Annual or Annual-Transition Report by a Foreign Non-Canadian Issuer — Form 20-F — SEA’34
Filing Table of Contents
Document/ExhibitDescriptionPagesSize
1: 20-F Annual or Annual-Transition Report by a Foreign HTML 11.44M
Non-Canadian Issuer
2: EX-2 Plan of Acquisition, Reorganization, Arrangement, HTML 622K
Liquidation or Succession
3: EX-4.4 Instrument Defining the Rights of Security Holders HTML 58K
4: EX-4.7 Instrument Defining the Rights of Security Holders HTML 58K
6: EX-13 Annual or Quarterly Report to Security Holders HTML 61K
10: EX-17 Correspondence re: Departure of a Director HTML 58K
11: EX-97 Clawback Policy re: Recovery of Erroneously HTML 66K
Awarded Compensation
5: EX-12 Statement re: the Computation of Ratios HTML 66K
7: EX-15.1 Letter re: Unaudited Interim Financial Info HTML 58K
8: EX-15.2 Letter re: Unaudited Interim Financial Info HTML 98K
9: EX-15.5 Letter re: Unaudited Interim Financial Info HTML 57K
17: R1 Cover HTML 214K
18: R2 Group income statement HTML 127K
19: R3 Group statement of comprehensive income HTML 119K
20: R4 Group statement of changes in equity HTML 124K
21: R5 Group balance sheet HTML 185K
22: R6 Group cash flow statement HTML 163K
23: R7 Significant accounting policies, judgements, HTML 257K
estimates and assumptions
24: R8 Non-current assets held for sale (Notes) HTML 78K
25: R9 Business combinations HTML 82K
26: R10 Disposals and impairment HTML 141K
27: R11 Segmental analysis HTML 243K
28: R12 Sales and other operating revenues HTML 72K
29: R13 Income statement analysis HTML 84K
30: R14 Exploration for and evaluation of oil and natural HTML 76K
gas resources
31: R15 Taxation HTML 184K
32: R16 Dividends HTML 86K
33: R17 Earnings per share HTML 115K
34: R18 Property, plant and equipment HTML 203K
35: R19 Capital commitments HTML 59K
36: R20 Goodwill and impairment review of goodwill HTML 112K
37: R21 Intangible assets HTML 131K
38: R22 Investments in joint ventures (Notes) HTML 215K
39: R23 Investments in associates HTML 142K
40: R24 Other investments HTML 122K
41: R25 Inventories HTML 71K
42: R26 Trade and other receivables HTML 78K
43: R27 Valuation and qualifying accounts (Notes) HTML 86K
44: R28 Trade and other payables HTML 83K
45: R29 Provisions HTML 105K
46: R30 Pensions and other post-retirement benefits HTML 538K
47: R31 Cash and cash equivalents HTML 66K
48: R32 Finance debt HTML 96K
49: R33 Capital disclosures and net debt HTML 107K
50: R34 Leases HTML 82K
51: R35 Financial instruments and financial risk factors HTML 221K
52: R36 Derivative financial instruments HTML 463K
53: R37 Called-up share capital HTML 529K
54: R38 Capital and reserves HTML 529K
55: R39 Contingent liabilities and legal proceedings HTML 77K
56: R40 Remuneration of senior management and HTML 80K
non-executive directors
57: R41 Employee costs and numbers HTML 538K
58: R42 Auditor?s remuneration HTML 76K
59: R43 Subsidiaries, joint arrangements and associates HTML 91K
60: R44 Events after reporting period HTML 60K
61: R45 Significant accounting policies, judgements, HTML 310K
estimates and assumptions (Policies)
62: R46 Significant accounting policies, judgements, HTML 220K
estimates and assumptions (Tables)
63: R47 Non-current assets held for sale (Tables) HTML 75K
64: R48 Business combinations (Tables) HTML 78K
65: R49 Disposals and impairment (Tables) HTML 130K
66: R50 Segmental analysis (Tables) HTML 236K
67: R51 Sales and other operating revenues (Tables) HTML 70K
68: R52 Income statement analysis (Tables) HTML 84K
69: R53 Exploration for and evaluation of oil and natural HTML 75K
gas resources (Tables)
70: R54 Taxation (Tables) HTML 187K
71: R55 Dividends (Tables) HTML 85K
72: R56 Earnings per share (Tables) HTML 112K
73: R57 Property, plant and equipment (Tables) HTML 207K
74: R58 Goodwill and impairment review of goodwill HTML 103K
(Tables)
75: R59 Intangible assets (Tables) HTML 131K
76: R60 Investments in joint ventures (Tables) HTML 210K
77: R61 Investments in associates (Tables) HTML 141K
78: R62 Other investments (Tables) HTML 69K
79: R63 Inventories (Tables) HTML 70K
80: R64 Trade and other receivables (Tables) HTML 77K
81: R65 Valuation and qualifying accounts (Tables) HTML 84K
82: R66 Trade and other payables (Tables) HTML 80K
83: R67 Provisions (Tables) HTML 102K
84: R68 Pensions and other post-retirement benefits HTML 500K
(Tables)
85: R69 Cash and cash equivalents (Tables) HTML 64K
86: R70 Finance debt (Tables) HTML 97K
87: R71 Capital disclosures and net debt (Tables) HTML 105K
88: R72 Leases (Tables) HTML 82K
89: R73 Financial instruments and financial risk factors HTML 327K
(Tables)
90: R74 Derivative financial instruments (Tables) HTML 461K
91: R75 Called-up share capital (Tables) HTML 110K
92: R76 Capital and reserves (Tables) HTML 467K
93: R77 Remuneration of senior management and HTML 76K
non-executive directors (Tables)
