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TXO TXO Partners

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  • 17.000
  • +0.080+0.47%
Close May 7 16:00 ET
  • 17.000
  • 0.0000.00%
Post 16:05 ET
703.25MMarket Cap44.74P/E (TTM)

TXO Partners Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
21.48%30.61M
41.67%109.3M
132.56%40.51M
-14.35%20.71M
24.35%22.89M
46.93%25.2M
-43.43%77.15M
-46.75%17.42M
-31.27%24.18M
-53.79%18.4M
Net income from continuing operations
-76.47%2.42M
122.60%23.5M
105.27%10.22M
-97.61%203K
210.29%2.81M
-87.75%10.27M
-1,256.12%-103.99M
-769.48%-193.73M
-84.78%8.48M
-110.40%-2.55M
Operating gains losses
800.09%9.49M
111.07%2.57M
106.50%1.3M
-89.18%543K
-104.81%-328K
107.00%1.05M
-111.41%-23.18M
-128.70%-19.96M
849.10%5.02M
-75.47%6.82M
Depreciation and amortization
103.76%21.43M
18.34%52.41M
60.73%17.99M
27.85%13.57M
-10.49%10.33M
-3.85%10.52M
7.07%44.29M
1.41%11.19M
0.04%10.62M
16.16%11.54M
Other non cash items
-17.27%2.18M
124.16%17.75M
450.86%6.11M
425.17%3.32M
24.18%5.69M
103.36%2.63M
11.72%-73.47M
106.15%1.11M
96.12%-1.02M
118.09%4.58M
Change In working capital
-1,609.98%-7.03M
4.08%6.91M
159.86%3.3M
910.27%1.48M
186.47%2.55M
-102.75%-411K
138.39%6.64M
27.15%-5.51M
103.53%146K
-200.48%-2.95M
-Change in receivables
-43.10%1.2M
-140.60%-7.99M
-1,792.88%-4.99M
-170.85%-6.63M
16.91%1.53M
-89.77%2.1M
186.51%19.68M
109.70%295K
-151.49%-2.45M
113.44%1.31M
-Change in other current assets
-78.71%-1.91M
398.17%1.63M
163.41%390K
263.31%1.36M
-75.41%947K
63.67%-1.07M
90.01%-546K
-258.10%-615K
79.21%-834K
610.74%3.85M
-Change in other current liabilities
-338.13%-6.31M
206.27%13.28M
252.20%7.9M
96.67%6.74M
100.93%75K
45.04%-1.44M
-214.46%-12.49M
-5.66%-5.19M
170.23%3.43M
-160.45%-8.11M
Cash from discontinued investing activities
Operating cash flow
21.48%30.61M
41.67%109.3M
132.56%40.51M
-14.35%20.71M
24.35%22.89M
46.93%25.2M
-43.43%77.15M
-46.75%17.42M
-31.27%24.18M
-53.79%18.4M
Investing cash flow
Cash flow from continuing investing activities
-126.97%-6.84M
-523.72%-288.28M
-168.62%-15.27M
-1,862.27%-234.53M
-118.91%-35.47M
75.65%-3.02M
46.67%-46.22M
64.97%-5.69M
80.89%-11.95M
-668.96%-16.2M
Net PPE purchase and sale
904.44%1.45M
-2,443.34%-265.04M
-527.98%-2.9M
-8,911.35%-231.86M
-379.06%-30.1M
83.68%-180K
83.45%-10.42M
-23.92%-461K
95.48%-2.57M
-943.85%-6.28M
Net other investing changes
-192.45%-8.29M
35.08%-23.24M
-136.91%-12.38M
71.55%-2.67M
45.93%-5.36M
74.86%-2.84M
-50.92%-35.8M
67.05%-5.22M
-65.59%-9.38M
-559.00%-9.92M
Cash from discontinued investing activities
Investing cash flow
-126.97%-6.84M
-523.72%-288.28M
-168.62%-15.27M
-1,862.27%-234.53M
-118.91%-35.47M
75.65%-3.02M
46.67%-46.22M
64.97%-5.69M
80.89%-11.95M
-668.96%-16.2M
Financing cash flow
Cash flow from continuing financing activities
8.53%-20.23M
610.21%181.78M
-66.00%-21.78M
1,414.65%141.67M
1,776.87%84.01M
