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⚠️ Not investment advice. Past performance does not guarantee future results.
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Aker BP AKRBP.OL

Norway Energy
7.3/10
AI Analyst score
352.20 NOK
Last price at analysis date · analyst target 327.84 (-6.9%)
🛒 Where to buy AKRBP.OLPartner brokers · Norway · sample 200.00 € orderNorway
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🟡 HOLD — Hold; the oil price rally and gas discoveries support growth, but valuation offers no margin of safety.

Aker BP is a Norwegian oil and gas company focused on exploration and production on the Norwegian continental shelf, with a focus on the North Sea. Aker BP shows solid financial health (score 7.97) and exceptional revenue growth (42%), but valuation is stretched (P/E 16.57) and free cash flow is negative.

Financial health
8.0
Quality / Moat
6.8
Valuation
5.2
Growth
9.6
Dividend
5.7
Momentum
8.4
Risk & Context
9.4

Detailed metrics

Market and fundamental data as of the analysis date.

💵 Valuation
P/E16.57
Fwd P/E12.57
EV/EBITDA2.97
P/B2.08
P/S1.96
PEGN/D
Market cap222.14 B NOK
Enterprise value30.29 B USD
🏰 Quality and moat
ROIC (approx.)43.0%
Gross margin90.67%
FCF conversion-3%
Operating margin75.80%
📈 Profitability and margins
ROE12.07%
ROA10.77%
Net margin11.94%
FCF-353.4 M USD
FCF yield-1.51%
🏦 Solvency and liquidity
Total debt9.73 B USD
Net debt6.94 B USD
Cash2.79 B USD
EBITDA10.18 B USD
Net debt / EBITDA0.68
D/E83.37
Current ratio1.20
Quick ratio0.98
🚀 Growth
Revenue growth42.00%
Earnings growthN/D
EPS (TTM)21.26 NOK
EPS (Fwd)28.15 NOK
💰 Dividend and risk
Dividend yield7.30%
Payout114.8%
Beta-0.07
Analyst consensusHold (17)
Target price327.84 NOK
52-week range240.60 NOK – 374.90 NOK
⚠️ Main risk: The main risk is dependence on oil and gas prices, which are volatile and subject to global supply and demand.
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Full AI report

Generated automatically from the metrics, the macro context and the company's news.

Aker BP is a Norwegian oil and gas company focused on exploration and production on the Norwegian continental shelf, with a focus on the North Sea. Aker BP shows solid financial health (score 7.97) and exceptional revenue growth (42%), but valuation is stretched (P/E 16.57) and free cash flow is negative.

Score by category

CategoryScore
Financial health8.0
Quality / Moat6.8
Valuation5.2
Growth9.6
Dividend5.7
Momentum8.4
Risk & Context9.4

OVERALL SCORE: 7.3/10

Context and risks

The oil rally to USD 95-100 directly benefits Aker BP as an oil and gas producer. However, this factor is already reflected in the stock price and quantitative scores, so no additional adjustment is applied.

News considered in the analysis

  • Aker BP and partners upgrade Verdandi and Lillefix resource size — La actualización de recursos en Verdandi y Lillefix es positiva, pero el impacto en la valoración es moderado y ya ha sido parcialmente descontado por el mercado.
  • Aker BP discovers gas at Alpehumle prospect in North Sea — El descubrimiento de gas en el prospecto Alpehumle añade valor a largo plazo, pero es un evento de magnitud moderada para una empresa del tamaño de Aker BP.
  • Aker BP Makes New North Sea Gas Discovery Near Duva Field — El nuevo descubrimiento de gas cerca del campo Duva es una noticia positiva que refuerza el perfil de crecimiento de la compañía, aunque su impacto inmediato es limitado.
  • What Does Aker BP (OB:AKRBP) Resource Upgrade Mean For Verdandi And Lillefix? — Artículo de análisis sin información nueva relevante.
  • Aker BP Makes North Sea Gas Discovery Near Duva Field — Titular duplicado sin información adicional.

Verdict: Hold; the oil price rally and gas discoveries support growth, but valuation offers no margin of safety.

Main risk: The main risk is dependence on oil and gas prices, which are volatile and subject to global supply and demand.

Other Energy companies

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Automatically generated analysis from fundamental, market and news data. Not personalised financial advice — a research tool, not an individual recommendation. Past performance does not guarantee future results. Last update of this analysis: 2026-09-28. Legal notice, privacy & cookies.