v3.25.1
CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Cash flows from operating activities: Ìý Ìý
Net (loss) income $ (464) $ 52,035
Adjustments to reconcile net (loss) income to net cash provided by operating activities: Ìý Ìý
Depletion, depreciation and amortization 65,622 80,023
Net loss (gain) on derivative instruments 146,548 (45,136)
Net cash (payments) receipts on settled derivative instruments (9,890) 65,322
Deferred income tax (benefit) expense (7) 14,853
Stock-based compensation expense 3,040 2,403
Other, net 1,791 1,568
Changes in operating assets and liabilities, net (29,360) 16,954
Net cash provided by operating activities 177,280 188,022
Cash flows from investing activities: Ìý Ìý
Additions to oil and natural gas properties (108,231) (118,146)
Other, net (546) (806)
Net cash used in investing activities (108,777) (118,952)
Cash flows from financing activities: Ìý Ìý
Debt issuance costs and loan commitment fees 0 (107)
Dividends on preferred stock (862) (1,105)
Shares exchanged for tax withholdings (2,962) (1,085)
Other (1) 0
Net cash used in financing activities (64,634) (62,790)
Net change in cash and cash equivalents 3,869 6,280
Cash and cash equivalents at beginning of period 1,473 1,929
Cash and cash equivalents at end of period 5,342 8,209
Nonrelated Party Ìý Ìý
Cash flows from financing activities: Ìý Ìý
Repurchase of common stock under Repurchase Program (57,809) (14,491)
Related Party Ìý Ìý
Cash flows from financing activities: Ìý Ìý
Repurchase of common stock under Repurchase Program 0 (15,002)
Credit Facility due 2028 Ìý Ìý
Cash flows from financing activities: Ìý Ìý
Principal payments on Credit Facility (128,000) (303,000)
Borrowings on Credit Facility $ 125,000 $ 272,000

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