BP

BP · LSE · GBp

557.80 GBpChange from previous close: +0.13%Absolute change: +0.70 GBp

Close · October 2, 2026

At a glance

Revenue growth
+0.13%
2025 vs 2024
Net income growth
−85.56%
2025 vs 2024
Net margin
0.0%
2024: 0.2%

Financial data

Amounts in millions of USD; per-share values in USD; shares in millions.

Cash flow · Annual
Item2025202420232022202120202019201820172016
Operating cash flow24,49327,29732,03940,93223,61212,16225,77022,87318,93110,691
Depreciation and amortization18,75019,39116,67414,70512,51924,88218,41316,67917,18715,841
Capital expenditure-13,221-15,297-14,285-12,069-10,887-12,306-15,418-16,707-16,562-16,701
Investing cash flow-11,504-13,250-14,872-13,713-5,694-7,858-16,974-21,571-14,077-14,753
Financing cash flow-15,880-7,297-13,359-28,021-18,0793,956-8,817-4,079-3,2961,977
Dividends paid-5,059-5,003-4,809-4,358-4,304-6,340-6,946-6,699-6,153-4,611
Share repurchases-4,486-7,149-7,919-10,000-3,177-824-1,511-355-343—
Debt issued2,72410,6567,5682,0138,06414,7368,77710,3558,71212,493
Debt repaid-9,129-8,769-7,323-15,050-18,886-15,855-9,490-7,210-6,434-6,685
Effect of exchange rates246-51127.0-684-26937925.0-330544-820
Net change in cash-2,6456,2393,835-1,486-4308,6394.0-3,1072,102-2,905
Free cash flow11,27212,00017,75428,86312,725—————
Levered free cash flow5,70917,1492,08743,91713,59110,5813,26011,9456,0893,199