-228.93%-22.12M
25.85%-35.63M
28.81%-13.12M
-135.34%-10.78M
88.88%-5.01M
Net issuance payments of debt
350.00%5M
240.22%129M
-33.33%2M
3,600.00%148M
-235.71%-19M
98.23%-2M
-187.50%-92M
125.00%3M
-87.88%4M
136.84%14M
Net common stock issuance
----
32.89%141.23M
---12K
--18.75M
--122.5M
--0
--106.28M
--0
--0
--0
Cash dividends paid
-30.04%-25.29M
-71.53%-85.36M
-47.61%-23.77M
-48.72%-21.95M
-6.80%-20.19M
---19.45M
-277.47%-49.76M
-140.19%-16.1M
---14.76M
---18.9M
Proceeds from stock option exercised by employees
----
--0
----
----
----
----
--0
----
----
----
Net other financing activities
109.61%64K
-2,048.61%-3.09M
--0
-20,733.33%-3.13M
739.45%697K
-66,500.00%-666K
96.31%-144K
97.48%-19K
99.40%-15K
80.91%-109K
Cash from discontinued financing activities
Financing cash flow
8.53%-20.23M
610.21%181.78M
-66.00%-21.78M
1,414.65%141.67M
1,776.87%84.01M
-228.93%-22.12M
25.85%-35.63M
28.81%-13.12M
-135.34%-10.78M
88.88%-5.01M
Net cash flow
Beginning cash position
62.15%7.31M
-51.05%4.51M
-34.71%3.85M
1,611.69%76M
-36.95%4.57M
-51.05%4.51M
21.96%9.2M
-47.16%5.89M
-44.65%4.44M
-52.80%7.25M
Current changes in cash
5,341.54%3.54M
159.59%2.8M
349.57%3.46M
-5,072.64%-72.15M
2,643.77%71.43M
103.32%65K
-383.58%-4.7M
28.70%-1.39M
-53.60%1.45M
61.72%-2.81M
End cash Position
137.24%10.84M
62.15%7.31M
62.15%7.31M
-34.71%3.85M
1,611.69%76M
-36.95%4.57M
-51.05%4.51M
-51.05%4.51M
-47.16%5.89M
-44.65%4.44M
Free cash flow
21.13%30.3M
-333.58%-155.86M
121.12%37.5M
-1,077.28%-211.15M
-159.60%-7.22M
55.91%25.02M
-8.73%66.73M
-47.04%16.96M
199.57%21.61M
-69.10%12.12M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
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(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 21.48%30.61M41.67%109.3M132.56%40.51M-14.35%20.71M24.35%22.89M46.93%25.2M-43.43%77.15M-46.75%17.42M-31.27%24.18M-53.79%18.4M
Net income from continuing operations -76.47%2.42M122.60%23.5M105.27%10.22M-97.61%203K210.29%2.81M-87.75%10.27M-1,256.12%-103.99M-769.48%-193.73M-84.78%8.48M-110.40%-2.55M
Operating gains losses 800.09%9.49M111.07%2.57M106.50%1.3M-89.18%543K-104.81%-328K107.00%1.05M-111.41%-23.18M-128.70%-19.96M849.10%5.02M-75.47%6.82M
Depreciation and amortization 103.76%21.43M18.34%52.41M60.73%17.99M27.85%13.57M-10.49%10.33M-3.85%10.52M7.07%44.29M1.41%11.19M0.04%10.62M16.16%11.54M
Other non cash items -17.27%2.18M124.16%17.75M450.86%6.11M425.17%3.32M24.18%5.69M103.36%2.63M11.72%-73.47M106.15%1.11M96.12%-1.02M118.09%4.58M
Change In working capital -1,609.98%-7.03M4.08%6.91M159.86%3.3M910.27%1.48M186.47%2.55M-102.75%-411K138.39%6.64M27.15%-5.51M103.53%146K-200.48%-2.95M
-Change in receivables -43.10%1.2M-140.60%-7.99M-1,792.88%-4.99M-170.85%-6.63M16.91%1.53M-89.77%2.1M186.51%19.68M109.70%295K-151.49%-2.45M113.44%1.31M
-Change in other current assets -78.71%-1.91M398.17%1.63M163.41%390K263.31%1.36M-75.41%947K63.67%-1.07M90.01%-546K-258.10%-615K79.21%-834K610.74%3.85M
