EOG RESOURCES INCEOG

Market cap
$72.1B
P/E ratio
9.5x
Dec 31,
2010
Dec 31,
2011
Dec 31,
2012
Dec 31,
2013
Dec 31,
2014
Dec 31,
2015
Dec 31,
2016
Dec 31,
2017
Dec 31,
2018
Dec 31,
2019
Dec 31,
2020
Dec 31,
2021
Dec 31,
2022
Dec 31,
2023
Net Income1611,0915702,1972,915-4,525-1,0972,5833,4192,735-6054,6647,7597,594
Depreciation, Depletion and Amortization1,9422,5163,1703,6013,9973,3143,5533,4093,4353,7503,4003,6513,5423,492
Impairments7431,0311,2712877446,6146204793475182,100376382202
Stock-Based Compensation Expenses107128128134145131128134155175146152133177
Deferred Income Taxes764992938751,705-2,482-515-1,474894632-186-122-61683
Gains on Asset Dispositions, Net--------99175124-47177495
Other, Net--1-11-48-12-62-7-7-4-13-13--27
Dry Hole Costs7253157548151155281371451
(Gains) Losses, Net-------------3,982818
Cash Received Paid On Derivative Instruments Net-------------3,501-112
Other, Net172614181313111311745-2
Accounts Receivable-339-340-17924-85-64123339236892-46782134738
Inventories-172-177-157-53162-58-171175395-90-12313534231
Accounts Payable655351-17179544-1,409-74324439169-79545690-119
Accrued Taxes Payable-53-7875161293-64-9240-49312-11361
Other Assets-32-24-11911014-11841659125-358-325136364-39
Other Liabilities191536-2075-66-16-9011-578-116-266184
Changes in Components of Working Capital Associated with Investing Activities-20923774-51-103500-15690301-11575-200375295
Net Cash Provided by Operating Activities2,7094,5785,2377,3298,6493,5952,3594,2657,7698,1635,0088,79111,09311,340
Additions to Oil and Gas Properties5,2116,2946,7356,6977,5204,7252,4903,9515,8396,1523,2433,6384,6195,385
Additions to Other Property, Plant and Equipment37165662036472728893173237271221212381800
Proceeds from Sales of Assets6731,4331,3107615691931,119227227140192231349140
Other Investing Activities7-------2010--30-
Changes in Components of Working Capital Associated with Investing Activities-20923774-51104-500156-90-301115-75200-375-295
Net Cash Used in Investing Activities-4,903-5,755-6,119-6,315-7,514-5,320-1,253-3,987-6,170-6,177-3,348-3,419-5,056-6,340
Long-Term Debt Borrowings----------1,484---
Long-Term Debt Repayments37220-4005005005646003509001,000750-1,250
Long-Term Debt Repayments37220-4005005005646003509001,000750-1,250
Dividends Paid1531671811992803673733874385888212,6845,1483,386
Dividends Paid1531671811992803673733874385888212,6845,1483,386
Treasury Stock Purchased11245964127498263632516411181,038
Treasury Stock Purchased11245964127498263632516411181,038
Proceeds from Stock Options Exercised3536833922232321211816192820
Proceeds from Stock Options Exercised3536833922232321211816192820
Debt Issuance Costs85-2-162--53--8
Debt Issuance Costs85-2-162--53--8
Repayment of Finance Lease Liabilities-----------373532
Repayment of Finance Lease Liabilities-----------373532
Net Cash Used in Financing Activities2,3031,0091,140-574-328371-243-1,036-839-1,513-359-3,493-5,273-5,694
Net Cash Used in Financing Activities2,3031,0091,140-574-328371-243-1,036-839-1,513-359-3,493-5,273-5,694
Effect of Exchange Rate Changes on Cash-----------1-1-
Increase (Decrease) in Cash and Cash Equivalents-----------1,880763-694