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BHP Group Ltd BHP

$84.82
−$0.13 (-0.15%)
Market open · Sep 24, 2:00 pm ET
After hours $85.00 +0.06%
Open$84.83
Prev close$84.95
Day range$84.37 – $85.31
Volume2.09M
Market cap$215.62B
P/E (TTM)22.0
Dividend yield3.14%

Fundamentals

Latest reported quarter: ANNUAL, ended Jun 2026

Revenue$58.76B+14.6% YoY
Operating profit$25.50B+33.7% YoY
Net profit$13.03B+16.9% YoY
Diluted EPS$3.86+8.9% YoY

Annual revenue

$56.9BFY21$65.1BFY22$53.8BFY23$55.7BFY24$51.3BFY25$58.8BFY26

Profitability & balance sheet

Gross margin75.6%
Operating margin43.4%
Net margin16.7%
Return on equity20.6%
Return on assets8.5%
Return on invested capital14.6%
Current ratio1.88
Liabilities / assets53.6%
Cash & investments$18.60B
Total debt$25.30B
Net cash (debt)-$6.70B
Free cash flow / sales20.3%

Where the revenue comes from

Quarter 2026/FY

By business line

  • Copper$29.03B 49.4%
  • Iron ore$23.88B 40.6%
  • Coal$5.59B 9.5%
  • Group and Unallocated items/Eliminations$256.00M 0.4%

By region

  • China$34.21B 58.2%
  • Japan$5.81B 9.9%
  • India$3.66B 6.2%
  • Rest of Asia$3.63B 6.2%
  • South Korea$3.22B 5.5%
  • Australia$2.86B 4.9%
  • North America$2.71B 4.6%
  • Europe$2.18B 3.7%
  • South America$489.00M 0.8%

Income statement

Line item 2026 ANNUAL 2025 ANNUAL 2024 ANNUAL 2023 ANNUAL 2022 ANNUAL
Total Revenue as Reported $58.76B $51.26B $55.66B $53.82B $65.10B
Total Operating Revenue $58.76B $51.26B $55.66B $53.82B $65.10B
Cost of Revenue $14.35B $14.53B $15.11B $15.91B $14.91B
Gross Profit $44.41B $36.73B $40.55B $37.90B $50.18B
Operating Expense $18.91B $17.65B $17.64B $15.95B $17.30B
Selling and Admin Expenses $7.81B $7.52B $7.35B $7.24B $6.94B
-Selling & Marketing Expense $2.11B $2.03B $2.27B $2.30B $2.32B
-General & Admin Expense $5.70B $5.49B $5.08B $4.94B $4.62B
Other Operating Expenses $11.10B $10.14B $10.30B $8.70B $10.36B
Operating Profit $25.50B $19.08B $22.91B $21.96B $32.89B
Net Non-Operating Interest Income (Expense) -$1.54B -$1.23B -$1.49B -$1.63B -$1.08B
Non-Operating Interest Income $573.00M $603.00M $709.00M $529.00M $81.00M
Non-Operating Interest Expense $2.11B $1.87B $2.18B $2.15B $1.14B
Total Other Finance Costs $2.00M -$39.00M $15.00M $14.00M $16.00M
Other Income (Expense) -$1.55B $507.00M -$5.37B $1.08B $1.33B
Gain on Sale of Security -$232.00M $94.00M -$108.00M $165.00M $704.00M
Earnings from Equity Interest $574.00M $153.00M -$2.66B $594.00M -$19.00M
Special Income (Charges) -$2.34B -$225.00M -$2.98B -$67.00M $325.00M
-Less:Impairment of Capital Assets $2.41B $108.00M $3.89B $75.00M $515.00M
-Gain on Sale Of Business $65.00M -$117.00M $915.00M $8.00M $840.00M
Other Non-Operating Income (Expenses) $449.00M $485.00M $370.00M $386.00M $317.00M
Pretax Profit $22.41B $18.35B $16.05B $21.40B $33.14B
Tax $9.39B $7.21B $6.45B $7.08B $10.74B
Net Profit $13.03B $11.14B $9.60B $14.32B $33.06B
Profit from Continuing Operations $13.03B $11.14B $9.60B $14.32B $22.40B
Minority Interests $3.19B $2.12B $1.70B $1.40B $2.16B
Net Income to Parent Company $9.83B $9.02B $7.90B $12.92B $30.90B
Net Income to Common Stockholders $9.83B $9.02B $7.90B $12.92B $30.90B
Basic EPS $3.87 $3.56 $3.12 $5.10 $12.21
Diluted EPS $3.86 $3.55 $3.11 $5.09 $12.19
Dividend Per Share $2.66 $2.48 $3.04 $5.30 $7.00
Net Income from Discontinuous Operations – – – $0.00 $10.66B

