Bilans
dane w mln
| index | 0 | 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10 | 11 | 12 | 13 | 14 | 15 | 16 | 17 | 18 | 19 | 20 | 21 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Rok finansowy | 2004 | 2005 | 2006 | 2007 | 2008 | 2009 | 2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | 2025 |
| Aktywa (mln) | 231 042.14 | 264 814.57 | 315 252.15 | 374 889.36 | 475 966.69 | 540 734.3 | 629 094.9 | 668 924.9 | 778 135.9 | 795 656.5 | 887 602.9 | 869 569.0 | 937 885.2 | 1 090 862.6 | 1 204 205.6 | 1 369 303.8 | 1 508 635.6 | 1 609 920.3 | 1 875 286.3 | 1 881 087.7 | 2 024 177.5 | 2 183 822.2 |
| Aktywa trwałe (mln) | 121 876.9 | 129 187.61 | 171 222.81 | 219 628.4 | 260 777.85 | 372 643.3 | 380 229.9 | 363 620.0 | 333 948.8 | 364 947.8 | 419 323.1 | 506 782.1 | 607 631.8 | 711 761.8 | 798 212.8 | 881 487.9 | 1 076 118.1 | 1 090 095.4 | 1 255 292.7 | 1 320 958.4 | 1 367 236.4 | 1 455 500.0 |
| Rzeczowe aktywa trwałe netto | 115 251.56 | 125 398.99 | 139 007.74 | 147 278.53 | 167 967.92 | 204 788.8 | 245 124.4 | 274 382.2 | 287 643.1 | 314 236.8 | 361 832.5 | 442 829.2 | 538 027.2 | 452 717.2 | 498 069.9 | 563 720.5 | 698 124.4 | 713 330.4 | 865 766.0 | 901 098.5 | 933 978.4 | 998 340.8 |
| Wartość firmy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 3 854.5 | 3 854.5 | 3 854.5 | 4 334.3 | 4 576.3 | 0.0 | 144.5 | 610.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 12 039.8 | 12 039.8 | 12 039.8 | 12 039.8 |
| Wartości niematerialne i prawne | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 591.6 | 750.7 | 3 246.5 | 3 033.0 | 7 684.2 | 5 993.7 | 7 788.9 | 52 457.1 | 56 074.1 | 65 970.4 | 80 860.6 | 99 052.9 | 115 538.0 | 116 102.1 | 124 003.8 | 139 768.7 |
| Wartość firmy i wartości niematerialne i prawne | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 3 854.5 | 4 446.1 | 4 605.2 | 7 580.8 | 7 609.3 | 7 684.2 | 6 138.2 | 8 398.9 | 52 457.1 | 56 074.1 | 65 970.4 | 80 860.6 | 99 052.9 | 127 577.8 | 128 141.9 | 136 043.6 | 151 808.5 |
| Należności netto | 0.0 | 0.0 | 27 279.41 | 30 686.52 | 16 679.4 | 15 058.5 | 91 115.2 | 105 142.7 | 151 125.5 | 143 218.5 | 159 790.0 | 94 046.7 | 63 850.0 | 79 280.3 | 98 192.6 | 180 539.1 | 132 968.3 | 78 347.7 | 97 074.7 | 67 237.8 | 83 420.3 | 118 886.7 |
| Inwestycje długoterminowe | (20 144.43) | (26 574.66) | 14 563.43 | 55 072.49 | 74 856.23 | 134 217.6 | 76 427.9 | 54 060.0 | (31 058.5) | (29 662.7) | (23 720.9) | (5 581.0) | (3 116.59) | 121 934.8 | 128 395.9 | 191 414.2 | 218 199.7 | 199 734.6 | 191 736.3 | 225 011.4 | 223 399.2 | 228 674.5 |