-Change in other current liabilities -338.13%-6.31M206.27%13.28M252.20%7.9M96.67%6.74M100.93%75K45.04%-1.44M-214.46%-12.49M-5.66%-5.19M170.23%3.43M-160.45%-8.11M
Cash from discontinued investing activities
Operating cash flow 21.48%30.61M41.67%109.3M132.56%40.51M-14.35%20.71M24.35%22.89M46.93%25.2M-43.43%77.15M-46.75%17.42M-31.27%24.18M-53.79%18.4M
Investing cash flow
Cash flow from continuing investing activities -126.97%-6.84M-523.72%-288.28M-168.62%-15.27M-1,862.27%-234.53M-118.91%-35.47M75.65%-3.02M46.67%-46.22M64.97%-5.69M80.89%-11.95M-668.96%-16.2M
Net PPE purchase and sale 904.44%1.45M-2,443.34%-265.04M-527.98%-2.9M-8,911.35%-231.86M-379.06%-30.1M83.68%-180K83.45%-10.42M-23.92%-461K95.48%-2.57M-943.85%-6.28M
Net other investing changes -192.45%-8.29M35.08%-23.24M-136.91%-12.38M71.55%-2.67M45.93%-5.36M74.86%-2.84M-50.92%-35.8M67.05%-5.22M-65.59%-9.38M-559.00%-9.92M
Cash from discontinued investing activities
Investing cash flow -126.97%-6.84M-523.72%-288.28M-168.62%-15.27M-1,862.27%-234.53M-118.91%-35.47M75.65%-3.02M46.67%-46.22M64.97%-5.69M80.89%-11.95M-668.96%-16.2M
Financing cash flow
Cash flow from continuing financing activities 8.53%-20.23M610.21%181.78M-66.00%-21.78M1,414.65%141.67M1,776.87%84.01M-228.93%-22.12M25.85%-35.63M28.81%-13.12M-135.34%-10.78M88.88%-5.01M
Net issuance payments of debt 350.00%5M240.22%129M-33.33%2M3,600.00%148M-235.71%-19M98.23%-2M-187.50%-92M125.00%3M-87.88%4M136.84%14M
Net common stock issuance ----32.89%141.23M---12K--18.75M--122.5M--0--106.28M--0--0--0
Cash dividends paid -30.04%-25.29M-71.53%-85.36M-47.61%-23.77M-48.72%-21.95M-6.80%-20.19M---19.45M-277.47%-49.76M-140.19%-16.1M---14.76M---18.9M
Proceeds from stock option exercised by employees ------0------------------0------------
Net other financing activities 109.61%64K-2,048.61%-3.09M--0-20,733.33%-3.13M739.45%697K-66,500.00%-666K96.31%-144K97.48%-19K99.40%-15K80.91%-109K
Cash from discontinued financing activities
Financing cash flow 8.53%-20.23M610.21%181.78M-66.00%-21.78M1,414.65%141.67M1,776.87%84.01M-228.93%-22.12M25.85%-35.63M28.81%-13.12M-135.34%-10.78M88.88%-5.01M
Net cash flow
Beginning cash position 62.15%7.31M-51.05%4.51M-34.71%3.85M1,611.69%76M-36.95%4.57M-51.05%4.51M21.96%9.2M-47.16%5.89M-44.65%4.44M-52.80%7.25M
Current changes in cash 5,341.54%3.54M159.59%2.8M349.57%3.46M-5,072.64%-72.15M2,643.77%71.43M103.32%65K-383.58%-4.7M28.70%-1.39M-53.60%1.45M61.72%-2.81M
End cash Position 137.24%10.84M62.15%7.31M62.15%7.31M-34.71%3.85M1,611.69%76M-36.95%4.57M-51.05%4.51M-51.05%4.51M-47.16%5.89M-44.65%4.44M
Free cash flow 21.13%30.3M-333.58%-155.86M121.12%37.5M-1,077.28%-211.15M-159.60%-7.22M55.91%25.02M-8.73%66.73M-47.04%16.96M199.57%21.61M-69.10%12.12M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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