
BP PLC
LSE:BP

Balance Sheet
Balance Sheet Decomposition
BP PLC
Current Assets | 102.8B |
Cash & Short-Term Investments | 39.4B |
Receivables | 28.4B |
Other Current Assets | 35B |
Non-Current Assets | 179.4B |
Long-Term Investments | 21.3B |
PP&E | 100.2B |
Intangibles | 24.5B |
Other Non-Current Assets | 33.3B |
Balance Sheet
BP PLC
Dec-2014 | Dec-2015 | Dec-2016 | Dec-2017 | Dec-2018 | Dec-2019 | Dec-2020 | Dec-2021 | Dec-2022 | Dec-2023 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
Assets | |||||||||||
Cash & Cash Equivalents |
29 763
|
26 389
|
23 484
|
24 098
|
21 118
|
20 796
|
29 194
|
25 941
|
23 329
|
27 748
|
|
Cash |
5 112
|
4 653
|
5 592
|
4 592
|
6 148
|
6 462
|
6 235
|
9 101
|
15 008
|
16 683
|
|
Cash Equivalents |
24 651
|
21 736
|
17 892
|
19 506
|
14 970
|
14 334
|
22 959
|
16 840
|
8 321
|
11 065
|
|
Short-Term Investments |
329
|
219
|
44
|
125
|
222
|
169
|
333
|
280
|
578
|
843
|
|
Total Receivables |
32 208
|
23 194
|
22 128
|
25 800
|
25 823
|
26 063
|
19 078
|
28 036
|
34 946
|
32 200
|
|
Accounts Receivables |
22 383
|
15 671
|
14 643
|
19 730
|
20 270
|
20 297
|
13 297
|
22 712
|
28 883
|
26 018
|
|
Other Receivables |
9 825
|
7 523
|
7 485
|
6 070
|
5 553
|
5 766
|
5 781
|
5 324
|
6 063
|
6 182
|
|
Inventory |
18 373
|
14 142
|
17 655
|
19 011
|
17 988
|
20 880
|
16 873
|
23 711
|
28 081
|
22 819
|
|
Other Current Assets |
6 589
|
6 658
|
4 502
|
5 934
|
6 159
|
14 151
|
7 504
|
14 622
|
20 754
|
20 385
|
|
Total Current Assets |
87 262
|
70 602
|
67 813
|
74 968
|
71 310
|
82 059
|
72 982
|
92 590
|
107 688
|
103 995
|
|
PP&E Net |
130 692
|
129 758
|
129 757
|
129 471
|
135 261
|
132 642
|
114 836
|
112 902
|
106 044
|
104 719
|
|
PP&E Gross |
130 692
|
129 758
|
129 757
|
129 471
|
135 261
|
132 642
|
114 836
|
112 902
|
106 044
|
104 719
|
|
Accumulated Depreciation |
151 009
|
162 945
|
159 126
|
170 667
|
171 087
|
157 186
|
171 917
|
167 714
|
144 733
|
160 843
|
|
Intangible Assets |
20 907
|
18 660
|
18 183
|
18 355
|
17 284
|
15 539
|
6 093
|
6 451
|
10 200
|
9 991
|
|
Goodwill |
11 868
|
11 627
|
11 194
|
11 551
|
12 204
|
11 868
|
12 480
|
12 373
|
11 960
|
12 472
|
|
Note Receivable |
5 446
|
2 745
|
2 006
|
2 080
|
2 471
|
2 777
|
5 191
|
3 615
|
2 363
|
3 709
|
|
Long-Term Investments |
20 384
|
18 836
|
23 734
|
26 230
|
27 661
|
31 601
|
30 083
|
33 527
|
23 271
|
22 438
|
|
Other Long-Term Assets |
7 746
|
9 604
|
10 629
|
13 860
|
15 985
|
18 708
|
25 989
|
25 814
|
26 594
|
22 970
|
|
Other Assets |
11 868
|
11 627
|
11 194
|
11 551
|
12 204
|
11 868
|
12 480
|
12 373
|
11 960
|
12 472
|
|
Total Assets |
