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EOG EOG Resources

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  • 131.700
  • +0.460+0.35%
Trading Dec 3 11:30 ET
74.07BMarket Cap10.63P/E (TTM)

EOG Resources Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
32.74%3.59B
26.88%2.89B
-10.81%2.9B
2.23%11.34B
-9.84%3.11B
-43.37%2.7B
11.18%2.28B
293.12%3.26B
26.19%11.09B
8.78%3.44B
Net income from continuing operations
-17.59%1.67B
8.82%1.69B
-11.57%1.79B
-2.13%7.59B
-12.69%1.99B
-28.87%2.03B
-30.61%1.55B
418.72%2.02B
66.36%7.76B
14.71%2.28B
Operating gains losses
7.69%-72M
129.35%27M
40.90%-263M
-123.36%-913M
-44.66%-298M
-300.00%-78M
-107.19%-92M
-115.92%-445M
244.32%3.91B
-92.52%-206M
Depreciation and amortization
14.81%1.03B
13.63%984M
34.59%1.07B
-1.41%3.49B
5.92%930M
-0.88%898M
-4.94%866M
-5.79%798M
-2.99%3.54B
-3.52%878M
Deferred tax
292.86%220M
-34.02%128M
-14.96%199M
1,219.67%683M
11.17%199M
-82.87%56M
290.20%194M
150.32%234M
50.00%-61M
46.72%179M
Other non cash items
186.36%63M
410.71%87M
154.62%65M
97.48%-86M
118.31%39M
102.68%22M
98.66%-28M
58.25%-119M
-523.58%-3.41B
-159.76%-213M
Change In working capital
279.64%600M
46.50%-153M
-103.59%-25M
116.48%191M
-67.42%115M
-124.91%-334M
7.44%-286M
127.36%696M
-123.75%-1.16B
263.92%353M
-Change in receivables
115.27%109M
-75.91%33M
-82.84%58M
89.05%-38M
-69.59%201M
-282.14%-714M
126.25%137M
138.50%338M
57.73%-347M
463.19%661M
-Change in inventory
207.14%30M
133.19%75M
251.95%117M
56.74%-231M
144.84%100M
80.00%-28M
-43.95%-226M
-450.00%-77M
-4,007.69%-534M
-106.48%-223M
-Change in payables and accrued expense
-76.79%97M
64.79%-156M
68.39%261M
-152.17%-58M
45.98%-188M
396.45%418M
-59.93%-443M
-79.14%155M
-102.99%-23M
-194.82%-348M
-Change in other current assets
314.13%197M
-2.33%42M
-409.62%-161M
110.71%39M
138.71%36M
28.68%-92M
-39.44%43M
124.41%52M
-167.65%-364M
-14.81%-93M
-Change in other current liabilities
100.00%108M
57.45%-20M
-136.79%-71M
169.17%184M
-105.67%-16M
-95.74%54M
-110.85%-47M
108.58%193M
-129.31%-266M
40.30%282M
-Change in other working capital
110.71%59M
-150.80%-127M
-754.29%-229M
-21.33%295M
-124.32%-18M
-68.89%28M
74.83%250M
-48.53%35M
287.50%375M
174.00%74M
Cash from discontinued investing activities
Operating cash flow
32.69%3.59B
26.88%2.89B
-10.81%2.9B
2.23%11.34B
-9.87%3.1B
-43.35%2.7B
11.18%2.28B
293.12%3.26B
26.19%11.09B
8.78%3.44B
Investing cash flow
Cash flow from continuing investing activities
-1.89%-1.56B
12.00%-1.53B
-1.91%-1.6B
-25.40%-6.34B
-7.30%-1.5B
-25.99%-1.53B
-17.15%-1.74B
-63.91%-1.57B
-47.88%-5.06B
-66.91%-1.4B
Net PPE purchase and sale
1.05%-1.5B
-9.80%-1.67B
-12.99%-1.84B
-23.70%-6.19B
-11.75%-1.52B
-25.98%-1.52B
-6.81%-1.52B
-60.95%-1.62B
-29.87%-5B
-34.32%-1.36B
Net other investing changes
-321.43%-59M
161.99%137M
317.54%238M
-176.79%-155M
165.71%23M
-27.27%-14M
-250.79%-221M
7.55%57M
-112.99%-56M
-119.77%-35M
Cash from discontinued investing activities
Investing cash flow
-1.89%-1.56B
12.00%-1.53B
-1.91%-1.6B
-25.40%-6.34B
-7.30%-1.5B
-25.99%-1.53B
-17.15%-1.74B
-63.91%-1.57B
-47.88%-5.06B
-66.91%-1.4B
