BP Financial Ratios for Analysis 2009-2024 | BP

Fifteen years of historical annual and quarterly financial ratios and margins for BP (BP).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.211.091.151.221.121.051.161.161.291.371.331.441.171.121.14
0.360.350.380.430.360.350.360.350.320.290.240.240.240.240.20
0.610.570.680.850.670.640.630.600.540.470.370.410.390.470.34
31.4030.9026.8725.8617.5416.2415.8913.2010.2312.9515.9713.7117.777.4022.51
12.847.2511.01-19.934.146.383.87-0.23-3.501.798.025.0910.31-1.2010.74
12.847.2511.01-19.934.146.383.87-0.23-3.501.798.025.0910.31-1.2010.74
20.3113.0020.03-6.2810.4311.4710.257.543.236.0211.438.3613.252.4215.65
11.156.199.27-22.822.895.512.94-1.23-4.241.387.634.679.90-1.5610.21
7.15-1.004.61-18.621.423.091.390.06-2.871.055.922.846.53-1.206.74
0.760.860.570.410.961.080.880.710.861.261.301.291.321.131.04
6.406.125.064.7911.1614.1410.829.1714.3416.9911.3911.8712.1810.918.44
6.677.195.935.8610.9911.919.558.539.8611.259.8210.198.818.308.28
54.7650.7961.5362.3133.2230.6438.2242.7837.0232.4437.1635.8041.4244.0044.10
18.57-1.649.38-24.234.169.433.450.18-6.503.5518.229.4022.75-3.4716.42
25.19-2.2311.85-30.945.7213.294.920.25-9.405.0124.7013.5732.62-4.5520.45
5.67-0.472.95-7.741.423.391.250.07-2.441.417.773.748.74-1.227.10
11.84-1.075.81-13.922.656.092.220.12-4.432.5213.887.1017.33-2.6313.13
28.6626.0726.1223.9728.0630.3130.4229.9032.1737.1538.3137.5535.6030.6132.66
10.8312.936.993.617.586.835.733.406.2710.626.656.416.974.308.78
6.059.344.110.103.192.121.61-1.480.513.904.632.272.430.852.78

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.241.231.211.211.171.171.091.041.161.191.151.161.231.291.221.221.301.011.121.171.071.021.051.221.101.131.161.211.181.191.161.251.251.291.291.401.391.441.371.421.401.391.331.421.391.381.441.251.241.231.171.151.251.211.121.010.961.131.141.141.060.96
0.380.360.360.340.360.350.350.370.360.410.380.400.390.400.430.430.440.390.360.370.360.350.350.350.330.340.360.360.360.350.350.360.350.340.320.320.310.310.290.270.250.260.240.240.230.220.240.260.260.240.240.230.240.240.240.220.200.180.200.210.200.18
0.670.620.610.560.580.560.570.630.650.770.680.710.730.730.850.890.920.760.670.660.650.640.640.620.590.610.630.660.640.620.600.640.590.560.540.560.530.520.470.420.400.410.370.380.360.350.410.410.420.390.390.410.430.460.470.440.350.310.340.360.370.38
25.2530.0729.1532.4527.6335.7741.0217.2731.8531.1125.5519.9425.2737.6130.2327.9634.0614.1317.3316.4816.6819.8114.9716.7716.1717.1014.2917.2115.1717.1814.2815.268.0815.4011.4314.26-0.4817.119.6812.6314.0814.7411.9813.6812.3124.8911.4616.9710.0716.4719.5714.4016.4620.7819.7711.22-23.5721.1822.1521.3324.5522.34
5.0411.343.9515.348.8022.1825.194.5221.01-32.999.180.5115.4919.925.933.65-100.18-12.101.601.265.458.404.127.637.226.502.655.792.564.662.113.77-6.17-1.09-7.402.34-13.054.68-10.253.135.746.061.665.674.6918.783.778.94-1.669.4011.817.908.7313.1610.602.57-31.8012.919.4211.6412.549.35
5.0411.343.9515.348.8022.1825.194.5221.01-32.999.180.5115.4919.925.933.65-100.18-12.101.601.265.458.404.127.637.226.502.655.792.564.662.113.77-6.17-1.09-7.402.34-13.054.68-10.253.135.746.061.665.674.6918.783.778.94-1.669.4011.817.908.7313.1610.602.57-31.8012.919.4211.6412.549.35
--------------------------------------------------------------
