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DVN Devon Energy

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  • 45.330
  • +0.410+0.91%
Close Aug 12 16:00 ET
  • 45.050
  • -0.280-0.62%
Post 18:09 ET
28.39BMarket Cap8.20P/E (TTM)

Devon Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
9.25%1.54B
3.64%1.74B
-23.28%6.54B
-9.11%1.74B
-18.01%1.73B
-47.54%1.41B
-8.71%1.68B
74.12%8.53B
18.25%1.91B
31.66%2.1B
Net income from continuing operations
22.49%855M
-39.28%609M
-37.35%3.78B
-3.57%1.16B
-51.58%920M
-63.98%698M
0.80%1B
113.10%6.04B
-20.37%1.2B
125.12%1.9B
Operating gains losses
-122.86%-8M
328.13%146M
-124.10%-148M
-1,404.17%-313M
178.23%194M
-77.56%35M
-109.38%-64M
-54.38%614M
133.80%24M
-174.03%-248M
Depreciation and amortization
20.38%768M
17.40%722M
14.89%2.55B
4.00%650M
12.05%651M
20.83%638M
25.77%615M
3.01%2.22B
8.32%625M
0.52%581M
Deferred tax
-67.23%39M
-50.00%40M
-68.11%376M
-38.11%164M
-97.08%13M
-60.98%119M
-51.22%80M
2,306.12%1.18B
77.85%265M
273.95%445M
Other non cash items
100.00%54M
237.50%27M
101.86%26M
103.23%6M
95.87%-15M
105.66%27M
102.16%8M
5.22%-1.4B
62.58%-186M
0.82%-363M
Change In working capital
-43.57%-201M
1,316.67%170M
36.28%-144M
197.83%45M
74.04%-61M
-170.71%-140M
108.39%12M
-94.83%-226M
37.84%-46M
-445.59%-235M
-Change in receivables
-17.35%81M
-164.00%-96M
234.51%191M
-6.73%277M
-191.76%-334M
128.32%98M
132.82%150M
73.00%-142M
1,058.06%297M
209.64%364M
-Change in payables and accrued expense
164.62%42M
186.67%143M
-320.39%-335M
7.14%-299M
161.98%194M
-112.04%-65M
-166.80%-165M
-71.80%152M
-1,688.89%-322M
-166.74%-313M
-Change in other current assets
-300.00%-100M
-44.68%26M
303.45%59M
612.50%41M
94.67%-4M
67.11%-25M
-63.85%47M
-169.05%-29M
-14.29%-8M
-1,400.00%-75M
-Change in other current liabilities
-51.35%-224M
585.00%97M
71.50%-59M
300.00%26M
139.34%83M
-285.00%-148M
68.25%-20M
-21.05%-207M
27.78%-13M
-229.69%-211M
Cash from discontinued investing activities
Operating cash flow
9.25%1.54B
3.64%1.74B
-23.28%6.54B
-9.11%1.74B
-18.01%1.73B
-47.54%1.41B
-8.71%1.68B
74.12%8.53B
18.25%1.91B
31.66%2.1B
Investing cash flow
Cash flow from continuing investing activities
7.53%-1.02B
10.84%-921M
23.05%-3.94B
-9.77%-910M
71.05%-897M
-64.48%-1.1B
-96.39%-1.03B
-225.48%-5.12B
-60.04%-829M
-553.59%-3.1B
Capital expenditure reported
12.14%-948M
11.66%-894M
-52.75%-3.88B
-13.18%-910M
-40.45%-882M
-88.31%-1.08B
-88.45%-1.01B
-27.80%-2.54B
-57.03%-804M
-32.49%-628M
Net PPE purchase and sale
-376.47%-81M
12.50%9M
98.51%-38M
58.82%-7M
99.11%-22M
81.32%-17M
-68.00%8M
-4,270.49%-2.54B
-254.55%-17M
-27,244.44%-2.46B
Net business purchase and sale
----
----
--0
----
----
----
----
--0
----
----
Net investment purchase and sale
93.33%-1M
-27.03%-47M
30.26%-53M
94.12%-1M
--0
28.57%-15M
-68.18%-37M
-204.00%-76M
32.00%-17M
---16M
Cash from discontinued investing activities
Investing cash flow
7.53%-1.02B
10.84%-921M
23.05%-3.94B
-9.77%-910M
71.05%-897M
-64.48%-1.1B
-96.39%-1.03B
-225.48%-5.12B