94: R78 Employee costs and numbers (Tables) HTML 92K
95: R79 Auditor?s remuneration (Tables) HTML 73K
96: R80 Subsidiaries, joint arrangements and associates HTML 91K
(Tables)
97: R81 Significant accounting policies, judgements, HTML 87K
estimates and assumptions - Significant accounting
policies: use of judgements, estimates and
assumptions (Details)
98: R82 Significant accounting policies, judgements, HTML 69K
estimates and assumptions - Significant judgement:
accounting for interests in other entities
(Details)
99: R83 Significant accounting policies, judgements, HTML 69K
estimates and assumptions - Intangible assets
(Details)
100: R84 Significant accounting policies, judgements, HTML 81K
estimates and assumptions - Summary of useful
lives of property, plant and equipment (Details)
101: R85 Significant accounting policies, judgements, HTML 131K
estimates and assumptions - Impairment of
property, plant and equipment, intangible assets,
and goodwill (Details)
102: R86 Significant accounting policies, judgements, HTML 62K
estimates and assumptions - Significant judgement:
supplier financing arrangements (Details)
103: R87 Significant accounting policies, judgements, HTML 104K
estimates and assumptions - Provisions and
contingencies, decommissioning, environmental
expenditures and liabilities (Details)
104: R88 Non-current assets held for sale - Narrative HTML 77K
(Details)
105: R89 Non-current assets held for sale (Details) HTML 99K
106: R90 Business combinations - Narrative (Details) HTML 80K
107: R91 Business combinations - Summary of fair values of HTML 103K
identifiable assets and liabilities acquired
(Details)
108: R92 Disposals and impairment - Schedule of amounts HTML 83K
recognized in the income statement in respect of
disposals and impairments (Details)
109: R93 Disposals and impairment - Schedule of proceeds HTML 75K
and principal gains and losses on disposals by
segment (Details)
110: R94 Disposals and impairment - Narrative (Details) HTML 192K
111: R95 Disposals and impairment - Summary of financial HTML 95K
information relating to the sale of businesses
(Details)
112: R96 Segmental analysis - Narrative (Details) HTML 58K
113: R97 Segmental analysis - Results by Segment (Details) HTML 149K
114: R98 Segmental analysis - Results by Geographical Area HTML 72K
(Details)
115: R99 Sales and other operating revenues (Details) HTML 73K
116: R100 Income statement analysis - Summary of HTML 101K
non-operating income and expense (Details)
117: R101 Exploration for and evaluation of oil and natural HTML 87K
gas resources - Summary of exploration and
evaluation information (Details)
118: R102 Taxation - Disclosure of major components of tax HTML 78K
expense (Details)
119: R103 Taxation - Narrative (Details) HTML 78K
120: R104 Taxation - Disclosure of reconciliation of items HTML 113K
affected by overall tax credit (Details)
121: R105 Taxation - Disclosure of movement in net deferred HTML 70K
tax liability (Details)
122: R106 Taxation - Disclosure of deferred tax in the HTML 119K
income statement and the balance sheet by category
of temporary difference (Details)
123: R107 Taxation - Disclosure of temporary differences, HTML 83K
unused tax credits and unused tax losses (Details)
124: R108 Taxation - Disclosure of unrecognized deferred tax HTML 66K
or write-down of deferred tax assets (Details)
125: R109 Dividends - Narrative (Details) HTML 65K
126: R110 Dividends - Schedule of dividends announced and HTML 86K
paid (Details)
127: R111 Earnings per share - Earnings per share, basic and HTML 66K
diluted (Details)
128: R112 Earnings per share - Weighted average number of HTML 76K
shares outstanding reconciliation (Details)
129: R113 Earnings per share - Narrative (Details) HTML 70K
130: R114 Earnings per share - Dilutive effect of share HTML 76K
options (Details)
131: R115 Earnings per share - Dilutive effect of share HTML 76K
units (Details)
132: R116 Property, plant and equipment - Summary of HTML 210K
property, plant and equipment (Details)
133: R117 Capital commitments (Details) HTML 65K
134: R118 Goodwill and impairment review of goodwill - HTML 78K
Disclosure of reconciliation of goodwill (Details)
135: R119 Goodwill and impairment review of goodwill - HTML 83K
Disclosure of goodwill by segment (Details)
136: R120 Goodwill and impairment review of goodwill - HTML 91K
Narrative (Details)
137: R121 Intangible assets - Schedule of intangible assets HTML 129K
(Details)
138: R122 Investments in joint ventures - Summarized HTML 72K
aggregate financial information of joint ventures
(Details)
139: R123 Investments in joint ventures - Narrative HTML 89K
(Details)
140: R124 Investments in joint ventures - Summarized HTML 165K
financial information relating to joint ventures
(Details)
141: R125 Investments in joint ventures - Summarized HTML 179K
