$273.60
$-4.28 (-1.56%)
End-of-day quote: 04/29/2024
NYSE:PXD

Pioneer Natural Resources Co Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
$24.38B $17.87B $7.03B $9.68B $9.38B $5.29B $3.51B $2.88B $4.33B $3.42B $2.62B $2.11B $1.72B $1.41B $2.01B $1.70B $1.46B $1.34B $1.01B
GM % Gross Margin %
54.39% 52.56% 35.14% 41.66% 45.98% 50.64% 46.65% 41.90% 62.45% 66.31% 68.46% 73.78% 71.62% 68.24% 71.81% 75.89% 76.07% 76.87% 77.79%
OM Operating Margin
40.85% 23.58% 1.98% 19.14% 18.71% 9.48% -21.69% 1.74% 40.02% 25.95% 37.95% 36.37% 46.65% -2.63% 22.31% 31.09% 30.93% 37.71% 32.17%
EPS Earnings Per Share
$0.00 $21.30 $30.57 $13.26 $2.07 $8.18 $6.31 $2.16 $-0.24 $-0.12 $4.76 $4.38 $3.66 $4.16 $1.78 $-0.07 $3.11 $2.48 $1.74 $3.02 $2.46
Div. Dividends
$25.44 $6.83 $2.20 $1.20 $0.32 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.08 $0.30 $0.27 $0.25 $0.22 $0.20
PR % Payout Ratio %
83.22% 51.51% 106.28% 14.67% 5.07% 3.70% -33.33% -66.67% 1.68% 1.83% 2.19% 1.92% 4.49% -114.29% 9.65% 10.89% 14.37% 7.28% 8.13%
Sha. Shares
236.04m 242.78m 164.48m 165.55m 169.5m 170.19m 169.72m 149.38m 148.9m 143m 123.36m 121.86m 115.31m 114.38m 114.55m 117.73m 121.5m 126.83m 144.83m
OCF Operating Cash Flow
$11.35B $6.05B $2.08B $3.12B $3.24B $2.10B $1.50B $1.26B $2.37B $2.15B $1.84B $1.53B $1.29B $543.06M $1.03B $773.29M $754.83M $1.28B $1.05B
FCF Free Cash Flow
$8.38B $2.72B $621.00M $505.00M $-420.00M $-451.00M $-322.00M $-862.00M $-877.00M $-493.52M $-944.11M $-397.25M $273.58M $105.82M $-369.41M $-1294.36M $-649.05M $153.85M $488.65M
FCFS Free Cash Flow Per Share
$30.95 $12.40 $2.92 $0.76 $-1.63 $-1.56 $-2.15 $-5.74 $-6.09 $-3.63 $-7.49 $-3.40 $2.38 $0.93 $-3.14 $-10.77 $-5.22 $1.12 $3.90