bf/NYSE:PXD_icon.jpeg

    NYSE:PXD

    Pioneer Natural Resources

    • 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

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    Dec '14
    Dec '15
    Dec '16
    Dec '17
    Dec '18
    Dec '19
    Dec '20
    Dec '21
    Dec '22
    Dec '23
    net income
    1.18B
    -
    -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
    1.05B
    -
    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
    552M
    -
    -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
    84M
    -
    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
    -41M
    -
    -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
    -29M
    -
    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
    -37M
    -
    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
    104M
    -
    -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
    -79M
    -
    -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
    -457M
    -
    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
    2.37B
    -
    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
    -3.24B
    -
    -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
    -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
    544M
    -
    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
    -2.70B
    -
    -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
    -523M
    -
    -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
    980M
    -
    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
    -34M
    -
    -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
    -12M
    -
    -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
    554M
    -
    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
    965M
    -
    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
    632M
    -
    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
    393M
    -
    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
    1.02B
    -
    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
    2.37B
    -
    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
    -3.24B
    -
    -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
    -877M
    -
    -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)