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FANG Diamondback Energy

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  • 131.980
  • -1.100-0.83%
Close May 6 16:00 ET
  • 132.000
  • +0.020+0.02%
Post 20:01 ET
38.81BMarket Cap8.21P/E (TTM)

Diamondback Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
76.54%2.36B
8.33%6.41B
44.15%2.34B
-10.97%1.21B
1.06%1.53B
-6.39%1.33B
-6.40%5.92B
12.70%1.62B
-29.45%1.36B
-11.36%1.51B
Net income from continuing operations
84.30%1.49B
10.94%3.7B
27.60%1.29B
-28.70%708M
52.56%894M
8.45%809M
-26.87%3.34B
-1.65%1.01B
-21.81%993M
-59.89%586M
Operating gains losses
-472.50%-149M
-300.95%-211M
68.59%-49M
-427.91%-141M
-144.20%-61M
-50.00%40M
143.39%105M
-47.17%-156M
147.78%43M
161.88%138M
Depreciation and amortization
133.90%1.1B
63.23%2.85B
142.74%1.17B
68.04%736M
12.29%475M
16.38%469M
29.91%1.75B
32.05%482M
30.36%438M
28.18%423M
Deferred tax
-88.46%6M
-96.03%15M
-185.49%-165M
410.00%51M
-1.28%77M
-46.39%52M
-47.50%378M
-44.06%193M
-90.20%10M
-57.61%78M
Other non cash items
50.00%24M
1,680.00%89M
-113.33%-2M
271.43%26M
188.24%49M
147.06%16M
-94.12%5M
-46.43%15M
-66.67%7M
-22.73%17M
Change In working capital
-100.00%-132M
-132.43%-96M
24.62%81M
-28.08%-187M
-70.20%76M
-154.10%-66M
248.74%296M
128.02%65M
-153.68%-146M
418.75%255M
-Change in receivables
96.39%-3M
-115.57%-33M
-165.03%-106M
169.28%106M
-65.03%50M
-240.68%-83M
164.24%212M
175.46%163M
-157.74%-153M
521.74%143M
-Change in prepaid assets
-93.26%6M
160.67%54M
74.47%-24M
-37.50%-11M
--0
--89M
-523.81%-89M
-354.05%-94M
74.19%-8M
0.00%13M
-Change in payables and accrued expense
-106.67%-155M
-169.14%-121M
2,321.43%311M
-800.00%-336M
-123.33%-21M
-247.06%-75M
38.89%175M
65.85%-14M
23.08%48M
177.59%90M
-Change in other working capital
566.67%20M
300.00%4M
-1,100.00%-100M
263.64%54M
422.22%47M
-75.00%3M
87.50%-2M
183.33%10M
-3,200.00%-33M
--9M
Cash from discontinued investing activities
Operating cash flow
76.54%2.36B
8.33%6.41B
44.15%2.34B
-10.97%1.21B
1.06%1.53B
-6.39%1.33B
-6.40%5.92B
12.70%1.62B
-29.45%1.36B
-11.36%1.51B
Investing cash flow
Cash flow from continuing investing activities
-120.11%-1.65B
-237.68%-11.22B
-26.71%-1.86B
-54,540.00%-8.17B
24.54%-449M
41.28%-751M
0.21%-3.32B
-6.24%-1.46B
102.08%15M
-15.31%-595M
Net PPE purchase and sale
-122.05%-1.69B
-150.04%-11.79B
-26.55%-1.86B
-895.19%-8.48B
19.74%-687M
50.42%-762M
-30.47%-4.71B
7.84%-1.47B
-14.36%-852M
-54.79%-856M
Net other investing changes
254.55%39M
-59.31%566M
-20.00%4M
-63.90%313M
-8.81%238M
-95.74%11M
391.52%1.39B
-97.69%5M
3,368.00%867M
605.41%261M
Cash from discontinued investing activities
Investing cash flow
-120.11%-1.65B
-237.68%-11.22B
-26.71%-1.86B
-54,540.00%-8.17B
24.54%-449M
41.28%-751M
0.21%-3.32B
-6.24%-1.46B
102.08%15M
-15.31%-595M
