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Bp Capital Markets PLC

Plans of Reorganization, Merger, Acquisition or Similar Filter

EX-2
from 8-A12B 39 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Thirty-Third Supplemental Indenture Dated as of November 18, 2024 Supplement to Indenture Dated as of 8 March 2002 Perpetual Subordinated Fixed Rate Reset Notes
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EX-2
from 8-A12B 51 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Thirty-First Supplemental Indenture Dated as of June 22, 2020 Supplement to Indenture Dated as of 8 March 2002 Perpetual Subordinated Non-Call 5.25 Fixed Rate Reset Notes Perpetual Subordinated Non-Call 10 Fixed Rate Reset Notes
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EX-2
from 8-A12B 20 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Thirtieth Supplemental Indenture Dated as of May 24, 2019 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2020 Thirtieth Supplemental Indenture
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EX-2
from 8-A12B 29 pages Bp Capital Markets America Inc., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee First Supplemental Indenture Dated as of September 21, 2018 Supplement to Indenture Dated as of 4 June 2003 3.796% Guaranteed Notes Due 2025 3.937% Guaranteed Notes Due 2028 First Supplemental Indenture
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EX-2
from 8-A12B 63 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Eighth Supplemental Indenture Dated as of February 14, 2017 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2018 2.315% Guaranteed Notes Due 2020 3.224% Guaranteed Notes Due 2024 3.588% Guaranteed Notes Due 2027 Twenty-Eighth Supplemental Indenture
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EX-2
from 8-A12B 33 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Seventh Supplemental Indenture Dated as of November 28, 2016 Supplement to Indenture Dated as of 8 March 2002 3.216% Guaranteed Notes Due 2023 3.723% Guaranteed Notes Due 2028 Twenty-Seventh Supplemental Indenture
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EX-2
from 8-A12B 46 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Sixth Supplemental Indenture Dated as of September 16, 2016 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2021 2.112% Guaranteed Notes Due 2021 3.017% Guaranteed Notes Due 2027 Twenty-Sixth Supplemental Indenture
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EX-2
from 8-A12B 33 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Fifth Supplemental Indenture Dated as of May 4, 2016 Supplement to Indenture Dated as of 8 March 2002 1.676% Guaranteed Notes Due 2019 3.119% Guaranteed Notes Due 2026 Twenty-Fifth Supplemental Indenture
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EX-2
from 8-A12B 31 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Fourth Supplemental Indenture Dated as of March 17, 2015 Supplement to Indenture Dated as of 8 March 2002 3.062% Guaranteed Notes Due 2022 3.506% Guaranteed Notes Due 2025 Twenty-Fourth Supplemental Indenture
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EX-2
from 8-A12B 56 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Third Supplemental Indenture Dated as of February 13, 2015 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2017 Floating Rate Guaranteed Notes Due 2018 1.674% Guaranteed Notes Due 2018 2.315% Guaranteed Notes Due 2020 Twenty-Third Supplemental Indenture
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EX-2
from 8-A12B 33 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-Second Supplemental Indenture Dated as of November 4, 2014 Supplement to Indenture Dated as of 8 March 2002 2.521% Guaranteed Notes Due 2020 3.535% Guaranteed Notes Due 2024 Twenty-Second Supplemental Indenture
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EX-2
from 8-A12B 49 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twenty-First Supplemental Indenture Dated as of February 10, 2014 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2019 2.237% Guaranteed Notes Due 2019 3.814% Guaranteed Notes Due 2024 Twenty-First Supplemental Indenture
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EX-2
from 8-A12B 51 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twentieth Supplemental Indenture Dated as of November 7, 2013 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due May 2015 Floating Rate Guaranteed Notes Due November 2015 Floating Rate Guaranteed Notes Due 2016 Twentieth Supplemental Indenture
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EX-2
from 8-A12B 49 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Nineteenth Supplemental Indenture Dated as of September 26, 2013 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2018 2.241% Guaranteed Notes Due 2018 3.994% Guaranteed Notes Due 2023 Nineteenth Supplemental Indenture
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EX-2
from 8-A12B 49 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Eighteenth Supplemental Indenture Dated as of May 10, 2013 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2018 1.375% Guaranteed Notes Due 2018 2.750% Guaranteed Notes Due 2023 Eighteenth Supplemental Indenture
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EX-2
from 8-A12B 47 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Seventeenth Supplemental Indenture Dated as of November 6, 2012 Supplement to Indenture Dated as of 8 March 2002 0.700% Guaranteed Notes Due 2015 1.375% Guaranteed Notes Due 2017 2.500% Guaranteed Notes Due 2022 Seventeenth Supplemental Indenture
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EX-2
from 8-A12B 33 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Sixteenth Supplemental Indenture Dated as of May 7, 2012 Supplement to Indenture Dated as of 8 March 2002 1.846% Guaranteed Notes Due 2017 3.245% Guaranteed Notes Due 2022 Sixteenth Supplemental Indenture
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EX-2
from 8-A12B 48 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Fifteenth Supplemental Indenture Dated as of December 6, 2011 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due June 2013 Floating Rate Guaranteed Notes Due December 2013 1.70% Guaranteed Notes Due 2014 Fifteenth Supplemental Indenture
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EX-2
from 8-A12B 47 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Thirteenth Supplemental Indenture Dated as of March 11, 2011 Supplement to Indenture Dated as of 8 March 2002 Floating Rate Guaranteed Notes Due 2014 3.20% Guaranteed Notes Due 2016 4.742% Guaranteed Notes Due 2021 Thirteenth Supplemental Indenture
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EX-2
from 8-A12B 32 pages Bp Capital Markets P.L.C., Company and Bp P.L.C., Guarantor to the Bank of New York Mellon Trust Company, N.A., Trustee Twelfth Supplemental Indenture Dated as of October 1, 2010 Supplement to Indenture Dated as of 8 March 2002 3.125% Guaranteed Notes Due 2015 4.50% Guaranteed Notes Due 2020 Twelfth Supplemental Indenture
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