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BP PLC-SPONS ADR

BPNYSE
US Equity
$197.87β–Ό $10.31 (βˆ’5.21%)
Simulated price
πŸ””
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24hβ–Ό 5.2%
7dβ–² 358.8%
14dβ–² 321.5%
30dβ–² 369.7%
ytdβ–² 469.9%
1yβ–² 469.5%
🏦Market Cap
$223.14B
Large Cap
πŸ“ˆRevenue Growth (YoY)
+16.4%
Healthy
πŸ“ŠGross Margin
28.1%
Moderate
πŸ’΅FCF Margin
7.6%
Moderate
βš–οΈP/S Ratio
0.5x
Cheap
Otter Score
76
Good

Trading Snapshot

Day Range
$196.28 – $201.05
52-Week Range
$399.40 – $609.40
Volume
$2.68B
Avg Volume
$3.37B
Shares Outstanding
15.70B
Next Earnings
Nov 26, 2026

Fundamentals Snapshot

Annual Revenue
$189.34B
Last Q Revenue
$70.11B
P/E Ratio
21.3
P/S Ratio
0.5x
EPS (TTM)
$0.35
Dividend Yield
4.39%
Dilution (1yr)
βˆ’3.0%

Why Investors Own BP

  • βœ“High-growth profile β€” revenue up +20.9% YoY with expanding US Equity exposure.
  • βœ“Healthy economics β€” 66% gross margin and 23% free-cash-flow margin.
  • βœ“New products and segments could unlock additional revenue streams.
⚠️ Key Risks

Execution delays, intensifying competition, and valuation compression if growth decelerates.

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BP PLC-SPONS ADR

BP
Financial Trends
RevenueThe total money the company brought in from sales, before subtracting any costs.
$189.3Bβ–² +0.1% YoY
Gross MarginOf every $1 of sales, how much is left after the direct cost of making the product/service. Higher = more efficient.
17.7%β–² +10.8% YoY
Operating IncomeProfit from the core business after operating costs, but before interest and taxes. Negative means the core business isn’t profitable yet.
$15.5Bβ–² +20.4% YoY
Free Cash FlowCash left over after running the business and paying for equipment/capex. Negative means the company is burning cash.
$11.3Bβ–Ό βˆ’6.1% YoY
Shares OutstandingHow many shares exist. Rising means the company is issuing more shares, which dilutes (shrinks) each existing owner’s slice.
2.57Bβ–Ό βˆ’3.0% YoY
Net CashCash minus total debt. Positive = more cash than debt (financially strong); negative = more debt than cash (net debt).
βˆ’$47.7Bβ–Ό βˆ’$10.5B YoY
StockOtter Β· stockotter.space

About BP PLC-SPONS ADR

BP p.l.c. operates as a global energy company, offering a wide array of carbon-based and sustainable products and services. Its operations are structured across three primary segments: Gas & Low Carbon Energy, Oil Production & Operations, and Customers & Products. The Gas & Low Carbon Energy division is responsible for the extraction and integrated generation of natural gas and power. It actively trades gas and both renewable and non-renewable electricity. This segment also manages onshore and offshore wind farms and develops innovative solutions like hydrogen production and carbon capture and storage facilities. Meanwhile, the Oil Production & Operations segment focuses on crude oil extraction. The Customers & Products arm encompasses a diverse portfolio, including convenience stores and retail fuel sales, electric vehicle charging infrastructure, and the Castrol lubricants brand. It extends its reach to aviation and business-to-business (B2B) services, alongside midstream operations (like transportation and storage), refining activities, oil trading, and the expanding bioenergy sector. Established in 1908, BP maintains its headquarters in London, United Kingdom.

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Otter Score Breakdown

How it's scoredFive components, each rated 1–5β˜… and equally weighted (20%), averaged to a 0–100 score:πŸ’Ž Quality β€” gross marginπŸš€ Growth β€” revenue YoYβš–οΈ Valuation β€” P/S ratio⚑ Momentum β€” 30-day price changeπŸ’§ Dilution β€” 1-yr share issuance (buybacks score higher)
πŸ’ŽQualityβ˜…β˜…β˜…β˜…β˜…
πŸš€Growthβ˜…β˜…β˜…β˜…β˜…
βš–οΈValuationβ˜…β˜…β˜…β˜…β˜…
⚑Momentumβ˜…β˜…β˜…β˜…β˜…
πŸ’§Dilutionβ˜…β˜…β˜…β˜…β˜…
Overall Score
Good
76/100

Analyst Price Target

β“˜
Average Target
$212.36
β–² +7.3% Upside
High Target$242.35
Low Target$188.45
Based on 27 analysts

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