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SUPPLEMENTAL OIL AND GAS INFORMATION (UNAUDITED) - Future Net Cash Flows of Proved Reserves (Details) - USD ($)
$ in Thousands
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Dec. 31, 2019
Extractive Industries [Abstract]        
Future Cash Inflows $ 22,452,776 $ 11,339,861 $ 3,395,670  
Future Production Costs (6,820,784) (4,213,186) (1,747,325)  
Future Development Costs (1,145,225) (932,480) (416,507)  
Future Income Tax Expense (2,764,111) (947,303) (3,273)  
Future Net Cash Inflows 11,722,656 5,246,892 1,228,565  
10% Annual Discount for Estimated Timing of Cash Flows (5,285,758) (2,356,783) (516,554)  
Standardized Measure of Discounted Future Net Cash Flows $ 6,436,898 $ 2,890,109 $ 712,011 $ 1,678,061