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BPAQF Quote, Financials, Valuation and Earnings

Last price:
$4.45
Seasonality move :
-1.02%
Day range:
$4.72 - $5.02
52-week range:
$4.40 - $6.85
Dividend yield:
6.63%
P/E ratio:
344.53x
P/S ratio:
0.41x
P/B ratio:
1.15x
Volume:
115.6K
Avg. volume:
109.5K
1-year change:
-26.71%
Market cap:
$74.4B
Revenue:
$189.2B
EPS (TTM):
$0.01

Price Performance History

Performance vs. Valuation Benchmarks

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Competitors

Company Revenue Forecast Earnings Forecast Revenue Growth Forecast Earnings Growth Forecast Analyst Price Target Median
BPAQF
BP PLC
$40.1B -- -16.14% -- --
KNOP
KNOT Offshore Partners LP
$79.7M $0.18 4.52% -17.61% $13.23
NVGS
Navigator Holdings
$128.3M $0.33 -4.39% 5.26% $22.17
SHEL
Shell PLC
$79.2B $1.66 0.15% 58.07% $75.35
TRMD
TORM PLC
$244.3M $0.68 -45% -69.91% $25.50
Company Price Analyst Target Market Cap P/E Ratio Dividend per Share Dividend Yield Price / LTM Sales
BPAQF
BP PLC
$4.72 -- $74.4B 344.53x $0.08 6.63% 0.41x
KNOP
KNOT Offshore Partners LP
$6.50 $13.23 $227.1M 17.54x $0.03 1.6% 0.72x
NVGS
Navigator Holdings
$10.92 $22.17 $756.3M 9.10x $0.05 1.83% 1.38x
SHEL
Shell PLC
$64.13 $75.35 $191.5B 12.77x $0.72 4.34% 0.73x
TRMD
TORM PLC
$13.97 $25.50 $1.4B 2.19x $0.60 46.24% 0.86x
Company Total Debt / Total Capital Beta Debt to Equity Quick Ratio
BPAQF
BP PLC
50.13% -0.297 -- 0.77x
KNOP
KNOT Offshore Partners LP
100% 0.191 475.15% 0.27x
NVGS
Navigator Holdings
41.45% 1.452 77.16% 0.57x
SHEL
Shell PLC
21.34% -0.697 25.14% 0.82x
TRMD
TORM PLC
37.16% 0.525 64.76% 1.69x
Company Gross Profit Operating Income Return on Invested Capital Return on Common Equity EBIT Margin Free Cash Flow
BPAQF
BP PLC
$5.8B $1.5B 0.28% 0.46% 1.72% $3.5B
KNOP
KNOT Offshore Partners LP
$36.2M $34.7M 1.52% 2.33% 40.76% $41.2M
NVGS
Navigator Holdings
$46.2M $35.2M 4.16% 6.9% 21.48% $24.7M
SHEL
Shell PLC
$6.8B $2.4B 6.35% 8.62% 8.28% $6.7B
TRMD
TORM PLC
$162.8M $76.9M 19.17% 30.92% 29.34% -$25.7M

BP PLC vs. Competitors

  • Which has Higher Returns BPAQF or KNOP?

    KNOT Offshore Partners LP has a net margin of -4.28% compared to BP PLC's net margin of 25.48%. BP PLC's return on equity of 0.46% beat KNOT Offshore Partners LP's return on equity of 2.33%.

    Company Gross Margin Earnings Per Share Invested Capital
    BPAQF
    BP PLC
    12.65% -$0.12 $137.9B
    KNOP
    KNOT Offshore Partners LP
    39.66% $0.68 $904.7M
  • What do Analysts Say About BPAQF or KNOP?

    BP PLC has a consensus price target of --, signalling downside risk potential of --. On the other hand KNOT Offshore Partners LP has an analysts' consensus of $13.23 which suggests that it could grow by 103.59%. Given that KNOT Offshore Partners LP has higher upside potential than BP PLC, analysts believe KNOT Offshore Partners LP is more attractive than BP PLC.

    Company Buy Ratings Hold Ratings Sell Ratings
    BPAQF
    BP PLC
    0 0 0
    KNOP
    KNOT Offshore Partners LP
    3 0 0
  • Is BPAQF or KNOP More Risky?

