bf/NYSE:PXD_icon.jpeg

NYSE:PXD

Pioneer Natural Resources Company

  • Stock

USD

Last Close

267.66

02/05 20:00

Market Cap

63.00B

Beta: 1.45

Volume Today

4.43M

Avg: 2.88M

PE Ratio

10.37

PFCF: 12.80

Dividend Yield

6.14%

Payout:76.13%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-186.67M
-
1.18B
732.67%
-277M
123.45%
-556M
100.72%
833M
249.82%
975M
17.05%
756M
22.46%
-200M
126.46%
2.12B
1,159%
7.84B
270.40%
4.89B
37.62%
depreciation and amortization
907.08M
-
1.05B
15.43%
1.39B
32.28%
1.48B
6.86%
1.40B
5.41%
1.53B
9.57%
2.22B
44.98%
2.05B
7.87%
3.12B
52.03%
2.53B
18.78%
2.86B
13.12%
deferred income tax
-222.37M
-
552M
348.23%
-178M
132.25%
-379M
112.92%
-519M
36.94%
274M
152.79%
236M
13.87%
-52M
122.03%
583M
1,221.15%
1.81B
209.95%
506M
72.00%
stock based compensation
71.00M
-
84M
18.31%
90M
7.14%
89M
1.11%
79M
11.24%
85M
7.59%
100M
17.65%
72M
28.00%
106M
47.22%
78M
26.42%
193M
147.44%
change in working capital
19.70M
-
-41M
308.13%
-225M
448.78%
-163M
27.56%
-76M
53.37%
142M
286.84%
-378M
366.20%
-104M
72.49%
-37M
64.42%
-853M
2,205.41%
-169M
80.19%
accounts receivables
-122.91M
-
-29M
76.41%
54M
286.21%
-134M
348.15%
-122M
8.96%
-52M
57.38%
-227M
336.54%
309M
236.12%
-607M
296.44%
-171M
71.83%
259M
251.46%
inventory
-39.06M
-
-37M
5.28%
8M
121.62%
-32M
500%
-35M
9.38%
-70M
100%
-20M
71.43%
-20M
0%
-125M
525%
-59M
52.80%
-57M
3.39%
accounts payables
208.69M
-
104M
50.17%
-258M
348.08%
58M
122.48%
134M
131.03%
321M
139.55%
-7M
102.18%
-179M
2,457.14%
1.06B
691.62%
-274M
125.87%
-250M
8.76%
other working capital
-27.02M
-
-79M
192.41%
-29M
63.29%
-55M
89.66%
-53M
3.64%
-57M
7.55%
-124M
117.54%
-214M
72.58%
-364M
70.09%
-349M
4.12%
-121M
65.33%
other non cash items
1.56B
-
-457M
129.36%
453M
199.12%
1.03B
126.71%
373M
63.68%
232M
37.80%
177M
23.71%
318M
79.66%
174M
45.28%
-59M
133.91%
162M
374.58%
net cash provided by operating activities
2.15B
-
2.37B
10.29%
1.25B
47.25%
1.50B
20.03%
2.09B
39.52%
3.24B
55.12%
3.12B
3.92%
2.08B
33.13%
6.06B
190.88%
11.35B
87.29%
8.45B
25.56%
investments in property plant and equipment
-2.64B
-
-3.24B
22.90%
-2.11B
34.94%
-1.86B
11.99%
-2.37B
27.36%
-3.52B
48.84%
-2.99B
15.11%
-1.60B
46.39%
-3.17B
97.82%
-3.92B
23.70%
-4.57B
16.61%
acquisitions net
25.05M
-
-428M
-
149M
-
60M
59.73%
-826M
1,476.67%
367M
144.43%
35M
90.46%
purchases of investments
-2.74B
-
-899M
67.20%
-669M
25.58%
-149M
77.73%
-1M
99.33%
-1.02B
-
