Annual report [Section 13 and 15(d), not S-K Item 405]

OTHER SUPPLEMENTAL INFORMATION (Tables)

v3.25.0.1
OTHER SUPPLEMENTAL INFORMATION (Tables)
12 Months Ended
Dec. 31, 2024
Notes Tables  
Schedule of Prepaid expenses and other current assets

Prepaid expenses and other current assets consisted of the following (in thousands):

December 31, 

2024

2023

Derivatives

$

868

$

1,180

Insurance/bond premiums

 

6,988

 

6,631

Prepaid deposits related to royalties

 

8,562

 

7,872

Prepayments to vendors

 

1,586

 

1,492

Other

 

500

 

272

Prepaid expenses and other current assets

$

18,504

$

17,447

Schedule of Oil and natural gas properties and other, net

Oil and natural gas properties and other, net consisted of the following (in thousands):

December 31, 

2024

2023

Oil and natural gas properties and related equipment

$

9,090,928

$

8,919,403

Other property

 

43,589

 

43,434

Total property and equipment

 

9,134,517

 

8,962,837

Less: Accumulated depreciation, depletion, amortization and impairment

 

(8,356,776)

 

(8,213,781)

Oil and natural gas properties and other, net

$

777,741

$

749,056

Schedule of Other Assets

Other assets consisted of the following (in thousands):

December 31, 

2024

2023

Operating lease right-of-use assets

$

10,045

$

10,515

Proportional consolidation of Monza

13,038

11,694

Equity method investments

 

2,295

 

2,182

Derivatives

 

4,150

 

10,068

Other

 

1,665

 

4,464

Total other assets

$

31,193

$

38,923

Schedule of Accrued Liabilities

Accrued liabilities consisted of the following (in thousands):

December 31, 

2024

2023

Accrued interest

$

13,472

$

13,479

Accrued salaries/payroll taxes/benefits

 

11,623

 

9,473

Derivatives

 

3,731

 

6,267

Operating lease liabilities

 

1,522

 

1,455

Contingent P&A liability (1)

1,751

Other

 

1,172

 

1,304

Total accrued liabilities

$

33,271

$

31,978

(2) See Note 6 Commitments and Contingencies.
Schedule of Supplemental cash flows and noncash transactions

Supplemental cash flows and noncash transactions were as follows (in thousands):

Year Ended December 31, 

    

2024

    

2023

    

2022

Cash and cash equivalents

$

109,003

$

173,338

$

461,357

Restricted cash

1,552

4,417

4,417

Cash, cash equivalents and restricted cash

110,555

177,755

465,774

Supplemental cash flows information:

Cash paid for interest

40,566

42,132

71,126

Refunds (received) cash paid for income taxes, net

 

(2,021)

 

2,392

 

8,198

Non-cash investing and financing activities:

 

 

  

 

  

Accruals of property and equipment

 

3,363

 

7,165

 

6,636

Dividends declared but not paid on unvested share-based awards

116

ARO - acquisitions, additions and revisions, net

 

57,335

 

37,337

 

91,652