Browsing Tag
BP p.l.c.
24 posts
BP stock faces Gulf of America capital test as Kaskida and Tiber stake sale process begins
Read how BP’s Kaskida and Tiber stake sale process could reshape BP stock sentiment, Gulf of America oil growth and deepwater capital strategy.
June 13, 2026
Woodside Energy just blocked INPEX from Browse, but will WDS investors applaud?
Read how Woodside Energy’s Browse stake move could reshape WDS stock, Australia LNG strategy, INPEX competition and North West Shelf gas plans.
June 12, 2026
Could BP’s failed Ithaca talks still signal a bigger North Sea exit strategy?
BP’s failed £2B Ithaca talks may still signal a North Sea exit path. See what it means for UK energy M&A and investors.
June 3, 2026
bp plc signals $4–5bn in transition-related impairments in Q4 2025, cuts net debt on $3.5bn divestment proceeds
bp’s Q4 2025 trading update reveals $4–5B in impairments, flat production, and a debt cut to $22B. Find out what this signals for its transition strategy.
January 18, 2026
Unprecedented consolidation: The largest oil and gas deals of 2025 that are redefining the industry
Find out how the biggest oil and gas deals of 2025 are reshaping the global energy landscape and what they signal for investors, producers, and policymakers.
December 29, 2025
BP exits US wind in $20bn divestment push—LS Power takes control of 10 major wind farms
Find out how LS Power’s acquisition of BP Wind Energy transforms the US renewables landscape and positions Clearlight Energy as a key player in 2025.
December 9, 2025
BP (LSE: BP.) shares rise as upstream growth offsets weak oil trading in Q3 2025 earnings
BP reports $2.2 billion in Q3 2025 underlying profit with strong upstream execution and record refining availability. Explore what it means for investors now.
November 4, 2025
BP advances Bumerangue appraisal offshore Brazil, reinforcing deepwater shift in upstream strategy
BP moves forward with appraisal of the Bumerangue discovery offshore Brazil. Find out what this means for its upstream strategy and Brazil’s energy future.
October 30, 2025
BP expects up to $1.5bn in impairments—what does this mean for asset rebalancing in 2025?
BP flags up to $1.5B in 2Q25 impairments. Are these write-downs a precursor to major asset sales and energy transition shifts? Find out what’s at stake.
July 16, 2025
Refining margins surge, but can BP’s downstream strength offset upstream price lag in 2Q25?
BP forecasts stronger 2Q25 refining margins. Can downstream gains make up for upstream price realization losses? See what this means for 2025 strategy.
July 15, 2025