sales maturities of investments
902M
-
1.47B
62.42%
1.37B
6.28%
624M
54.55%
-60M
109.62%
1.10B
-
other investing activites
473.94M
-
544M
14.78%
270M
50.37%
304M
12.59%
16M
94.74%
206M
1,187.50%
-83M
140.29%
-65M
21.69%
3.13B
4,909.23%
-113M
103.61%
-177M
56.64%
net cash used for investing activites
-2.14B
-
-2.70B
26.13%
-1.84B
31.83%
-3.82B
107.61%
-1.78B
53.32%
-2.61B
46.38%
-2.45B
6.25%
-1.67B
31.83%
-869M
47.90%
-3.59B
312.66%
-4.71B
31.43%
debt repayment
-1.55B
-
-523M
66.19%
-455M
-
-485M
6.59%
-450M
7.22%
-6M
98.67%
-907M
15,016.67%
-4.66B
413.56%
-2.58B
44.70%
-3.29B
27.72%
common stock issued
1.28B
-
980M
23.49%
2.53B
-
8M
-
6M
25%
2.13B
35,433.33%
3.91B
83.40%
7M
99.82%
2.66B
37,857.14%
common stock repurchased
-20.10M
-
-34M
69.14%
-31M
8.82%
-25M
19.35%
-36M
44%
-179M
397.22%
-653M
264.80%
-176M
73.05%
-269M
52.84%
-1.69B
527.14%
-701M
58.45%
dividends paid
-11.14M
-
-12M
7.74%
-12M
0%
-13M
8.33%
-14M
7.69%
-55M
292.86%
-127M
130.91%
-346M
172.44%
-1.59B
360.69%
-6.27B
293.29%
-3.30B
47.38%
other financing activites
454.87M
-
554M
21.79%
1.00B
80.69%
8M
99.20%
6M
25%
-27M
550%
-8M
70.37%
-322M
3,925%
-196M
39.13%
-89M
54.59%
106M
219.10%
net cash used provided by financing activities
157.78M
-
965M
511.63%
958M
0.73%
2.05B
113.88%
-529M
125.82%
-703M
32.89%
-788M
12.09%
381M
148.35%
-2.81B
836.75%
-10.61B
278.13%
-4.53B
57.35%
effect of forex changes on cash
net change in cash
163.25M
-
632M
287.14%
366M
42.09%
-273M
174.59%
-222M
18.68%
-71M
68.02%
-120M
69.01%
796M
763.33%
2.38B
199.37%
-2.85B
219.68%
-792M
72.23%
cash at beginning of period
229.40M
-
393M
71.32%
1.02B
160.81%
1.39B
35.71%
1.12B
19.63%
896M
19.86%
825M
7.92%
705M
14.55%
1.50B
112.91%
3.88B
158.76%
1.03B
73.43%
cash at end of period
392.65M
-
1.02B
161.05%
1.39B
35.71%
1.12B
19.63%
896M
19.86%
825M
7.92%
705M
14.55%
1.50B
112.91%
3.88B
158.76%
1.03B
73.43%
240M
76.74%
operating cash flow
2.15B
-
2.37B
10.29%
1.25B
47.25%
1.50B
20.03%
2.09B
39.52%
3.24B
55.12%
3.12B
3.92%
2.08B
33.13%
6.06B
190.88%
11.35B
87.29%
8.45B
25.56%
capital expenditure
-2.64B
-
-3.24B
22.90%
-2.11B
34.94%
-1.86B
11.99%
-2.37B
27.36%
-3.52B
48.84%
-2.99B
15.11%
-1.60B
46.39%
-3.17B
97.82%
-3.92B
23.70%
-4.57B
16.61%
free cash flow
-493.52M
-
-877M
77.70%
-862M
1.71%
-359M
58.35%
-275M
23.40%
-278M
1.09%
127M
145.68%
481M
278.74%
2.89B
500.83%
7.43B
157.02%
3.88B
47.81%

All numbers in USD (except ratios and percentages)