financial information relating to the group's
share of joint ventures (Details)
142: R126 Investments in joint ventures - Transactions HTML 69K
between group and its joint ventures (Details)
143: R127 Investments in associates - Summarized aggregate HTML 154K
financial information of associates (Details)
144: R128 Investments in associates - Narrative (Details) HTML 78K
145: R129 Investments in associates - Summarized financial HTML 151K
information relating to associates (Details)
146: R130 Investments in associates - Summary of HTML 68K
transactions between the group and its associates
(Details)
147: R131 Other investments - Schedule of other investments HTML 69K
(Details)
148: R132 Inventories - Schedule of inventories (Details) HTML 77K
149: R133 Inventories - Narrative (Details) HTML 63K
150: R134 Trade and other receivables - Summary of trade and HTML 94K
other receivables (Details)
151: R135 Valuation and qualifying accounts - Schedule of HTML 79K
valuation and qualifying accounts (Details)
152: R136 Trade and other payables - Schedule of trade and HTML 101K
other payables (Details)
153: R137 Trade and other payables - Narrative (Details) HTML 70K
154: R138 Provisions - Schedule of provisions (Details) HTML 118K
155: R139 Pensions and other post-retirement benefits - HTML 89K
Narrative (Details)
156: R140 Pensions and other post-retirement benefits - HTML 87K
Details of assumptions used to estimate benefit
obligations (Details)
157: R141 Pensions and other post-retirement benefits - HTML 81K
Summary of mortality assumptions (Details)
158: R142 Pensions and other post-retirement benefits - HTML 67K
Current asset allocation (Details)
159: R143 Pensions and other post-retirement benefits - Fair HTML 132K
value of assets held by the defined benefit plans
(Details)
160: R144 Pensions and other post-retirement benefits - HTML 306K
Analysis of the amounts charged to profit (Loss),
Recognized in Other Comprehensive Income, and
Movement in Obligations (Details)
161: R145 Pensions and other post-retirement benefits - HTML 83K
Sensitivity analysis and actuarial assumptions
(Details)
162: R146 Pensions and other post-retirement benefits - HTML 69K
Effect of longevity on expenses and obligations
(Details)
163: R147 Pensions and other post-retirement benefits - HTML 85K
Expected future benefit payments (Details)
164: R148 Cash and cash equivalents - Schedule of cash and HTML 66K
cash equivalents (Details)
165: R149 Cash and cash equivalents - Narrative (Details) HTML 64K
166: R150 Finance debt - Summary of current and non-current HTML 66K
borrowings (Details)
167: R151 Finance debt - Narrative (Details) HTML 74K
168: R152 Finance debt - Summary of weighted average HTML 81K
interest rates (Details)
169: R153 Finance debt - Summary of fair value and carrying HTML 69K
value of borrowings (Details)
170: R154 Capital disclosures and net debt - Disclosure of HTML 82K
the net debt ratio (Details)
171: R155 Capital disclosures and net debt - Disclosure of HTML 106K
reconciliation of liabilities arising from
financing activities (Details)
172: R156 Capital disclosures and net debt - Narrative HTML 61K
(Details)
173: R157 Leases - Narrative (Details) HTML 61K
174: R158 Leases - Disclosure of maturity analysis of HTML 83K
operating lease payments (Details)
175: R159 Leases - Disclosure of quantitative information HTML 66K
about right-of-use assets (Details)
176: R160 Financial instruments and financial risk factors - HTML 115K
Schedule of financial assets and liabilities
(Details)
177: R161 Financial instruments and financial risk factors - HTML 192K
Narrative (Details)
178: R162 Financial instruments and financial risk factors - HTML 73K
Summary of credit risk profile of financial assets
(Details)
179: R163 Financial instruments and financial risk factors - HTML 108K
Financial instruments subject to offsetting,
enforceable master netting arrangements and
similar agreements (Details)
180: R164 Financial instruments and financial risk factors - HTML 114K
Schedule of timing of cash outflows (Details)
181: R165 Financial instruments and financial risk factors - HTML 79K
Schedule of future cash outflows for derivative
instruments (Details)
182: R166 Derivative financial instruments - Summary of fair HTML 107K
value of derivative instruments (Details)
183: R167 Derivative financial instruments - Summary of HTML 132K
maturities of derivative assets and liabilities
(Details)
184: R168 Derivative financial instruments - Analysis of HTML 147K
fair value derivative sssets and liabilities by
maturity and fair value estimation (Details)
185: R169 Derivative financial instruments - Disclosure of HTML 95K
changes in fair value of derivative instruments
(Details)
186: R170 Derivative financial instruments - Narrative HTML 81K
(Details)
187: R171 Derivative financial instruments - Fair value of HTML 73K