Financing cash flow
Cash flow from continuing financing activities
-119.02%-1.34B
-54.25%-1.22B
51.10%-1.29B
-7.98%-5.69B
-22.72%-1.65B
55.05%-610M
47.29%-789M
-146.46%-2.64B
-50.96%-5.27B
4.74%-1.35B
Net issuance payments of debt
0.00%-8M
-12.50%-9M
99.36%-8M
-3,562.86%-1.28B
0.00%-8M
0.00%-8M
11.11%-8M
-12,480.00%-1.26B
95.55%-35M
20.00%-8M
Net common stock issuance
-629.36%-795M
-131.46%-699M
-139.43%-759M
-779.66%-1.04B
-1,247.83%-310M
-194.59%-109M
-1,913.33%-302M
-637.21%-317M
-187.80%-118M
-187.50%-23M
Cash dividends paid
-7.89%-533M
-8.33%-520M
50.80%-525M
34.23%-3.39B
-1.36%-1.35B
62.35%-494M
67.70%-480M
-4.30%-1.07B
-91.80%-5.15B
5.62%-1.33B
Proceeds from stock option exercised by employees
--0
----
----
-28.57%20M
-9.09%10M
--1M
----
----
47.37%28M
10.00%11M
Net other financing activities
----
----
----
---8M
--0
--0
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-119.02%-1.34B
-54.25%-1.22B
51.10%-1.29B
-7.98%-5.69B
-22.72%-1.65B
55.05%-610M
47.29%-789M
-146.46%-2.64B
-50.96%-5.27B
4.74%-1.35B
Net cash flow
Beginning cash position
14.00%5.43B
5.46%5.29B
-11.62%5.28B
14.65%5.97B
1.02%5.33B
55.03%4.76B
25.17%5.02B
14.65%5.97B
56.47%5.21B
22.80%5.27B
Current changes in cash
22.95%691M
154.72%139M
101.47%14M
-190.84%-694M
-106.86%-48M
-74.45%562M
72.86%-254M
20.50%-954M
-59.34%764M
-23.50%700M
Effect of exchange rate changes
--0
--0
--0
--0
--0
--0
--0
--0
-200.00%-1M
--0
End cash Position
14.95%6.12B
14.00%5.43B
5.46%5.29B
-11.62%5.28B
-11.62%5.28B
1.02%5.33B
55.03%4.76B
25.17%5.02B
14.65%5.97B
14.65%5.97B
Free cash flow
75.89%2.09B
61.24%1.22B
-34.52%1.07B
-15.39%5.16B
-24.02%1.58B
-66.76%1.19B
21.15%756M
1,001.10%1.63B
23.32%6.09B
-3.25%2.08B
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
--
(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 32.74%3.59B26.88%2.89B-10.81%2.9B2.23%11.34B-9.84%3.11B-43.37%2.7B11.18%2.28B293.12%3.26B26.19%11.09B8.78%3.44B
Net income from continuing operations -17.59%1.67B8.82%1.69B-11.57%1.79B-2.13%7.59B-12.69%1.99B-28.87%2.03B-30.61%1.55B418.72%2.02B66.36%7.76B14.71%2.28B
Operating gains losses 7.69%-72M129.35%27M40.90%-263M-123.36%-913M-44.66%-298M-300.00%-78M-107.19%-92M-115.92%-445M244.32%3.91B-92.52%-206M
Depreciation and amortization 14.81%1.03B13.63%984M34.59%1.07B-1.41%3.49B5.92%930M-0.88%898M-4.94%866M-5.79%798M-2.99%3.54B-3.52%878M
Deferred tax 292.86%220M-34.02%128M-14.96%199M1,219.67%683M11.17%199M-82.87%56M290.20%194M150.32%234M50.00%-61M46.72%179M
Other non cash items 186.36%63M410.71%87M154.62%65M97.48%-86M118.31%39M102.68%22M98.66%-28M58.25%-119M-523.58%-3.41B-159.76%-213M
Change In working capital 279.64%600M46.50%-153M-103.59%-25M116.48%191M-67.42%115M-124.91%-334M7.44%-286M127.36%696M-123.75%-1.16B263.92%353M
-Change in receivables 115.27%109M-75.91%33M-82.84%58M89.05%-38M-69.59%201M-282.14%-714M126.25%137M138.50%338M57.73%-347M463.19%661M
-Change in inventory 207.14%30M133.19%75M251.95%117M56.74%-231M144.84%100M80.00%-28M-43.95%-226M-450.00%-77M-4,007.69%-534M-106.48%-223M
-Change in payables and accrued expense -76.79%97M64.79%-156M68.39%261M-152.17%-58M45.98%-188M396.45%418M-59.93%-443M-79.14%155M-102.99%-23M-194.82%-348M
