v3.25.1
Derivatives (Tables)
3 Months Ended
Mar. 31, 2025
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Derivative Instruments, Gain (Loss)
The following table summarizes derivative activity for the three months ended March 31, 2025 and 2024 (in thousands):

Three Months Ended March 31,
20252024
(Gain) loss on derivative contracts$2,487 $— 
Settlement gains (losses) on derivative contracts$(159)$— 
Schedule of Offsetting Assets
The following table summarizes (i) the Company's commodity derivative contracts on a gross basis, (ii) the effects of netting assets and liabilities for which the right of offset exists based on master netting arrangements and (iii) the Company’s net derivative asset and liability positions as of March 31, 2025 (in thousands):
Gross AmountsGross Amounts OffsetAmounts Net of OffsetFinancial CollateralNet Amount
Liabilities
Derivative contracts - current$3,148 $(1,487)$1,661 $— $1661 
Derivative contracts - non-current826 (360)466 — 466 
Total$3,974 $(1,847)$2,127 $— $2127 

The following tables summarizes (i) the Company's commodity derivative contracts on a gross basis, (ii) the effects of netting assets and liabilities for which the right of offset exists based on master netting arrangements and (iii) the Company’s net derivative asset positions as of December 31, 2024 (in thousands):

Gross AmountsGross Amounts OffsetAmounts Net of OffsetFinancial CollateralNet Amount
Assets
Derivative contracts - current
$744 $630 $114 $— $114 
Derivative contracts - non-current86 — 86 — 86 
Total$830 $630 $200 $— $200 
Schedule of Derivative Contracts
As of March 31, 2025, the Company's open derivative contracts consisted of oil, natural gas, and NGL commodity derivative contracts as follows:

PeriodIndexDaily Volume
Weighted Average Price
Oil (Bbl)
Fixed Price Swaps
April 2025 - December 2025NYMEX WTI500$71.60
January 2026 - June 2026NYMEX WTI300$68.67
Natural Gas (MMBtu)
Fixed Price Swaps
April 2025 - December 2025NYMEX Henry Hub8,500$4.17
January 2026 - December 2026NYMEX Henry Hub4,500$4.09
Producer Costless Collars
April 2025 - December 2025NYMEX Henry Hub8,500
$3.50 Put / $5.50 Call
April 2025 - December 2025NYMEX Henry Hub12,000
$4.00 Put / $8.20 Call
January 2026 - December 2026NYMEX Henry Hub4,500
$3.35 Put / $5.35 Call
NGL (Bbl)
Fixed Price Swaps
April 2025 - December 2025
Mont Belvieu OPIS - C3+(1)
300$39.69
April 2025 - December 2025
Mont Belvieu OPIS - Ethane(2)
325$11.76
____________________
(1)    Excludes ethane
(2)    Ethane only
As of December 31, 2024, the Company's open derivative contracts consisted of oil and NGL commodity derivative contracts as follows:
PeriodIndexDaily Volume
Weighted Average Price
Oil (Bbl)
Fixed Price Swaps
January 2025 - December 2025NYMEX WTI500$71.60
January 2026 - June 2026NYMEX WTI300$68.67
NGL (Bbl)
Fixed Price Swaps
January 2025 - December 2025
Mont Belvieu OPIS - C3+(1)
300$39.69
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(1)    Excludes ethane