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Price: -- -- | CONSENSUS: Hold DETAILS
STRONG
BUY
0
BUY 19
HOLD 27
SELL 5
STRONG
SELL
0
| PRICE TARGET: $35.40 DETAILS
HIGH: $45.00
LOW: $22.00
MEDIAN: $39.00
CONSENSUS: $35.40
DOWNSIDE: 8.76%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Revenue
Revenue 8,920 9,737 8,279 11,075 7,985 4,435 6,491 7,348 5,887 5,367 6,383 12,795 14,771 16,428 16,810 12,183 8,614.8 12,389.8 9,962.0 8,074.3 7,584.2 5,332.6 4,190.3 2,559.7 2,777.1 2,283.9 1,300.4 876.4 1,180.7 976 750.4 537.8 463.2
Cost of Revenue 5,591 5,435 4,052 4,820 4,445 3,530 4,575 4,192 3,859 4,312 8,281 7,037 8,804 9,960 7,105 5,293 143 2,066.1 1,824.0 1,466.7 1,140.7 946.6 760.1 500.7 407.1 255.3 190.6 182.1 425.6 364.3 303 183 172.3
Gross Profit 3,329 4,302 4,227 6,255 3,540 905 1,916 3,156 2,028 1,055 (1,898) 5,758 5,967 6,468 9,705 6,890 8,471.8 10,323.6 8,137.9 6,607.6 6,443.5 4,385.9 3,430.2 2,059.1 2,370.0 2,028.7 1,109.8 694.3 755.1 611.7 447.4 354.8 290.9
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 350 372 351 483 376 290 406 431 395 410 380 453 481 531 459 380 344 288.8 275.1 211.3 198.3 173.2 138.5 104.6 88.7 75.6 53.9 40.7 38.2 35.9 36.6 34.9 33.2
Other Expenses 229 731 518 690 472 442 1,065 756 921 789 444 2,945 1,316 963 975 892 7,560 8,835.1 2,889.8 2,094.8 1,868.9 1,315.9 1,247.8 908.8 893.1 650.3 447.7 630.5 387.9 320.2 302.2 236.5 180.2
Operating Expenses 579 1,103 869 1,173 848 732 1,471 1,187 1,316 1,199 821 3,398 1,797 1,494 1,434 1,272 7,904 9,123.9 3,164.8 2,306.1 2,067.2 1,489.1 1,386.3 1,013.4 981.8 725.9 501.6 671.2 426.1 356.1 338.8 271.4 213.4
Operating Income
Operating Income 2,750 3,199 3,358 5,082 2,692 173 445 1,969 712 (144) (2,335) 2,360 4,170 5,122 8,315 5,618 568 1,188.9 4,951.2 4,325.0 4,376.3 2,896.8 2,043.8 1,045.6 1,388.2 1,302.8 426.8 (117.0) 329 255.6 108.6 83.4 77.5
Interest Expense 113 379 331 322 418 434 400 406 415 424 482 414 245 182 175 242 248 280.5 0 158.2 122.2 0 116.2 0 0 168.1 0 0 0 0 0 0 0
Interest Income 0 12 10 10 8 7 13 22 19 8 10 1 0 10 17 13 12 23.9 0 16.3 5.9 0 3.3 0 0 2.2 0 0 0 0 0 0 0
Profitability
EBITDA 5,435 4,174 4,750 7,613 3,661 (2,642) 65 3,760 3,604 1,869 (5,647) (1,890) 10,019 11,899 12,467 8,812 5,787 9,063.1 7,299.0 5,821.9 5,792.0 4,121.5 3,169.9 1,891.4 2,211.5 1,893.9 869.7 509.0 716.9 575.8 410.8 319.9 257.7
EBIT 2,904 1,908 3,210 6,056 2,301 (4,414) (2,615) 1,355 1,333 (1,258) (11,698) (6,416) 4,153 5,018 8,263 5,431 574 1,212.8 4,951.2 4,005.5 4,376.3 2,896.8 2,094.4 1,045.6 1,388.2 1,310.3 426.8 (117.0) 329 255.6 108.6 83.4 77.5
Income Before Tax 2,791 1,535 2,883 5,734 1,891 (4,840) (3,008) 958 918 (1,682) (12,169) (6,830) 3,908 4,877 8,093 5,206 326.4 932.4 4,672.6 4,009.6 4,206.3 2,663.1 1,922.3 899.0 1,199.3 1,196.1 344.6 (187.6) 258.6 200.2 33.1 64.4 57.9
Income Tax Expense 1,099 417 (324) 1,652 578 64 674 672 (585) (442) (1,010) (518) 1,928 2,876 3,509 2,174 610.8 220.4 1,860.3 1,457.1 1,582.5 993.0 827.0 344.6 475.9 483.1 143.7 (58.2) 103.7 78.8 12.9 21.6 20.6