hedge ineffectiveness (Details)
188: R172 Derivative financial instruments - Carrying and HTML 73K
notional amounts of hedges (Details)
189: R173 Derivative financial instruments - Weighted HTML 66K
average exchange rates and sales prices, cash flow
hedges (Details)
190: R174 Derivative financial instruments - Summary of HTML 71K
changes in fair value, hedges used to calculate
ineffectiveness (Details)
191: R175 Derivative financial instruments - Summary of HTML 69K
carrying amount of fair value hedges (Details)
192: R176 Derivative financial instruments - Summary of HTML 86K
tenor of nominal amount of hedges (Details)
193: R177 Derivative financial instruments - Weighted HTML 69K
average exchange rates of hedges (Details)
194: R178 Derivative financial instruments - Accumulated HTML 73K
fair value adjustments of the hedged items
(Details)
195: R179 Derivative financial instruments - Movement in HTML 116K
reserves related to hedge accounting (Details)
196: R180 Called-up share capital - Summary of allotted, HTML 102K
called up and fully paid share capital (Details)
197: R181 Called-up share capital - Narrative (Details) HTML 81K
198: R182 Called-up share capital - Treasury shares HTML 77K
(Details)
199: R183 Capital and reserves - Summary of reserves and HTML 236K
other equity interest (Details)
200: R184 Capital and reserves - Narrative (Details) HTML 106K
201: R185 Capital and reserves - Summary of pre-tax tax HTML 136K
amounts of component of other comprehensive income
(Details)
202: R186 Contingent liabilities and legal proceedings - HTML 91K
Disclosure of legal proceedings (Details)
203: R187 Remuneration of senior management and HTML 73K
non-executive directors - Remuneration of
directors, senior managment, and non-executive
directors (Details)
204: R188 Employee costs and numbers (Details) HTML 98K
205: R189 Auditor?s remuneration - Summary of auditor's HTML 72K
remuneration (Details)
206: R190 Auditor?s remuneration - Narrative (Details) HTML 68K
207: R191 Subsidiaries, joint arrangements and associates - HTML 112K
Disclosures of interests in subsidiaries, joint
arrangements, and associates (Details)
208: R192 Events after reporting period (Details) HTML 69K
209: R9999 Uncategorized Items - bp-20231231.htm HTML 71K
211: XML IDEA XML File -- Filing Summary XML 446K
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210: EXCEL IDEA Workbook of Financial Report Info XLSX 603K
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212: JSON XBRL Instance as JSON Data -- MetaLinks 942± 1.54M
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‘EX-13’ — Annual or Quarterly Report to Security Holders
Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
(Subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code)
Pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), the undersigned officer
of BP p.l.c., a company incorporated under the laws of England and Wales (the “company”), hereby certifies, to such officer’s knowledge, that:
The Annual Report on Form 20-F for the year ended December 31, 2023 (the “Report”) of the company fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934 and information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the company.
The foregoing certification is being furnished solely pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code) and is not being filed as part of the Report or as a separate disclosure document.
A signed original of this
written statement required by Section 906 has been provided to the company and will be retained by the company and furnished to the Securities and Exchange Commission or its staff upon request.
Certification
Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002
(Subsections (a) and (b) of Section 1350, Chapter 63 of Title 18, United States Code)
Pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections
(a) and (b) of section 1350, chapter 63 of title 18, United States Code), the undersigned officer of BP p.l.c., a company incorporated under the laws of England and Wales (the “company”), hereby certifies, to such officer’s knowledge, that:
The Annual Report on Form 20-F for the year ended December 31, 2023 (the “Report”) of the company fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934 and information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the company.
The foregoing certification is being furnished solely pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code) and is not being filed as part of the Report or as a separate disclosure document.
A signed original of this written statement required
by Section 906 has been provided to the company and will be retained by the company and furnished to the Securities and Exchange Commission or its staff upon request.
Dates Referenced Herein and Documents Incorporated by Reference