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BP p.l.c. Peer Comparison

Metric Value Ranking
Market Cap $86.4 Billion 6/10 XOM
$509.1B
CVX
$263.3B
SHEL
$212.5B
TTE
$157.2B
PBR
$90.8B
BP
$86.4B
E
$50.4B
SU
$47.0B
EC
$21.3B
YPF
$9.3B
Gross Margin 20% 6/10 PBR
47%
SU
42%
EC
39%
YPF
30%
XOM
22%
BP
20%
SHEL
16%
CVX
14%
TTE
13%
E
9%
Profit Margin 5% 7/10 EC
13%
SU
12%
YPF
11%
XOM
10%
CVX
9%
TTE
8%
BP
5%
SHEL
5%
E
3%
PBR
-2%
EBITDA margin 20% 5/10 EC
42%
PBR
41%
SU
32%
E
23%
BP
20%
XOM
19%
CVX
19%
TTE
19%
SHEL
19%
YPF
15%
Quarterly Revenue $48.9 Billion 5/10 XOM
$90.0B
SHEL
$72.9B
CVX
$49.6B
TTE
$49.2B
BP
$48.9B
E
$23.9B
PBR
$23.5B
SU
$9.7B
EC
$7.4B
YPF
$4.9B
Quarterly Earnings $2.3 Billion 5/10 XOM
$9.2B
CVX
$4.4B
TTE
$3.8B
SHEL
$3.5B
BP
$2.3B
SU
$1.2B
EC
$954.4M
E
$726.4M
YPF
$519.0M
PBR
-$499.7M
Quarterly Free Cash Flow $1.3 Billion 8/10 SHEL
$8.4B
PBR
$5.9B
TTE
$5.3B
XOM
$4.3B
E
$2.8B
CVX
$2.1B
SU
$1.3B
BP
$1.3B
EC
$77.6M
YPF
-$0
Trailing 4 Quarters Revenue $201.6 Billion 5/10 YPF
$759.4B
XOM
$340.7B
SHEL
$220.1B
TTE
$210.2B
BP
$201.6B
CVX
$195.4B
PBR
$99.9B
E
$76.1B
EC
$32.2B
SU
$30.2B
Trailing 4 Quarters Earnings $7.4 Billion 7/10 XOM
$90.0B
SHEL
$72.9B
CVX
$49.6B
TTE
$49.2B
BP
$48.9B
E
$23.9B
PBR
$23.5B
SU
$9.7B
EC
$7.4B
YPF
$4.9B
Quarterly Earnings Growth 26% 2/10 E
125%
BP
26%
XOM
17%
SHEL
12%
TTE
-7%
SU
-17%
CVX
-26%
EC
-29%
YPF
-99%
PBR
-109%
Annual Earnings Growth -72% 9/10 TTE
2%
XOM
-19%
CVX
-27%
EC
-30%
SHEL
-39%
SU
-41%
PBR
-43%
YPF
-63%
BP
-72%
E
-73%
Quarterly Revenue Growth 1% 6/10 XOM
11%
E
11%
SU
10%
CVX
5%
PBR
2%
BP
1%
SHEL
-2%
TTE
-5%
EC
-19%
YPF
-100%
Annual Revenue Growth -7% 4/10 XOM
3%
CVX
1%
PBR
-3%
BP
-7%
TTE
-7%
EC
-14%
SU
-17%
E
-32%
SHEL
-34%
YPF
-78%
Cash On Hand $31.5 Billion 2/10 SHEL
$38.1B
BP
$31.5B
XOM
$26.5B
TTE
$23.2B
E
$11.2B
CVX
$4.0B
EC
$3.6B
PBR
$3.2B
SU
$1.8B
YPF
$1.0B
Short Term Debt $7.3 Billion 5/10 PBR
$12.1B
TTE
$11.3B
SHEL
$10.8B
E
$10.4B
