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Additional Balance Sheet Information (Tables)
12 Months Ended
Dec. 31, 2025
Balance Sheet Related Disclosures [Abstract]  
Additional Balance Sheet Information
Certain balance sheet amounts are comprised of the following:
 December 31,
(In millions)20252024
Accounts receivable, net  
Trade accounts $968 $820 
Joint interest accounts 214 133 
Other accounts 29 — 
1,211 953 
Allowance for credit losses(3)(2)
$1,208 $951 
Inventories
  
Tubular goods and well equipment$43 $33 
Commodity inventory13 
$48 $46 
Other current assets  
Prepaid balances$10 $14 
Derivative instruments235 12 
Other accounts28 
$273 $27 
Other assets
Deferred compensation plan $21 $17 
Debt issuance costs10 
Derivative instruments— 
Operating lease right-of-use assets182 251 
Other accounts120 136 
$334 $414 
 December 31,
(In millions)20252024
Accounts payable  
Trade accounts $90 $59 
Royalty and other owners 479 402 
Accrued gathering, processing and transportation101 85 
Accrued capital costs 207 177 
Accrued lease operating costs86 48 
Taxes other than income 70 37 
Other accounts23 25 
$1,056 $833 
Accrued liabilities  
Employee benefits $82 $76 
Taxes other than income 34 46 
Restructuring liability — 13 
Derivative instruments17 
Operating lease liabilities68 115 
Financing lease liabilities — 
Other accounts 11 
$197 $276 
Other liabilities  
Deferred compensation plan $21 $17 
Postretirement benefits10 16 
Derivative instruments— 
Operating lease liabilities 120 145 
Other accounts87 77 
$238 $259