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PXD Pioneer Natural Resources

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  • 269.620
  • 0.0000.00%
Close May 2 16:00 ET
63.00BMarket Cap13.63P/E (TTM)

Pioneer Natural Resources Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-15.90%1.95B
-25.56%8.45B
-9.58%2.35B
-29.79%2.07B
-46.77%1.71B
-10.34%2.31B
87.69%11.35B
16.97%2.6B
48.89%2.95B
119.51%3.22B
Net income from continuing operations
-10.39%1.1B
-37.62%4.89B
-14.31%1.27B
-34.43%1.3B
-53.52%1.1B
-39.17%1.22B
270.40%7.85B
94.10%1.48B
89.86%1.98B
523.95%2.37B
Operating gains losses
772.73%96M
77.91%-36M
-1,720.00%-182M
188.24%150M
76.19%-15M
-86.25%11M
-126.38%-163M
-66.67%-10M
-5,766.67%-170M
-124.51%-63M
Depreciation and amortization
16.57%774M
13.12%2.86B
18.14%775M
13.75%728M
12.10%695M
8.14%664M
1.28%2.53B
-2.53%656M
-9.09%640M
-4.17%620M
Deferred tax
-35.45%71M
-72.00%506M
-70.48%165M
-41.87%118M
-77.97%113M
-79.32%110M
209.95%1.81B
163.68%559M
-27.50%203M
370.64%513M
Other non cash items
-27.59%42M
4.43%165M
-50.00%32M
0.00%34M
95.24%41M
48.72%58M
-1.86%158M
56.10%64M
13.33%34M
-47.50%21M
Change In working capital
-191.91%-159M
80.19%-169M
197.01%130M
-215.38%-240M
29.48%-232M
128.93%173M
-2,205.41%-853M
-126.85%-134M
296.23%208M
-3,555.56%-329M
-Change in receivables
-150.11%-231M
251.46%259M
214.63%258M
-183.00%-337M
-432.43%-123M
166.24%461M
71.83%-171M
1,466.67%82M
5,175.00%406M
114.07%37M
-Change in inventory
73.02%-17M
3.39%-57M
500.00%16M
-126.34%-49M
133.91%39M
50.00%-63M
52.80%-59M
87.50%-4M
1,966.67%186M
-858.33%-115M
-Change in payables and accrued expense
172.51%124M
6.52%-258M
-693.75%-95M
156.55%203M
-98.98%-195M
-203.64%-171M
-126.36%-276M
-97.26%16M
-541.07%-359M
-132.13%-98M
-Change in other current assets
-134.92%-148M
81.95%-50M
69.61%-55M
11.54%-46M
365.12%114M
-6,200.00%-63M
-1,219.05%-277M
-302.22%-181M
-5,300.00%-52M
-714.29%-43M
-Change in other current liabilities
1,155.56%113M
10.00%-63M
112.77%6M
-140.74%-11M
39.09%-67M
-85.00%9M
78.85%-70M
44.05%-47M
208.00%27M
-423.81%-110M
Cash from discontinued investing activities
Operating cash flow
-15.90%1.95B
-25.56%8.45B
-9.58%2.35B
-29.79%2.07B
-46.77%1.71B
-10.34%2.31B
87.69%11.35B
16.97%2.6B
48.89%2.95B
119.51%3.22B
Investing cash flow
Cash flow from continuing investing activities
19.93%-964M
-31.43%-4.71B
-74.81%-1.18B
-26.12%-1.07B
-67.15%-1.26B
8.09%-1.2B
-318.93%-3.59B
-131.12%-675M
13.94%-846M
55.43%-755M
Net PPE purchase and sale
21.86%-922M
-16.61%-4.57B
-1.89%-1.14B
-3.89%-1.02B
-35.67%-1.24B
-29.10%-1.18B
-24.21%-3.92B
-14.26%-1.11B
1.01%-978M
-25.38%-914M
Net business purchase and sale
----
--0
----
----
----
----
--0
----
----
----
Net investment purchase and sale
----
--0
--0
--0
----
----
--80M
--373M
--136M
--136M
Net other investing changes
-75.00%-42M
-155.91%-142M
-168.18%-45M
-1,175.00%-51M
-195.65%-22M
-114.20%-24M
-91.87%254M
-97.90%66M
-180.00%-4M
204.55%23M
Cash from discontinued investing activities
Investing cash flow
19.93%-964M
-31.43%-4.71B
-74.81%-1.18B
-26.12%-1.07B
-67.15%-1.26B
8.09%-1.2B
-318.93%-3.59B
