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Matador Resources Company (MTDR)

Matador Resources Company (MTDR)
46.43 -1.31 (-2.74%) 03/04/25 [NYSE]
43.55 x 200 59.94 x 500
Realtime by (Cboe BZX)
43.55 x 200 59.94 x 500
Realtime - - (-) -
Cash Flow for Tue, Mar 4th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 09-2024 06-2024 03-2024 12-2023
Cash Flows From Operating Activities
Net Income 971,343 733,394 460,717 213,190 910,359
Depreciation Amortization 990,833 693,352 447,831 216,955 723,735
Income taxes - deferred 265,305 203,805 97,388 49,506 172,104
Accounts receivable -138,137 -75,904 -55,086 -55,519 48,136
Other Working Capital 13,080 53,416 38,049 -12,792 50,027
Other Operating Activity 144,461 63,863 72,590 57,222 -36,533
Operating Cash Flow $2,246,885 $1,671,926 $1,061,489 $468,562 $1,867,828
Cash Flows From Investing Activities
PPE Investments -1,500,033 -1,127,677 -768,787 -341,051 -1,347,405
Net Acquisitions -2,285,657 -2,153,041 -351,360 -202,264 -1,863,787
Sale Of Investment 113,576 N/A N/A N/A N/A
Investing Cash Flow $-3,672,114 $-3,280,718 $-1,120,147 $-543,315 $-3,211,192
Cash Flows From Financing Activities
Debt Issued 6,541,000 5,382,000 2,341,000 759,000 4,254,800
Debt Repayment -5,429,848 -3,972,191 -2,570,812 -995,000 -3,211,503
Common Stock Issued 344,663 344,663 344,663 344,663 N/A
Dividend Paid -104,876 -73,598 -48,747 -23,858 -77,175
Other Financing Activity 62,734 -101,357 -49,841 -42,024 -63,790
Financing Cash Flow $1,413,673 $1,579,517 $16,263 $42,781 $902,332
Beginning Cash Position 106,298 106,298 106,298 106,298 547,330
End Cash Position 94,742 77,023 63,903 74,326 106,298
Net Cash Flow $-11,556 $-29,275 $-42,395 $-31,972 $-441,032
Free Cash Flow
Operating Cash Flow 2,246,885 1,671,926 1,061,489 468,562 1,867,828
Capital Expenditure -1,512,403 -1,128,577 -769,687 -341,951 -1,362,155
Free Cash Flow 734,482 543,349 291,802 126,611 505,673
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