v3.26.1
STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
$ in Thousands
12 Months Ended
Dec. 31, 2025
USD ($)
BP Employee Savings Plan (Plan No. 001)  
Contributions:  
Participant contributions $ 203,063
Company contributions 116,927
Rollover contributions 34,150
Total contributions 354,140
Interest on notes receivable from participants 3,360
Net investment income – BP Master Trust for Employee Savings Plans 1,383,374
Total additions 1,740,874
DEDUCTIONS:  
Benefits paid to participants 941,744
Administrative expenses 757
Total deductions 942,501
Net increase in net assets during the year 798,373
Transfers into the Plan / Plan Merger (Note 1) 2,538
Net increase in net assets after transfers 800,911
Net assets available for benefits:  
Beginning of year 8,279,147
End of year 9,080,058
BP Partnership Savings Plan (Plan No. 051)  
Contributions:  
Participant contributions 4,228
Company contributions 1,310
Rollover contributions 549
Total contributions 6,087
Interest on notes receivable from participants 12
Net investment income – BP Master Trust for Employee Savings Plans 6,303
Total additions 12,402
DEDUCTIONS:  
Benefits paid to participants 5,466
Administrative expenses 2
Total deductions 5,468
Net increase in net assets during the year 6,934
Transfers into the Plan / Plan Merger (Note 1) 0
Net increase in net assets after transfers 6,934
Net assets available for benefits:  
Beginning of year 36,704
End of year 43,638
BP DirectSave Plan (Plan No. 052)  
Contributions:  
Participant contributions 1,818
Company contributions 1,048
Rollover contributions 74
Total contributions 2,940
Interest on notes receivable from participants 85
Net investment income – BP Master Trust for Employee Savings Plans 5,992
Total additions 9,017
DEDUCTIONS:  
Benefits paid to participants 6,763
Administrative expenses 22
Total deductions 6,785
Net increase in net assets during the year 2,232
Transfers into the Plan / Plan Merger (Note 1) 0
Net increase in net assets after transfers 2,232
Net assets available for benefits:  
Beginning of year 37,965
End of year 40,197
BPX Energy Employee Savings Plan (Plan No. 100)  
Contributions:  
Participant contributions 17,671
Company contributions 25,282
Rollover contributions 2,297
Total contributions 45,250
Interest on notes receivable from participants 280
Net investment income – BP Master Trust for Employee Savings Plans 69,147
Total additions 114,677
DEDUCTIONS:  
Benefits paid to participants 36,209
Administrative expenses 121
Total deductions 36,330
Net increase in net assets during the year 78,347
Transfers into the Plan / Plan Merger (Note 1) 0
Net increase in net assets after transfers 78,347
Net assets available for benefits:  
Beginning of year 366,524
End of year 444,871
Archaea Employee Savings Plan (Plan No. 101)  
Contributions:  
Participant contributions 5,710
Company contributions 5,042
Rollover contributions 1,594
Total contributions 12,346
Interest on notes receivable from participants 94
Net investment income – BP Master Trust for Employee Savings Plans 6,749
Total additions 19,189
DEDUCTIONS:  
Benefits paid to participants 5,363
Administrative expenses 12
Total deductions 5,375
Net increase in net assets during the year 13,814
Transfers into the Plan / Plan Merger (Note 1) 0
Net increase in net assets after transfers 13,814
Net assets available for benefits:  
Beginning of year 34,568
End of year $ 48,382