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EXEEZExpand Energy Corporation
$95.28
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
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Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksEXEEZQuarterly Cash Flow

Expand Energy Corporation (EXEEZ) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Expand Energy Corporation (EXEEZ) quarterly cash flow statement — complete operating, investing & financing history

EXEEZ Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Cash from Operations2.4B956M1.2B1.32B1.1B375M418M209M552M470M506M515M
Operating CF Margin %54.63%30.8%40.49%35.87%34.14%16.79%71.45%40.66%59.87%43.12%35.99%40.87%
Operating CF Growth %119.16%154.93%187.32%532.54%98.55%-20.21%-17.39%-59.42%-37.91%-55.24%-61.46%-43.34%
Net Income1.16B-236M547M968M-249M-399M-114M-227M26M569M70M391M
Depreciation & Amortization711M759M741M769M711M647M335M348M399M379M382M376M
Stock-Based Compensation10M12M12M13M9M0010M9M000
Deferred Taxes319M128M186M171M-37M-18M-44M-68M7M109M-80M21M
Other Non-Cash Items203M293M-357M-920M913M490M156M277M35M-494M125M-369M
Working Capital Changes0072M321M-251M-345M85M-131M76M-93M9M96M
Change in Receivables000000000000
Change in Inventory000000000000
Change in Payables000000000000
Cash from Investing-601M-816M-845M-591M-507M-945M-319M-266M-374M105M-480M453M
Capital Expenditures-707M-741M-775M-657M-563M-536M-298M-302M-421M-379M-423M-530M
CapEx % of Revenue16.08%23.87%26.13%17.82%17.54%23.99%50.94%58.75%45.66%34.77%30.09%42.06%
Acquisitions00015M0-455M5M6M6M566M4M1.03B
Investments------------
Other Investing107M-75M-65M56M60M50M056M60M000
Cash from Financing-192M-135M-471M-352M-557M-155M-74M-102M-77M-208M-215M-190M
Debt Issued (Net)00-121M-117M-436M747M000000
Equity Issued (Net)00-1M-98M21M2M01M0-42M-132M-127M
Dividends Paid-141M-137M-349M-137M-142M-134M-78M-99M-77M-75M-77M-160M
Share Repurchases-66M0-1M-99M00000-42M-132M-127M
Other Financing-51M2M000-770M4M-4M0-91M-6M97M
Net Change in Cash1.61B5M-115M379M32M-725M25M-159M101M367M-189M778M
Free Cash Flow1.7B215M426M665M533M-161M120M-93M131M91M83M-15M
FCF Margin %38.55%6.93%14.36%18.04%16.6%-7.21%20.51%-18.09%14.21%8.35%5.9%-1.19%
FCF Growth %218.01%233.54%255%815.05%306.87%-276.92%44.58%-520%-66.58%-82.7%-89.26%-103.04%
FCF per Share7040.240.892.143.352.68-1.030.90-0.710.920.620.58-0.10
FCF Conversion (FCF/Net Income)2.07x1.73x2.20x1.37x-4.40x-0.94x-3.67x-0.92x21.23x0.83x7.23x1.32x
Interest Paid00019M0019M25M20M27M00
Taxes Paid00082M00000000