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EXPAND ENERGY Corp (EXEEW)

EXPAND ENERGY Corp (EXEEW)

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Cash Flow Overview

Change in Cash
$301M
Free Cash flow
$1,839M
Unit: Million (M) dollars
Positive Cash Flow Breakdown
    • Depreciation, depletion and amor...
    • Net income (loss)
    • Proceeds from prior credit facil...
    • Others
Negative Cash Flow Breakdown
    • Capital expenditures
    • Payments on prior credit facilit...
    • Cash paid for common stock divid...
    • Others

Cash Flow
2025-12-31
2024-12-31
2023-12-31
2022-12-31
Net income (loss)
1,819 -714 2,419 4,936
Depreciation, depletion and amortization
2,980 1,729 1,527 1,753
Deferred income tax expense (benefit)
448 -123 428 -1,332
Derivative (gains) losses, net
550 -38 1,728 -2,680
Cash receipts (payments) on derivative settlements, net
NaN NaN 354 -3,561
Cash receipts on derivative settlements, net
189 947 NaN NaN
Share-based compensation
46 38 33 22
(gains) losses on sales of assets
-65 14 946 300
Impairments
NaN NaN 0 0
Non-cash reorganization items, net
NaN NaN 0 0
Exploration
NaN NaN 12 14
Contract amortization
203 57 NaN NaN
(gains) losses on purchases, exchanges or extinguishments of debt
4 -1 0 -5
Other
-70 -35 -6 -31
Changes in assets and liabilities
285 315 -275 123
Net cash provided by operating activities
4,575 1,565 2,380 4,125
Capital expenditures
2,736 1,557 1,829 1,823
Property acquisitions
195 NaN NaN NaN
Receipts of deferred consideration
116 166 NaN NaN
Business combination, net
0 459 0 1,967
Contributions to investments
14 75 231 18
Proceeds from divestitures of property and equipment
70 21 2,533 407
Net cash provided by (used in) investing activities
-2,759 -1,904 473 -3,401
Proceeds from new credit facility
NaN NaN 1,125 1,600
Proceeds from credit facility
NaN 20 NaN NaN
Payments on new credit facility
NaN NaN 2,175 550
Payments on credit facility
NaN 20 NaN NaN
Proceeds from exit credit facility
NaN 0 0 9,583
Payments on exit credit facility
NaN 0 0 9,804
Proceeds from pre-petition revolving credit facility borrowings
NaN NaN NaN 0
Proceeds from prior credit facility-Prior Credit Facility
825 NaN NaN NaN
Payments on pre-petition revolving credit facility borrowings
NaN NaN NaN 0
Payments on prior credit facility-Prior Credit Facility
825 NaN NaN NaN
Proceeds from dip facility borrowings
NaN NaN NaN 0
Proceeds from prior credit facility-A2025Credit Facility
165 NaN NaN NaN
Payments on dip facility borrowings
NaN NaN 0 0
Payments on prior credit facility-A2025Credit Facility
165 NaN NaN NaN
Proceeds from issuance of senior notes, net
0 747 0 0
Proceeds from issuance of common stock
NaN NaN 0 0
Proceeds from warrant exercise
24 3 0 27
Debt issuance and other financing costs
11 11 0 17
Cash paid to repurchase and retire common stock
100 0 355 1,073
Cash paid to purchase debt
663 767 NaN 0
Cash paid for common stock dividends
765 388 487 1,212
Cash paid for preferred stock dividends
NaN NaN NaN 0
Other
0 -3 0 0
Net cash used in financing activities
-1,515 -419 -1,892 -1,446
Net increase (decrease) in cash, cash equivalents and restricted cash
301 -758 961 -722
Cash and cash equivalents at beginning of period
395 1,153 192 914
Cash and cash equivalents at end of period
696 395 1,153 192
Unit: Million (M) dollars (except for numbers of shares and EPS).

Time Plot

Show the time plot by selecting a row from the table.

Cash Flow

Depreciation, depletion andamortization$2,980M (72.35%↑ Y/Y)Net income (loss)$1,819M (354.76%↑ Y/Y)Deferred income taxexpense (benefit)$448M (464.23%↑ Y/Y)Cash receipts onderivative settlements,...$189M (-80.04%↓ Y/Y)Other-$70M (-100.00%↓ Y/Y)(gains) losses on salesof assets-$65M (-564.29%↓ Y/Y)Share-based compensation$46M (21.05%↑ Y/Y)Net cash provided byoperating activities$4,575M (192.33%↑ Y/Y)Canceled cashflow$1,042M Net increase(decrease) in cash, cash...$301M (139.71%↑ Y/Y)Canceled cashflow$4,274M Derivative (gains) losses,net$550M (1547.37%↑ Y/Y)Changes in assets andliabilities$285M (-9.52%↓ Y/Y)Contract amortization$203M (256.14%↑ Y/Y)(gains) losses onpurchases, exchanges or...$4M (500.00%↑ Y/Y)Receipts of deferredconsideration$116M (-30.12%↓ Y/Y)Proceeds fromdivestitures of property and...$70M (233.33%↑ Y/Y)Proceeds from priorcredit facility-Prior...$825M Proceeds from priorcredit...$165M Proceeds from warrantexercise$24M (700.00%↑ Y/Y)Net cash provided by(used in) investing...-$2,759M (-44.91%↓ Y/Y)Net cash used infinancing activities-$1,515M (-261.58%↓ Y/Y)Canceled cashflow$186M Canceled cashflow$1,014M Capital expenditures$2,736M (75.72%↑ Y/Y)Property acquisitions$195M Payments on prior creditfacility-Prior Credit Facility$825M Cash paid for commonstock dividends$765M (97.16%↑ Y/Y)Contributions to investments$14M (-81.33%↓ Y/Y)Cash paid to purchasedebt$663M (-13.56%↓ Y/Y)Payments on prior creditfacility-A2025Credit Facility$165M Cash paid torepurchase and retire...$100M Debt issuance andother financing costs$11M (0.00%↑ Y/Y)