AKRBP — Aker BP ASA Energy · Oil & Gas E&P OSL
NOK 333.80
52W NOK 221 – NOK 374
USD NOK 333.80
1D 5D 1M 3M 6M YTD 1Y 5Y MAX
Income Statement Balance Sheet Cash Flow
Annual · All values in US Dollars (USD)
USD FY2025 FY2024 FY2023 FY2022 Revenue 10.70B 12.24B 13.58B 12.90B YoY Growth -12.6% -9.8% +5.3% — Gross Profit 6.95B 8.93B 10.11B 10.18B Gross Margin 65.0% 72.9% 74.5% 78.9% R&D — — — — SG&A — — — — EBIT 6.35B 8.36B 9.62B 9.76B EBIT Margin 59.3% 68.3% 70.9% 75.7% D&A 2.57B 2.40B 2.41B 1.79B EBITDA 7.21B 10.50B 11.28B 10.64B EBITDA Margin 67.4% 85.8% 83.1% 82.5% Net Income 132.30M 1.83B 1.34B 1.60B Net Margin 1.2% 14.9% 9.8% 12.4% EPS (diluted) $0.21 $2.90 $2.12 $3.23 Shares (dil., M) 631 631 631 497
Company Brief
Aker BP ASA engages in the exploration, field development, and production of oil and gas on the Norwegian Continental Shelf. It operates field centers, including Valhall, Ula, Edvard Grieg/Ivar Aasen, Alvheim, and Skarv. The company was formerly known as Det norske oljeselskap ASA and changed its name to Aker BP ASA in October 2016. Aker BP ASA was founded in 2001 and is headquartered in Lysaker, Norway.
CEO Mr. Karl Johnny Hersvik Employees 3,013 IPO Date 2009-01-09 Country Norway Website akerbp.com Margins (TTM)
Gross Margin 65.0% EBITDA Margin 67.4% EBIT Margin 59.3% Net Margin 1.2% FCF Margin -2.0%
Returns on Capital
ROIC 0.9% ROCE 15.5% ROE 1.2% ROA 0.3% Asset Turnover 0.24×
Earnings Quality
FCF / Net Income -164.2% SBC / Net Income — SBC / Revenue — Capex / D&A 2.79×
Growth (CAGR)
Metric 3yr Revenue -6.0% EPS -59.8% FCF -42.0% Dividend —
Ownership
Float 41.7% Shares Out. 631.7M Insiders % — Institutions % — Institutions (of float) — Institution holders — Insider net buy 6M —
Balance Sheet
Cash & ST Invest. $2.6B Total Debt $9.7B Net Cash / (Debt) -$7.4B Total Assets $44.8B Total Equity $11.2B Goodwill & Intang. $12.5B Tangible Book Value -$1.3B NCAV (Graham) -$28.4B Tangible Book/sh -$2.06 NCAV/sh -$45.01
Leverage
D/E Ratio 0.87× Net Debt / EBITDA 1.03× Interest Coverage 210.17× Current Ratio 1.31× Quick Ratio 1.17×
Capital Allocation (last FY)
Capex $7.2B Capex / Revenue 67.1% SBC — Dividends Paid $1.6B Buybacks —
Dividends
Annual DPS $25.18 Yield (fwd) 7.41% Payout Ratio 1196.6% Ex-div Date 2026-02-16
Valuation vs History
P/E vs 4Y 167.0× vs 116.8× median Div yield vs 10Y 741.0% vs 0.7% median
Buyback History
FY 2025 — -0.0%
FY 2024 — +0.1%
FY 2023 — -0.1%
FY 2022 — —
Margins (TTM)
Gross Margin 65.0% EBITDA Margin 67.4% EBIT Margin 59.3% Net Margin 1.2% FCF Margin -2.0%
Returns on Capital
ROIC 0.9% ROCE 15.5% ROE 1.2% ROA 0.3% Asset Turnover 0.24×
Earnings Quality
FCF / Net Income -164.2% SBC / Net Income — SBC / Revenue — Capex / D&A 2.79×
Growth (CAGR)
Metric 3yr Revenue -6.0% EPS -59.8% FCF -42.0% Dividend —
Ownership
Float 41.7% Shares Out. 631.7M Insiders % — Institutions % — Institutions (of float) — Institution holders — Insider net buy 6M —
NOK 333.80
1D 5D 1M 3M 6M YTD 1Y 5Y MAX
Income Statement Balance Sheet Cash Flow
Annual · All values in US Dollars (USD)
USD FY2025 FY2024 FY2023 FY2022 Revenue 10.70B 12.24B 13.58B 12.90B YoY Growth -12.6% -9.8% +5.3% — Gross Profit 6.95B 8.93B 10.11B 10.18B Gross Margin 65.0% 72.9% 74.5% 78.9% R&D — — — — SG&A — — — — EBIT 6.35B 8.36B 9.62B 9.76B EBIT Margin 59.3% 68.3% 70.9% 75.7% D&A 2.57B 2.40B 2.41B 1.79B EBITDA 7.21B 10.50B 11.28B 10.64B EBITDA Margin 67.4% 85.8% 83.1% 82.5% Net Income 132.30M 1.83B 1.34B 1.60B Net Margin 1.2% 14.9% 9.8% 12.4% EPS (diluted) $0.21 $2.90 $2.12 $3.23 Shares (dil., M) 631 631 631 497
Company Brief
Aker BP ASA engages in the exploration, field development, and production of oil and gas on the Norwegian Continental Shelf. It operates field centers, including Valhall, Ula, Edvard Grieg/Ivar Aasen, Alvheim, and Skarv. The company was formerly known as Det norske oljeselskap ASA and changed its name to Aker BP ASA in October 2016. Aker BP ASA was founded in 2001 and is headquartered in Lysaker, Norway.
CEO Mr. Karl Johnny Hersvik Employees 3,013 IPO Date 2009-01-09 Country Norway Website akerbp.com Balance Sheet
Cash & ST Invest. $2.6B Total Debt $9.7B Net Cash / (Debt) -$7.4B Total Assets $44.8B Total Equity $11.2B Goodwill & Intang. $12.5B Tangible Book Value -$1.3B NCAV (Graham) -$28.4B Tangible Book/sh -$2.06 NCAV/sh -$45.01
Leverage
D/E Ratio 0.87× Net Debt / EBITDA 1.03× Interest Coverage 210.17× Current Ratio 1.31× Quick Ratio 1.17×
Capital Allocation (last FY)
Capex $7.2B Capex / Revenue 67.1% SBC — Dividends Paid $1.6B Buybacks —
Dividends
Annual DPS $25.18 Yield (fwd) 7.41% Payout Ratio 1196.6% Ex-div Date 2026-02-16
Valuation vs History
P/E vs 4Y 167.0× vs 116.8× median Div yield vs 10Y 741.0% vs 0.7% median
Buyback History
FY 2025 — -0.0%
FY 2024 — +0.1%
FY 2023 — -0.1%
FY 2022 — —
Not investment advice Updated 4/17/2026