    BP PLC has a beta of 0.423, which suggesting that the stock is 57.707% less volatile than S&P 500. In comparison KNOT Offshore Partners LP has a beta of 0.267, suggesting its less volatile than the S&P 500 by 73.34%.

  • Which is a Better Dividend Stock BPAQF or KNOP?

    BP PLC has a quarterly dividend of $0.08 per share corresponding to a yield of 6.63%. KNOT Offshore Partners LP offers a yield of 1.6% to investors and pays a quarterly dividend of $0.03 per share. BP PLC pays 1313.12% of its earnings as a dividend. KNOT Offshore Partners LP pays out 73.99% of its earnings as a dividend. KNOT Offshore Partners LP's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future, but BP PLC's is not.

  • Which has Better Financial Ratios BPAQF or KNOP?

    BP PLC quarterly revenues are $45.8B, which are larger than KNOT Offshore Partners LP quarterly revenues of $91.3M. BP PLC's net income of -$2B is lower than KNOT Offshore Partners LP's net income of $23.3M. Notably, BP PLC's price-to-earnings ratio is 344.53x while KNOT Offshore Partners LP's PE ratio is 17.54x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BP PLC is 0.41x versus 0.72x for KNOT Offshore Partners LP. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BPAQF
    BP PLC
    0.41x 344.53x $45.8B -$2B
    KNOP
    KNOT Offshore Partners LP
    0.72x 17.54x $91.3M $23.3M
  • Which has Higher Returns BPAQF or NVGS?

    Navigator Holdings has a net margin of -4.28% compared to BP PLC's net margin of 14.99%. BP PLC's return on equity of 0.46% beat Navigator Holdings's return on equity of 6.9%.

    Company Gross Margin Earnings Per Share Invested Capital
    BPAQF
    BP PLC
    12.65% -$0.12 $137.9B
    NVGS
    Navigator Holdings
    32.11% $0.31 $2.1B
  • What do Analysts Say About BPAQF or NVGS?

    BP PLC has a consensus price target of --, signalling downside risk potential of --. On the other hand Navigator Holdings has an analysts' consensus of $22.17 which suggests that it could grow by 102.99%. Given that Navigator Holdings has higher upside potential than BP PLC, analysts believe Navigator Holdings is more attractive than BP PLC.

    Company Buy Ratings Hold Ratings Sell Ratings
    BPAQF
    BP PLC
    0 0 0
    NVGS
    Navigator Holdings
    6 0 0
  • Is BPAQF or NVGS More Risky?

    BP PLC has a beta of 0.423, which suggesting that the stock is 57.707% less volatile than S&P 500. In comparison Navigator Holdings has a beta of 1.074, suggesting its more volatile than the S&P 500 by 7.362%.

  • Which is a Better Dividend Stock BPAQF or NVGS?

    BP PLC has a quarterly dividend of $0.08 per share corresponding to a yield of 6.63%. Navigator Holdings offers a yield of 1.83% to investors and pays a quarterly dividend of $0.05 per share. BP PLC pays 1313.12% of its earnings as a dividend. Navigator Holdings pays out 16.66% of its earnings as a dividend. Navigator Holdings's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future, but BP PLC's is not.

  • Which has Better Financial Ratios BPAQF or NVGS?

    BP PLC quarterly revenues are $45.8B, which are larger than Navigator Holdings quarterly revenues of $144M. BP PLC's net income of -$2B is lower than Navigator Holdings's net income of $21.6M. Notably, BP PLC's price-to-earnings ratio is 344.53x while Navigator Holdings's PE ratio is 9.10x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BP PLC is 0.41x versus 1.38x for Navigator Holdings. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BPAQF
    BP PLC
    0.41x 344.53x $45.8B -$2B
    NVGS
    Navigator Holdings
    1.38x 9.10x $144M $21.6M
  • Which has Higher Returns BPAQF or SHEL?

    Shell PLC has a net margin of -4.28% compared to BP PLC's net margin of 1.4%. BP PLC's return on equity of 0.46% beat Shell PLC's return on equity of 8.62%.

    Company Gross Margin Earnings Per Share Invested Capital
    BPAQF
    BP PLC
    12.65% -$0.12 $137.9B
    SHEL
    Shell PLC
    10.31% $0.30 $228.5B
  • What do Analysts Say About BPAQF or SHEL?