-60.04%-829M
-553.59%-3.1B
Financing cash flow
Cash flow from continuing financing activities
29.69%-495M
55.33%-541M
24.42%-3.18B
23.83%-716M
51.62%-553M
39.88%-704M
-26.28%-1.21B
-27.98%-4.21B
18.19%-940M
-239.17%-1.14B
Net issuance payments of debt
----
----
---242M
--0
---242M
----
----
--0
--0
--0
Net common stock issuance
-12.28%-256M
60.35%-205M
-36.35%-979M
-310.53%-234M
--0
29.63%-228M
-145.02%-517M
-21.90%-718M
90.32%-57M
---126M
Cash dividends paid
51.73%-223M
49.83%-299M
45.01%-1.86B
44.23%-488M
69.02%-312M
44.34%-462M
10.64%-596M
-156.96%-3.38B
-57.94%-875M
-206.08%-1.01B
Net other financing activities
-14.29%-16M
62.24%-37M
9.48%-105M
175.00%6M
110.00%1M
17.65%-14M
-20.99%-98M
20.00%-116M
-33.33%-8M
-25.00%-10M
Cash from discontinued financing activities
Financing cash flow
29.69%-495M
55.33%-541M
24.42%-3.18B
23.83%-716M
51.62%-553M
39.88%-704M
-26.28%-1.21B
-27.98%-4.21B
18.19%-940M
-239.17%-1.14B
Net cash flow
Beginning cash position
29.54%1.15B
-39.82%875M
-35.98%1.45B
-41.91%761M
-85.88%488M
-66.21%887M
-35.98%1.45B
1.52%2.27B
-43.56%1.31B
124.63%3.46B
Current changes in cash
105.24%21M
148.68%276M
27.79%-582M
-21.83%111M
112.87%275M
-147.91%-401M
-261.08%-567M
-2,542.42%-806M
378.43%142M
-371.54%-2.14B
Effect of exchange rate changes
-150.00%-1M
---2M
127.27%3M
50.00%3M
80.00%-2M
140.00%2M
--0
-1,200.00%-11M
100.00%2M
-100.00%-10M
End cash Position
139.55%1.17B
29.54%1.15B
-39.82%875M
-39.82%875M
-41.91%761M
-85.88%488M
-66.21%887M
-35.98%1.45B
-35.98%1.45B
-43.56%1.31B
Free cash flow
63.96%505M
28.22%836M
-23.73%2.6B
-25.05%817M
182.91%820M
-84.64%308M
-49.81%652M
17.74%3.41B
-1.00%1.09B
-188.78%-989M
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
--
--
--
--
--
--
--
(Q2)Jun 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 9.25%1.54B3.64%1.74B-23.28%6.54B-9.11%1.74B-18.01%1.73B-47.54%1.41B-8.71%1.68B74.12%8.53B18.25%1.91B31.66%2.1B
Net income from continuing operations 22.49%855M-39.28%609M-37.35%3.78B-3.57%1.16B-51.58%920M-63.98%698M0.80%1B113.10%6.04B-20.37%1.2B125.12%1.9B
Operating gains losses -122.86%-8M328.13%146M-124.10%-148M-1,404.17%-313M178.23%194M-77.56%35M-109.38%-64M-54.38%614M133.80%24M-174.03%-248M
Depreciation and amortization 20.38%768M17.40%722M14.89%2.55B4.00%650M12.05%651M20.83%638M25.77%615M3.01%2.22B8.32%625M0.52%581M
Deferred tax -67.23%39M-50.00%40M-68.11%376M-38.11%164M-97.08%13M-60.98%119M-51.22%80M2,306.12%1.18B77.85%265M273.95%445M
Other non cash items 100.00%54M237.50%27M101.86%26M103.23%6M95.87%-15M105.66%27M102.16%8M5.22%-1.4B62.58%-186M0.82%-363M
Change In working capital -43.57%-201M1,316.67%170M36.28%-144M197.83%45M74.04%-61M-170.71%-140M108.39%12M-94.83%-226M37.84%-46M-445.59%-235M
-Change in receivables -17.35%81M-164.00%-96M234.51%191M-6.73%277M-191.76%-334M128.32%98M132.82%150M73.00%-142M1,058.06%297M209.64%364M
-Change in payables and accrued expense 164.62%42M186.67%143M-320.39%-335M7.14%-299M161.98%194M-112.04%-65M-166.80%-165M-71.80%152M-1,688.89%-322M-166.74%-313M
