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Ecopetrol SEC Filings

EC NYSE

Welcome to our dedicated page for Ecopetrol SEC filings (Ticker: EC), a comprehensive resource for investors and traders seeking official regulatory documents including 10-K annual reports, 10-Q quarterly earnings, 8-K material events, and insider trading forms.

Digging through Ecopetrol’s multi-language 20-F can feel like navigating a refinery’s maze of pipes—reserve tables, pipeline tariffs, and government royalty terms are buried deep in 300+ pages. Stock Titan’s AI-powered platform surfaces what matters instantly. Whether you’re asking, “How do I read Ecopetrol’s quarterly earnings report 10-Q filing?� or “Where can I track Ecopetrol insider trading Form 4 transactions in real time?�, you’ll find it here—already summarized in plain English and Spanish.

Our coverage spans every disclosure type investors search for: the annual report (Form 20-F, often called Ecopetrol’s annual report 10-K simplified), interim 6-K updates that act like 8-Ks for material events, proxy statements detailing executive compensation, and Form 4 insider transactions posted within minutes of hitting EDGAR. Each filing comes with AI-generated highlights—production volumes, refining margins, reserve replacement ratios—so you can answer questions such as “What did Ecopetrol report about its Permian joint ventures?� without wading through legal jargon.

Use cases include: monitoring executive stock transactions before dividend declarations, benchmarking quarter-over-quarter lifting costs, or understanding how pipeline subsidiary Cenit influences cash flow—all under one dashboard. With real-time alerts, bilingual summaries, and historical data, Stock Titan turns complex documents into actionable insight. If you’ve ever typed “Ecopetrol SEC filings explained simply� or “Ecopetrol 8-K material events explained� into a search bar, this page delivers the concise, AI-driven analysis you need.

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Barclays Bank PLC is offering unsecured, unsubordinated Market Linked Notes tied to the performance of the EURO STOXX 50® Index (SX5E). The notes price on 30 July 2025, are issued on 4 August 2025, and mature on 3 August 2028.

Key economics: Each USD 1,000 note will repay principal at maturity and provide 100% upside participation in the Index, capped at a minimum 28.0% ($280); the exact cap is set on the pricing date. If the Index ends at or below the starting level, holders receive only the USD 1,000 principal—no upside and no periodic coupons. The issuer’s estimated value on the pricing date is expected to range between USD 900 and USD 952.50, below the offering price, reflecting structuring and selling costs, including up to 3.825% in agent discounts and concessions.

Risk highlights: Investors are exposed to Barclays� credit risk and any exercise of the U.K. Bail-in Power. The notes pay no interest, are subject to a performance cap, will not be listed on any exchange, and may have limited or no secondary liquidity. Taxable income may accrue annually before payment. The investment view assumes the Index appreciates, but performance could under-whelm a direct investment in the underlying securities.

Documentation: The term sheet should be read together with the Prospectus (15 May 2025), Prospectus Supplement (15 May 2025), Product Supplement WF-2 (20 May 2025), Underlying Supplement (15 May 2025) and the Preliminary Pricing Supplement dated 27 June 2025.

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Barclays Bank PLC is offering unsecured, unsubordinated Market Linked Notes tied to the performance of the EURO STOXX 50® Index (SX5E). The notes price on 30 July 2025, are issued on 4 August 2025, and mature on 3 August 2028.

Key economics: Each USD 1,000 note will repay principal at maturity and provide 100% upside participation in the Index, capped at a minimum 28.0% ($280); the exact cap is set on the pricing date. If the Index ends at or below the starting level, holders receive only the USD 1,000 principal—no upside and no periodic coupons. The issuer’s estimated value on the pricing date is expected to range between USD 900 and USD 952.50, below the offering price, reflecting structuring and selling costs, including up to 3.825% in agent discounts and concessions.

Risk highlights: Investors are exposed to Barclays� credit risk and any exercise of the U.K. Bail-in Power. The notes pay no interest, are subject to a performance cap, will not be listed on any exchange, and may have limited or no secondary liquidity. Taxable income may accrue annually before payment. The investment view assumes the Index appreciates, but performance could under-whelm a direct investment in the underlying securities.

Documentation: The term sheet should be read together with the Prospectus (15 May 2025), Prospectus Supplement (15 May 2025), Product Supplement WF-2 (20 May 2025), Underlying Supplement (15 May 2025) and the Preliminary Pricing Supplement dated 27 June 2025.

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This Form 6-K filing from Ecopetrol S.A., Colombia's state-owned oil company, is a standard foreign issuer report for June 2025. The document primarily serves as an administrative filing confirming the company's compliance with SEC reporting requirements.

Key details include:

  • The company files annual reports under Form 20-F
  • The filing is submitted electronically, not in paper form
  • Principal executive offices are located in Bogota, Colombia
  • Document is signed by Alfonso Camilo Barco, Chief Financial Officer

This filing appears to be a cover document and does not contain material business or financial updates. Investors should refer to the company's Form 20-F for comprehensive financial information and business performance.

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FAQ

What is the current stock price of Ecopetrol (EC)?

The current stock price of Ecopetrol (EC) is $9.27 as of July 2, 2025.

What is the market cap of Ecopetrol (EC)?

The market cap of Ecopetrol (EC) is approximately 19.2B.

What are the main business segments of Ecopetrol?

Ecopetrol operates through four main segments: Exploration and Production, Transport and Logistics, Refining and Petrochemical, and Electric Power Transmission and Toll Roads Concessions.

How does Ecopetrol generate revenue?

The company generates revenue primarily from its integrated operations in hydrocarbon exploration, production, refining processes, distribution, and infrastructure projects, particularly within its refining and petrochemical segment.

What differentiates Ecopetrol in the competitive energy market?

Ecopetrol stands out due to its vertically integrated business model, diversified asset portfolio, and significant investments in technology and process optimization, enabling better control over quality, costs, and operational efficiency.

What role does technology play in Ecopetrol's operations?

Technology is crucial to Ecopetrol's success, from advanced seismic imaging in exploration to automated process control in refining. Investments in digital infrastructure further enhance real-time management and operational resilience.

How significant is Ecopetrol in Colombia's energy sector?

Ecopetrol is the largest petroleum company in Colombia, playing a vital role in the nation’s hydrocarbon production, refining, and distribution processes, which are essential for the country's energy security and economic development.

Does Ecopetrol operate internationally?

Yes, Ecopetrol has a notable international presence, with exploration and production operations in strategic basins in the United States, Brazil, and Mexico, along with infrastructure and power transmission projects in other Latin American countries.

What are the long-term strengths of Ecopetrol?

The company benefits from a robust integrated model, diversified revenue streams, a strong asset base, and continuous investment in technology and infrastructure, all of which contribute to its operational resilience and market stability.

How does Ecopetrol manage operational risks?

Ecopetrol manages risks by maintaining its vertical integration, investing in advanced technologies, diversifying its operational portfolio across different market segments, and adhering to rigorous operational protocols to ensure safety and efficiency.
Ecopetrol

NYSE:EC

EC Rankings

EC Stock Data

19.18B
2.06B
1.01%
0.7%
Oil & Gas Integrated
Energy
Colombia
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