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BP BP PLC

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  • 28.120
  • +0.240+0.86%
Close May 2 16:00 ET
  • 28.130
  • +0.010+0.04%
Post 20:01 ET
73.23BMarket Cap-70.30P/E (TTM)

BP PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-32.44%3.13B
-71.44%6.78B
-145.77%-503M
-80.87%1.4B
-64.11%1.25B
-60.89%4.63B
54.16%23.75B
-93.50%1.1B
269.14%7.31B
-75.15%3.49B
Other non cash items
-23.44%147M
28.66%3B
198.02%602M
138.24%324M
413.73%524M
204.76%192M
6.58%2.33B
-89.80%202M
88.89%136M
321.74%102M
Change In working capital
-137.87%-5.07B
219.08%3.98B
41.71%2.75B
329.63%1.8B
309.70%1.56B
43.25%-2.13B
46.76%-3.34B
128.36%1.94B
-111.58%-783M
83.20%-742M
-Change in inventory
----
-85.66%808M
41.71%2.75B
329.63%1.8B
309.70%1.56B
43.25%-2.13B
202.59%5.63B
132.00%1.94B
-111.58%-783M
83.20%-742M
-Change in other current assets
----
-27.38%3.36B
----
----
----
----
124.86%4.62B
----
----
----
-Change in other current liabilities
----
98.62%-188M
----
----
----
----
-176.33%-13.59B
----
----
----
Cash from discontinued investing activities
Operating cash flow
-43.42%2.83B
-14.80%27.3B
-20.80%7.43B
-22.70%6.76B
28.71%8.1B
-34.28%5.01B
-21.73%32.04B
-30.90%9.38B
5.54%8.75B
-42.07%6.29B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
9.87%-3.35B
-7.08%-15.3B
8.34%-3.89B
-22.19%-4.22B
-0.29%-3.46B
-18.82%-3.72B
-18.36%-14.29B
-14.91%-4.25B
-11.30%-3.46B
-29.52%-3.45B
Net PPE purchase and sale
342.42%292M
146.62%328M
580.65%211M
-72.88%16M
25.00%35M
340.00%66M
-81.24%133M
14.81%31M
391.67%59M
-86.14%28M
Net business purchase and sale
-10.80%-236M
311.35%1.64B
1,076.92%1.91B
33.82%-45M
98.88%-9M
-173.70%-213M
67.98%-775M
93.68%-195M
-113.47%-68M
-1,213.11%-801M
Cash from discontinued investing activities
Investing cash flow
15.20%-3.26B
10.91%-13.25B
60.07%-1.76B
-22.59%-4.23B
18.83%-3.41B
-36.54%-3.85B
-8.45%-14.87B
34.87%-4.4B
-34.20%-3.45B
-67.60%-4.21B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-189.76%-1.44B
68.27%4.72B
-125.97%-415M
519.57%1.37B
362.96%2.16B
50.05%1.6B
125.33%2.81B
180.02%1.6B
92.97%-327M
108.88%467M
Net common stock issuance
-5.54%-1.85B
9.99%-7.13B
-20.37%-1.63B
2.25%-2B
15.53%-1.75B
28.51%-1.75B
20.79%-7.92B
58.33%-1.35B
28.82%-2.05B
9.40%-2.07B
Cash dividends paid
-3.12%-1.26B
-4.03%-5B
-4.82%-1.28B
-3.84%-1.3B
-4.42%-1.2B
-3.04%-1.22B
-10.35%-4.81B
-12.50%-1.22B
-9.56%-1.25B
-8.57%-1.15B
Net other financing activities
198.28%228M
800.63%3.32B
1,549.19%3.59B
-192.98%-278M
247.20%237M
36.26%-232M
-41.07%-474M
-45.03%-248M
1,893.33%299M
-61.00%-161M
Cash from discontinued financing activities
Financing cash flow
-111.32%-5.11B
45.38%-7.3B
71.38%-579M
28.12%-3B
64.10%-1.3B
31.85%-2.42B
52.33%-13.36B
71.54%-2.02B
54.57%-4.18B
60.99%-3.61B
Net cash flow
Beginning cash position
18.89%39.27B
13.14%33.03B
15.60%34.6B
20.67%34.89B
3.54%31.51B
13.14%33.03B
-4.84%29.2B
2.12%29.93B
-12.67%28.91B
-11.57%30.43B
Current changes in cash
-340.00%-5.54B
77.26%6.75B
72.12%5.09B
-142.56%-475M
323.30%3.39B
-200.64%-1.26B
574.81%3.81B
1,134.62%2.96B
132.05%1.12B
-70.29%-1.52B
Effect of exchange rate changes
140.77%106M
-1,992.59%-511M
-388.97%-419M
272.12%179M
---11M
-1,757.14%-260M
103.95%27M
-18.08%145M
67.70%-104M
--0
End cash Position
7.37%33.83B
18.89%39.27B
18.89%39.27B
15.60%34.6B
20.67%34.89B
3.54%31.51B
13.14%33.03B
13.14%33.03B
2.12%29.93B
-12.67%28.91B
