0000033213-22-000020.txt : 20220727 0000033213-22-000020.hdr.sgml : 20220727 20220727163100 ACCESSION NUMBER: 0000033213-22-000020 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20220727 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20220727 DATE AS OF CHANGE: 20220727 FILER: COMPANY DATA: COMPANY CONFORMED NAME: EQT Corp CENTRAL INDEX KEY: 0000033213 STANDARD INDUSTRIAL CLASSIFICATION: CRUDE PETROLEUM & NATURAL GAS [1311] IRS NUMBER: 250464690 STATE OF INCORPORATION: PA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 001-03551 FILM NUMBER: 221111412 BUSINESS ADDRESS: STREET 1: 625 LIBERTY AVENUE STREET 2: SUITE 1700 CITY: PITTSBURGH STATE: PA ZIP: 15222 BUSINESS PHONE: 4125535700 MAIL ADDRESS: STREET 1: 625 LIBERTY AVENUE STREET 2: SUITE 1700 CITY: PITTSBURGH STATE: PA ZIP: 15222 FORMER COMPANY: FORMER CONFORMED NAME: EQT Corp /PA/ DATE OF NAME CHANGE: 20090206 FORMER COMPANY: FORMER CONFORMED NAME: EQUITABLE RESOURCES INC /PA/ DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: EQUITABLE GAS CO DATE OF NAME CHANGE: 19841120 8-K 1 eqt-20220727.htm 8-K eqt-20220727
0000033213false00000332132022-07-272022-07-27

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM 8-K

CURRENT REPORT

Pursuant To Section 13 or 15(d) of the Securities Exchange Act of 1934
Date of report (Date of earliest event reported): July 27, 2022

EQT CORPORATION
(Exact name of registrant as specified in its charter)
Pennsylvania001-355125-0464690
(State or other jurisdiction
of incorporation)
(Commission
File Number)
(IRS Employer
Identification No.)

625 Liberty Avenue, Suite 1700
Pittsburgh, Pennsylvania 15222
(Address of principal executive offices and zip code)

Registrant’s telephone number, including area code: (412) 553-5700

(Former name or former address, if changed since last report): None

Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions (see General Instruction A.2. below):

    Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)

    Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)

    Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))

    Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))

Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading symbolName of each exchange on which registered
Common Stock, no par valueEQTNew York Stock Exchange

Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).

    Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.



Item 2.02.          Results of Operations and Financial Condition.
Today, EQT Corporation ("EQT") issued a news release announcing its second quarter 2022 earnings. A copy of EQT’s news release is attached hereto and furnished as Exhibit 99.1 and is incorporated in this report by reference.
The information in this current report on Form 8-K, including the accompanying Exhibit 99.1, shall not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934 (the "Exchange Act"), or otherwise subject to the liability of such section, nor shall such information be deemed incorporated by reference in any filing under the Securities Act of 1933 or the Exchange Act, regardless of the general incorporation language of such filing, except as shall be expressly set forth by specific reference in such filing.  
Item 9.01.          Financial Statements and Exhibits.
(d) Exhibits.
99.1    News release dated July 27, 2022 issued by EQT Corporation (furnished solely for purposes of Item 2.02 of this Form 8-K)
104    Cover Page Interactive Data File (embedded within the Inline XBRL document)

      







SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
 EQT CORPORATION
(Registrant)
 By:/s/ David M. Khani
David M. Khani
Chief Financial Officer
 Date:  July 27, 2022



EX-99.1 2 ex9916302022earningsrelease.htm EX-99.1 Document
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EQT REPORTS SECOND QUARTER 2022 RESULTS

PITTSBURGH, July 27, 2022 -- EQT Corporation (NYSE: EQT) today announced financial and operational results for the second quarter 2022.

Second Quarter 2022 and Recent Highlights:

Sales volumes of 502 Bcfe
Total per unit operating costs of $1.37 per Mcfe
Capital expenditures of $376 MM or $0.75 per Mcfe
Net cash provided by operating activities of $230 MM, adjusted operating cash flow(1) of $916 MM and free cash flow(1) of $543 MM
Increased quarterly base dividend by 20 percent to $0.15 per share ($0.60 per share annualized)
Raising '22 – '23 debt reduction target to $2.5 B, an increase of $1.0 B
Retired $175 MM of senior notes during and subsequent to the end of Q2
Repurchased $213 MM of convertible notes, including $85 MM of principal, during and subsequent to the end of Q2, reducing fully diluted share count by 5.7 MM shares

President and CEO Toby Z. Rice stated, “We had a solid operational quarter, with material gains in completion efficiency despite a continued tight oilfield service backdrop. This facilitated almost $550 million of free cash flow(1) during the quarter, bringing our total year-to-date free cash flow(1) to more than $1.1 billion.”

