Registration No. 333- _____ |
England and Wales | None | |
(State or other jurisdiction of incorporation | (I.R.S. Employer Identification No.) | |
or organization) |
Steven Bray | With a copy to: | |
Vice-President | ||
BP America Inc. | Rupert Bondy | |
501 Westlake Park Boulevard | Group General Counsel | |
BP p.l.c. | ||
Houston, Texas 77079 | 1 St. James’s Square | |
London SW1Y 4PD, England | ||
(281) 366-2651 | +44 (20) 7496 4452 | |
(Name, address, including zip code, and telephone
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number, including area code, of agent for service) |
Large Accelerated filer x
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Accelerated filer ¨
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Non-accelerated filer (do not check if smaller reporting company)
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Smaller reporting company ¨
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Title of Securities to be Registered
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Amount of
Shares to be
Registered
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Proposed
Maximum Offering
Price Per Share
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Proposed
Maximum
Aggregate Offering
Price
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Amount of
Registration Fee
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Ordinary Shares (1)
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453,814,360 | $ | 6.5345 | $ | 2,965,449,935 | $ | 339,841 | (2) | ||||||||
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·
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BP’s Annual Report on Form 20-F (SEC file number 001-06262) for the year ended December 31, 2010,
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·
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BP’s Reports on Form 6-K (SEC file number 001-06262) dated April 27, 2011 (film number 11781608) and July 26, 2011 (film number 11985884), and
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·
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BP’s Report on Form 6-K (SEC file number 001-06262) dated August 6, 2001, which contains a description of the Ordinary Shares of BP.
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(1)
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Any provision that purports to exempt a director of a company (to any extent) from any liability that would otherwise attach to him in connection with any negligence, default, breach of duty or breach of trust in relation to the company is void.
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(2)
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Any provision by which a company directly or indirectly provides an indemnity (to any extent) for a director of the company, or of an associated company, against any liability attaching to him in connection with any negligence, default, breach of duty or breach of trust in relation to the company of which he is a director is void except as permitted by –
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(a)
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section 233 (provision of insurance),
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(b)
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section 234 (qualifying third party indemnity provision), or
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(c)
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section 235 (qualifying pension scheme indemnity provision).
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(3)
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This section applies to any provision, whether contained in a company’s articles or in any contract with the company or otherwise.
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(4)
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Nothing in this section prevents a company’s articles from making such provision as has previously been lawful for dealing with conflicts of interest.
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(1)
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Section 232(2) (voidness of provisions for indemnifying directors) does not apply to qualifying third party indemnity provision.
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(2)
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Third party indemnity provision means provision for indemnity against liability incurred by the director to a person other than the company or an associated company.
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(3)
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The provision must not provide any indemnity against -
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(a)
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any liability of the director to pay -
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(i)
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a fine imposed in criminal proceedings, or
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(ii)
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a sum payable to a regulatory authority by way of a penalty in respect of non-compliance with any requirement of a regulatory nature (however arising); or
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(b)
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any liability incurred by the director -
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(i)
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in defending criminal proceedings in which he is convicted, or
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(ii)
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in defending civil proceedings brought by the company, or an associated company, in which judgment is given against him, or
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(iii)
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in connection with an application for relief (see subsection (6)) in which the court refuses to grant him relief.
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(4)
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The references in subsection (3)(b) to a conviction, judgment or refusal of relief are to the final decision in the proceedings.
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(5)
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For this purpose -
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(a)
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a conviction, judgment or refusal of relief becomes final -
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(i)
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if not appealed against, at the end of the period for bringing an appeal, or
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(ii)
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if appealed against, at the time when the appeal (or any further appeal) is disposed of, and
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(b)
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an appeal is disposed of -
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(i)
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if it is determined and the period of bringing any further appeal has ended, or
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(ii)
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if it is abandoned or otherwise ceases to have effect.
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(6)
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The reference in subsection (3)(b)(iii) to an application for relief is to an application for relief under -
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(1)
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Section 232(2) (voidness of provisions for indemnifying directors) does not apply to qualifying pension scheme indemnity provision.
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(2)
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Pension scheme indemnity provision means provision indemnifying a director of a company that is a trustee of an occupational pension scheme against liability incurred in connection with the company’s activities as trustee of the scheme.
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(3)
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The provision must not provide any indemnity against -
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(a)
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any liability of the director to pay -
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(i)
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a fine imposed in criminal proceedings, or
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(ii)
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a sum payable to a regulatory authority by way of a penalty in respect of non-compliance with any requirement of a regulatory nature (however arising); or
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(b)
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any liability incurred by the director in defending criminal proceedings in which he is convicted.
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(4)
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The reference in subsection (3)(b) to a conviction is to the final decision in the proceedings.
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(5)
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For this purpose -
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(a)
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a conviction becomes final -
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(i)
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if not appealed against, at the end of the period for bringing an appeal, or
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(ii)
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if appealed against, at the time when the appeal (or any further appeal) is disposed of, and
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(b)
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an appeal is disposed of -
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(i)
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if it is determined and the period for bringing any further appeal has ended, or
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(ii)
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if it is abandoned or otherwise ceases to have effect.