-Change in other current assets -300.00%-100M-44.68%26M303.45%59M612.50%41M94.67%-4M67.11%-25M-63.85%47M-169.05%-29M-14.29%-8M-1,400.00%-75M
-Change in other current liabilities -51.35%-224M585.00%97M71.50%-59M300.00%26M139.34%83M-285.00%-148M68.25%-20M-21.05%-207M27.78%-13M-229.69%-211M
Cash from discontinued investing activities
Operating cash flow 9.25%1.54B3.64%1.74B-23.28%6.54B-9.11%1.74B-18.01%1.73B-47.54%1.41B-8.71%1.68B74.12%8.53B18.25%1.91B31.66%2.1B
Investing cash flow
Cash flow from continuing investing activities 7.53%-1.02B10.84%-921M23.05%-3.94B-9.77%-910M71.05%-897M-64.48%-1.1B-96.39%-1.03B-225.48%-5.12B-60.04%-829M-553.59%-3.1B
Capital expenditure reported 12.14%-948M11.66%-894M-52.75%-3.88B-13.18%-910M-40.45%-882M-88.31%-1.08B-88.45%-1.01B-27.80%-2.54B-57.03%-804M-32.49%-628M
Net PPE purchase and sale -376.47%-81M12.50%9M98.51%-38M58.82%-7M99.11%-22M81.32%-17M-68.00%8M-4,270.49%-2.54B-254.55%-17M-27,244.44%-2.46B
Net business purchase and sale ----------0------------------0--------
Net investment purchase and sale 93.33%-1M-27.03%-47M30.26%-53M94.12%-1M--028.57%-15M-68.18%-37M-204.00%-76M32.00%-17M---16M
Cash from discontinued investing activities
Investing cash flow 7.53%-1.02B10.84%-921M23.05%-3.94B-9.77%-910M71.05%-897M-64.48%-1.1B-96.39%-1.03B-225.48%-5.12B-60.04%-829M-553.59%-3.1B
Financing cash flow
Cash flow from continuing financing activities 29.69%-495M55.33%-541M24.42%-3.18B23.83%-716M51.62%-553M39.88%-704M-26.28%-1.21B-27.98%-4.21B18.19%-940M-239.17%-1.14B
Net issuance payments of debt -----------242M--0---242M----------0--0--0
Net common stock issuance -12.28%-256M60.35%-205M-36.35%-979M-310.53%-234M--029.63%-228M-145.02%-517M-21.90%-718M90.32%-57M---126M
Cash dividends paid 51.73%-223M49.83%-299M45.01%-1.86B44.23%-488M69.02%-312M44.34%-462M10.64%-596M-156.96%-3.38B-57.94%-875M-206.08%-1.01B
Net other financing activities -14.29%-16M62.24%-37M9.48%-105M175.00%6M110.00%1M17.65%-14M-20.99%-98M20.00%-116M-33.33%-8M-25.00%-10M
Cash from discontinued financing activities
Financing cash flow 29.69%-495M55.33%-541M24.42%-3.18B23.83%-716M51.62%-553M39.88%-704M-26.28%-1.21B-27.98%-4.21B18.19%-940M-239.17%-1.14B
Net cash flow
Beginning cash position 29.54%1.15B-39.82%875M-35.98%1.45B-41.91%761M-85.88%488M-66.21%887M-35.98%1.45B1.52%2.27B-43.56%1.31B124.63%3.46B
Current changes in cash 105.24%21M148.68%276M27.79%-582M-21.83%111M112.87%275M-147.91%-401M-261.08%-567M-2,542.42%-806M378.43%142M-371.54%-2.14B
Effect of exchange rate changes -150.00%-1M---2M127.27%3M50.00%3M80.00%-2M140.00%2M--0-1,200.00%-11M100.00%2M-100.00%-10M
End cash Position 139.55%1.17B29.54%1.15B-39.82%875M-39.82%875M-41.91%761M-85.88%488M-66.21%887M-35.98%1.45B-35.98%1.45B-43.56%1.31B
Free cash flow 63.96%505M28.22%836M-23.73%2.6B-25.05%817M182.91%820M-84.64%308M-49.81%652M17.74%3.41B-1.00%1.09B-188.78%-989M
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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