£5.25
£0.00 (0.00%)
End-of-day quote: 04/26/2024
LSE:BP.

BP p.l.c. Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
£208.35B £239.74B £156.79B £180.09B £276.85B £297.22B £238.43B £182.33B £222.24B £351.20B £379.63B £375.77B £376.16B £297.11B £239.81B £361.47B £284.43B £265.91B £239.79B £192.32B
GM % Gross Margin %
30.74% 29.27% 24.29% 14.30% 16.50% 15.16% 15.59% 15.18% 14.45% 12.16% 12.42% 12.22% 14.56% 17.47% 20.47% 16.26% 18.89% 19.48% 21.75% 23.29%
OM Operating Margin
12.70% 17.72% 8.30% -12.19% 5.51% 5.35% 3.62% 0.27% 1.11% 1.76% 4.26% 4.50% 7.29% 9.06% 9.17% 8.77% 9.70% 10.54% 12.14% 11.87%
EPS Earnings Per Share
£0.00 £0.80 £1.46 £0.64 £-0.28 £0.49 £0.64 £0.31 £0.14 £0.32 £0.66 £0.71 £0.93 £1.25 £1.14 £0.75 £1.38 £0.92 £1.06 £1.02 £0.67
Div. Dividends
£0.28 £0.24 £0.22 £0.32 £0.41 £0.41 £0.40 £0.40 £0.40 £0.39 £0.37 £0.33 £0.29 £0.14 £0.56 £0.55 £0.42 £0.39 £0.36 £0.30
PR % Payout Ratio %
35.00% 16.44% 34.38% -114.29% 83.67% 64.06% 129.03% 285.71% 125.00% 59.09% 52.11% 35.48% 23.20% 12.28% 74.67% 39.86% 45.65% 36.79% 35.29% 44.78%
Sha. Shares
16823.76m 17972.86m 19640.62m 20262.13m 20239.06m 20099.21m 19806.15m 19451.85m 18362.56m 18200.69m 18605.94m 19113.32m 18948.12m 18796.46m 18755.38m 18716.1m 18922.79m 19510.5m 20642.48m 21517.36m
OCF Operating Cash Flow
£32.04B £40.93B £23.61B £12.16B £25.77B £22.87B £18.93B £10.69B £19.13B £32.75B £21.10B £20.48B £22.22B £13.62B £27.72B £38.10B £24.71B £28.17B £26.72B £23.38B
FCF Free Cash Flow
£15.56B £24.60B £12.73B £-144.00M £10.35B £6.17B £2.37B £-6010.00M £485.00M £10.21B £-3420.00M £-2681.00M £4.31B £-4805.00M £7.07B £15.44B £6.88B £13.05B £14.44B £11.09B
FCFS Free Cash Flow Per Share
£1.02 £1.52 £0.63 £-0.01 £0.51 £0.31 £0.12 £-0.32 £0.03 £0.56 £-0.18 £-0.14 £0.22 £-0.26 £0.38 £0.82 £0.36 £0.65 £0.68 £0.51