BP p.l.c.

OTC: BPAQF · Real-Time Price · USD
5.74
0.08 (1.41%)
At close: Aug 15, 2025, 2:46 PM
5.66
-1.39%
After-hours: Aug 13, 2025, 08:00 PM EDT

BP p.l.c. Cash Flow 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
Net Income
3.9B 3.02B 3.9B 9.81B 13.44B 23.03B 39.55B 34.22B 44.79B 15.4B 2.54B 70M -8.86B 15.23B 12.28B 12.92B -13.82B
Depreciation & Amortization
16.89B 16.74B 16.52B 16.62B 16.68B 16.4B 16.01B 15.45B 14.88B 14.7B 14.83B 15.15B 15.22B 14.97B 14.64B 14.18B 24.08B
Stock-Based Compensation
1.01B 1.17B 1.04B 1.06B 799M 616M 685M 638M 603M 795M 855M 823M 843M 627M 580M 560M 683M
Other Working Capital
211M 4.57B -7.1B -8.9B -9.9B -10.33B -2.19B -2.19B -1.92B -440M 10.1B 10.1B 10.1B 10.65B -2.43B -2.43B -2.43B
Other Non-Cash Items
11.09B 19.52B 30.31B 31.27B 20.58B 11.66B 487M 423M 275M 396M -142M -1.79B -5.38B -6.59B -8.1B -5.75B 9.94B
Deferred Income Tax
n/a n/a -8.43B -10.86B -11.83B -16.19B -8.38B -10.38B -11.95B 15.9B 16.09B 18.89B 17.49B -7.05B -8.52B -6.16B 9.81B
Change in Working Capital
1.03B 3.98B 3.22B 642.4M -1.65B -3.28B -12.13B -4.58B -8.25B -6.27B -1.13B -4.05B 396M -626M 368M -2.93B -3.56B
Operating Cash Flow
25.2B 27.28B 29.43B 31.41B 29.6B 32.23B 36.23B 35.77B 40.34B 40.93B 33.48B 31.16B 25.71B 23.61B 19.77B 18.99B 17.32B
Capital Expenditures
-15.02B -15.29B -15.73B -14.96B -14.94B -14.37B -13.73B -13.38B -12.6B -12.07B -11.14B -10.71B -10.47B -10.91B -11.06B -10.97B -11.55B
Cash Acquisitions
2.74B 2.93B 1.3B 1.17B -277M -309.56M -3.67B -3.09B -2.35B -2.42B 1.55B 1.12B 1.23B 3.85B 5.96B 4.91B 5.49B
Purchase of Investments
-184.88M -565.07M -1B -1.13B -1.07B -1.17B -899.42M -855.91M -979.98M -736.15M -1.3B -1.41B -1.31B -1.76B -1.04B -837.61M -764.45M
Sales Maturities Of Investments
n/a n/a n/a 131.74M 181.99M 738.22M 899.42M 855.91M 979.98M 423.75M 262.55M 174.32M n/a n/a n/a n/a n/a
Other Investing Acitivies
302.71M 203.43M -13.25M 127.29M 152.25M 157.33M 175M 131M 300M 776M -1.47B -4.12B -6.61B -6.49B -3.78B -1.08B 1.75B
Investing Cash Flow
-12.17B -12.72B -15.44B -14.66B -15.96B -14.96B -17.23B -16.34B -14.65B -13.71B -8.3B -8.28B -8B -5.69B -3.79B -4.7B -4.31B
Debt Repayment
950.19M 4.02B 6.04B 4.31B 3.34B 2.82B -942.97M -5.27B -10.78B -11.12B -9.88B -10.08B -3.63B -9.22B -9.9B -9.54B -5.28B
Common Stock Repurchased
-5.7B -6.83B -8.18B -8.11B -8.43B -7.85B -9.75B -10.64B -10.77B -9.91B -8.42B -6.47B -4.77B -3.18B -1.43B -548M -48M
Dividend Paid
-5.08B -5B -4.97B -4.88B -4.84B -4.83B -4.72B -4.57B -4.47B -4.33B -4.27B -4.31B -4.31B -4.3B -4.29B -4.25B -5.3B
Other Financial Acitivies
1.31B 1.32B -2.17B -1.61B -2.96B -3.15B -3.02B -3B -2.92B -2.46B -2.86B -2.26B -1.95B -1.4B -682.99M -659.3M 10.92B
Financial Cash Flow
-10.64B -7.82B -9.26B -10.43B -12.23B -13.36B -18.45B -23.46B -29.1B -28.02B -25.65B -23.26B -14.63B -18.08B -16.47B -15.26B 28M
Net Cash Flow
7.79B 6.29B 4.7B 6B 1.07B 3.81B 622M -4.19B -3.98B -1.49B -1.39B -1.15B 2.74B -430M -371M -397M 13.54B
Free Cash Flow
10.18B 12B 13.7B 16.45B 14.65B 17.86B 22.5B 22.39B 27.75B 28.86B 22.33B 20.46B 15.24B 12.71B 8.71B 8.03B 5.77B