Net Income 1,434 804 2,855 3,674 1,135 (4,784) (3,515) 40 1,304 (1,405) (10,352) (8,360) 2,232 2,001 4,584 3,032 (284.4) 712.0 2,812.4 2,552.5 2,623.7 1,668.8 1,121.9 554.3 723.4 713.1 200.9 (129.4) 154.9 121.4 20.2 42.8 37.3
Per Share Data
EPS (Basic) 3.99 2.28 9.27 11.07 2.60 -12.86 -9.43 0.10 3.42 -3.71 -61.19 -14.07 5.53 4.95 11.75 8.53 -0.87 2.11 8.45 7.72 7.96 5.10 3.46 1.83 2.33 2.54 0.75 -0.58 0.74 0.61 0.12 0.30 0.26
EPS (Diluted) 3.99 2.28 9.25 11.02 2.59 -12.86 -9.43 0.10 3.41 -3.71 -61.20 -14.07 5.50 4.92 11.47 8.46 -0.87 2.09 8.39 7.64 7.84 5.03 3.43 1.80 2.25 2.46 0.74 -0.58 0.71 0.60 0.12 0.30 0.26
Shares Outstanding 359 353 308 332 374 378 377 382 381 379 378 384 395 389 384 352 336 334.4 332.2 329.9 328.9 326.1 322.6 297.0 302.2 272.9 249.0 226.6 209.3 197.6 165.8 141.6 141.5
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2009 2008 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Current Assets
Cash & Cash Equivalents 516 625 87 245 302 262 247 714 1,668 1,377 2,048.1 1,181.5 111.1 33.5 51.9 35.6 37.2 13.2 14.5 9.7 13.2 13.6 15.1 17.1
Short-Term Investments 0 0 0 0 0 0 0 0 0 0 0 792.0 0 0 0 103.0 0 0 0 0 0 0 0 0
Net Receivables 1,062 1,959 1,610 1,466 1,394 908 1,062 1,194 1,345 1,128 1,545.7 1,357.0 939.7 639.1 527.7 456.6 506.7 259.5 159.8 224 234.6 175.9 101.8 91.8
Inventory 351 425 453 427 473 492 502 401 368 476 533.3 498.6 157.3 125.9 109.2 102.5 54.8 45.1 40.9 36 14 9.8 8.9 7.2
Other Current Assets 99 211 224 481 156 0 0 0 0 0 81.4 0 82.9 58.1 45.3 0 31.4 25.3 11.8 78.6 6.4 9 9.1 6.8
Total Current Assets 2,121 3,404 2,462 2,708 2,380 1,846 1,961 2,687 3,725 3,241 4,585.8 4,451.0 1,348.8 899.1 766.8 697.7 630.0 343.1 227 348.3 268.2 208.3 134.9 122.9
Non-Current Assets
Property, Plant & Equipment 12,748 12,646 10,038 9,012 8,335 8,819 14,158 18,421 17,759 18,867 22,900.6 23,958.5 13,860.4 11,260.1 8,465.6 8,013.1 6,812.5 5,115.9 3,727.5 3,733.2 3,100.1 2,401.6 1,685.4 1,436.5
Goodwill 0 0 0 0 0 0 87 0 0 87 189.3 189.3 0 0 0 188.8 0 0 0 0 0 0 0 0
Intangible Assets 0 0 0 0 0 0 0 0 0 0 0 0 189.3 189.3 189.3 0 0 0 0 0 0 0 0 0
Long-Term Investments 21 0 437 624 1,365 1,555 1,258 121 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Non-Current Assets 543 637 549 764 1,223 526 643 353 438 324 510.0 587.7 104.1 67.7 38.2 34.0 39.5 43.5 41.6 57.1 64.1 71.6 58.7 33
Total Non-Current Assets 16,877 15,986 12,782 10,439 10,923 10,900 16,146 18,895 18,197 19,278 23,599.9 24,735.5 14,153.7 11,517.1 8,693.1 8,235.9 6,851.9 5,159.4 3,769.1 3,790.3 3,164.2 2,473.2 1,744.1 1,469.5
Total Assets 18,998 19,390 15,244 13,147 13,303 12,746 18,107 21,582 21,922 22,519 28,185.7 29,186.5 15,502.5 12,416.1 9,459.9 8,933.7 7,481.9 5,502.5 3,996.1 4,138.6 3,432.4 2,681.5 1,879 1,592.4
Current Liabilities
Account Payables 871 1,224 658 771 731 444 695 709 641 585 396.6 548.9 542.1 300.6 214.3 179.8 259.1 148.3 115.1 178.4 174.9 138.3 87.7 118.4
Short-Term Debt 310 53 2 2 215 2 11 150 550 0 117.3 112.6 0 0 0 342.7 25 6.2 15.5 17.2 2 3 0.1 9
Deferred Revenue 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Other Current Liabilities 1,012 582 864 1,311 601 323 154 214 239 317 866.1 1,841.2 579.1 519.8 317.9 0 269.2 182.3 175.2 148.2 132.8 89 60 58
