132.47 131.11 132.14 128.46 132.14 126.21
Total stockholders' equity + 55.96 53.05 58.24 59.24 58.22 59.25 64.83 67.02 69.77 70.28 72.42 70.34 71.78 67.55 58.18 66.61 63.30 75.46 74.48 78.80 75.96 71.25 67.96 68.86 88.29 98.41 97.92 101.49 101.20 99.44 101.49 99.82 100.19 98.49 98.52 96.80 97.64 95.29 91.38 92.73 96.03 97.22 101.38 106.12 110.30 111.44 125.82 131.86 129.08 129.30 130.07 128.99 129.85 118.41 117.62 112.23 118.13 111.47 109.28 107.49 102.21 94.99 89.45 85.49 104.08 101.61 100.23 96.24 90.47 91.30 105.70 105.36 98.64 93.69 90.54 88.55 84.87 84.62 84.28 84.62 80.15
Common shares outstanding 2,610 2,568 2,623 2,642 2,683 2,648 2,785 2,776 2,859 2,878 2,935 2,983 3,040 3,085 3,148 3,270 3,252 3,325 3,358 3,394 3,383 3,388 3,375 3,370 3,363 3,392 3,395 3,404 3,380 3,356 3,353 3,341 3,338 3,322 3,311 3,297 3,270 3,185 3,153 3,114 3,078 3,062 3,062 3,050 3,052 3,055 3,083 3,050 3,099 3,134 3,161 3,185 3,208 3,196 3,190 3,214 3,207 3,203 3,198 3,186 3,173 3,168 3,170 3,172 3,167 3,156 3,156 3,155 3,153 3,157 3,152 3,169 3,174 3,199 3,221 3,220 3,252 3,347 3,331 3,399 3,420
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Cash Flow - BP PLC (BP)

($Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Operating cash flow + 24.55 27.30 32.04 40.93 23.61 12.16 25.77 22.87 18.93 10.69 19.13 32.75 21.10 20.40 22.15 13.62 27.72 37.91 24.34 28.22
Cash flow from investing + -9.05 -13.25 -14.87 -13.71 -5.69 -7.86 -16.97 -21.57 -14.08 -14.75 -17.30 -19.57 -7.86 -12.96 -26.63 -3.96 -18.13 -22.77 -12.84 -5.65
Cash flow from financing + -18.39 -7.30 -13.36 -28.02 -18.08 3.96 -8.82 -4.08 -3.30 1.98 -4.54 -5.27 -10.40 -2.02 0.48 0.84 -9.55 -10.51 -10.53 -22.94
Change in cash -2.90 6.75 3.81 -0.80 -0.16 8.26 -0.02 -2.78 1.56 -2.09 -2.70 7.91 2.85 5.42 -4.00 10.50 0.03 4.64 0.97 -0.37
Show Quarterly Cash Flow

Cash Flow - BP PLC (BP)

($Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Operating cash flow + 2.86 7.60 7.77 6.27 2.83 7.43 6.76 8.10 5.01 9.38 8.75 6.29 7.62 13.57 8.29 10.86 8.21 6.12 5.98 5.41 6.11 2.27 5.20 3.74 0.95 7.60 6.06 6.82 5.30 6.83 6.09 6.31 3.65 5.90 6.02 4.89 2.11 2.43 2.51 3.88 1.87 5.81 5.18 7.88 1.86 7.25 9.40 7.88 8.23 5.41 6.33 5.39 3.97 6.34 6.29 4.40 3.37 5.01 6.89 7.85 2.40 -0.18 -0.65 6.75 7.69 7.29 8.10 6.76 5.57 5.67 14.79 6.72 10.93 4.55 5.87 6.38 7.90 5.38 5.03 8.97 8.79
Cash flow from investing + -3.00 -0.49 -3.28 -2.93 -3.26 -1.76 -4.23 -3.41 -3.85 -4.40 -10.48 -7.02 -2.82 -13.71 -2.57 -2.51 -1.88 -1.33 -2.56 -2.23 0.43 0.57 -3.47 -1.84 -3.12 -3.23 -3.25 -5.51 -4.98 -9.86 -4.27 -3.65 -3.79 -2.35 -3.91 -4.02 -3.79 -4.45 -2.99 -4.04 -3.28 -5.88 -4.15 -4.70 -3.05 -5.06 -4.82 -4.70 -5.00 -6.77 -5.56 -3.16 7.64 -0.50 -4.67 -3.46 -4.33 -11.08 -4.19 -6.49 -4.87 2.16 2.83 -4.73 -4.21 -4.57 -4.49 -4.58 -4.49 -5.82 -7.64 -4.90 -4.41 -5.72 -1.68 -3.14 -4.30 -4.28 -1.49 -0.46 -3.29
Cash flow from financing + -0.68 -5.43 -4.59 -2.23 -5.11 -0.58 -3.00 -1.30 -2.42 -2.02 -4.18 -3.61 -3.55 -7.11 -9.20 -9.25 -2.47 -4.74 -6.80 -0.62 -5.91 -3.13 -5.59 14.66 -1.99 -1.71 -3.67 -1.88 -1.56 -0.59 2.25 -2.40 -3.34 -3.77 0.25 -1.60 1.82 0.63 2.47 0.85 -1.97 -5.06 -1.76 -3.08 4.49 -2.90 -0.94 -3.08 1.65 -5.66 0.18 -1.61 -3.31 -2.40 -0.68 0.20 0.87 2.38 -2.91 -1.44 2.44 3.95 3.18 -1.39 -4.90 -4.29 -2.74 -1.68 -0.84 2.39 -4.60 -3.04 -5.26 2.18 -4.42 -2.55 -4.24 -1.76 -5.20 -6.60 -5.52
Change in cash -0.83 1.68 -0.10 1.11 -5.54 5.09 -0.48 3.39 -1.26 2.96 -5.91 -4.34 1.25 -7.25 -3.48 -0.89 3.86 0.05 -3.39 2.56 0.62 -0.29 -3.86 16.56 -4.15 2.66 -0.86 -0.57 -1.24 -3.62 4.06 0.26 -3.48 -0.22 2.36 -0.73 0.14 -1.39 1.99 0.69 -3.38 -5.14 -0.73 0.10 3.29 -0.71 3.64 0.10 4.88 -7.02 0.95 0.62 8.29 3.44 0.93 1.14 -0.09 -3.68 -0.21 -0.08 -0.03 5.92 5.36 0.63 -1.42 -1.57 0.86 0.50 0.24 2.24 2.55 -1.23 1.26 1.02 -0.23 0.69 -0.63 -0.66 -1.65 1.91 -0.02
about 3 hours ago
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