BP PLC ADR (BP)

38.91 +0.38 (+1.00%)
Closed USD Disclaimer
38.18 -0.73 (-1.88%)

BP Balance Sheet

Total Current Assets
Name
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
104,146 103,407 95,314 99,258 107,688
Cash and Short Term Investments 33,873 30,858 29,585 30,883 40,963
Cash - - - - -
Cash & Equivalents 33,030 29,926 28,914 30,433 29,195
Short Term Investments 843 932 671 450 214
Total Receivables, Net 32,200 32,595 28,665 30,432 34,946
Accounts Receivables - Trade, Net 31,123 31,558 27,701 29,426 28,883
Total Inventory 22,819 25,671 23,349 23,905 28,081
Prepaid Expenses 2,520 1,333 1,673 1,791 2,092
Other Current Assets, Total 12,734 12,950 12,042 12,247 1,606
280,294 280,236 276,067 278,661 288,120
Property/Plant/Equipment, Total - Net 104,719 107,163 108,126 105,744 106,044
Property/Plant/Equipment, Total - Gross 250,777 - - - -
Accumulated Depreciation, Total -144,733 - - - -
Goodwill, Net 12,472 12,283 12,206 12,003 11,960
Intangibles, Net 9,991 9,997 10,447 10,295 10,200
Long Term Investments 32,418 32,421 23,350 35,362 34,590
Note Receivable - Long Term 837 674 660 637 5,748
Other Long Term Assets, Total 8,571 8,773 20,200 10,229 12,368
Other Assets, Total 12,413 13,513 14,125 12,309 12,094
86,078 85,595 81,465 84,587 99,018
Accounts Payable 61,155 60,440 56,183 57,854 49,870
Payable/Accrued - - - - -
Accrued Expenses 6,527 5,958 6,004 5,829 9,149
Notes Payable/Short Term Debt 901 - - - -
Current Port. of LT Debt/Capital Leases 5,934 5,408 4,803 4,659 4,399
Other Current liabilities, Total 12,462 13,789 14,475 16,245 34,699
194,801 192,560 190,464 191,480 205,130
Total Long Term Debt 57,141 54,281 55,896 52,541 50,193
Long Term Debt 48,670 45,938 47,400 46,096 43,746
Capital Lease Obligations 8,471 8,343 8,496 6,445 6,447
Deferred Income Tax 9,617 10,293 10,648 10,886 10,526
Minority Interest 15,210 15,258 15,264 15,406 15,437
Other Liabilities, Total 26,755 27,133 27,191 28,060 29,055
85,493 87,676 85,603 87,181 82,990
Redeemable Preferred Stock, Total - - - - -
Preferred Stock - Non Redeemable, Net 21 - - - -
Common Stock, Total 70,283 72,418 70,339 71,775 4,774
Additional Paid-In Capital 40,898 - - - -
Retained Earnings (Accumulated Deficit) 34,732 - - - -
Treasury Stock - Common -12,153 - - - -
ESOP Debt Guarantee - - - - -
Unrealized Gain (Loss) - - - - -
Other Equity, Total 15,210 15,258 15,264 15,406 14,718
280,294 280,236 276,067 278,661 288,120
16,834.35 17,204.49 17,523.78 17,891.46 17,972.86
- - - - -

* In Millions of USD (except for per share items)

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