Rice continued, “We also released our 2021 ESG Report in the second quarter, which highlighted the substantial progress we have made toward our goal of achieving net zero Scope 1 and Scope 2 emissions by 2025(2). Notably, our absolute Scope 1 and 2 Production segment GHG emissions declined by 22 percent year-over-year, and we reduced our methane intensity by 28 percent year-over-year. Our industry-leading emissions profile, coupled with an investment grade balance sheet and multi-decade core inventory, gives us significant confidence in the sustainability of our business and durability of our cash flows. As such, we recently raised our base dividend by 20 percent and will be further improving our balance sheet with an incremental $1 billion of projected debt reduction by year-end 2023. In total, we plan to return approximately $4 billion to shareholders by the end of next year, with room for further upside if natural gas prices remain strong.”

(1)A non-GAAP financial measure. See the Non-GAAP Disclosures section of this news release for the definition of, and other important information regarding, this non-GAAP financial measure.
(2)Net zero target is based on Scope 1 Production segment and Scope 2 GHG emissions, in each case from assets owned by EQT on June 30, 2021.

Second Quarter 2022 Financial and Operational Performance
Three Months Ended June 30,
($ millions, except average realized price and EPS)20222021Change
Total sales volume (Bcfe)502 421 81 
Average realized price ($/Mcfe)$3.21 $2.37 $0.84 
Net income (loss) attributable to EQT Corporation$891 $(933)$1,824 
Adjusted net income attributable to EQT (a)
$340 $20 $320 
Adjusted EBITDA (a)
$943 $445 $498 
Diluted earnings (loss) per share$2.19 $(3.34)$5.53 
Adjusted earnings per share (EPS) (a)
$0.83 $0.06 $0.77 
Net cash provided by operating activities$230 $43 $187 
Adjusted operating cash flow (a)$916 $397 $519 
Capital expenditures$376 $246 $130 
Free cash flow (a)
$543 $155 $388 

(a)A non-GAAP financial measure. See the Non-GAAP Disclosures section of this news release for the definition of, and other important information regarding, this non-GAAP financial measure.





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Sales volume growth reflects the Company's 2021 acquisition of Alta Resources (the Alta Acquisition). Average realized price increased for the three months ended June 30, 2022 compared to the same period in 2021 due to higher NYMEX prices and higher liquids prices, partly offset by unfavorable cash settled derivatives and unfavorable differential.

Net cash provided by operating activities was $230 million and adjusted operating cash flow(1) was $916 million for the three months ended June 30, 2022. Adjusted operating cash flow excludes changes in other assets and liabilities which are included in net cash provided by operating activities, as defined in the Non-GAAP Disclosures section of this news release. For the three months ended June 30, 2022, changes in other assets and liabilities of $686 million negatively impacted net cash provided by operating activities and was driven by higher working capital, which was primarily the result of higher accounts receivable as of June 30, 2022 as compared to March 31, 2022 due to higher pricing, partly offset by higher accounts payable.

The Company reiterates its 2022 total sales volume guidance of 1,950 – 2,050 Bcfe under a maintenance production program. Incorporating the Company's current inflation outlook, 2022 capital expenditures are now expected to total $1.400 – $1.500 billion, or $0.68 – $0.77 per Mcfe, excluding capital expenditures attributable to noncontrolling interests. The Company has started phasing in its next generation well design and has seen encouraging early results. Given the time required to develop wells that are part of the Company's large-scale combo-development model, the Company continues to expect preliminary results of its investment by the end of 2022 and full visibility by the middle of 2024.

Per Unit Operating Costs
The following presents certain of the Company's production-related operating costs on a per unit basis.
Three Months Ended
June 30,
Six Months Ended
June 30,
Per Unit ($/Mcfe)2022202120222021
Gathering$0.68 $0.68 $0.66 $0.68 
Transmission0.30 0.31 0.30 0.31 
Processing0.10 0.11 0.10 0.11 
Lease operating expense (LOE)0.09 0.06 0.08 0.06 
Production taxes0.08 0.05 0.07 0.05 
SG&A0.12 0.12 0.13 0.11 
Total per unit operating costs$1.37 $1.33 $1.34 $1.32 
Production depletion$0.85 $0.90 $0.85 $0.90 

LOE increased on a per Mcfe basis for the three months ended June 30, 2022 compared to the same period in 2021 due primarily to higher salt water disposal costs.

Production taxes increased on a per Mcfe basis for the three months ended June 30, 2022 compared to the same period in 2021 due to increased West Virginia severance taxes, which resulted primarily from higher prices, and increased Pennsylvania impact fees, which resulted from the additional wells acquired in the Alta Acquisition, higher prices and inflation.

Liquidity
As of June 30, 2022, the Company had $100 million in credit facility borrowings and $208 million of letters of credit outstanding under its $2.5 billion credit facility. As of June 30, 2022, both total debt and net debt(1) were $5.0 billion, compared to $5.6 billion and $5.5 billion, respectively, as of December 31, 2021.

