BP PLC
LSE:BP

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BP PLC
LSE:BP
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Price: 376.65 GBX 0.7% Market Closed
Market Cap: 60B GBX
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Balance Sheet

Balance Sheet Decomposition
BP PLC

Current Assets 99.1B
Cash & Short-Term Investments 35.6B
Receivables 30.1B
Other Current Assets 33.4B
Non-Current Assets 174.3B
Long-Term Investments 22.1B
PP&E 100.3B
Intangibles 22.7B
Other Non-Current Assets 29.1B
Current Liabilities 81.3B
Accounts Payable 57.7B
Accrued Liabilities 5.7B
Other Current Liabilities 18B
Non-Current Liabilities 125B
Long-Term Debt 58.9B
Other Non-Current Liabilities 66.1B

Balance Sheet
BP PLC

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Balance Sheet
Currency: USD
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

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