6 unchanged sentences
This graph tracks the performance of a $100 investment in our common stock and in each index (with the reinvestment of all dividends) from December 31, 2015 to December 31, 2020.
−Removed: Tab le of Contents
* The following table sets forth the total returns utilized to generate the foregoing graph.
5 unchanged sentences
The stock price performance included in this graph is not necessarily indicative of future stock price performance.
−Removed: As of March 10, 2020, we had 406,021,004 shares of our common stock outstanding, held by approximately 241 shareholders of record.
+Added: As of March 9, 2021, we had 60,421,200 shares of our common stock outstanding, held by approximately 231 stockholders of record.
The number of record holders does not necessarily bear any relationship to the number of beneficial owners of our common stock.
11 unchanged sentences
(2) In May 2011, our board of directors approved a stock repurchase program to acquire up to $150 million worth of shares of our Company’s outstanding common stock.
−Removed: Tab le of Contents
−Removed: Selected Financial Data
−Removed: 2019 2018 2017 2016 2015
−Removed: (In thousands, except share and per common share data)
−Removed: Statements of Operations Information:
−Removed: Oil and Gas Sales $ 601,218 $ 493,909 $ 223,963 $ 202,639 $ 431,605
−Removed: Gain (Loss) on Derivative Instruments, Net (128,837) 185,006 (14,667) 72,383 163,413
−Removed: Other Revenue 21 9 23 36 9
−Removed: Total Revenues 472,402 678,924 209,320 275,057 595,027
−Removed: Operating Expenses
−Removed: Production Expenses 118,899 66,646 49,733 52,108 55,696
−Removed: Production Taxes 57,771 45,302 20,604 21,567 43,674
−Removed: General and Administrative Expense 23,624 14,568 18,988 19,042 17,602
−Removed: Depletion, Depreciation, Amortization and Accretion 210,201 119,780 59,500 137,770 172,884
−Removed: Impairment of Oil and Natural Gas Properties — — — 1,163,959 —
−Removed: Impairment of Other Current Assets 6,398 — — — —
−Removed: Total Expenses 416,893 246,296 148,825 1,394,446 289,856
−Removed: Income (Loss) from Operations 55,509 432,628 60,495 (1,119,389) 305,171
−Removed: Interest Expense, Net of Capitalization (79,229) (86,005) (70,286) (58,360) (42,106)
−Removed: Write-off of Debt Issuance Costs — — (95) — —
−Removed: Loss on the Extinguishment of Debt (23,187) (173,430) (993) — —
−Removed: Debt Exchange Derivative Gain (Loss) 1,390 (598) — — —
−Removed: Contingent Consideration Loss (29,512) (28,968) — — —
−Removed: Financing Expense (1,447) (884) — — —
−Removed: Other Income (Expense) 157 891 116 (30) 47
−Removed: Total Other Income (Expense) (131,827) (288,994) (71,258) (58,390) (42,059)
−Removed: Income (Loss) Before Income Taxes (76,318) 143,634 (10,764) (1,177,779) 263,112
−Removed: Income Tax Provision (Benefit) — (55) (1,570) (202,424) 99,367
−Removed: Net Income (Loss) $ (76,318) $ 143,689 $ (9,194) $ (975,355) $ 163,745
−Removed: Net Income (Loss) Per Common Share – Basic $ (0.20) $ 0.61 $ (0.15) $ (16.08) $ 2.70
−Removed: Net Income (Loss) Per Common Share – Diluted $ (0.20) $ 0.61 $ (0.15) $ (16.08) $ 2.69
−Removed: Weighted Average Shares Outstanding – Basic 387,084,651 236,206,457 62,408,855 60,652,447 60,691,701
−Removed: Weighted Average Shares Outstanding – Diluted 387,084,651 236,773,911 62,408,855 60,652,447 60,860,769
−Removed: Statements of Cash Flows Information:
−Removed: Net Cash Provided By Operating Activities $ 339,750 $ 244,262 $ 72,967 $ 247,016 $ 274,258
−Removed: Net Cash Used For Investing Activities $ (569,128) $ (474,519) $ (119,240) $ (288,936) $ (477,040)
−Removed: Net Cash Provided By Financing Activities $ 243,088 $ 130,431 $ 141,970 $ 35,973 $ 206,433
−Removed: Tab le of Contents
−Removed: 2019 2018 2017 2016 2015
−Removed: (In thousands)
−Removed: Balance Sheet Information:
−Removed: Cash and Cash Equivalents $ 16,068 $ 2,358 $ 6,486 $ 3,390 $ 9,338
−Removed: Total Current Assets 133,037 228,415 46,894 122,030 226,000
−Removed: Total Property and Equipment, Net 1,748,593 1,202,745 376,208 589,320 1,761,927
−Removed: Total Assets 1,905,465 1,503,645 431,533 721,431 2,026,746
−Removed: Total Current Liabilities 203,477 231,526 77,444 78,115 285,734
−Removed: Long-term Debt, Net 989,482 830,203 832,625 835,290 806,053
−Removed: Total Liabilities 1,346,822 1,073,780 918,955 919,033 1,255,885
−Removed: Total Stockholders’ Equity (Deficit) 558,643 429,865 (487,422) (197,602) 770,861
−Removed: Tab le of Contents
Compared sentence by sentence after normalising whitespace, quotation marks, case and digits, so re-formatting and restated figures do not read as changed language. Wording changes appear as one removal and one addition. The current filing and the prior one are authoritative.