(1)A non-GAAP financial measure. See the Non-GAAP Disclosures section of this news release for the definition of, and other important information regarding, this non-GAAP financial measure.
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2022 GUIDANCE
Production
Q3 2022
Full Year 2022
Total sales volume (Bcfe)475 – 5251,950 – 2,050
  Liquids sales volume, excluding ethane (Mbbls)2,625 – 2,72510,250 – 10,750
  Ethane sales volume (Mbbls)1,475 – 1,5756,700 – 6,800
Total liquids sales volume (Mbbls)4,100 – 4,30016,950 – 17,550
Btu uplift (MMbtu / Mcf) 1.050 – 1.0601.045 – 1.055
Average differential ($ / Mcf)($0.90) – ($0.80)($0.75) – ($0.50)
Resource Counts
Top-hole Rigs1 – 2
Horizontal Rigs2 – 3
Frac Crews2 – 3
Per Unit Operating Costs ($ / Mcfe)
Gathering
$0.66 – $0.68$0.66 – $0.68
Transmission
$0.29 – $0.31$0.29 – $0.31
Processing$0.09 – $0.11$0.08 – $0.10
LOE$0.10 – $0.12$0.08 – $0.10
Production taxes$0.07 – $0.09$0.06 – $0.08
SG&A$0.12 – $0.14$0.11 – $0.13
   Total per unit operating costs$1.33 – $1.45$1.28 – $1.40
Financial ($ Billions)
Adjusted EBITDA (a)
$3.850 – $4.050
Adjusted operating cash flow (a)
$3.700 – $3.900
Capital expenditures (b)
$0.350 – $0.400$1.400 – $1.500
Free cash flow (a)
$2.200 – $2.500
Based on NYMEX natural gas price of $6.98 per MMbtu as of July 22, 2022.

(a)A non-GAAP financial measure. See the Non-GAAP Disclosures section for the definition of, and other important information regarding, the non-GAAP financial measures included in this news release, including reasons why the Company is unable to provide a projection of its 2022 net cash provided by operating activities, the most comparable financial measure calculated in accordance with GAAP, to projected adjusted operating cash flow and free cash flow, or a projection of its 2022 net income, the most comparable financial measure calculated in accordance with GAAP, to projected adjusted EBITDA.
(b)Excludes amounts attributable to noncontrolling interests.

Second Quarter 2022 Earnings Webcast Information
The Company's conference call with securities analysts begins at 10:00 a.m. ET on Thursday July 28, 2022 and will be broadcast live via webcast. To access the live audio webcast, visit EQT's investor relations website at ir.eqt.com. A replay will be archived and available in the same location after the conclusion of the live event.
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HEDGING (as of July 22, 2022)
The following table summarizes the approximate volume and prices of the Company's NYMEX hedge positions. The difference between the fixed price and NYMEX price is included in average differential presented in the Company’s price reconciliation.
Q3 2022 (a)Q4 2022Q1 2023Q2 2023Q3 2023Q4 20232024
Hedged Volume (MMDth)272 284 216 258 261 225 17 
Hedged Volume (MMDth/d)3.0 3.1 2.4 2.8 2.8 2.4 — 
Swaps – Long
Volume (MMDth)125 157 41 41 42 14 — 
Avg. Price ($/Dth)$4.86 $5.59 $6.05 $4.77 $4.77 $4.77 $— 
Swaps – Short
Volume (MMDth)362 332 41 41 42 42 
Avg. Price ($/Dth)$2.93 $2.88 $2.53 $2.53 $2.53 $2.53 $2.67 
Calls – Long
Volume (MMDth)42 36 40 40 40 40 51 
Avg. Strike ($/Dth)$3.79 $2.79 $2.72 $2.72 $2.72 $2.72 $3.20 
Calls – Short
Volume (MMDth)145 195 202 274 277 182 66 
Avg. Strike ($/Dth)$3.33 $5.39 $8.07 $4.48 $4.48 $4.34 $3.11 
Puts – Long
Volume (MMDth)71 119 215 257 260 197 15 
Avg. Strike ($/Dth)$3.11 $4.82 $4.04 $3.06 $3.06 $3.08 $2.45 
Puts – Short
Volume (MMDth)37 11 — — — — — 
Avg. Strike ($/Dth)$3.12 $2.35 $— $— $— $— $— 
Fixed Price Sales
Volume (MMDth)— — 
Avg. Price ($/Dth)$2.38 $3.47 $4.09 $2.38 $2.38 $— $— 
Option Premiums
Cash Settlement of Deferred Premiums (millions)$— $— $(61)$(42)$(42)$(45)$— 
(a) July 1 through September 30.

For 2022 (July 1 through December 31), 2023 and 2024, the Company has natural gas sales agreements for approximately 9 MMDth, 88 MMDth and 11 MMDth, respectively, that include average NYMEX ceiling prices of $3.17, $2.84 and $3.21, respectively.