Balance sheet

Line item 2026 ANNUAL 2026 Q4 2026 Q2 2025 ANNUAL 2025 Q4
Total Assets $121.39B $121.39B $116.01B $108.79B $108.79B
Total Current Assets $31.03B $31.03B $25.93B $22.83B $22.83B
Cash and Cash Equivalents & Short-Term Investments $18.60B $18.60B $13.82B $12.04B $12.04B
-Cash and Cash Equivalents $18.45B $18.45B $13.47B $11.77B $11.77B
-Short Term Investments $157.00M $157.00M $349.00M $273.00M $273.00M
Receivables $5.04B $5.04B $5.87B $4.66B $4.66B
-Accounts Receivable $5.01B $5.01B $5.45B $4.12B $4.12B
-Taxes Receivable $33.00M $33.00M $419.00M $545.00M $545.00M
Inventory $6.59B $6.59B $5.82B $5.54B $5.54B
Restricted Cash $87.00M $87.00M – $125.00M $125.00M
Other Current Assets $247.00M $247.00M $167.00M $176.00M $176.00M
Total Non-Current Assets $90.35B $90.35B $90.08B $85.96B $85.96B
Net PPE $80.05B $80.05B $79.85B $76.46B $76.46B
-Gross PPE $162.92B $162.92B – $151.59B $151.59B
-Accumulated Depreciation -$82.87B -$82.87B – -$75.13B -$75.13B
Investments and Advances $4.92B $4.92B $4.80B $4.62B $4.62B
-Available for Sale Securities $269.00M $269.00M $300.00M $255.00M $255.00M
-Long Term Equity Investment $4.41B $4.41B $4.29B $4.11B $4.11B
Financial Assets $409.00M $409.00M $610.00M $606.00M $606.00M
Non Current Accounts Receivables $116.00M $116.00M $104.00M $137.00M $137.00M
Goodwill and Other Intangible Assets $2.11B $2.11B $2.01B $1.92B $1.92B
-Goodwill $1.34B $1.34B – $1.34B $1.34B
-Other Intangible Assets $772.00M $772.00M – $583.00M $583.00M
Non-Current Deferred Assets $114.00M $114.00M $74.00M $78.00M $78.00M
Other Non-Current Assets $2.64B $2.64B $2.64B $2.14B $2.14B
Total Liabilities $65.07B $65.07B $60.55B $56.57B $56.57B
Total Current Liabilities $16.47B $16.47B $15.73B $15.64B $15.64B
Payables $8.63B $8.63B $7.62B $7.54B $7.54B
-Accounts Payable $7.58B $7.58B $6.29B $6.64B $6.64B
-Total Tax Payable $1.05B $1.05B $1.33B $900.00M $900.00M
Short-Term Debt and Capital Lease Obligation $2.68B $2.68B $3.43B $2.02B $2.02B
-Current Debt $860.00M $860.00M $3.43B $1.34B $1.34B
-Current Capital Lease Obligation $934.00M $934.00M – $641.00M $641.00M
Current Provisions $4.77B $4.77B $4.20B $5.82B $5.82B
Current Deferred Liabilities $68.00M $68.00M $15.00M $47.00M $47.00M
Other Current Liabilities $317.00M $317.00M $462.00M $214.00M $214.00M
Total Non-Current Liabilities $48.60B $48.60B $44.82B $40.93B $40.93B
Long Term Accounts Payable and Other Payables $85.00M $85.00M $40.00M $36.00M $36.00M
Long Term Debt and Capital Lease Obligation $24.44B $24.44B $24.59B $22.48B $22.48B
-Long Term Debt $21.88B $21.88B $24.59B $20.17B $20.17B
-Long Term Capital Lease Obligation $2.56B $2.56B – $2.31B $2.31B
Derivative Product Liabilities $1.31B $1.31B $1.18B $1.06B $1.06B
Non-Current Liabilities $15.34B $15.34B $14.97B $13.50B $13.50B
Non-Current Deferred Liabilities $3.14B $3.14B $3.81B $3.56B $3.56B
Other Non-Current Liabilities $4.30B $4.30B $237.00M $308.00M $308.00M
Total Equity $56.32B $56.32B $55.47B $52.22B $52.22B
Stockholders' Equity $49.42B $49.42B $50.41B $46.23B $46.23B
Capital Stock $5.18B $5.18B $5.09B $5.02B $5.02B
-Common Stock $5.18B $5.18B $5.09B $5.02B $5.02B
Retained Earnings $45.72B $45.72B $45.26B $42.67B $42.67B
Less: Treasury Stock $39.00M $39.00M $32.00M $18.00M $18.00M
Gains/Losses Not Affecting Retained Earnings -$1.69B -$1.69B $91.00M -$1.63B -$1.63B
Other Equity Interests $251.00M $251.00M – $188.00M $188.00M
Minority Interests $6.90B $6.90B $5.06B $5.99B $5.99B