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(6)
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In this section “occupational pension scheme” means an occupational pension scheme as defined in section 150(5) of the Finance Act 2004 (c. 12) that is established under a trust.”
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(a)
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bodies corporate are associated if one is a subsidiary of the other or both are subsidiaries of the same body corporate, and
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(b)
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companies are associated if one is a subsidiary of the other or both are subsidiaries of the same body corporate.”
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(1)
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This section applies to the ratification by a company of conduct by a director amounting to negligence, default, breach of duty or breach of trust in relation to the company.
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(2)
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The decision of the company to ratify such conduct must be made by resolution of the members of the company.
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(3)
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Where the resolution is proposed as a written resolution neither the director (if a member of the company) nor any member connected with him is an eligible member.
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(4)
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Where the resolution is proposed at a meeting, it is passed only if the necessary majority is obtained disregarding votes in favour of the resolution by the director (if a member of the company) and any member connected with him.
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(5)
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For the purposes of this section –
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(a)
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“conduct” includes acts and omissions;
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(b)
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“director” includes a former director;
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(c)
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a shadow director is treated as a director; and
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(d)
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in section 252 (meaning of “connected person”), subsection (3) does not apply (exclusion of person who is himself a director).
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(6)
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Nothing in this section affects –
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(a)
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the validity of a decision taken by unanimous consent of the members of the company, or
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(b)
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any power of the directors to agree not to sue, or to settle or release a claim made by them on behalf of the company.
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(7)
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This section does not affect any other enactment or rule of law imposing additional requirements for valid ratification or any rule of law as to acts that are incapable of being ratified by the company.”
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(1)
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If in proceedings for negligence, default, breach of duty or breach of trust against –
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(a)
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an officer of a company, or
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(b)
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a person employed by a company as auditor (whether he is or is not an officer of the company)
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(2)
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If any such officer or person has reason to apprehend that any claim will or might be made against him in respect of any negligence, default, breach of duty or breach of trust –
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(a)
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he may apply to the court for relief, and
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(b)
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the court has the same power to relieve him as it would have had if it had been a court before which proceedings against him for negligence, default, breach of duty or breach of trust had been brought.
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(3)
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Where a case to which subsection (1) applies is being tried by a judge with a jury, the judge, after hearing the evidence, may, if he is satisfied that the defendant (in Scotland, the defender) ought in pursuance of that subsection to be relieved either in whole or in part from the liability sought to be enforced against him, withdraw the case from the jury and forthwith direct judgment to be entered for the defendant (in Scotland, grant decree of absolvitor) on such terms as to costs (in Scotland, expenses) or otherwise as the judge may think proper.”
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Exhibit No.
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Description
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4.1
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BP Recovery Plan 2011
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23.1
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Consent of Ernst & Young LLP, independent registered public accounting firm, London, England
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24.1
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Powers of Attorney
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BP p.l.c.
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(Registrant) | |||
By:
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/s/ David J. Jackson | ||
(Name) David J. Jackson | |||
(Title) Company Secretary |
Signature
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Titles
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Date
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/s/ Carl-Henric Svanberg
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Non-Executive Director
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October 20, 2011
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Carl-Henric Svanberg
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(Chairman)
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/s/ Robert W. Dudley |
Executive Director
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October 20, 2011
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Robert W. Dudley
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Group Chief Executive
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(Principal Executive Officer)
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/s/ Byron Grote |
Executive Director
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October 20, 2011
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Dr. B. E. Grote
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(Chief Financial Officer)
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/s/ Paul Anderson
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Non-Executive Director
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October 20, 2011
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Paul Anderson
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/s/ Frank Bowman
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Non-Executive Director
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October 20, 2011
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Frank Bowman
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/s/ A. Burgmans
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Non-Executive Director
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October 20, 2011
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A. Burgmans
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/s/ Brendan Nelson
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Non-Executive Director
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October 20, 2011
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Brendan Nelson
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/s/ C. B. Carroll
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Non-Executive Director
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October 20, 2011
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C. B. Carroll
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/s/ Iain Conn
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Executive Director
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October 20, 2011
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I. Conn
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/s/ Ian Davis
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Non-Executive Director
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October 20, 2011
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Ian Davis
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/s/ William Castell
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Non-Executive Director
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October 20, 2011
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Sir William Castell
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/s/ George David
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Non-Executive Director
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October 20, 2011
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George David
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/s/ F. P. Nhleko
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Non-Executive Director
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October 20, 2011
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F. P. Nhleko
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BP America Inc.
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By:
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/s/ Jeffrey S. Heller | Authorized Representative | October 20 , 2011 | |
Jeffrey S. Heller | in the United States | |||
Vice President
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Exhibit
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No.
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Description
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Page
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BP Recovery Plan 2011
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Consent of Ernst & Young LLP, independent registered public accounting firm, London, England
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24.1
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Powers of Attorney (included in signature page)
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