Company Description
Bp Plc (OTC Link: BPAQF) is a publicly traded company.
BPAQF stock has gained 39.0% over the past year. Shares last traded at $7.80.
On a trailing twelve-month basis, Bp Plc reported revenue of $192.5B with net income of $1.3B. The company operates at a net profit margin of 0.7%.
This page provides a comprehensive overview of BPAQF stock, including real-time price data, latest news, SEC filings, insider trading activity, financial highlights, upcoming events, and short interest trends.
Stock Performance
Bp Plc (BPAQF) stock last traded at $7.80. Over the past 12 months, the stock has gained 39.0%.
Latest News
SEC Filings
Bp Plc has filed 5 recent SEC filings, including 5 Form 6-K. The most recent filing was submitted on April 1, 2026. SEC filings provide transparency into a company's financial condition, material events, and regulatory compliance. View all BPAQF SEC filings →
Financial Highlights
Bp Plc generated $192.5B in revenue over the trailing twelve months, and net income was $1.3B, reflecting a 0.7% net profit margin. The company generated $24.5B in operating cash flow. With a current ratio of 1.26, the company maintains adequate short-term liquidity.
Upcoming Events
Short Interest History
Short interest in Bp Plc (BPAQF) currently stands at 3.3 million shares, down 31.9% from the previous reporting period, representing 0.0% of the float. Over the past 12 months, short interest has decreased by 44.1%. This relatively low short interest suggests limited bearish sentiment. With 103.9 days to cover, it would take significant time for short sellers to close their positions based on average trading volume.
Days to Cover History
Days to cover for Bp Plc (BPAQF) currently stands at 103.9 days, down 89.5% from the previous period. This elevated days-to-cover ratio indicates it would take over two weeks of average trading volume for short sellers to exit their positions, suggesting potential for a short squeeze if positive news emerges. The days to cover has increased 82.3% over the past year, indicating improving liquidity conditions. The ratio has shown significant volatility over the period, ranging from 3.6 to 1000.0 days.