-131.12%-675M
13.94%-846M
55.43%-755M
Financing cash flow
Cash flow from continuing financing activities
18.84%-771M
57.35%-4.53B
53.59%-1.03B
70.37%-998M
31.69%-1.55B
65.59%-950M
-278.13%-10.61B
-95.32%-2.21B
-555.25%-3.37B
-541.81%-2.27B
Net issuance payments of debt
-121.52%-187M
75.12%-641M
50.73%-236M
24.44%-606M
-22,166.67%-668M
167.26%869M
-238.50%-2.58B
---479M
---802M
98.64%-3M
Net common stock issuance
99.42%-3M
58.45%-701M
88.78%-45M
98.04%-10M
74.75%-126M
-88.41%-520M
-527.14%-1.69B
-60.40%-401M
-10,120.00%-511M
-49,800.00%-499M
Cash dividends paid
54.51%-600M
47.38%-3.3B
43.36%-768M
79.00%-431M
56.32%-781M
-22.93%-1.32B
-293.29%-6.27B
-55.15%-1.36B
-304.73%-2.05B
-1,365.57%-1.79B
Proceeds from stock option exercised by employees
----
14.29%8M
--0
33.33%8M
----
----
-46.15%7M
--0
20.00%6M
--0
Net other financing activities
-5.00%19M
219.10%106M
-4.35%22M
555.56%41M
27.78%23M
116.53%20M
54.59%-89M
309.09%23M
-28.57%-9M
280.00%18M
Cash from discontinued financing activities
Financing cash flow
18.84%-771M
57.35%-4.53B
53.59%-1.03B
70.37%-998M
31.69%-1.55B
65.59%-950M
-278.13%-10.61B
-95.32%-2.21B
-555.25%-3.37B
-541.81%-2.27B
Net cash flow
Beginning cash position
-76.74%240M
-73.43%1.03B
-92.59%98M
-96.48%91M
-50.21%1.19B
-73.43%1.03B
158.76%3.88B
110.85%1.32B
1,720.42%2.59B
230.66%2.39B
Current changes in cash
31.88%211M
72.23%-792M
148.97%142M
100.55%7M
-676.44%-1.1B
110.74%160M
-219.68%-2.85B
-108.90%-290M
-360.41%-1.26B
132.82%191M
End cash Position
-62.16%451M
-76.74%240M
-76.74%240M
-92.59%98M
-96.48%91M
-50.21%1.19B
-73.43%1.03B
-73.43%1.03B
110.85%1.32B
1,720.42%2.59B
Free cash flow
-9.70%1.02B
-47.81%3.88B
-18.19%1.21B
-46.48%1.06B
-79.47%473M
-31.97%1.13B
157.02%7.43B
19.10%1.48B
98.49%1.97B
212.62%2.3B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -15.90%1.95B-25.56%8.45B-9.58%2.35B-29.79%2.07B-46.77%1.71B-10.34%2.31B87.69%11.35B16.97%2.6B48.89%2.95B119.51%3.22B
Net income from continuing operations -10.39%1.1B-37.62%4.89B-14.31%1.27B-34.43%1.3B-53.52%1.1B-39.17%1.22B270.40%7.85B94.10%1.48B89.86%1.98B523.95%2.37B
Operating gains losses 772.73%96M77.91%-36M-1,720.00%-182M188.24%150M76.19%-15M-86.25%11M-126.38%-163M-66.67%-10M-5,766.67%-170M-124.51%-63M
Depreciation and amortization 16.57%774M13.12%2.86B18.14%775M13.75%728M12.10%695M8.14%664M1.28%2.53B-2.53%656M-9.09%640M-4.17%620M
Deferred tax -35.45%71M-72.00%506M-70.48%165M-41.87%118M-77.97%113M-79.32%110M209.95%1.81B163.68%559M-27.50%203M370.64%513M
Other non cash items -27.59%42M4.43%165M-50.00%32M0.00%34M95.24%41M48.72%58M-1.86%158M56.10%64M13.33%34M-47.50%21M
Change In working capital -191.91%-159M80.19%-169M197.01%130M-215.38%-240M29.48%-232M128.93%173M-2,205.41%-853M-126.85%-134M296.23%208M-3,555.56%-329M
-Change in receivables -150.11%-231M251.46%259M214.63%258M-183.00%-337M-432.43%-123M166.24%461M71.83%-171M1,466.67%82M5,175.00%406M114.07%37M
-Change in inventory 73.02%-17M3.39%-57M500.00%16M-126.34%-49M133.91%39M50.00%-63M52.80%-59M87.50%-4M1,966.67%186M-858.33%-115M
-Change in payables and accrued expense 172.51%124M6.52%-258M-693.75%-95M156.55%203M-98.98%-195M-203.64%-171M-126.36%-276M-97.26%16M-541.07%-359M-132.13%-98M
