BP p.l.c.

OTC: BPAQF · Real-Time Price · USD
5.74
0.08 (1.41%)
At close: Aug 15, 2025, 2:46 PM

BP p.l.c. Balance Sheet Statement

Financials in USD. Fiscal year is undefined.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
33.77B 39.2B 34.59B 34.9B 31.49B 32.98B 29.93B 28.91B 30.43B 29.2B 29.3B 33.11B 34.41B 30.68B 30.69B 34.26B 31.68B
Short-Term Investments
275M 165M 167M 708.11M 614.54M 841.81M 932M 671M 450M 578M 300M 130M 103M 280M 191M 164M 216M
Long-Term Investments
41.81B 21.16B 37.99B 36.54B 36.17B 36.08B 21.99B 22.68B 23.34B 22.69B 24.81B 19.88B 17.55B 33.25B 33.34B 32.27B 30.98B
Other Long-Term Assets
8.42B 28.17B 9.83B 8.19B 8.45B 12.86B 21.92B 23.55B 24.62B 25.63B 22.46B 22.44B 24.19B 23.3B 23.31B 23.49B 22.61B
Receivables
29.88B 27.35B 70.05M 28.89B 29.91B 32.15B 31.56B 27.7B 29.43B 35.13B 34.82B 39.11B 36.13B 27.98B 25.33B 23.54B 20.09B
Inventory
24.71B 23.23B 21.43B 23.35B 24.29B 22.79B 25.67B 23.35B 23.91B 28.08B 29.49B 34.26B 30.11B 23.71B 25.23B 22.61B 20.87B
Other Current Assets
9.61B 10.29B 36.28B 10.64B 12.82B 7.09B 13.99B 13.01B 13.25B 7.67B 13.38B 17.61B 17.27B 12.96B 7.55B 4.89B 3.73B
Total Current Assets
101.08B 102.83B 93.68B 100.64B 101.33B 104B 103.41B 95.31B 99.26B 107.69B 108.44B 126.8B 120.13B 92.59B 90.48B 86.75B 78.12B
Property-Plant & Equipment
100.47B 100.13B 99.25B 100.31B 102.67B 104.57B 107.16B 108.13B 105.74B 106.04B 105.05B 107.15B 109.88B 112.9B 114.46B 116.18B 112.93B
Goodwill & Intangibles
24.05B 24.53B 23.5B 22.69B 22.39B 18.14B 22.28B 22.65B 22.3B 22.16B 17.46B 17.89B 18.23B 18.82B 18.69B 18.73B 18.61B
Total Long-Term Assets
180.32B 179.39B 176.03B 172.79B 173.9B 175.9B 176.83B 180.75B 179.4B 180.43B 175.04B 172.33B 175.38B 194.68B 196.06B 197.33B 191.81B
Total Assets
281.4B 282.23B 269.71B 273.43B 275.23B 279.9B 280.24B 276.07B 278.66B 288.12B 283.48B 299.13B 295.51B 287.27B 286.54B 284.09B 269.93B
Account Payables
58.86B 58.41B 54.38B 57.66B 58.62B 42.41B 60.44B 56.18B 57.85B 47.21B 56.27B 64.02B 61.2B 37.33B 49.41B 45.2B 40.71B
Deferred Revenue
n/a n/a n/a 2.89B 2.8B 2.73B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Short-Term Debt
4.86B 4.47B 4.48B 4.14B 4.67B 3.28B 2.87B 2.34B 2.5B 3.2B 3.88B 6.48B 5.21B 5.56B 3.69B 7.62B 5.18B
Other Current Liabilities
17.22B 15.12B 13.72B 11.29B 11.12B 25.42B 13.79B 14.47B 16.25B 35.09B 35.83B 31.85B 28.65B 25.14B 17.63B 11.41B 8.65B
Total Current Liabilities
82.86B 82.24B 77.02B 81.39B 82.23B 85.96B 85.59B 81.47B 84.59B 99.02B 104.14B 109.51B 101.19B 80.29B 78.11B 70.57B 60.72B
Long-Term Debt
53.82B 55.07B 52.99B 50.84B 48.35B 48.6B 45.94B 47.4B 46.1B 43.75B 42.68B 46.39B 55.39B 55.62B 59.52B 60.63B 60.94B
Other Long-Term Liabilities
48.12B 48.83B 42.52B 50.88B 51.35B 51.51B 52.68B 53.1B 54.35B 55.92B 57.27B 55.35B 53.69B 54.06B 52.77B 52.62B 50.53B
Total Long-Term Liabilities
120.7B 121.67B 112.74B 109.82B 108.13B 108.57B 106.97B 109B 106.89B 106.11B 106.01B 108.06B 115.81B 116.55B 119.16B 120.28B 118.62B
Total Liabilities
203.56B 203.91B 189.76B 191.22B 190.35B 194.53B 192.56B 190.46B 191.48B 205.13B 210.15B 217.57B 216.99B 196.83B 197.27B 190.85B 179.34B
Total Debt
71.17B 71.55B 68.49B 65.69B 64.02B 62.99B 59.69B 60.7B 57.2B 55.49B 54.45B 60.92B 69.07B 69.79B 71.84B 77.11B 75.15B
Common Stock
n/a n/a n/a 67.02B 69.77B 4.47B 72.42B 70.34B 71.78B 4.77B 58.18B 66.61B 63.3B 5.19B 74.47B 78.8B 75.96B
Retained Earnings
n/a n/a n/a n/a n/a 62.46B n/a n/a n/a 34.73B n/a n/a n/a 51.81B n/a n/a n/a
Comprehensive Income
n/a n/a n/a n/a n/a 748.94M n/a n/a n/a -722.89M n/a n/a n/a -8.88B n/a n/a n/a
Shareholders Equity
58.25B 59.25B 64.83B 67.03B 69.72B 70.18B 72.42B 70.34B 71.78B 67.55B 58.18B 66.61B 63.3B 75.46B 74.47B 78.8B 75.96B
Total Investments
42.09B 21.32B 21.72B 37.25B 36.79B 36.92B 22.93B 23.35B 23.79B 23.27B 25.11B 20.01B 17.66B 33.53B 33.53B 32.44B 31.19B