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For the year ending 2025-12-31, EXEEW had $301M increase in cash & cash equivalents over the period. $1,839M in free cash flow.

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
--354 -3,561
Cash receipts on derivative settlements, net
189 947 --
Share-based compensation
46 38 33 22
(gains) losses on sales of assets
-65 14 946 300
Impairments
--0 0
Non-cash reorganization items, net
--0 0
Exploration
--12 14
Contract amortization
203 57 --
(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 ---
Receipts of deferred consideration
116 166 --
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
--1,125 1,600
Proceeds from credit facility
-20 --
Payments on new credit facility
--2,175 550
Payments on credit facility
-20 --
Proceeds from exit credit facility
-0 0 9,583
Payments on exit credit facility
-0 0 9,804
Proceeds from pre-petition revolving credit facility borrowings
---0
Proceeds from prior credit facility-Prior Credit Facility
825 ---
Payments on pre-petition revolving credit facility borrowings
---0
Payments on prior credit facility-Prior Credit Facility
825 ---
Proceeds from dip facility borrowings
---0
Proceeds from prior credit facility-A2025Credit Facility
165 ---
Payments on dip facility borrowings
--0 0
Payments on prior credit facility-A2025Credit Facility
165 ---
Proceeds from issuance of senior notes, net
0 747 0 0
Proceeds from issuance of common stock
--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 -0
Cash paid for common stock dividends
765 388 487 1,212
Cash paid for preferred stock dividends
---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)

EXPAND ENERGY Corp (EXEEW)

EXPAND ENERGY Corp (EXEEW)