BP PLC (BP.:LN) Energy/Integrated Oil and Gas Price: 320.20 GBX Report Date: September 24, 2021 Business Description and Key Statistics BP is a global energy business with operations in Europe, North Current YTY % Chg and South America, Australasia, Asia and Africa. Co. is engaged in: finding, developing and extracting oil and gas; transporting and Revenue LFY (M) 132,355 -33.5 trading products including oil, natural gas, liquefied natural gas, EPS Diluted LFY -0.74 power and carbon products as well as derivatives and currencies; manufacturing and marketing fuels and products; generating Market Value (M) 64,758 renewable energy including biofuels, biopower,wind energy and solar energy; and venturing into high-tech companies for advancing Shares Outstanding LFY (000) 20,224,314 the energy transition, advanced mobility, bio and low carbon Book Value Per Share 2.81 products, carbon management, digital transformation and power and storage. EBITDA Margin % 11.80 Net Margin % 277.9 Website: www.bp.com Long-Term Debt / Capital % 39.4 ICB Industry: Energy Dividends and Yield TTM 0.12 - 3.66% ICB Subsector: Integrated Oil and Gas Payout Ratio TTM % 0.7 Address: 1 St. James's Square London 60-Day Average Volume (000) 45,266 GBR 52-Week High & Low 332.70 - 193.44 Employees: 63,600 Price / 52-Week High & Low 0.96 - 1.66 Price, Moving Averages & Volume 356.6 356.6 BP PLC is currently trading at 320.20 which is 7.1% above its 50 day moving average price 335.2 335.2 of 299.03 and 7.3% above its 200 day moving average price 313.8 313.8 of 298.35. BP.:LN is currently 3.8% below 292.5 292.5 its 52-week high price of 332.70 and is 65.5% above its 52-week low price of 193.44. 271.1 271.1 Over the past 52-weeks, BP.:LN is up 37.8% while on a 249.8 249.8 calendar year-to-date basis it is up 25.7%. 228.4 228.4 The Relative Strength Index (RSI) indicator for BP.:LN is currently 66.66. An RSI value 207.0 207.0 of 70 and above is considered overbought and 30 and below 185.7 185.7 oversold. 10/20 11/20 12/20 1/21 2/21 3/21 4/21 5/21 6/21 7/21 8/21 9/21 Volume (000) 236,566 236,566 178,116 178,116 119,667 119,667 61,218 Mean (54571.51) 61,218 2,769 2,769 10/20 11/20 12/20 1/21 2/21 3/21 4/21 5/21 6/21 7/21 8/21 9/21 Price Price (50-Day Simple Moving Average) Price (200-Day Simple Moving Average) Copyright © 2021 FTSE Russell 1 www.ftserussell.com BP PLC (BP.:LN) Energy/Integrated Oil and Gas Price: 320.20 GBX Report Date: September 24, 2021 Price Performance, Technical Indicators & Risk Metrics Difference Price Performance % Change vs FTSE 350 Technical Indicators 1-Day % 0.77 1.25 50-Day Average Price 299.03 1-Week % 5.10 4.84 Price / 50-Day Average 1.07 4-Week % 7.98 9.40 200-Day Average Price 298.35 52-Week % 37.78 13.43 Price / 200-Day Average 1.07 RSI - Relative Strength Index 66.66 Quarter-to-Date % 1.65 0.52 Year-to-Date % 25.67 15.45 Risk Metrics Last Month % 2.68 0.76 Price Volatility 7.77 Last Quarter % 6.91 2.24 Sharpe Ratio -0.05 Last Calendar Year % -45.97 -32.98 Sortino Ratio -0.08 5-Year Price Performance vs. FTSE 350 BP PLC Current: 0.71 CAGR: -6.6% Over the past five years, BP FTSE 350 Index Current: 1.18 CAGR: 3.4% PLC's stock price is down 28.8% which is 47.3% below 1.4 1.4 the FTSE 350 Index performance of 18.4% over the same period. BP PLC's 1.3 1.3 cumulative annualized growth rate (CAGR) over the five year period has been -6.6% while 1.2 ^NMX:LN 1.2 that of the FTSE 350 Index has been 3.4%. 1.1 1.1 Over the past year, BP PLC's stock price performance of 1.0 1.0 37.8% has outperformed that of the FTSE 350 Index by 1.0 1.0 13.4%. On a year-to-date basis, BP PLC's stock price performance of 25.7% has 0.9 0.9 outperformed the FTSE 350 Index by 15.5%. 0.8 0.8 Over the past week, BP PLC's stock price performance of 0.7 BP.:LN 0.7 5.1% has outperformed that of the FTSE 350 Index by 4.8%. 