-Change in other current assets 314.13%197M-2.33%42M-409.62%-161M110.71%39M138.71%36M28.68%-92M-39.44%43M124.41%52M-167.65%-364M-14.81%-93M
-Change in other current liabilities 100.00%108M57.45%-20M-136.79%-71M169.17%184M-105.67%-16M-95.74%54M-110.85%-47M108.58%193M-129.31%-266M40.30%282M
-Change in other working capital 110.71%59M-150.80%-127M-754.29%-229M-21.33%295M-124.32%-18M-68.89%28M74.83%250M-48.53%35M287.50%375M174.00%74M
Cash from discontinued investing activities
Operating cash flow 32.69%3.59B26.88%2.89B-10.81%2.9B2.23%11.34B-9.87%3.1B-43.35%2.7B11.18%2.28B293.12%3.26B26.19%11.09B8.78%3.44B
Investing cash flow
Cash flow from continuing investing activities -1.89%-1.56B12.00%-1.53B-1.91%-1.6B-25.40%-6.34B-7.30%-1.5B-25.99%-1.53B-17.15%-1.74B-63.91%-1.57B-47.88%-5.06B-66.91%-1.4B
Net PPE purchase and sale 1.05%-1.5B-9.80%-1.67B-12.99%-1.84B-23.70%-6.19B-11.75%-1.52B-25.98%-1.52B-6.81%-1.52B-60.95%-1.62B-29.87%-5B-34.32%-1.36B
Net other investing changes -321.43%-59M161.99%137M317.54%238M-176.79%-155M165.71%23M-27.27%-14M-250.79%-221M7.55%57M-112.99%-56M-119.77%-35M
Cash from discontinued investing activities
Investing cash flow -1.89%-1.56B12.00%-1.53B-1.91%-1.6B-25.40%-6.34B-7.30%-1.5B-25.99%-1.53B-17.15%-1.74B-63.91%-1.57B-47.88%-5.06B-66.91%-1.4B
Financing cash flow
Cash flow from continuing financing activities -119.02%-1.34B-54.25%-1.22B51.10%-1.29B-7.98%-5.69B-22.72%-1.65B55.05%-610M47.29%-789M-146.46%-2.64B-50.96%-5.27B4.74%-1.35B
Net issuance payments of debt 0.00%-8M-12.50%-9M99.36%-8M-3,562.86%-1.28B0.00%-8M0.00%-8M11.11%-8M-12,480.00%-1.26B95.55%-35M20.00%-8M
Net common stock issuance -629.36%-795M-131.46%-699M-139.43%-759M-779.66%-1.04B-1,247.83%-310M-194.59%-109M-1,913.33%-302M-637.21%-317M-187.80%-118M-187.50%-23M
Cash dividends paid -7.89%-533M-8.33%-520M50.80%-525M34.23%-3.39B-1.36%-1.35B62.35%-494M67.70%-480M-4.30%-1.07B-91.80%-5.15B5.62%-1.33B
Proceeds from stock option exercised by employees --0---------28.57%20M-9.09%10M--1M--------47.37%28M10.00%11M
Net other financing activities ---------------8M--0--0----------------
Cash from discontinued financing activities
Financing cash flow -119.02%-1.34B-54.25%-1.22B51.10%-1.29B-7.98%-5.69B-22.72%-1.65B55.05%-610M47.29%-789M-146.46%-2.64B-50.96%-5.27B4.74%-1.35B
Net cash flow
Beginning cash position 14.00%5.43B5.46%5.29B-11.62%5.28B14.65%5.97B1.02%5.33B55.03%4.76B25.17%5.02B14.65%5.97B56.47%5.21B22.80%5.27B
Current changes in cash 22.95%691M154.72%139M101.47%14M-190.84%-694M-106.86%-48M-74.45%562M72.86%-254M20.50%-954M-59.34%764M-23.50%700M
Effect of exchange rate changes --0--0--0--0--0--0--0--0-200.00%-1M--0
End cash Position 14.95%6.12B14.00%5.43B5.46%5.29B-11.62%5.28B-11.62%5.28B1.02%5.33B55.03%4.76B25.17%5.02B14.65%5.97B14.65%5.97B
Free cash flow 75.89%2.09B61.24%1.22B-34.52%1.07B-15.39%5.16B-24.02%1.58B-66.76%1.19B21.15%756M1,001.10%1.63B23.32%6.09B-3.25%2.08B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified Opinion--
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