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Kolibri Global Energy
North American energy company focused on energy and oil and gas projects. | Kolibri Global Energy Inc. is an international energy company focused on finding...
Kolibri Global Energy
North American energy company focused on energy and oil and gas projects. | Kolibri Global Energy Inc. is an international energy company focused on finding and exploiting energy projects in oil, gas and clean and sustainable energy. Through various subsidiaries, the Company owns and operates energy properties in the United States. The Company continues to utilize its technical and operational expertise to identify and acquire additional projects.
General information
Firm type
Asset Manager
Year founded
2004
Location
Region
North America
Country
United States
City
Thousand Oaks
Corporate office
Thousand Oaks, CA, United States
Additional offices
Tulsa, Oklahoma, United States
Principals
Wolf Regener
President and CEO
Gary Johnson
Chief Financial Officer
Sector focus
Frequently asked questions
What is Kolibri Global Energy's primary operating asset?
Kolibri's core asset is the Tishomingo Field in the Ardmore Basin of southern Oklahoma. The firm targets the Caney Shale and underlying Sycamore and Woodford formations with horizontal drilling and multi-stage fracture stimulation programs. This concentrated, single-basin approach avoids the exploration risk typical of a diversified independent producer.
How is Kolibri Global Energy structured from a capital standpoint?
Kolibri is a publicly traded micro-cap energy producer listed on the Toronto Stock Exchange and NASDAQ under the ticker KGEI. The firm generates growth from operating cash flow rather than closed-end fund commitments. Following a prior restructuring, the company has operated with no disclosed long-term debt, preserving balance sheet flexibility for its drilling program.
Who runs investment and operational decisions at Kolibri?
Wolf Regener has served as President and CEO since 2008, overseeing both the corporate strategy and field development plan. Gary Johnson serves as Chief Financial Officer. The company maintains a small technical team managed out of its Tulsa, Oklahoma operational office, without a separate appointed Chief Investment Officer.
What is Kolibri's production mix, and how does it manage commodity exposure?
Kolibri's output is weighted toward oil, with associated volumes of natural gas and natural gas liquids. The firm's emphasis on liquids-rich production provides a higher margin relative to dry gas operators in the Mid-Continent. Specific hedging practices, if any, are not publicly detailed in the firm's routine communications.
Does Kolibri Global Energy co-invest with or manage capital for external limited partners?
Kolibri is an independent operator, not a fund manager. The firm does not raise blind-pool capital from limited partners, nor does it structure co-investment vehicles alongside external general partners. Equity investors participate solely through the public listings.
Profile maintained by Altss using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.
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