0.6 0.6 0.6 0.6 0.5 0.5 0.4 0.4 2017 2018 2019 2020 2021 2022 Copyright © 2021 FTSE Russell 2 www.ftserussell.com BP PLC (BP.:LN) Energy/Integrated Oil and Gas Price: 320.20 GBX Report Date: September 24, 2021 Growth and Profitability Metrics 5-Year 10-Year Historical Growth 3-Year 5-Year 10-Year Profitability Current Average Average Revenues % -15.7 -1.5 -5.6 Gross Margin % 21.6 15.8 14.3 Revenues Per Share % -16.4 -3.3 -6.2 EBITDA Margin % 11.8 10.0 9.0 EBITDA % -12.9 21.2 -4.8 Pre-Tax Margin % 7.6 0.0 1.8 EPS Diluted % 300.5 999.9 38.1 Net Margin % 277.9 26.8 14.7 Free Cash Flow % 7.3 999.9 999.9 Return on Equity % 100.0 9.1 9.1 Cash from Operations % -4.7 4.1 9.1 Return on Capital % 100.0 9.8 8.4 Book Value % -9.6 -5.2 -2.3 Return on Assets % 100.0 9.9 6.8 Revenue (M) BP PLC's cumulative annualized revenue growth Current: 132354.95 Median: 180183.49 High: 237540.15 Low: 132354.95 CAGR: -3.2% rate over the charted period is 258,577.2 258,577.2 237,540.1 -3.2%. This compares to 213,865.7 cumulatative annualized 214,750.0 214,750.0 growth of -15.7% over the past 180,183.5 3 years. 170,922.9 150,774.6 170,922.9 132,354.9 127,095.7 127,095.7 2017 2018 2019 2020 2021 BP PLC's cumulative EPS Diluted annualized EPS growth rate Current: -0.74 Median: 0.13 High: 0.37 Low: -0.85 CAGR: -0.2% over the charted period is 0.61 0.61 -0.2%. This compares to 0.37 cumulatative annualized 0.13 0.15 0.11 0.00 0.11 growth of 300.5% over the past 3 years. -0.40 -0.40 -0.74 -0.91 -0.91 2016 2017 2018 2019 2020 2021 Net Profit Margin % BP PLC's net profit margin of 277.9% is 251.1% above the Current: 277.91 Median: 1.64 High: 277.91 Low: -11.59 CAGR: 32.3% period's mean net margin of 292.4 292.4 26.8%. During the charted period, the observed net profit 186.2 186.2 margin high and low were 277.9% and -11.6% 80.1 80.1 respectively. Mean (26.78) -26.1 -26.1 2016 2017 2018 2019 2020 2021 BP PLC's return on equity of Return on Equity % 100.0% is 90.9% above the Current: 100.00 Median: 3.95 High: 100.00 Low: -28.60 CAGR: 15.7% period's mean return on equity 106.4 106.4 of 9.1%. During the charted period, the observed ROE 59.3 59.3 high and low were 100.0% and -28.6% respectively. 12.1 Mean (9.07) 12.1 -35.0 -35.0 2016 2017 2018 2019 2020 2021 Copyright © 2021 FTSE Russell 3 www.ftserussell.com BP PLC (BP.:LN) Energy/Integrated Oil and Gas Price: 320.20 GBX Report Date: September 24, 2021 Valuation Metrics 5-Year 10-Year 5-Year 10-Year Current Median Median Current Median Median Price / EPS TTM 0.2 32.2 21.8 Earnings Yield % 100.00 3.11 4.59 Price / Sales 0.5 0.5 0.4 Free Cash Flow Yield % 9.14 4.51 1.65 Price / Operating Cash Flow 0.2 6.4 5.9 Dividend Yield % 3.66 4.75 6.44 Price / Book Value 1.1 1.2 1.2 Enterprise Value / EBITDA 6.1 6.2 5.4 Price / EPS TTM BP PLC is trading at 0.19 times its EPS generated Current: 0.19 Median: 32.15 High: 99.90 Low: 0.17 CAGR: -71.5% during the latest fiscal year. 104.9 104.9 This multiple is below the historically observed median 68.3 68.3 of 32.15, while high and low observations have been 99.90 Median (32.15) and 0.17. 31.8 31.8 -4.8 -4.8 2016 2017 2018 2019 2020 2021 Price / Sales BP PLC is trading at a Price to Sales ratio of 0.53 based on Current: 0.53 Median: 0.49 High: 0.72 Low: 0.23 CAGR: -3.4% sales generated during the 0.74 0.74 latest fiscal year. This ratio is above the historically observed 0.56 0.56 median ratio of 0.49, while Median (0.49) high and low observations have been 0.72 and 0.23. 0.39 0.39 0.21 0.21 2016 2017 2018 2019 2020 2021 BP PLC is trading at a Price to Price / Book Value Book ratio of 1.14 based on Current: 1.14 Median: 1.24 High: 1.64 Low: 0.68 CAGR: -1.4% book value at the latest fiscal 1.7 1.7 year end.
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