Financing cash flow
Cash flow from continuing financing activities
536.80%1.18B
301.61%4.39B
-71.60%-695M
174.29%419M
619.16%4.93B
-4.67%-269M
37.88%-2.18B
-704.48%-405M
54.15%-564M
26.87%-950M
Net issuance payments of debt
6,360.00%939M
1,590.45%6.37B
-88.86%46M
395.90%938M
1,368.54%5.4B
-102.12%-15M
246.69%377M
-55.21%413M
-296.25%-317M
-29.88%-426M
Net common stock issuance
1,664.29%657M
48.34%-483M
-152.83%-402M
40.91%-39M
--0
88.52%-42M
25.26%-935M
54.18%-159M
87.38%-66M
-3.61%-344M
Cash dividends paid
47.08%-290M
-9.28%-1.58B
56.55%-262M
-179.19%-416M
-134.67%-352M
-1.11%-548M
8.14%-1.44B
-51.51%-603M
71.67%-149M
72.27%-150M
Net other financing activities
-138.99%-131M
143.10%75M
-37.50%-77M
-100.00%-64M
-300.00%-120M
700.00%336M
58.87%-174M
49.09%-56M
68.32%-32M
69.39%-30M
Cash from discontinued financing activities
Financing cash flow
536.80%1.18B
301.61%4.39B
-71.60%-695M
174.29%419M
619.16%4.93B
-4.67%-269M
37.88%-2.18B
-704.48%-405M
54.15%-564M
26.87%-950M
Net cash flow
Beginning cash position
-71.97%164M
256.71%585M
-55.06%373M
32,809.52%6.91B
1,596.23%899M
256.71%585M
-75.60%164M
2,341.18%830M
-64.41%21M
-68.26%53M
Current changes in cash
497.77%1.88B
-200.00%-421M
14.69%-209M
-908.16%-6.54B
18,887.50%6.01B
382.88%314M
182.87%421M
-288.46%-245M
3,336.00%809M
70.37%-32M
End cash Position
127.03%2.04B
-71.97%164M
-71.97%164M
-55.06%373M
32,809.52%6.91B
1,596.23%899M
256.71%585M
256.71%585M
2,341.18%830M
-64.41%21M
Free cash flow
15.91%663M
-545.61%-5.37B
210.97%482M
-1,536.76%-7.27B
28.16%842M
610.71%572M
-55.53%1.21B
201.31%155M
-57.12%506M
-43.07%657M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 76.54%2.36B8.33%6.41B44.15%2.34B-10.97%1.21B1.06%1.53B-6.39%1.33B-6.40%5.92B12.70%1.62B-29.45%1.36B-11.36%1.51B
Net income from continuing operations 84.30%1.49B10.94%3.7B27.60%1.29B-28.70%708M52.56%894M8.45%809M-26.87%3.34B-1.65%1.01B-21.81%993M-59.89%586M
Operating gains losses -472.50%-149M-300.95%-211M68.59%-49M-427.91%-141M-144.20%-61M-50.00%40M143.39%105M-47.17%-156M147.78%43M161.88%138M
Depreciation and amortization 133.90%1.1B63.23%2.85B142.74%1.17B68.04%736M12.29%475M16.38%469M29.91%1.75B32.05%482M30.36%438M28.18%423M
Deferred tax -88.46%6M-96.03%15M-185.49%-165M410.00%51M-1.28%77M-46.39%52M-47.50%378M-44.06%193M-90.20%10M-57.61%78M
Other non cash items 50.00%24M1,680.00%89M-113.33%-2M271.43%26M188.24%49M147.06%16M-94.12%5M-46.43%15M-66.67%7M-22.73%17M
Change In working capital -100.00%-132M-132.43%-96M24.62%81M-28.08%-187M-70.20%76M-154.10%-66M248.74%296M128.02%65M-153.68%-146M418.75%255M
-Change in receivables 96.39%-3M-115.57%-33M-165.03%-106M169.28%106M-65.03%50M-240.68%-83M164.24%212M175.46%163M-157.74%-153M521.74%143M
-Change in prepaid assets -93.26%6M160.67%54M74.47%-24M-37.50%-11M--0--89M-523.81%-89M-354.05%-94M74.19%-8M0.00%13M