Cash flow

Line item 2026 ANNUAL 2025 ANNUAL 2024 ANNUAL 2023 ANNUAL 2022 ANNUAL
Operating Cash Flow $21.78B $18.69B $20.67B $18.70B $32.17B
Net cash flow from continuing operations $21.78B $18.69B $20.67B $18.70B $29.29B
Net Income from Continuing Operations $22.41B $18.35B $16.05B $21.40B $33.14B
Gain/Loss from Continuing Operations -$656.00M -$274.00M $2.66B -$697.00M -$89.00M
Depreciation & Depletion & Amortization $6.20B $5.54B $5.30B $5.06B $5.68B
Other Non-Cash Items $2.30B $2.26B $1.61B $2.51B $1.11B
Change in Working Capital -$1.66B $475.00M -$1.32B -$132.00M -$1.09B
-Change in Receivables -$841.00M $776.00M -$290.00M $867.00M -$703.00M
-Change in Inventory -$1.47B $64.00M -$530.00M -$44.00M -$865.00M
-Change in Payables and Accrued Expense $880.00M -$116.00M -$27.00M -$1.09B $727.00M
-Change In Other Working Capital -$231.00M -$249.00M -$469.00M $131.00M -$248.00M
Net cash flow from investing -$12.01B -$13.35B -$8.76B -$13.07B -$6.96B
Net Cash Flow from Continuing Investing Activities -$12.01B -$13.35B -$8.76B -$13.07B -$4.97B
Net PPE Purchase and Sale -$9.85B -$9.40B -$8.82B -$6.73B -$5.86B
Net Business Purchase and Sale $685.00M $535.00M $1.07B -$5.79B $1.26B
Net Investment Purchase and Sale -$2.38B -$3.98B -$701.00M -$557.00M -$266.00M
Net Other Investing Changes -$467.00M -$503.00M -$317.00M $11.00M -$107.00M
Financing Cash Flow -$3.28B -$5.97B -$11.67B -$10.32B -$22.77B
Net Cash Flow from Continuing Financing Activities -$3.28B -$5.97B -$11.67B -$10.32B -$22.73B
Net Issuance Payments Of Debt $1.59B $2.45B -$2.24B $4.89B -$2.19B
Cash Dividends Paid -$6.76B -$6.40B -$7.68B -$13.27B -$17.85B
Net Other Financing Charges $1.88B -$2.02B -$1.76B -$1.85B -$2.54B
Ending Cash Balance $18.53B $11.89B $12.50B $12.42B $17.24B
Net Change in Cash $6.49B -$629.00M $234.00M -$4.68B $2.45B
Beginning Cash Balance $11.89B $12.50B $12.42B $17.24B $15.25B
Effect of Exchange Rate Changes $152.00M $24.00M -$159.00M -$134.00M -$458.00M
Free Cash Flow $11.93B $9.29B $11.85B $11.97B $26.32B
Proceeds from Stock Option Exercised – $0.00 $0.00 -$88.00M -$149.00M
Cash Flow from Discontinued Operating Activities – – – $0.00 $2.89B
Cash Flow from Discontinued Financing Activities – – – $0.00 -$33.00M
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