2.609.272.0913.537.0620.8024.023.4320.23-34.247.74-1.3113.6717.933.500.57-103.99-14.660.35-0.044.277.093.116.736.495.661.694.861.623.751.182.77-7.14-2.21-8.331.51-13.634.05-10.762.765.375.671.265.274.3018.413.318.54-2.068.9911.547.668.4912.8910.192.12-32.0812.609.0111.1911.978.59
-0.274.550.708.993.6214.4315.35-3.7413.32-39.804.45-6.728.2912.794.35-1.71-81.09-14.140.03-1.082.474.351.004.143.643.570.042.910.252.570.953.37-3.00-1.49-6.720.08-9.214.63-5.871.363.523.791.103.572.1315.731.495.59-1.585.927.985.165.508.206.632.39-22.618.175.837.867.755.33
0.180.180.190.190.180.200.240.200.230.170.180.130.130.140.120.100.080.110.240.240.250.230.270.290.280.250.250.220.220.210.200.180.180.150.190.210.220.200.260.310.300.300.310.320.310.350.330.310.330.320.330.340.360.310.310.290.310.310.310.290.240.22
1.551.441.631.421.531.531.481.621.381.171.641.201.241.091.291.371.102.282.863.013.072.523.633.073.072.763.162.782.962.712.532.562.652.323.082.903.172.463.693.112.802.752.862.882.962.813.132.773.282.702.973.143.162.442.573.024.242.532.542.812.292.44
1.621.631.651.681.741.892.031.651.761.431.891.471.571.781.671.581.211.642.812.902.922.653.022.862.972.842.732.692.702.552.382.202.051.722.152.161.961.902.362.432.352.292.362.372.232.542.622.272.492.342.202.382.412.062.262.192.122.372.482.291.901.81
55.7155.2654.7053.7051.5947.5144.3054.6651.0263.0247.6961.3757.3750.6653.7557.0174.3354.8532.0831.0130.8433.9929.8531.5230.3231.7332.9233.4233.2835.3137.7640.8343.8752.2041.9041.5745.8647.2838.2036.9838.2339.3138.1837.9140.3935.4234.3339.7336.1738.4540.9437.8737.4043.7439.9141.1742.5237.9736.3539.2647.4349.63
------13.45---2.85--5.411.74-0.37-21.16-4.850.02-0.73--0.76---0.06---0.561.70-1.48-0.57-3.380.05-5.392.38-3.881.042.582.780.842.74-12.921.294.50-1.304.896.914.735.347.095.912.07-19.745.894.295.314.572.85
0.123.850.697.753.1012.9818.35-3.5514.98-33.293.60-3.324.506.812.22-0.48-27.18-6.930.02-1.002.514.021.074.583.963.490.092.510.222.140.802.45-2.16-0.83-4.880.08-7.603.35-5.481.423.473.761.143.852.2917.991.876.40-1.866.869.906.637.049.157.762.81-26.677.385.346.755.853.66
0.030.870.161.810.713.023.87-0.703.19-6.790.90-0.821.181.820.55-0.12-6.66-1.600.01-0.260.651.020.271.201.040.920.020.650.060.560.210.60-0.53-0.22-1.270.02-2.030.94-1.540.431.091.170.361.150.695.450.521.77-0.501.922.651.801.992.552.080.73-6.862.571.862.281.901.16
0.051.810.333.791.476.328.81-1.717.45-14.991.77-1.582.183.231.00-0.21-11.89-2.980.01-0.461.171.900.492.151.901.630.041.120.100.970.371.08-0.96-0.38-2.300.04-3.721.65-2.760.761.932.070.642.081.2610.050.983.34-0.963.695.263.624.055.384.471.61-15.694.813.434.193.662.35
29.9130.5428.6630.8329.5529.5526.0723.7025.5724.1426.1226.7727.6626.7123.9723.0224.5426.8828.0629.3930.5230.5030.3130.9530.5730.7730.4230.4129.9330.2929.9029.44-31.3232.1733.6235.1636.6637.1541.5843.2842.3338.3141.8441.2341.0637.5537.4135.7337.6235.6034.9134.3432.8130.6128.8627.5733.5332.6632.2731.0629.22
4.741.7510.837.724.662.5112.938.695.832.526.995.213.391.803.612.931.390.287.585.343.561.576.834.782.981.095.733.932.120.653.402.621.850.596.274.352.670.6110.628.275.212.666.654.962.941.246.414.422.441.066.945.363.220.764.304.354.552.438.776.473.911.77
2.180.476.054.342.471.489.346.254.431.874.112.981.971.070.100.17-0.62-0.843.192.101.440.542.121.660.920.041.610.46-0.15-0.47-1.48-0.89-0.81-0.710.510.28-0.02-0.703.903.391.921.074.634.974.694.682.270.35-0.23-0.242.422.251.26-0.290.851.712.091.112.782.090.940.34