-Change in payables and accrued expense -106.67%-155M-169.14%-121M2,321.43%311M-800.00%-336M-123.33%-21M-247.06%-75M38.89%175M65.85%-14M23.08%48M177.59%90M
-Change in other working capital 566.67%20M300.00%4M-1,100.00%-100M263.64%54M422.22%47M-75.00%3M87.50%-2M183.33%10M-3,200.00%-33M--9M
Cash from discontinued investing activities
Operating cash flow 76.54%2.36B8.33%6.41B44.15%2.34B-10.97%1.21B1.06%1.53B-6.39%1.33B-6.40%5.92B12.70%1.62B-29.45%1.36B-11.36%1.51B
Investing cash flow
Cash flow from continuing investing activities -120.11%-1.65B-237.68%-11.22B-26.71%-1.86B-54,540.00%-8.17B24.54%-449M41.28%-751M0.21%-3.32B-6.24%-1.46B102.08%15M-15.31%-595M
Net PPE purchase and sale -122.05%-1.69B-150.04%-11.79B-26.55%-1.86B-895.19%-8.48B19.74%-687M50.42%-762M-30.47%-4.71B7.84%-1.47B-14.36%-852M-54.79%-856M
Net other investing changes 254.55%39M-59.31%566M-20.00%4M-63.90%313M-8.81%238M-95.74%11M391.52%1.39B-97.69%5M3,368.00%867M605.41%261M
Cash from discontinued investing activities
Investing cash flow -120.11%-1.65B-237.68%-11.22B-26.71%-1.86B-54,540.00%-8.17B24.54%-449M41.28%-751M0.21%-3.32B-6.24%-1.46B102.08%15M-15.31%-595M
Financing cash flow
Cash flow from continuing financing activities 536.80%1.18B301.61%4.39B-71.60%-695M174.29%419M619.16%4.93B-4.67%-269M37.88%-2.18B-704.48%-405M54.15%-564M26.87%-950M
Net issuance payments of debt 6,360.00%939M1,590.45%6.37B-88.86%46M395.90%938M1,368.54%5.4B-102.12%-15M246.69%377M-55.21%413M-296.25%-317M-29.88%-426M
Net common stock issuance 1,664.29%657M48.34%-483M-152.83%-402M40.91%-39M--088.52%-42M25.26%-935M54.18%-159M87.38%-66M-3.61%-344M
Cash dividends paid 47.08%-290M-9.28%-1.58B56.55%-262M-179.19%-416M-134.67%-352M-1.11%-548M8.14%-1.44B-51.51%-603M71.67%-149M72.27%-150M
Net other financing activities -138.99%-131M143.10%75M-37.50%-77M-100.00%-64M-300.00%-120M700.00%336M58.87%-174M49.09%-56M68.32%-32M69.39%-30M
Cash from discontinued financing activities
Financing cash flow 536.80%1.18B301.61%4.39B-71.60%-695M174.29%419M619.16%4.93B-4.67%-269M37.88%-2.18B-704.48%-405M54.15%-564M26.87%-950M
Net cash flow
Beginning cash position -71.97%164M256.71%585M-55.06%373M32,809.52%6.91B1,596.23%899M256.71%585M-75.60%164M2,341.18%830M-64.41%21M-68.26%53M
Current changes in cash 497.77%1.88B-200.00%-421M14.69%-209M-908.16%-6.54B18,887.50%6.01B382.88%314M182.87%421M-288.46%-245M3,336.00%809M70.37%-32M
End cash Position 127.03%2.04B-71.97%164M-71.97%164M-55.06%373M32,809.52%6.91B1,596.23%899M256.71%585M256.71%585M2,341.18%830M-64.41%21M
Free cash flow 15.91%663M-545.61%-5.37B210.97%482M-1,536.76%-7.27B28.16%842M610.71%572M-55.53%1.21B201.31%155M-57.12%506M-43.07%657M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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