-Change in other current assets -134.92%-148M81.95%-50M69.61%-55M11.54%-46M365.12%114M-6,200.00%-63M-1,219.05%-277M-302.22%-181M-5,300.00%-52M-714.29%-43M
-Change in other current liabilities 1,155.56%113M10.00%-63M112.77%6M-140.74%-11M39.09%-67M-85.00%9M78.85%-70M44.05%-47M208.00%27M-423.81%-110M
Cash from discontinued investing activities
Operating cash flow -15.90%1.95B-25.56%8.45B-9.58%2.35B-29.79%2.07B-46.77%1.71B-10.34%2.31B87.69%11.35B16.97%2.6B48.89%2.95B119.51%3.22B
Investing cash flow
Cash flow from continuing investing activities 19.93%-964M-31.43%-4.71B-74.81%-1.18B-26.12%-1.07B-67.15%-1.26B8.09%-1.2B-318.93%-3.59B-131.12%-675M13.94%-846M55.43%-755M
Net PPE purchase and sale 21.86%-922M-16.61%-4.57B-1.89%-1.14B-3.89%-1.02B-35.67%-1.24B-29.10%-1.18B-24.21%-3.92B-14.26%-1.11B1.01%-978M-25.38%-914M
Net business purchase and sale ------0------------------0------------
Net investment purchase and sale ------0--0--0----------80M--373M--136M--136M
Net other investing changes -75.00%-42M-155.91%-142M-168.18%-45M-1,175.00%-51M-195.65%-22M-114.20%-24M-91.87%254M-97.90%66M-180.00%-4M204.55%23M
Cash from discontinued investing activities
Investing cash flow 19.93%-964M-31.43%-4.71B-74.81%-1.18B-26.12%-1.07B-67.15%-1.26B8.09%-1.2B-318.93%-3.59B-131.12%-675M13.94%-846M55.43%-755M
Financing cash flow
Cash flow from continuing financing activities 18.84%-771M57.35%-4.53B53.59%-1.03B70.37%-998M31.69%-1.55B65.59%-950M-278.13%-10.61B-95.32%-2.21B-555.25%-3.37B-541.81%-2.27B
Net issuance payments of debt -121.52%-187M75.12%-641M50.73%-236M24.44%-606M-22,166.67%-668M167.26%869M-238.50%-2.58B---479M---802M98.64%-3M
Net common stock issuance 99.42%-3M58.45%-701M88.78%-45M98.04%-10M74.75%-126M-88.41%-520M-527.14%-1.69B-60.40%-401M-10,120.00%-511M-49,800.00%-499M
Cash dividends paid 54.51%-600M47.38%-3.3B43.36%-768M79.00%-431M56.32%-781M-22.93%-1.32B-293.29%-6.27B-55.15%-1.36B-304.73%-2.05B-1,365.57%-1.79B
Proceeds from stock option exercised by employees ----14.29%8M--033.33%8M---------46.15%7M--020.00%6M--0
Net other financing activities -5.00%19M219.10%106M-4.35%22M555.56%41M27.78%23M116.53%20M54.59%-89M309.09%23M-28.57%-9M280.00%18M
Cash from discontinued financing activities
Financing cash flow 18.84%-771M57.35%-4.53B53.59%-1.03B70.37%-998M31.69%-1.55B65.59%-950M-278.13%-10.61B-95.32%-2.21B-555.25%-3.37B-541.81%-2.27B
Net cash flow
Beginning cash position -76.74%240M-73.43%1.03B-92.59%98M-96.48%91M-50.21%1.19B-73.43%1.03B158.76%3.88B110.85%1.32B1,720.42%2.59B230.66%2.39B
Current changes in cash 31.88%211M72.23%-792M148.97%142M100.55%7M-676.44%-1.1B110.74%160M-219.68%-2.85B-108.90%-290M-360.41%-1.26B132.82%191M
End cash Position -62.16%451M-76.74%240M-76.74%240M-92.59%98M-96.48%91M-50.21%1.19B-73.43%1.03B-73.43%1.03B110.85%1.32B1,720.42%2.59B
Free cash flow -9.70%1.02B-47.81%3.88B-18.19%1.21B-46.48%1.06B-79.47%473M-31.97%1.13B157.02%7.43B19.10%1.48B98.49%1.97B212.62%2.3B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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