GULFPORT ENERGY CORPGPOR

時価総額
PER
2011年
12月31日
2012年
12月31日
2013年
12月31日
2014年
12月31日
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
Net income (loss)10868153247-1,225-980435431-2,002-1,625-1134951,471
Depletion, depreciation and amortization6291119265338246365487550240161268320
Impairment of Oil and Gas Properties----1,440715--2,0401,357118--
Loss from equity investments-1,418,0008213139-106-34-550-210-11---
Loss on debt extinguishment------24--4950-3--
Net (gain) loss on derivative instruments--------8565-557-1,000740
Cash Settlement On Derivative Instruments---------159-323-1,054152
Non Cash Reorganization Items---------22---
Deferred income tax expense-2485123-2541821-87---
Deferred income tax benefit-372,000------------525
Other, net---------323118
Stock-based compensation expense772,00036997675---9
Changes in operating assets and liabilities, net----------7113-19-29
Other, net---------323118
Changes in operating assets and liabilities, net----------7113-19-29
Net cash provided by operating activities15819919141032233868075272495293739723
Additions to oil and natural gas properties2877578081,3291,5797251,065865720367207461537
Proceeds from sale of oil and natural gas properties164-42846554951433
Other, net----------2-313
Net cash used in investing activities-323,248,000-841-664-1,137-1,574-906-2,289-643-675-315-200-458-537
New Credit Facility----------4772,082998
Exit Facility----------709--
New Credit Facility----------4772,082998
New Credit Facility----------6412,063971
Exit Facility----------406--
New Credit Facility----------6412,063971
Proceeds from lines of credit-----213------
Debt issuance costs and loan commitment fees---------3907
Dividends on Preferred Stock-----------55
Repurchase of Common Stock under Repurchase Program-------20031--250-
Repurchase of senior notes-----625--13923---
Other, net----------2-2-2-3
Other, net----------2-2-2-3
Net cash used in financing activities2577157654101,2231,731433-157-95303-149-277-191
Net cash used in financing activities2577157654101,2231,731433-157-95303-149-277-191
Net (decrease) increase in cash and cash equivalents--------47-4684-564-5
Net income (loss)10868153247-1,225-980435431-2,002-1,625-1134951,471
Depletion, depreciation and amortization6291119265338246365487550240161268320
Impairment of Oil and Gas Properties----1,440715--2,0401,357118--
Loss from equity investments-1,418,0008213139-106-34-550-210-11---
Loss on debt extinguishment------24--4950-3--
Net (gain) loss on derivative instruments--------8565-557-1,000740
Cash Settlement On Derivative Instruments---------159-323-1,054152
Non Cash Reorganization Items---------22---
Deferred income tax expense-2485123-2541821-87---
Deferred income tax benefit-372,000------------525
Other, net---------323118
Stock-based compensation expense772,00036997675---9
Changes in operating assets and liabilities, net----------7113-19-29
Other, net---------323118
Changes in operating assets and liabilities, net----------7113-19-29
Net cash provided by operating activities15819919141032233868075272495293739723
Additions to oil and natural gas properties2877578081,3291,5797251,065865720367207461537
Proceeds from sale of oil and natural gas properties164-42846554951433
Other, net----------2-313
Net cash used in investing activities-323,248,000-841-664-1,137-1,574-906-2,289-643-675-315-200-458-537
New Credit Facility----------4772,082998
Exit Facility----------709--
New Credit Facility----------4772,082998
New Credit Facility----------6412,063971
Exit Facility----------406--
New Credit Facility----------6412,063971
Proceeds from lines of credit-----213------
Debt issuance costs and loan commitment fees---------3907
Dividends on Preferred Stock-----------55
Repurchase of Common Stock under Repurchase Program-------20031--250-
Repurchase of senior notes-----625--13923---
Other, net----------2-2-2-3
Other, net----------2-2-2-3
Net cash used in financing activities2577157654101,2231,731433-157-95303-149-277-191
Net cash used in financing activities2577157654101,2231,731433-157-95303-149-277-191
Net (decrease) increase in cash and cash equivalents--------47-4684-564-5