R

Investor Relations

as of  
Volume% Change 52 Week High52 Week Low
R
IR Contact
William Kent
Director, Investor Relations
1050 17th Street, Suite 800
Denver, CO 80265
P: 303-405-6665
email

Cash Flow

  Year Ending Dec 2020 (Update) Year Ending Dec 2019 (Update) Year Ending Dec 2018 (Update) Year Ending Dec 2017 (Update) Year Ending Dec 2016 (Update)
Net Income/Starting Line 3.20 -97.30 -1,011.60 269.30 -1,245.00
Depreciation – Supplemental 574.00 540.00 857.10 754.50 871.10
Depreciation/Depletion 574.00 540.00 857.10 754.50 871.10
Deferred Taxes 110.60 4.30 -247.60 -314.80 -651.30
Discontinued Operations
Unusual Items 45.30 136.50 1.29M -144.40 1.53M
Equity in Net Earnings (Loss) --
Other Non-Cash Items 17.10 26.20 44.50 40.50 42.00
Non-Cash Items 62.40 162.70 1.33M -103.90 1.57M
Accounts Receivable 19.20 -4.10 33.70 -2.00 96.50
Inventories -1.10 8.70
Prepaid Expenses -2.90 -0.40 -2.00 -0.20 18.50
Payable/Accrued -42.40 -40.40 -74.20 3.50 -51.50
Taxes Payable 4.20 38.40 -71.00 13.70 68.70
Other Assets & Liabilities, Net -55.10 -36.30 -1.30 -20.60 -26.30
Changes in Working Capital -77.00 -42.80 -114.80 -6.70 114.60
Cash from Operating Activities 673.20 566.90 816.20 598.40 663.70
Purchase of Fixed Assets -357.60 -566.20 -1,299.70 -1,974.80 -1,208.10
Capital Expenditures -357.60 -566.20 -1,299.70 -1,974.80 -1,208.10
Sale of Fixed Assets 13.80 678.90 243.60 806.80 29.00
Purchase of Investments
Other Investing Cash Flow --
Other Investing Cash Flow Items, Total 13.80 678.90 243.60 806.80 29.00
Cash from Investing Activities -343.80 112.70 -1,056.10 -1,168.00 -1,179.10
Other Financing Cash Flow -- -- 0.30 -- 0.10
Financing Cash Flow Items -- -- 0.30 -- 0.10
Cash Dividends Paid - Common -4.80 -9.60 -- --
Total Cash Dividends Paid -4.80 -9.60 -- --
Sale/Issuance of Common -- -- 781.40
Repurchase/Retirement of Common -412.00 -7.60 -67.10 -6.80 -4.10
Common Stock, Net -412.00 -7.60 -67.10 -6.80 777.30
Issuance (Retirement) of Stock, Net -412.00 -7.60 -67.10 -6.80 777.30
Short Term Debt, Net -16.10 3.70 -29.50 31.70 -17.50
Long Term Debt Issued 37.00 56.10 3.61M 992.00 --
Long Term Debt Reduction -37.60 -553.90 -3,267.10 -891.10 -176.80
Long Term Debt, Net -0.60 -497.80 340.90 100.90 -176.80
Total Debt Reduction
Issuance (Retirement) of Debt, Net -16.70 -494.10 311.40 132.60 -194.30
Cash from Financing Activities -433.50 -511.30 244.60 125.80 583.10
Net Change in Cash -104.10 168.30 4.70 -443.80 67.70
Net Cash - Beginning Balance 196.40 28.10 23.40 443.80 376.10
Net Cash - Ending Balance 92.30 196.40 28.10 -- 443.80
Cash Interest Paid 118.40 126.90 136.90 134.90 139.10
Cash Taxes Paid -164.00 -66.70 0.80 -0.30 123.50

In millions of USD (except for per share items)

Copyright Refinitiv

Data Provided by Refinitiv. Minimum 15 minutes delayed.

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