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Matador Resources Company (MTDR)

Matador Resources Company (MTDR)
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[[ session ]] by (Cboe BZX)
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Cash Flow for [[ item.sessionDateDisplayLong ]]

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2025 09-2025 06-2025 03-2025 12-2024
Cash Flows From Operating Activities
Net Income 860,769 645,230 444,606 262,247 971,343
Depreciation Amortization 1,210,122 900,876 591,829 285,554 990,833
Income taxes - deferred 165,587 191,776 93,313 59,940 265,305
Accounts receivable 114,285 9,024 -7,324 11,272 -138,137
Other Working Capital 176,189 177,127 53,845 119,385 13,080
Other Operating Activity -101,937 26,533 52,637 -10,519 144,461
Operating Cash Flow $2,425,015 $1,950,566 $1,228,906 $727,879 $2,246,885
Cash Flows From Investing Activities
PPE Investments -1,821,819 -1,311,067 -884,819 -430,000 -1,500,033
Net Acquisitions -339,126 -261,831 -125,118 -81,662 -2,285,657
Sale Of Investment 3,263 3,263 3,263 N/A 113,576
Investing Cash Flow $-2,157,682 $-1,569,635 $-1,006,674 $-511,662 $-3,672,114
Cash Flows From Financing Activities
Debt Issued 2,783,000 1,995,000 1,358,000 545,000 6,541,000
Debt Repayment -2,712,500 -2,105,500 -1,400,500 -695,500 -5,429,848
Common Stock Issued N/A 0 0 N/A 344,663
Common Stock Repurchased -55,849 -50,706 -44,249 N/A N/A
Dividend Paid -163,096 -116,812 -78,150 -39,180 -104,876
Other Financing Activity -134,153 -101,268 -65,289 -43,763 62,734
Financing Cash Flow $-282,598 $-379,286 $-230,188 $-233,443 $1,413,673
Beginning Cash Position 94,742 94,742 94,742 94,742 106,298
End Cash Position 79,477 96,387 86,786 77,516 94,742
Net Cash Flow $-15,265 $1,645 $-7,956 $-17,226 $-11,556
Free Cash Flow
Operating Cash Flow 2,425,015 1,950,566 1,228,906 727,879 2,246,885
Capital Expenditure -1,844,245 -1,333,493 -907,076 -452,238 -1,512,403
Free Cash Flow 580,770 617,073 321,830 275,641 734,482
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