NYSE:PXD
Pioneer Natural Resources Company
- Stock
Last Close
260.00
28/03 20:00
Market Cap
53.84B
Beta: 1.45
Volume Today
2.17M
Avg: 2.88M
PE Ratio
10.37
PFCF: 12.80
Dividend Yield
6.14%
Payout:76.13%
Dec '13 | Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
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% | |
depreciation and amortization | 2.53B - | ||||||||||
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% | |
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% | |
change in working capital | 19.70M - | -41M 308.13% | -225M 448.78% | -164M 27.11% | -76M 53.66% | 142M 286.84% | -378M 366.20% | -104M 72.49% | -37M 64.42% | -853M 2,205.41% | |
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% | |
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% | |
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% | |
other working capital | -24M - | -124M - | -55M - | -349M 534.55% | |||||||
other non cash items | 2.46B - | 590M 76.05% | 1.84B 211.53% | 2.51B 36.45% | 1.77B 29.31% | 1.77B 0.39% | 2.40B 35.96% | 2.37B 1.42% | 3.29B 38.95% | -59M 101.79% | |
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% | |
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% | |
acquisitions net | 25.05M - | -428M - | -826M - | ||||||||
purchases of investments | -2.74B - | -899M 67.20% | -669M 25.58% | -1M - | -1.02B - | ||||||
sales maturities of investments | 902M - | 1.47B 62.42% | 1.37B 6.28% | 624M 54.55% | 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% | 254M 91.87% | |
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% | |
debt repayment | -1.55B - | -523M 66.19% | -455M - | -485M 6.59% | -450M 7.22% | -907M - | -4.66B 413.56% | -2.58B 44.70% | |||
common stock issued | 1.28B - | 980M 23.49% | 2.53B - | ||||||||
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% | |
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% | |
other financing activites | 454.87M - | 554M 21.79% | 1.00B 80.69% | 8M 99.20% | 6M 25% | -19M 416.67% | -8M 57.89% | 1.81B 22,725% | 3.71B 105.19% | -82M 102.21% | |
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% | |
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% | |
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% | |
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% | |
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% | |
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% | |
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% |
All numbers in USD (except ratios and percentages)