| Aktywa obrotowe | 109 165.24 | 135 626.96 | 144 029.34 | 155 260.96 | 215 188.84 | 168 091.0 | 248 865.0 | 305 304.9 | 444 187.1 | 430 708.7 | 468 279.8 | 362 786.9 | 330 253.4 | 379 100.8 | 405 992.8 | 487 815.9 | 432 517.5 | 519 824.9 | 619 993.6 | 560 129.3 | 656 941.1 | 728 322.2 |
| Środki pieniężne i Inwestycje | 36 986.38 | 37 457.17 | 23 267.0 | 33 509.25 | 33 842.87 | 43 268.0 | 43 752.1 | 38 206.1 | 82 981.2 | 80 654.9 | 69 873.6 | 63 531.6 | 67 648.1 | 53 573.3 | 68 031.4 | 64 296.1 | 60 692.0 | 143 618.4 | 66 013.1 | 79 237.6 | 102 664.1 | 141 386.6 |
| Zapasy | 57 082.76 | 83 043.11 | 98 958.66 | 95 323.03 | 115 083.76 | 78 705.9 | 141 092.3 | 182 134.8 | 210 970.9 | 199 566.9 | 231 694.7 | 174 000.2 | 154 968.5 | 211 967.8 | 225 295.2 | 229 348.7 | 222 426.0 | 267 060.2 | 421 787.4 | 380 691.9 | 428 361.3 | 452 651.9 |
| Inwestycje krótkoterminowe | 26 757.04 | 30 355.19 | 17 643.98 | 17 268.85 | 17 953.7 | 29 782.4 | 36 467.8 | 30 235.5 | 69 717.9 | 52 180.4 | 46 789.1 | 29 104.6 | 28 064.3 | 47 193.5 | 62 095.4 | 60 153.6 | 52 695.7 | 67 942.7 | 44 422.7 | 56 110.4 | 36 750.0 | 36 630.7 |
| Środki pieniężne i inne aktywa pieniężne | 10 229.34 | 7 101.98 | 5 623.02 | 16 240.4 | 15 889.17 | 13 485.6 | 7 284.3 | 7 970.6 | 13 263.3 | 28 474.5 | 23 084.5 | 34 427.0 | 39 583.8 | 6 379.8 | 5 936.0 | 4 142.5 | 7 996.3 | 75 675.7 | 21 590.4 | 23 127.2 | 23 007.4 | 104 755.9 |
| Należności krótkoterminowe | 119.11 | 151.71 | 27 283.09 | 95 345.9 | 7.7 | 67 344.1 | 90 969.1 | 90 162.7 | 132 924.8 | 90 302.8 | 130 309.8 | 128 727.5 | 83 523.8 | 113 824.7 | 151 982.1 | 178 344.7 | 131 076.9 | 162 699.3 | 303 477.2 | 240 242.6 | 283 058.1 | 306 340.6 |
| Dług krótkoterminowy | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 221 925.2 | 204 546.8 | 111 545.5 | 61 503.9 | 16 855.3 | 118 745.1 | 82 315.9 | 105 235.2 | 216 412.6 | 111 966.9 | 201 345.4 | 197 415.0 | 186 077.9 | 245 330.3 |
| Zobowiązania krótkoterminowe | 91 624.94 | 99 321.98 | 99 459.84 | 122 314.15 | 159 525.49 | 140 959.5 | 188 568.4 | 240 513.0 | 524 881.8 | 467 184.5 | 434 983.8 | 401 883.5 | 337 077.3 | 473 562.3 | 457 018.5 | 531 097.2 | 602 215.1 | 569 303.8 | 830 684.7 | 748 417.1 | 808 833.8 | 906 720.0 |
| Rozliczenia międzyokresowe | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 14 906.3 | 98 570.1 | 78 128.6 | 95 328.1 | 86 210.7 | 232 305.4 | 197 650.6 | 210 901.9 | 220 005.4 | 232 667.8 | 262 144.6 | 240 509.5 | 0.0 | 0.0 |
| Zobowiązania długoterminowe | 61 464.6 | 72 175.61 | 110 337.4 | 131 291.62 | 178 766.17 | 257 648.1 | 289 701.4 | 264 928.8 | 84 103.6 | 149 950.8 | 246 753.3 | 229 202.3 | 304 744.7 | 289 520.9 | 361 950.5 | 429 859.0 | 520 533.9 | 505 065.8 | 525 545.4 | 597 447.0 | 458 992.6 | 463 261.4 |
