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Kolibri Global Energy Inc. KEI.TO
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Company Overview

Kolibri Global Energy Inc. is a Canadian-based oil and gas exploration, development, and production company focused primarily on unconventional energy assets in the United States. The company operates in the upstream energy industry, with its core activities centered on the acquisition, drilling, completion, and production of crude oil and natural gas reserves. Its principal revenue drivers are hydrocarbon production and reserve development from shale-focused assets, particularly in Oklahoma. Kolibri is publicly traded on the Toronto Stock Exchange under the ticker KEI and has emphasized disciplined capital allocation and production growth through horizontal drilling programs.

The company’s primary operating asset is its interest in the Tishomingo field located in the SCOOP play in Oklahoma, which is managed through subsidiary BNK Petroleum (US) Inc. Kolibri evolved from earlier exploration-focused operations associated with BNK Petroleum Inc., gradually shifting toward a more concentrated development strategy targeting high-return North American unconventional reservoirs. Its strategic positioning has historically emphasized operational efficiency, reserve growth, and maintaining exposure to oil-weighted production in established U.S. shale basins.

Business Operations

Kolibri conducts most of its business through BNK Petroleum (US) Inc., which serves as the company’s principal operating subsidiary. The company generates revenue primarily from the sale of crude oil, natural gas, and natural gas liquids produced from wells in Oklahoma. Its operations include land leasing, drilling, hydraulic fracturing, production optimization, and reserve management. The company’s core producing assets are concentrated in the SCOOP region of the Anadarko Basin, where it controls operated and non-operated working interests in horizontal wells targeting the Caney and Woodford formations.

Although headquartered in Canada, Kolibri’s producing operations are concentrated in the United States, making the U.S. market its primary operational and revenue base. The company relies on a combination of internally managed technical expertise and industry service providers for drilling and completion activities. Public filings and investor disclosures indicate that Kolibri has focused on maintaining operational control over key development activities while pursuing measured production growth and reserve expansion. Data inconclusive based on available public sources regarding any material joint ventures or large-scale strategic partnerships outside standard industry operating arrangements.

Strategic Position & Investments

Kolibri’s strategic direction has centered on expanding production and reserves within its existing Oklahoma acreage position rather than pursuing broad geographic diversification. The company has invested heavily in horizontal drilling and multi-well development programs intended to improve economies of scale and increase per-well productivity. Management has consistently emphasized capital discipline, debt management, and optimizing returns on invested capital through phased development of its core acreage.

The company’s most significant asset investment remains its ownership and development activities through BNK Petroleum (US) Inc. in the Tishomingo field. Kolibri has also focused on reserve growth through continued drilling inventory development and infrastructure optimization. Public disclosures indicate that the company monitors commodity price conditions closely when determining drilling cadence and capital expenditures. While Kolibri participates in the broader unconventional shale sector, there is no verified evidence from public filings that it has material exposure to emerging energy technologies outside conventional upstream oil and gas development.

Geographic Footprint

Kolibri Global Energy Inc. is headquartered in Canada, while its principal operational footprint is located in the United States, specifically in Oklahoma within the SCOOP region of the Anadarko Basin. The company’s producing assets and operational activities are concentrated in North America, with revenue generation tied predominantly to U.S.-based hydrocarbon production and sales.

Its market exposure is therefore heavily linked to North American energy demand, U.S. oil and gas pricing benchmarks, and regional infrastructure networks. Although Kolibri is listed on a Canadian exchange and maintains a Canadian corporate presence, its operational influence is primarily tied to U.S. upstream energy markets. Data inconclusive based on available public sources regarding any material operational footprint outside North America.

Leadership & Governance

Kolibri Global Energy’s leadership team has emphasized disciplined operational execution, reserve growth, and shareholder-focused capital allocation. The company’s governance structure reflects its status as a publicly traded Canadian energy company with U.S.-focused operations. Strategic messaging from management has generally highlighted sustainable production growth, operational efficiency, and prudent balance-sheet management amid commodity price volatility.

Key executives and directors identified through public company disclosures include:

  • Wolf E. Regener – President and Chief Executive Officer
  • Gary C. Johnson – Chief Financial Officer
  • Erik T. McLean – Vice President and Corporate Secretary
  • Denis P. O’Neil – Director
  • William B. Cromb – Director

Public filings indicate that management and the board maintain a strong focus on operational execution within the company’s Oklahoma assets while evaluating future drilling opportunities and reserve development strategies.

Data complied by narrative technology. May contain errors

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