👉 BP Math, or the BP Financial Model, is a comprehensive framework developed by BP to manage and analyze financial risks, particularly in oil and gas exploration and production. It integrates various financial models, risk assessment tools, and scenario analysis techniques to provide a holistic view of potential financial outcomes under different market conditions. BP Math emphasizes the importance of stress testing and sensitivity analysis, enabling companies to evaluate the impact of extreme market events on their financial health. By combining quantitative models with qualitative insights, BP Math helps organizations make informed decisions, optimize resource allocation, and enhance risk management strategies in the volatile energy sector.