| Rezerwy z tytułu odroczonego podatku | 14 441.72 | 16 697.37 | 17 655.18 | 17 625.38 | 18 107.92 | 15 256.5 | 22 780.6 | 13 074.2 | 16 778.0 | 16 058.6 | 12 511.0 | 19 972.1 | 25 240.5 | 40 548.0 | 55 224.0 | 67 920.1 | 61 639.2 | 49 344.8 | 63 757.2 | 79 205.5 | 79 756.8 | 82 926.7 |
| Zobowiązania z tytułu leasingu | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 | -13257.6 | 0.0 | -6049.8 | -5956.0 | -18328.1 | 0.0 | 59643.0 | 78556.5 | 86015.2 | 89214.2 | 91141.2 | 100396.6 |
| Zobowiązania ogółem | 153 089.54 | 171 497.59 | 209 797.24 | 253 605.77 | 338 291.66 | 398 607.6 | 478 269.8 | 505 441.8 | 608 985.4 | 617 135.3 | 681 737.1 | 631 085.8 | 641 822.0 | 763 083.2 | 818 969.0 | 960 956.2 | 1 122 749.0 | 1 074 369.6 | 1 356 230.1 | 1 345 864.1 | 1 267 826.4 | 1 369 981.4 |
| Kapitał własny | 77 952.6 | 93 316.98 | 105 454.91 | 121 283.59 | 137 675.03 | 142 126.7 | 150 825.1 | 163 483.1 | 169 150.5 | 178 521.2 | 205 865.8 | 238 483.2 | 296 063.2 | 327 779.4 | 385 236.6 | 408 347.6 | 385 886.6 | 535 550.7 | 519 056.2 | 535 223.6 | 756 351.1 | 813 840.8 |
| Udziały mniejszościowe | 12 363.36 | 16 757.41 | 6 264.22 | 7 574.1 | 8 605.82 | 9 014.5 | 9 395.7 | 9 974.8 | 10 351.4 | 2 820.9 | 2 820.8 | 2 820.8 | 3 081.2 | 2 899.2 | 19 050.9 | 20 700.4 | 20 563.3 | 0.0 | 0.0 | 0.0 | 0.0 | 0.0 |
| Pasywa | 231 042.14 | 264 814.57 | 315 252.15 | 374 889.36 | 475 966.69 | 540 734.3 | 629 094.9 | 668 924.9 | 778 135.9 | 795 656.5 | 887 602.9 | 869 569.0 | 937 885.2 | 1 090 862.6 | 1 204 205.6 | 1 369 303.8 | 1 508 635.6 | 1 609 920.3 | 1 875 286.3 | 1 881 087.7 | 2 024 177.5 | 2 183 822.2 |
| Inwestycje | 6 612.61 | 3 780.53 | 32 207.41 | 72 341.34 | 92 809.93 | 164 000.0 | 112 895.7 | 84 295.5 | 38 659.4 | 22 517.7 | 23 068.2 | 23 523.6 | 24 947.71 | 156 662.7 | 182 888.7 | 191 225.5 | 218 307.6 | 199 734.6 | 191 736.3 | 230 387.1 | 260 149.2 | 265 305.2 |
| Dług (mln) | 47 022.88 | 55 478.24 | 92 682.22 | 113 666.24 | 160 658.25 | 242 391.6 | 266 920.8 | 251 854.6 | 283 815.8 | 331 568.6 | 331 522.7 | 254 922.1 | 288 929.5 | 357 254.4 | 376 593.6 | 448 391.0 | 654 755.4 | 545 318.6 | 645 342.0 | 693 760.3 | 545 990.5 | 611 005.7 |
| Środki pieniężne i inne aktywa pieniężne | 10 229.34 | 7 101.98 | 5 623.02 | 16 240.4 | 15 889.17 | 13 485.6 | 7 284.3 | 7 970.6 | 13 263.3 | 28 474.5 | 23 084.5 | 34 427.0 | 39 583.8 | 6 379.8 | 5 936.0 | 4 142.5 | 7 996.3 | 75 675.7 | 21 590.4 | 23 127.2 | 23 007.4 | 104 755.9 |
| Dług netto | 36 793.54 | 48 376.26 | 87 059.2 | 97 425.84 | 144 769.08 | 228 906.0 | 259 636.5 | 243 884.0 | 270 552.5 | 303 094.1 | 308 438.2 | 220 495.1 | 249 345.7 | 350 874.6 | 370 657.6 | 444 248.5 | 646 759.1 | 469 642.9 | 623 751.6 | 670 633.1 | 522 983.1 | 506 249.8 |
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