The Company has also entered into transactions to hedge basis. The Company may use other contractual agreements from time to time to implement its commodity hedging strategy.
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NON-GAAP DISCLOSURES

Adjusted Net Income Attributable to EQT and Adjusted Earnings per Diluted Share (Adjusted EPS)
Adjusted net income attributable to EQT is defined as net income (loss) attributable to EQT Corporation, excluding gain on sale/exchange of long-lived assets, impairments, the revenue impact of changes in the fair value of derivative instruments prior to settlement and certain other items that impact comparability between periods. Adjusted EPS is defined as adjusted net income attributable to EQT divided by diluted weighted average common shares outstanding. Adjusted net income attributable to EQT and adjusted EPS are non-GAAP supplemental financial measures used by the Company's management to evaluate period-over-period earnings trends. The Company's management believes that these measures provide useful information to external users of the Company's consolidated financial statements, such as industry analysts, lenders and ratings agencies. Management uses adjusted net income attributable to EQT and adjusted EPS to evaluate earnings trends because the measures reflect only the impact of settled derivative contracts; thus, the measures exclude the often-volatile revenue impact of changes in the fair value of derivative instruments prior to settlement. These measures also exclude other items that affect the comparability of results or that are not indicative of trends in the ongoing business. Adjusted net income attributable to EQT and adjusted EPS should not be considered as alternatives to net income (loss) attributable to EQT Corporation or diluted earnings (loss) per share presented in accordance with GAAP.

The table below reconciles adjusted net income attributable to EQT and adjusted EPS with net income (loss) attributable to EQT Corporation and diluted earnings (loss) per share, respectively, the most comparable financial measures calculated in accordance with GAAP, each as derived from the Statements of Condensed Consolidated Operations to be included in the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022.
Three Months Ended
June 30,
Six Months Ended
June 30,
20222021 (b)20222021 (b)
(Thousands, except per share information)
Net income (loss) attributable to EQT Corporation$891,361 $(933,260)$(624,687)$(970,687)
(Deduct) add:
Gain on sale/exchange of long-lived assets(981)(16,816)(2,190)(18,023)
Impairment and expiration of leases47,048 25,634 77,039 42,391 
Impairment of contract asset— — 184,945 — 
Loss on derivatives845,095 1,345,532 3,922,732 1,534,345 
Net cash settlements paid on derivatives(1,753,732)(71,441)(2,639,271)(109,581)
Premiums received (paid) for derivatives that settled during the period251 (9,579)(32,212)(19,305)
Other operating expenses7,120 5,225 23,467 14,668 
(Income) loss from investments(3,577)(11,829)17,208 (23,677)
Loss on debt extinguishment104,348 5,332 111,271 9,756 
Non-cash interest expense (amortization)3,173 3,083 6,573 5,715 
Tax impact of non-GAAP items (a)199,746 (321,873)(371,051)(362,878)
Adjusted net income attributable to EQT$339,852 $20,008 $673,824 $102,724 
Diluted weighted average common shares outstanding407,303 316,858 409,234 316,062 
Diluted earnings (loss) per share$2.19 $(3.34)$(1.68)$(3.48)
Adjusted EPS$0.83 $0.06 $1.65 $0.33 

(a)The tax impact of non-GAAP items represents the incremental tax (expense) benefit that would have been incurred had these items been excluded from net loss attributable to EQT Corporation, which resulted in blended tax rates of 26.6% and 25.2% for the three months ended June 30, 2022 and 2021, respectively, and 22.2% and 25.3% for
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the six months ended June 30, 2022 and 2021, respectively. The rates differ from the Company's statutory tax rate due primarily to state taxes, including valuation allowances limiting certain state tax benefits.

(b)The Company adopted accounting guidance on January 1, 2022 which changed the amounts historically recorded for the Company's convertible senior notes. The amounts presented for the three and six months ended June 30, 2021 have been recast to reflect this adoption. See the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022 for further discussion.

Adjusted EBITDA
Adjusted EBITDA is defined as net income (loss), excluding interest expense, income tax expense (benefit), depreciation and depletion, gain on sale/exchange of long-lived assets, impairments, the revenue impact of changes in the fair value of derivative instruments prior to settlement and certain other items that impact comparability between periods. Adjusted EBITDA is a non-GAAP supplemental financial measure used by the Company’s management to evaluate period-over-period earnings trends. The Company’s management believes that this measure provides useful information to external users of the Company's consolidated financial statements, such as industry analysts, lenders and ratings agencies. Management uses adjusted EBITDA to evaluate earnings trends because the measure reflects only the impact of settled derivative contracts; thus, the measure excludes the often-volatile revenue impact of changes in the fair value of derivative instruments prior to settlement. The measure also excludes other items that affect the comparability of results or that are not indicative of trends in the ongoing business. Adjusted EBITDA should not be considered as an alternative to net income (loss) presented in accordance with GAAP.

The table below reconciles adjusted EBITDA with net income (loss), the most comparable financial measure as calculated in accordance with GAAP, as reported in the Statements of Condensed Consolidated Operations to be included in the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022.
Three Months Ended
June 30,
Six Months Ended
June 30,
2022202120222021
(Thousands)
Net income (loss)$894,224 $(933,322)$(620,359)$(971,263)
Add (deduct):
Interest expense65,985 72,254 133,887 142,727 
Income tax expense (benefit)308,234 (346,311)(157,463)(359,270)
Depreciation and depletion429,143 380,288 851,241 757,404 
Gain on sale/exchange of long-lived assets(981)(16,816)(2,190)(18,023)
Impairment and expiration of leases47,048 25,634 77,039 42,391 
Impairment of contract asset— — 184,945 — 
Loss on derivatives845,095 1,345,532 3,922,732 1,534,345 
Net cash settlements paid on derivatives(1,753,732)(71,441)(2,639,271)(109,581)
Premiums received (paid) for derivatives that settled during the period251 (9,579)(32,212)(19,305)
Other operating expenses7,120 5,225 23,467 14,668 
(Income) loss from investments(3,577)(11,829)17,208 (23,677)
Loss on debt extinguishment104,348 5,332 111,271 9,756 
Adjusted EBITDA$943,158 $444,967 $1,870,295 $1,000,172 

