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米国企業
Sitio Royalties Corp.
Raw
Sitio Royalties Corp.
STR
時価総額
$14.4億
PER
37.9倍
鉱区・ロイヤルティ保有の大手。鉱区権利の取得と管理を展開。2022年6月の合併や2022年12月の買収でNRAs約132,700取得。2024年は売上の84%が原油収入で、米国主要盆地(デラウェア、ミッドランド、イーグルフォード等)中心に展開。
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十億
百万
千
USD
年次
四半期
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2022年
12月31日
2023年
12月31日
2024年
12月31日
Net income (loss)
184
-47
95
Depreciation, depletion and amortization
105
291
320
Amortization of deferred financing costs and long-term debt discount
-
6
5
Share-based compensation
9
19
24
Fair Value Adjustment of Warrants
-4
-3
-
Loss on extinguishment of debt
-11
-22
-
Impairment of oil and gas properties
-
26
-
Commodity derivative (gains) losses
-39
-15
-5
Derivative, Cost of Hedge Net of Cash Received
7
-
-
Commodity Contracts
39
15
-
Interest Rate Contract
0
0
-
Interest rate derivative gains
0
0
-
Cash Received (Paid) For Derivative Settlements
-
1
-
Loss on sale of oil and gas properties
-
-144
-
Deferred tax (benefit) expense
2
-43
-7
Accrued revenue and accounts receivable
25
-34
16
Prepaid assets
1
-20
-6
Other long-term assets
4
-2
-0
Accounts payable and accrued expenses
-
9
14
Due to affiliates
-0
-
-
Operating lease liabilities and other long-term liabilities
-
-1
0
Net cash provided by operating activities
165
488
462
Predecessor cash not contributed in the Falcon Merger
15
-
-
Purchases of oil and gas properties, net of post-close adjustments
-
171
330
Proceeds from sale of oil and gas properties
-
-113
-
Other, net
-
2
0
Net cash used in investing activities
-558
-60
-330
Borrowings on credit facilities
349
645
474
Repayments on credit facilities
209
878
264
Repayments on 2026 Senior Notes
11
-
-
Proceeds from Lines of Credit
425
-
-
Repayments on Bridge Loan Facility
425
-
-
Debt issuance costs
5
22
-
Debt extinguishment costs
-
12
-
Distributions paid to Temporary Equity
115
-
-
Distributions to noncontrolling interest
13
159
112
Dividends paid to Class A stockholders
18
162
121
Dividend equivalent rights paid
1
1
1
Cash paid for taxes related to net settlement of share-based compensation awards
-
3
2
Deferred initial public offering costs
0
-
-
Other
-1
-
-
Net cash (used in) provided by financing activities
400
-431
-144
Net change in cash and cash equivalents
6
-4
-12
Increase (Decrease) In Current Liabilities For Additions To Property And Equipment
-
-
0
Temporary equity cumulative adjustment to redemption value:
707
-
-
Income Taxes Paid, Net
2
9
3
Cash paid for interest expense:
29
77
83