GeoPark
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GeoPark (GPRK) investor relations material

GeoPark M&A announcement summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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M&A announcement summary8 Sep, 2026

Deal rationale and strategic fit

  • Strategic entry into Venezuela's Orinoco Heavy Oil Belt via acquisition of a large-scale brownfield asset, diversifying the asset base across three world-class basins and aligning with long-term regional growth strategy.

  • Early-mover advantage with a 25-year production participation contract (CPP), securing operating control and significant long-term production and reserve growth potential.

  • Asset offers exceptional redevelopment potential, leveraging existing infrastructure and decades-long production upside, fitting the company's expertise in brownfield operations.

  • The transaction positions the company as the only independent oil and gas operator with access to Venezuela, Colombia, and Argentina, elevating it to a leading independent E&P platform in Latin America.

  • Expected to contribute to Venezuela’s energy sector reactivation and broader economic rebuilding.

Financial terms and conditions

  • All-stock acquisition with no upfront cash payment, preserving financial flexibility; transaction valued at ~$570 million, acquired at a 5% discount to fair value.

  • 42.1 million shares issued at $12.22 per share, a 26% premium to the 30-day VWAP; Grupo Gilinski becomes controlling shareholder post-transaction.

  • Tender offer mechanism at $12.22/share for up to $100 million, providing liquidity for existing shareholders.

  • Acquisition structured through a 25-year CPP with PDVSA, with the company holding a 65% net working interest and funding 100% of capex.

  • Additional adjustment mechanism for up to 5.4 million more shares if project terms improve.

Synergies and expected cost savings

  • Complementary asset base enables capital allocation flexibility and operational synergies across Colombia, Argentina, and Venezuela.

  • Diversification and increased scale lower operational breakeven from $51/bbl in 2025 to $28/bbl in 2030, enhancing resilience to commodity price fluctuations.

  • Capital-light investment profile in Venezuela relative to expected EBITDA generation, with phased capital deployment and attractive capex/EBITDA ratios.

  • Leverages technical expertise in heavy oil and mature basins, using existing wells and infrastructure to accelerate production and recovery rates.

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Q3 20265 Nov, 2026
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