The Company has not provided projected net income (loss) or a reconciliation of projected adjusted EBITDA to projected net income (loss), the most comparable financial measure calculated in accordance with GAAP. Net income (loss) includes the impact of depreciation and depletion expense, income tax expense (benefit), the revenue impact of changes in the projected fair value of derivative instruments prior to settlement and certain other items that impact comparability between periods and the tax effect of such items, which may be significant and difficult to project with a reasonable degree of accuracy. Therefore, projected net income (loss), and a reconciliation of projected adjusted EBITDA to projected net income (loss), are not available without unreasonable effort.

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Adjusted Operating Cash Flow and Free Cash Flow
Adjusted operating cash flow is defined as net cash provided by operating activities less changes in other assets and liabilities. Free cash flow is defined as adjusted operating cash flow less accrual-based capital expenditures, excluding capital expenditures attributable to noncontrolling interests. Adjusted operating cash flow and free cash flow are non-GAAP supplemental financial measures used by the Company's management to assess liquidity, including the Company's ability to generate cash flow in excess of its capital requirements and return cash to shareholders. The Company’s management believes that these measures provide useful information to external users of the Company's consolidated financial statements, such as industry analysts, lenders and ratings agencies. Adjusted operating cash flow and free cash flow should not be considered as alternatives to net cash provided by operating activities or any other measure of liquidity presented in accordance with GAAP.

The table below reconciles adjusted operating cash flow and free cash flow with net cash provided by operating activities, the most comparable financial measure calculated in accordance with GAAP, as derived from the Statements of Condensed Consolidated Cash Flows to be included in the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022.
Three Months Ended
June 30,
Six Months Ended
June 30,
2022202120222021
(Thousands)
Net cash provided by operating activities$230,421 $43,479 $1,251,640 $443,394 
Decrease in changes in other assets and liabilities685,893 353,114 553,186 448,637 
Adjusted operating cash flow$916,314 $396,593 $1,804,826 $892,031 
Less: Capital expenditures(376,267)(245,507)(686,400)(483,715)
Add: Capital expenditures attributable to noncontrolling interests2,581 3,785 4,435 5,057 
Free cash flow$542,628 $154,871 $1,122,861 $413,373 

The Company has not provided projected net cash provided by operating activities or reconciliations of projected adjusted operating cash flow and free cash flow to projected net cash provided by operating activities, the most comparable financial measure calculated in accordance with GAAP. The Company is unable to project net cash provided by operating activities for any future period because this metric includes the impact of changes in operating assets and liabilities related to the timing of cash receipts and disbursements that may not relate to the period in which the operating activities occurred. The Company is unable to project these timing differences with any reasonable degree of accuracy without unreasonable efforts such as predicting the timing of its payments and its customers’ payments, with accuracy to a specific day, months in advance. Furthermore, the Company does not provide guidance with respect to its average realized price, among other items, that impact reconciling items between net cash provided by operating activities and adjusted operating cash flow and free cash flow, as applicable. Natural gas prices are volatile and out of the Company’s control, and the timing of transactions and the income tax effects of future transactions and other items are difficult to accurately predict. Therefore, the Company is unable to provide projected net cash provided by operating activities, or the related reconciliations of projected adjusted operating cash flow and free cash flow to projected net cash provided by operating activities, without unreasonable effort.

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Adjusted EBITDA to Free Cash Flow Reconciliation
The table below reconciles adjusted EBITDA to free cash flow.
Three Months Ended
June 30,
Six Months Ended
June 30,
2022202120222021
(Thousands)
Adjusted EBITDA$943,158 $444,967 $1,870,295 $1,000,172 
(Deduct) add:
Interest expense(65,985)(72,254)(133,887)(142,727)
Non-cash interest expense (amortization)3,173 3,083 6,573 5,715 
Other operating expenses(7,120)(5,225)(23,467)(14,668)
Non-cash share-based compensation expense14,088 7,276 21,558 13,515 
Current income tax benefit (expense)647 (948)(7,213)41 
Amortization and other28,353 19,694 70,967 29,983 
Adjusted operating cash flow$916,314 $396,593 $1,804,826 $892,031 
Less: Capital expenditures(376,267)(245,507)(686,400)(483,715)
Add: Capital expenditures attributable to noncontrolling interest2,581 3,785 4,435 5,057 
Free cash flow$542,628 $154,871 $1,122,861 $413,373 