BP
$7.3B
XOM
$6.6B
EC
$3.7B
YPF
$2.0B
SU
$355.6M
CVX
-$0
Long Term Debt $48.3 Billion 1/10 BP
$48.3B
TTE
$42.5B
SHEL
$39.0B
XOM
$36.6B
E
$25.7B
CVX
$23.2B
EC
$22.2B
PBR
$21.7B
SU
$8.6B
YPF
$7.5B
PE 11.74 6/10 E
22.69
XOM
14.90
CVX
14.08
SU
13.22
SHEL
11.86
BP
11.74
TTE
7.40
PBR
5.68
EC
4.88
YPF
0.10
PS 0.43 9/10 EC
2771.72
SU
2.07
XOM
1.49
CVX
1.35
SHEL
0.97
PBR
0.91
TTE
0.75
E
0.60
BP
0.43
YPF
0.01
PB 1.02 7/10 XOM
1.83
SU
1.40
PBR
1.34
TTE
1.31
SHEL
1.14
CVX
1.11
BP
1.02
EC
0.96
YPF
0.87
E
0.83
PC 2.74 10/10 CVX
65.69
PBR
28.08
SU
26.30
XOM
19.22
YPF
8.90
TTE
6.77
EC
5.89
SHEL
5.57
E
4.50
BP
2.74
Liabilities to Equity 2.73 2/10 EC
2.82
BP
2.73
PBR
1.83
E
1.70
YPF
1.62
TTE
1.36
SHEL
1.12
SU
1.03
XOM
0.68
CVX
0.15
ROA 0.03 8/10 YPF
332%
PBR
8%
TTE
8%
XOM
7%
CVX
7%
SHEL
5%
SU
4%
BP
3%
E
2%
EC
0%
ROE 0.11 6/10 YPF
876%
PBR
24%
TTE
18%
XOM
13%
CVX
12%
BP
11%
SHEL
10%
SU
8%
E
4%
EC
0%
Current Ratio 1.45 10/10 CVX
11.24
XOM
2.52
SU
1.97
SHEL
1.90
TTE
1.75
YPF
1.63
E
1.60
PBR
1.55
EC
1.48
BP
1.45
Quick Ratio 0.17 4/10 E
22.69
XOM
14.90
CVX
14.08
SU
13.22
SHEL
11.86
BP
11.74
TTE
7.40
PBR
5.68
EC
4.88
YPF
0.10
Long Term Debt to Equity 0.69 3/10 EC}
1.35
YPF}
0.72
BP}
0.69
E}
0.43
TTE}
0.36
PBR}
0.32
SU}
0.26
SHEL}
0.21
CVX}
0.15
XOM}
0.14
Debt to Equity 0.92 2/10 EC
1.57
BP
0.92
YPF
0.90
PBR
0.89
E
0.68
TTE
0.46
SHEL
0.41
SU
0.35
XOM
0.16
CVX
0.15
Burn Rate 21.09 3/10 SHEL
50.46
TTE
31.72
BP
21.09
E
3.94
YPF
3.84
EC
2.00
PBR
0.74
CVX
-1.14
SU
-3.92
XOM
-4.33
Cash to Cap 0.36 1/10 BP
0.36
E
0.22
SHEL
0.18
EC
0.17
TTE
0.15
YPF
0.11
XOM
0.05
PBR
0.04
SU
0.04
CVX
0.02
CCR 0.57 5/10 E
3.85
SHEL
2.40
TTE
1.40
SU
1.14
BP
0.57
XOM
0.47
CVX
0.47
EC
0.08
PBR
-11.74
YPF
EV to EBITDA 12.29 8/10 XOM}
31.51
CVX}
29.59
YPF}
23.51
TTE}
20.30
SHEL}
17.79
E}
16.41
PBR}
15.20
BP}
12.29
SU}
11.77
EC}
7.06
EV to Revenue 0.59 9/10 EC
2901.64
SU
1.61
XOM
1.54
PBR
1.47
CVX
1.45
SHEL
1.14
E
1.08
TTE
0.89
BP
0.59
YPF
0.02