BP · NYSE · Oil & Gas Integrated

BP (ADR) (BP)

Produces oil and gas, then refines, trades and sells energy through global customer channels.

$43.23
vs last close+0.07 (+0.16%)
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BP p.l.c.BP
Energy

Combines oil and gas production with refining, trading, fuels, convenience and selective transition businesses. The integrated chain links resource access and infrastructure to branded customer channels, while current strategy emphasizes upstream growth, a focused downstream portfolio and selective transition investment.

Produces oil and gas across multiple regions, then moves, processes and markets energy through refining, terminals, pipelines, shipping and trading. Customer businesses span retail and aviation fuels, convenience channels, Castrol lubricants and electric-vehicle charging, alongside selected bioenergy, hydrogen, carbon capture, solar and offshore-wind positions.

An integrated global system connects resource access, infrastructure, supply optimization and branded routes to market. Current strategy prioritizes upstream growth, focuses downstream positions and limits transition investment to selected businesses and partnerships.

Operational performance depends on safe operation, large-project execution, access to resource provinces, commodity production and processing, regulation and geopolitical conditions. Announced portfolio sales also depend on approvals and completion.

Company facts

CEOMeg O'Neill
ListedJan 3, 1977
ExchangeNYSE
HeadquartersLondon, United Kingdom
CountryUnited Kingdom
Employees93,700
CIK0000313807
ISINUS0556221044

Market cap$113.19B
EPS (ttm)$2.00
P/E (ttm)21.58
ROE9.7%
P/B1.94
P/S0.5188
Dividend yieldDiv yield4.67%
Beta−0.34vs XLE 1.03

Price target$50.50+17.0%Average of 45 analysts
ConsensusHold23 of 45 analysts
Ratings

Target rangeAs of Sep 21, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Sep 3, 2026Piper SandlerReiterate
Rating: Target: $42
Rating: NeutralTarget: $46
Aug 27, 2026Raymond JamesInitiate
Rating:
Rating: Market Perform
Aug 27, 2026Deutsche BankDowngrade
Rating:
Rating: Hold
Aug 27, 2026BMO CapitalUpgrade
Rating:
Rating: Outperform
Aug 5, 2026Mizuho SecuritiesTarget
Target: $51
Target: $53

Next report
Oct 30, 26
estimated · in 38 days
EPS estimate
$1.81
Revenue estimate
$57.99B
Fiscal quarter
Q3 FY26

EPSReportedEstimate

Feb '25Apr '25Aug '25Nov '25Feb '26Apr '26Aug '26Oct '26
Reported$0.44$0.53$0.90$0.85$0.60$1.24$2.22Pending
Estimate$0.56$0.56$0.68$0.72$0.57$0.91$1.98$1.81
Surprise−21.4%−5.4%+32.4%+18.1%+5.3%+36.3%+12.1%

RevenueReportedEstimate

Feb '25Apr '25Aug '25Nov '25Feb '26Apr '26Aug '26Oct '26
Reported$45.75B$46.91B$47.18B$48.39B$47.38B$52.26B$69.11BPending
Estimate$46.95B$42.88B$41.64B$44.44B$42.89B$48.50B$62.24B$57.99B
Surprise−2.6%+9.4%+13.3%+8.9%+10.5%+7.7%+11.0%
Estimate$1.81
ReportedDue Oct 30, 2026
Estimate$57.99B
ReportedDue Oct 30, 2026
View details

Debt to equity124.40%
Current ratio127.20%

ProfitabilityRevenueNet incomeNet margin

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Revenue$47.25B$45.75B$46.91B$46.63B$48.42B$47.38B$52.26B$70.11B
Net income$206.0M−$1.96B$687.0M$1.63B$1.16B−$3.42B$3.84B$3.91B
Net margin0.4%0.0%1.5%3.5%2.4%0.0%7.3%5.6%

GrowthOperating income

Q3 FY24Q4 FY24Q1 FY25Q2 FY25Q3 FY25Q4 FY25Q1 FY26Q2 FY26
Operating income$3.22B$1.51B$3.93B$4.16B$4.37B$3.00B$7.96B$8.94B
YoY growth−60.1%−72.9%−26.2%+49.3%+35.6%+98.4%+102.7%+114.8%

Balance sheet, Jun 30, 2026Cash & short-term investments $37.23B · Total debt $72.69B · Total assets $294.63B · Shareholders' equity $58.43B

Revenue
$70.11B
Operating income
$8.94B
Net income
$3.91B
View details

Dividend yield
4.67%
Next ex-date
Nov 14, 26
estimated · in 53 days
Annual dividend
$2.02
per share
Schedule
Quarterly
4 payments a year

HistoryDividendAnnual yield

Nov '24Feb '25May '25Aug '25Nov '25Feb '26May '26Aug '26
Dividend$0.48$0.475$0.475$0.4992$0.4992$0.4992$0.4992$0.5196
Annual yield6.32%5.51%6.40%5.62%5.33%5.17%4.50%4.74%
Ex-dateNov 8Feb 21May 16Aug 15Nov 14Feb 20May 15Aug 14
Payment dateDec 20Mar 28Jun 27Sep 19Dec 19Mar 27Jun 26Sep 18
View details

Institutions13.22%363.13M ADS
1,229 holders · as of Jun 30, 2026
Other86.78%2.38B ADS
remainder

2.75B ADS (1 ADS = 6 ordinary shares) as of Sep 22, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

Two share counts disagree (2.75B in the company's Sep 22, 2026 report, 437.08M elsewhere); stakes use the report.

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
Fisher Asset Management, LLCInstitution
2.41%66.31M ADSas of Jun 30, 2026
Acadian Asset Management LLCInstitution
0.84%23.07M ADSas of Jun 30, 2026
Dimensional Fund Advisors LPInstitution
0.68%18.73M ADSas of Jun 30, 2026
Arrowstreet Capital, Limited PartnershipInstitution
0.63%17.37M ADSas of Jun 30, 2026
State Street CorpInstitution
0.55%15.04M ADSas of Jun 30, 2026

Insider tradesForm 4

Nothing filed in the last 12 months.

View details

  • Shell (ADR)

    Closest integrated peer across LNG, trading, fuels and customer channels

  • ExxonMobil

    Global supermajor overlap across upstream, refining, fuels and low carbon

  • Chevron

    Large upstream and downstream overlap, reinforced by the Hess acquisition

  • TotalEnergies

    Broad multi-energy overlap from upstream and LNG to marketing and power

  • Eni (ADR)

    Integrated overlap in upstream, gas, fuels, bioenergy and customer power

  • Equinor (ADR)

    Upstream-led overlap in oil, European gas, offshore wind and CCS

Compare

CompanyPriceChange
BP (ADR)$43.23+0.16%$113.19B21.67.90.5+46.5%
Shell (ADR)$93.77+0.53%$260.05B10.39.00.9+44.7%
ExxonMobil$158.66+0.23%$656.48B20.412.91.8+46.0%
Chevron$203.31−0.18%$405.85B19.512.81.9+57.9%
TotalEnergies$89.79−0.31%$200.56B11.38.11.0+26.2%
Eni (ADR)$53.69−0.66%$78.29B13.78.30.8+15.4%
Equinor (ADR)$42.09−0.95%$101.58B11.69.00.9+36.5%
Median12.69.01.0+40.6%