Adjusted Operating Revenues
Adjusted operating revenues is defined as total operating revenues, less the revenue impact of changes in the fair value of derivative instruments prior to settlement and net marketing services and other revenues. Adjusted operating revenues (also referred to as total natural gas and liquids sales, including cash settled derivatives) is a non-GAAP supplemental financial measure used by the Company’s management to evaluate period-over-period earnings trends. The Company’s management believes that this measure provides useful information to external users of the Company's consolidated financial statements, such as industry analysts, lenders and ratings agencies. Management uses adjusted operating revenues to evaluate earnings trends because the measure reflects only the impact of settled derivative contracts; thus, the measure excludes the often-volatile revenue impact of changes in the fair value of derivative instruments prior to settlement. The measure also excludes net marketing services and other revenues because it is unrelated to the revenue for the Company's natural gas and liquids production. Adjusted operating revenues should not be considered as an alternative to total operating revenues presented in accordance with GAAP.

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The table below reconciles adjusted operating revenues to total operating revenues, the most comparable financial measure calculated in accordance with GAAP, as reported in the Statements of Condensed Consolidated Operations to be included in the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022.
Three Months Ended
June 30,
Six Months Ended
June 30,
2022202120222021
(Thousands, unless otherwise noted)
Total operating revenues$2,527,508 $(260,116)$1,948,398 $689,807 
Add (deduct):
Loss on derivatives845,095 1,345,532 3,922,732 1,534,345 
Net cash settlements paid on derivatives(1,753,732)(71,441)(2,639,271)(109,581)
Premiums received (paid) for derivatives that settled during the period251 (9,579)(32,212)(19,305)
Net marketing services and other(7,392)(7,512)(19,295)(15,297)
Adjusted operating revenues$1,611,730 $996,884 $3,180,352 $2,079,969 
Total sales volume (MMcfe)501,517 420,595 993,792 835,785 
Average realized price ($/Mcfe)$3.21 $2.37 $3.20 $2.49 

Net Debt
Net debt is defined as total debt less cash and cash equivalents. Total debt includes the Company's current portion of debt, credit facility borrowings, senior notes and note payable to EQM Midstream Partners, LP. Net debt is a non-GAAP supplemental financial measure used by the Company’s management to evaluate leverage since the Company could choose to use its cash and cash equivalents to retire debt. The Company’s management believes that this measure provides useful information to external users of the Company's consolidated financial statements, such as industry analysts, lenders and ratings agencies. Net debt should not be considered as an alternative to total debt presented in accordance with GAAP.

The table below reconciles net debt with total debt, the most comparable financial measure calculated in accordance with GAAP, as derived from the Statements of Condensed Consolidated Balance Sheets to be included in the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022.

June 30, 2022December 31, 2021 (b)
(Thousands)
Current portion of debt (a)$440,900 $1,060,970 
Credit facility borrowings100,000 — 
Senior notes4,409,727 4,435,782 
Note payable to EQM Midstream Partners, LP91,442 94,320 
   Total debt5,042,069 5,591,072 
Less: Cash and cash equivalents43,745 113,963 
  Net debt$4,998,324 $5,477,109 

(a)Pursuant to the terms of the Company's convertible senior notes indenture, a sale price condition for conversion of the convertible notes was satisfied as of June 30, 2022 and December 31, 2021, and, accordingly, holders of convertible notes may convert any of their convertible notes, at their option, at any time during the subsequent quarter, subject to all terms and conditions set forth in the convertible notes indenture. Therefore, as of June 30, 2022 and December 31, 2021, the net carrying value of the Company's convertible notes was included in current portion of debt in the Consolidated Balance Sheets. See the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022 for further discussion.

(b)The Company adopted new accounting guidance on January 1, 2022 which changed the amounts historically recorded for the Company's convertible senior notes. As of December 31, 2021, net debt increased by $106 million compared to the previously reported amount. See the Company's Quarterly Report on Form 10-Q for the quarter ended June 30, 2022 for further discussion.
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Investor Contact:
Cameron Horwitz
Managing Director, Investor Relations & Strategy
412.395.2555
cameron.horwitz@eqt.com

About EQT Corporation
EQT Corporation is a leading independent natural gas production company with operations focused in the cores of the Marcellus and Utica Shales in the Appalachian Basin. We are dedicated to responsibly developing our world-class asset base and being the operator of choice for our stakeholders. By leveraging a culture that prioritizes operational efficiency, technology and sustainability, we seek to continuously improve the way we produce environmentally responsible, reliable and low-cost energy. We have a longstanding commitment to the safety of our employees, contractors, and communities, and to the reduction of our overall environmental footprint. Our values are evident in the way we operate and in how we interact each day – trust, teamwork, heart, and evolution are at the center of all we do.

EQT Management speaks to investors from time to time and the analyst presentation for these discussions, which is updated periodically, is available via EQT’s investor relations website at https://ir.eqt.com.