    BP PLC has a consensus price target of --, signalling downside risk potential of --. On the other hand Shell PLC has an analysts' consensus of $75.35 which suggests that it could grow by 17.89%. Given that Shell PLC has higher upside potential than BP PLC, analysts believe Shell PLC is more attractive than BP PLC.

    Company Buy Ratings Hold Ratings Sell Ratings
    BPAQF
    BP PLC
    0 0 0
    SHEL
    Shell PLC
    8 2 0
  • Is BPAQF or SHEL More Risky?

    BP PLC has a beta of 0.423, which suggesting that the stock is 57.707% less volatile than S&P 500. In comparison Shell PLC has a beta of 0.273, suggesting its less volatile than the S&P 500 by 72.737%.

  • Which is a Better Dividend Stock BPAQF or SHEL?

    BP PLC has a quarterly dividend of $0.08 per share corresponding to a yield of 6.63%. Shell PLC offers a yield of 4.34% to investors and pays a quarterly dividend of $0.72 per share. BP PLC pays 1313.12% of its earnings as a dividend. Shell PLC pays out 53.86% of its earnings as a dividend. Shell PLC's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future, but BP PLC's is not.

  • Which has Better Financial Ratios BPAQF or SHEL?

    BP PLC quarterly revenues are $45.8B, which are smaller than Shell PLC quarterly revenues of $66.3B. BP PLC's net income of -$2B is lower than Shell PLC's net income of $928M. Notably, BP PLC's price-to-earnings ratio is 344.53x while Shell PLC's PE ratio is 12.77x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BP PLC is 0.41x versus 0.73x for Shell PLC. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BPAQF
    BP PLC
    0.41x 344.53x $45.8B -$2B
    SHEL
    Shell PLC
    0.73x 12.77x $66.3B $928M
  • Which has Higher Returns BPAQF or TRMD?

    TORM PLC has a net margin of -4.28% compared to BP PLC's net margin of 25.44%. BP PLC's return on equity of 0.46% beat TORM PLC's return on equity of 30.92%.

    Company Gross Margin Earnings Per Share Invested Capital
    BPAQF
    BP PLC
    12.65% -$0.12 $137.9B
    TRMD
    TORM PLC
    53.31% $0.75 $3.3B
  • What do Analysts Say About BPAQF or TRMD?

    BP PLC has a consensus price target of --, signalling downside risk potential of --. On the other hand TORM PLC has an analysts' consensus of $25.50 which suggests that it could grow by 82.53%. Given that TORM PLC has higher upside potential than BP PLC, analysts believe TORM PLC is more attractive than BP PLC.

    Company Buy Ratings Hold Ratings Sell Ratings
    BPAQF
    BP PLC
    0 0 0
    TRMD
    TORM PLC
    2 0 0
  • Is BPAQF or TRMD More Risky?

    BP PLC has a beta of 0.423, which suggesting that the stock is 57.707% less volatile than S&P 500. In comparison TORM PLC has a beta of 0.182, suggesting its less volatile than the S&P 500 by 81.775%.

  • Which is a Better Dividend Stock BPAQF or TRMD?

    BP PLC has a quarterly dividend of $0.08 per share corresponding to a yield of 6.63%. TORM PLC offers a yield of 46.24% to investors and pays a quarterly dividend of $0.60 per share. BP PLC pays 1313.12% of its earnings as a dividend. TORM PLC pays out 90.34% of its earnings as a dividend. TORM PLC's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future, but BP PLC's is not.

  • Which has Better Financial Ratios BPAQF or TRMD?

    BP PLC quarterly revenues are $45.8B, which are larger than TORM PLC quarterly revenues of $305.4M. BP PLC's net income of -$2B is lower than TORM PLC's net income of $77.7M. Notably, BP PLC's price-to-earnings ratio is 344.53x while TORM PLC's PE ratio is 2.19x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for BP PLC is 0.41x versus 0.86x for TORM PLC. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    BPAQF
    BP PLC
    0.41x 344.53x $45.8B -$2B
    TRMD
    TORM PLC
    0.86x 2.19x $305.4M $77.7M

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