石油市场波动期间,Berry Corp. 增加对冲账簿

加利福尼亚州和尤因塔生产商 Berry Corp. 宣布将在市场波动期间采取措施加强其对冲账簿和流动性。


贝瑞公司 4 月 23 日表示,在“当前大宗商品价格环境下”,该公司已采取措施加强资产负债表。

这家位于加利福尼亚州和犹他州的石油生产商向投资者介绍了其在商品价格波动期间的对冲策略和流动性状况。

贝里将 2,300 桶/天的 2026 年和 2027 年石油看跌期权和领子期权转换为固定价格掉期,将底价平均提高了 6 美元/桶。

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Berry Corp. Ups Hedge Book During Oil Market Volatility

California and Uinta producer Berry Corp. announced steps to strengthen its hedge book and liquidity during a period of market volatility.


Berry Corp. took steps to fortify its balance sheet amid “the current commodity price environment,” the company said April 23.

The California and Utah oil producer updated investors on its hedging strategy and liquidity position during a period of commodity price volatility.

Berry converted 2,300 bbl/d of 2026 and 2027 oil puts and collars into fixed-price swaps, raising the floor price by an average $6/bbl.

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