Cautionary Statements
This news release contains certain forward-looking statements within the meaning of Section 21E of the Securities Exchange Act of 1934, as amended, and Section 27A of the Securities Act of 1933, as amended. Statements that do not relate strictly to historical or current facts are forward-looking. Without limiting the generality of the foregoing, forward-looking statements contained in this news release specifically include the expectations of plans, strategies, objectives and growth and anticipated financial and operational performance of EQT Corporation and its subsidiaries (collectively, the Company), including guidance regarding the Company’s strategy to develop its reserves; drilling plans and programs (including the number and type of drilling rigs and the number of frac crews to be utilized by the Company); projected natural gas prices, basis and average differential; the impact of commodity prices on the Company's business; total resource potential; projected production and sales volume and growth rates; projected well costs and unit costs; the timing of implementation of the Company’s new well design and the projected benefits thereof; the Company's ability to successfully implement and execute its operational, organizational, technological and environmental, social and governance (ESG) initiatives, including the projected timing of achieving its emissions reduction goals, and the Company's ability to achieve the anticipated results of such initiatives; the amount and timing of any redemptions, repayments or repurchases of the Company's common stock, outstanding debt securities or other debt instruments; the Company’s ability to reduce its debt and the timing of such reductions, if any; projected dividends, if any; projected free cash flow, adjusted operating cash flow, and adjusted EBITDA; liquidity and financing requirements, including funding sources and availability; the Company's ability to maintain or improve its credit ratings, leverage levels and financial profile, and the timing of achieving such improvements, if at all; the Company’s hedging strategy and projected margin posting obligations; the Company’s tax position and projected effective tax rate; and the expected impact of changes in laws.

The forward-looking statements included in this news release involve risks and uncertainties that could cause actual results to differ materially from projected results. Accordingly, investors should not place undue reliance on forward-looking statements as a prediction of actual results. The Company has based these forward-looking statements on current expectations and assumptions about future events, taking into account all information currently known by the Company. While the Company considers these expectations and assumptions to be reasonable, they are inherently subject to significant business, economic, competitive, regulatory and other risks and uncertainties, many of which are difficult to predict and beyond the Company’s control. These risks and uncertainties include, but are not limited to, volatility of commodity prices; the costs and results of drilling and operations; uncertainties about estimates of reserves, identification of drilling locations and the ability to add proved reserves in the future; the assumptions underlying production forecasts; the quality of technical data; the Company’s ability to appropriately allocate capital and resources among its strategic opportunities; access to and cost of capital; the Company’s hedging and other financial contracts; inherent hazards and risks normally incidental to drilling for, producing, transporting and storing natural gas, natural gas liquids (NGLs) and oil; cyber security risks; availability and cost of drilling rigs, completion services, equipment, supplies, personnel, oilfield services and water required to execute the Company's exploration and development plans, including as a result of the COVID-19 pandemic; risks associated with operating primarily in the Appalachian Basin and obtaining a substantial amount of the Company’s midstream services from Equitrans Midstream Corporation; the ability to obtain environmental and other permits and the timing thereof; government regulation or action, including regulations pertaining to methane and other greenhouse gas emissions; negative public perception of the fossil fuels industry; increased consumer demand for alternatives to natural gas; environmental and weather risks, including the possible impacts of climate change; and disruptions to the Company’s business due to acquisitions and other significant transactions. These and other risks are described under Item 1A, “Risk Factors,” and elsewhere in the Company's Annual Report on Form 10-K for the year ended December 31, 2021 and other documents the Company files from time to time with the Securities and Exchange Commission. In addition, the Company may be subject to currently unforeseen risks that may have a materially adverse impact on it.

Any forward-looking statement speaks only as of the date on which such statement is made, and the Company does not intend to correct or update any forward-looking statement, whether as a result of new information, future events or otherwise, except as required by law.

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EQT CORPORATION AND SUBSIDIARIES
STATEMENTS OF CONDENSED CONSOLIDATED OPERATIONS (UNAUDITED)
Three Months Ended
June 30,
Six Months Ended
June 30,
 2022202120222021
(Thousands, except per share amounts)
Operating revenues:
Sales of natural gas, natural gas liquids and oil$3,365,211 $1,077,904 $5,851,835 $2,208,855 
Loss on derivatives(845,095)(1,345,532)(3,922,732)(1,534,345)
Net marketing services and other7,392 7,512 19,295 15,297 
Total operating revenues2,527,508 (260,116)1,948,398 689,807 
Operating expenses:    
Transportation and processing539,704 464,016 1,055,808 909,800 
Production82,556 47,546 153,568 94,776 
Exploration1,741 1,779 2,513 2,728 
Selling, general and administrative59,276 49,853 128,372 94,859 
Depreciation and depletion429,143 380,288 851,241 757,404 
Gain on sale/exchange of long-lived assets(981)(16,816)(2,190)(18,023)
Impairment of contract asset— — 184,945 — 
Impairment and expiration of leases47,048 25,634 77,039 42,391 
Other operating expenses7,120 5,225 23,467 14,668 
Total operating expenses1,165,607 957,525 2,474,763 1,898,603 
Operating income (loss)1,361,901 (1,217,641)(526,365)(1,208,796)
(Income) loss from investments(3,577)(11,829)17,208 (23,677)
Dividend and other income(7,313)(3,765)(10,909)(7,069)
Loss on debt extinguishment104,348 5,332 111,271 9,756 
Interest expense65,985 72,254 133,887 142,727 
Income (loss) before income taxes1,202,458 (1,279,633)(777,822)(1,330,533)
Income tax expense (benefit)308,234 (346,311)(157,463)(359,270)
Net income (loss)894,224 (933,322)(620,359)(971,263)
Less: Net income (loss) attributable to noncontrolling interests2,863 (62)4,328 (576)
Net income (loss) attributable to EQT Corporation$891,361 $(933,260)$(624,687)$(970,687)
Income (loss) per share of common stock attributable to EQT Corporation:
Basic:    
Weighted average common stock outstanding369,866 279,156 372,023 278,996 
Net income (loss)$2.41 $(3.34)$(1.68)$(3.48)
Diluted:    
Weighted average common stock outstanding407,303 279,156 372,023 278,996 
Net income (loss)$2.19 $(3.34)$(1.68)$(3.48)