Free cash flow
-140.05%-517M
-32.41%12B
-31.11%3.53B
-52.03%2.54B
63.27%4.64B
-71.27%1.29B
-38.49%17.75B
-48.05%5.13B
2.08%5.29B
-65.35%2.84B
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
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -32.44%3.13B-71.44%6.78B-145.77%-503M-80.87%1.4B-64.11%1.25B-60.89%4.63B54.16%23.75B-93.50%1.1B269.14%7.31B-75.15%3.49B
Other non cash items -23.44%147M28.66%3B198.02%602M138.24%324M413.73%524M204.76%192M6.58%2.33B-89.80%202M88.89%136M321.74%102M
Change In working capital -137.87%-5.07B219.08%3.98B41.71%2.75B329.63%1.8B309.70%1.56B43.25%-2.13B46.76%-3.34B128.36%1.94B-111.58%-783M83.20%-742M
-Change in inventory -----85.66%808M41.71%2.75B329.63%1.8B309.70%1.56B43.25%-2.13B202.59%5.63B132.00%1.94B-111.58%-783M83.20%-742M
-Change in other current assets -----27.38%3.36B----------------124.86%4.62B------------
-Change in other current liabilities ----98.62%-188M-----------------176.33%-13.59B------------
Cash from discontinued investing activities
Operating cash flow -43.42%2.83B-14.80%27.3B-20.80%7.43B-22.70%6.76B28.71%8.1B-34.28%5.01B-21.73%32.04B-30.90%9.38B5.54%8.75B-42.07%6.29B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported 9.87%-3.35B-7.08%-15.3B8.34%-3.89B-22.19%-4.22B-0.29%-3.46B-18.82%-3.72B-18.36%-14.29B-14.91%-4.25B-11.30%-3.46B-29.52%-3.45B
Net PPE purchase and sale 342.42%292M146.62%328M580.65%211M-72.88%16M25.00%35M340.00%66M-81.24%133M14.81%31M391.67%59M-86.14%28M
Net business purchase and sale -10.80%-236M311.35%1.64B1,076.92%1.91B33.82%-45M98.88%-9M-173.70%-213M67.98%-775M93.68%-195M-113.47%-68M-1,213.11%-801M
Cash from discontinued investing activities
Investing cash flow 15.20%-3.26B10.91%-13.25B60.07%-1.76B-22.59%-4.23B18.83%-3.41B-36.54%-3.85B-8.45%-14.87B34.87%-4.4B-34.20%-3.45B-67.60%-4.21B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -189.76%-1.44B68.27%4.72B-125.97%-415M519.57%1.37B362.96%2.16B50.05%1.6B125.33%2.81B180.02%1.6B92.97%-327M108.88%467M
Net common stock issuance -5.54%-1.85B9.99%-7.13B-20.37%-1.63B2.25%-2B15.53%-1.75B28.51%-1.75B20.79%-7.92B58.33%-1.35B28.82%-2.05B9.40%-2.07B
Cash dividends paid -3.12%-1.26B-4.03%-5B-4.82%-1.28B-3.84%-1.3B-4.42%-1.2B-3.04%-1.22B-10.35%-4.81B-12.50%-1.22B-9.56%-1.25B-8.57%-1.15B
Net other financing activities 198.28%228M800.63%3.32B1,549.19%3.59B-192.98%-278M247.20%237M36.26%-232M-41.07%-474M-45.03%-248M1,893.33%299M-61.00%-161M
Cash from discontinued financing activities
Financing cash flow -111.32%-5.11B45.38%-7.3B71.38%-579M28.12%-3B64.10%-1.3B31.85%-2.42B52.33%-13.36B71.54%-2.02B54.57%-4.18B60.99%-3.61B
Net cash flow
Beginning cash position 18.89%39.27B13.14%33.03B15.60%34.6B20.67%34.89B3.54%31.51B13.14%33.03B-4.84%29.2B2.12%29.93B-12.67%28.91B-11.57%30.43B
Current changes in cash -340.00%-5.54B77.26%6.75B72.12%5.09B-142.56%-475M323.30%3.39B-200.64%-1.26B574.81%3.81B1,134.62%2.96B132.05%1.12B-70.29%-1.52B
Effect of exchange rate changes 140.77%106M-1,992.59%-511M-388.97%-419M272.12%179M---11M-1,757.14%-260M103.95%27M-18.08%145M67.70%-104M--0
End cash Position 7.37%33.83B18.89%39.27B18.89%39.27B15.60%34.6B20.67%34.89B3.54%31.51B13.14%33.03B13.14%33.03B2.12%29.93B-12.67%28.91B
Free cash flow -140.05%-517M-32.41%12B-31.11%3.53B-52.03%2.54B63.27%4.64B-71.27%1.29B-38.49%17.75B-48.05%5.13B2.08%5.29B-65.35%2.84B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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