284 305
N/A
|
261 832
-8%
|
263 316
+1%
|
276 515
+5%
|
282 176
+2%
|
295 194
+5%
|
267 654
-9%
|
287 272
+7%
|
288 120
+0%
|
280 294
-3%
|
|
Liabilities | |||||||||||
Accounts Payable |
25 510
|
18 968
|
23 695
|
28 840
|
28 621
|
32 404
|
24 521
|
39 492
|
49 870
|
45 440
|
|
Accrued Liabilities |
7 102
|
6 261
|
5 136
|
4 960
|
6 898
|
7 447
|
6 753
|
8 346
|
8 759
|
8 791
|
|
Short-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
Current Portion of Long-Term Debt |
6 877
|
6 944
|
6 634
|
7 739
|
9 373
|
12 554
|
11 292
|
7 304
|
5 300
|
5 934
|
|
Other Current Liabilities |
24 126
|
22 551
|
22 889
|
23 187
|
23 345
|
21 190
|
17 233
|
25 145
|
35 089
|
25 851
|
|
Total Current Liabilities |
63 615
|
54 724
|
58 354
|
64 726
|
68 237
|
73 595
|
59 799
|
80 287
|
99 018
|
86 016
|
|
Long-Term Debt |
45 977
|
46 224
|
51 666
|
55 491
|
56 426
|
64 892
|
70 634
|
62 483
|
50 193
|
57 141
|
|
Deferred Income Tax |
13 893
|
9 599
|
7 238
|
7 982
|
9 812
|
9 750
|
6 831
|
8 780
|
10 526
|
9 617
|
|
Minority Interest |
1 201
|
1 171
|
1 557
|
1 913
|
2 104
|
2 296
|
14 318
|
14 976
|
15 437
|
15 210
|
|
Other Liabilities |
48 178
|
52 898
|
49 215
|
47 912
|
46 153
|
46 249
|
44 822
|
45 283
|
45 393
|
42 027
|
|
Total Liabilities |
172 864
N/A
|
164 616
-5%
|
168 030
+2%
|
178 024
+6%
|
182 732
+3%
|
196 782
+8%
|
196 404
0%
|
211 809
+8%
|
220 567
+4%
|
210 011
-5%
|
|
Equity | |||||||||||
Common Stock |
5 023
|
5 049
|
5 284
|
5 343
|
5 402
|
5 404
|
5 383
|
5 215
|
4 795
|
4 496
|
|
Retained Earnings |
121 183
|
109 987
|
104 257
|
103 858
|
107 393
|
102 410
|
76 034
|
80 726
|
64 118
|
65 041
|
|
Additional Paid In Capital |
10 260
|
10 234
|
12 219
|
12 147
|
12 305
|
12 417
|
12 584
|
12 745
|
13 692
|
13 815
|
|
Unrealized Security Profit/Loss |
0
|
0
|
0
|
17
|
0
|
0
|
0
|
0
|
0
|
38
|
|
Treasury Stock |
20 719
|
19 964
|
18 443
|
16 958
|
15 767
|
14 412
|
13 224
|
12 624
|
12 153
|
11 323
|
|
Other Equity |
4 306
|
8 090
|
8 031
|
5 916
|
9 889
|
7 407
|
9 527
|
10 599
|
2 899
|
1 784
|
|
Total Equity |
111 441
N/A
|
97 216
-13%
|
95 286
-2%
|
98 491
+3%
|
99 444
+1%
|
98 412
-1%
|
71 250
-28%
|
75 463
+6%
|
67 553
-10%
|
70 283
+4%
|
|
Total Liabilities & Equity |
284 305
N/A
|
261 832
-8%
|
263 316
+1%
|
276 515
+5%
|
282 176
+2%
|
295 194
+5%
|
267 654
-9%
|
287 272
+7%
|
288 120
+0%
|
280 294
-3%
|
|
Shares Outstanding | |||||||||||
Common Shares Outstanding |
18 235
|
18 352
|
19 435
|
19 806
|
20 099
|
20 239
|
20 262
|
19 641
|
17 973
|
16 824
|
|
Preferred Shares Outstanding |
13
|
13
|
13
|
13
|
13
|
13
|
13
|
13
|
13
|
13
|