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EQT CORPORATION AND SUBSIDIARIES
PRICE RECONCILIATION
Three Months Ended
June 30,
Six Months Ended
June 30,
2022202120222021
(Thousands, unless otherwise noted)
NATURAL GAS 
Sales volume (MMcf)476,723 394,268 942,859 784,566 
NYMEX price ($/MMBtu)$7.16 $2.84 $6.05 $2.76 
Btu uplift0.38 0.16 0.31 0.15 
Natural gas price ($/Mcf)$7.54 $3.00 $6.36 $2.91 
Basis ($/Mcf) (a)$(0.88)$(0.57)$(0.56)$(0.41)
Cash settled basis swaps ($/Mcf)0.01 (0.02)(0.10)(0.05)
Average differential, including cash settled basis swaps ($/Mcf)$(0.87)$(0.59)$(0.66)$(0.46)
Average adjusted price ($/Mcf)$6.67 $2.41 $5.70 $2.45 
Cash settled derivatives ($/Mcf)(3.66)(0.13)(2.71)(0.07)
Average natural gas price, including cash settled derivatives ($/Mcf)$3.01 $2.28 $2.99 $2.38 
Natural gas sales, including cash settled derivatives$1,433,018 $897,429 $2,816,214 $1,869,923 
LIQUIDS
NGLs, excluding ethane:
Sales volume (MMcfe) (b)14,568 16,158 29,202 30,758 
Sales volume (Mbbl)2,428 2,693 4,867 5,126 
NGLs price ($/Bbl)$58.48 $34.83 $61.27 $36.00 
Cash settled derivatives ($/Bbl)(4.67)(9.31)(4.76)(6.31)
Average NGLs price, including cash settled derivatives ($/Bbl)$53.81 $25.52 $56.51 $29.69 
NGLs sales$130,641 $68,737 $275,022 $152,180 
Ethane:
Sales volume (MMcfe) (b)8,768 7,803 18,607 16,390 
Sales volume (Mbbl)1,461 1,301 3,101 2,732 
Ethane price ($/Bbl)$17.70 $6.58 $13.92 $6.62 
Ethane sales$25,865 $8,560 $43,154 $18,094 
Oil:
Sales volume (MMcfe) (b)1,458 2,366 3,124 4,071 
Sales volume (Mbbl)243 394 521 678 
Oil price ($/Bbl)$91.38 $56.18 $88.27 $58.61 
Oil sales$22,206 $22,158 $45,962 $39,772 
Total liquids sales volume (MMcfe) (b)24,794 26,327 50,933 51,219 
Total liquids sales volume (Mbbl)4,132 4,388 8,489 8,536 
Total liquids sales$178,712 $99,455 $364,138 $210,046 
TOTAL
Total natural gas and liquids sales, including cash settled derivatives (c)$1,611,730 $996,884 $3,180,352 $2,079,969 
Total sales volume (MMcfe)501,517 420,595 993,792 835,785 
Average realized price ($/Mcfe)$3.21 $2.37 $3.20 $2.49 

(a)Basis represents the difference between the ultimate sales price for natural gas, including the effects of delivered price benefit or deficit associated with the Company's firm transportation agreements, and the NYMEX natural gas price.
(b)NGLs, ethane and oil were converted to Mcfe at a rate of six Mcfe per barrel.
(c)Also referred to in this report as adjusted operating revenues, a non-GAAP supplemental financial measure.
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Cover Page Document
Jul. 27, 2022
Cover [Abstract]  
Entity Central Index Key 0000033213
Document Type 8-K
Document Period End Date Jul. 27, 2022
Entity Registrant Name EQT CORPORATION
Entity Incorporation, State or Country Code PA
Entity File Number 001-3551
Entity Tax Identification Number 25-0464690
Entity Address, Address Line One 625 Liberty Avenue, Suite 1700
Entity Address, City or Town Pittsburgh
Entity Address, State or Province PA
Entity Address, Postal Zip Code 15222
City Area Code 412
Local Phone Number 553-5700
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common Stock, no par value
Trading Symbol EQT
Security Exchange Name NYSE
Entity Emerging Growth Company false
Amendment Flag false

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