Total Current Liabilities 2,571 2,955 2,404 2,916 2,117 1,308 1,855 2,201 2,564 1,843 2,393 2,615.2 1,282.9 820.4 532.2 522.5 553.3 336.8 305.8 343.8 309.7 230.3 147.8 185.4
Non-Current Liabilities
Long-Term Debt 4,255 5,991 5,186 5,451 7,295 8,770 8,555 8,054 7,934 8,544 4,950.4 4,809.0 2,588.4 2,327.0 2,158.8 2,244.4 2,193.3 1,879.7 1,343.3 1,501.4 1,235.7 1,072.1 657.5 453
Deferred Tax Liabilities 1,237 14 371 314 148 215 346 391 545 1,710 2,764.9 3,166.7 2,146.6 1,697.2 1,120.6 991.7 699.8 360.3 270.5 355.6 254.8 181.6 156.2 128.6
Other Non-Current Liabilities 3,687 4,068 3,592 3,121 4,460 3,098 2,886 2,124 2,088 2,743 2,299.3 2,086.9 1,280.1 1,038.7 287.3 316.0 280.9 256.3 274.7 208.6 113.7 105.7 101.3 39.5
Total Non-Current Liabilities 9,424 10,073 9,149 8,886 11,903 12,083 11,787 10,569 10,567 12,997 10,014.6 10,062.5 6,015.2 5,062.9 4,003.3 3,552.0 3,174.0 2,496.3 1,888.5 2,065.6 1,604.2 1,359.4 915 621.1
Total Liabilities 11,995 13,028 11,553 11,802 14,020 13,391 13,642 12,770 13,131 14,840 12,407 12,677.8 7,298.1 5,883.3 4,535.6 4,074.5 3,727.3 2,833.1 2,194.3 2,409.4 1,913.9 1,589.7 1,062.8 806.5
Stockholders' Equity
Common Stock 308 307 263 262 262 262 261 260 259 258 215.0 214.2 209.3 207.8 194.3 176.5 158.1 145.5 124.7 0 0 0 0 0
Retained Earnings (721) (2,155) (2,959) (5,814) (9,488) (10,461) (5,601) (2,048) (2,088) (3,385) 11,436.6 11,929.8 4,017.3 2,445.7 1,427.6 1,336.5 1,226.5 558.7 403.1 562 432.6 335.4 207.9 182.2
Accumulated Other Comprehensive Income 10 12 15 14 22 14 16 4 4 (112) (290.5) 21.8 (129.5) (151.9) (112.9) (101.8) (40.2) (8.4) (33.2) (2,647.5) (2,281.3) 0 0 0
Total Stockholders' Equity 6,093 5,280 2,655 423 (1,595) (1,639) 3,255 7,130 7,416 6,238 15,778.6 16,508.7 8,204.4 6,532.8 4,924.3 4,418.5 3,754.6 2,669.4 1,801.8 1,729.2 1,518.5 1,091.8 816.2 785.9
Total Liabilities & Equity 18,998 19,390 15,244 13,147 13,303 12,746 18,107 21,582 21,922 22,519 28,185.7 29,186.5 15,502.5 12,416.1 9,459.9 8,933.7 7,481.9 5,502.5 3,996.1 4,138.6 3,432.4 2,681.5 1,879 1,592.4
Debt Metrics
Total Debt 4,810 6,162 5,304 5,620 7,609 8,888 8,735 8,204 8,484 8,544 5,067.7 4,921.6 2,588.4 2,327.0 2,158.8 2,587.0 2,218.3 1,885.9 1,358.8 1,518.6 1,237.7 1,075.1 657.6 462
Net Debt 4,294 5,537 5,217 5,375 7,307 8,626 8,488 7,490 6,816 7,167 3,019.6 3,740.1 2,477.3 2,293.5 2,106.9 2,551.4 2,181.1 1,872.7 1,344.3 1,508.9 1,224.5 1,061.5 642.5 444.9
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Operating Activities
Net Income 1,434 1,118 3,207 4,082 1,313 (4,904) (3,682) 286 1,503 (1,240) 2,623.7 1,668.8 1,121.9 554.3 723.4 713.1 200.9 (129.4) 154.9 121.4 20.2 42.8 37.3
Depreciation & Amortization 2,531 2,266 1,540 1,233 1,360 0 0 0 0 0 1,415.7 1,224.6 1,075.4 822.0 753.3 583.5 442.8 626.0 387.9 320.2 302.2 236.5 180.2
Stock-Based Compensation 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
Change in Working Capital 292 (535) (417) 121 37 (186) (3) 245 (320) 153 (412.1) (193.8) (94.7) (162.5) 77.4 (146.2) (89.1) 50.3 111 (17.2) (23.3) 26.2 (35.7)
Other Non-Cash Items (72) 1,507 461 (638) 860 6,590 6,538 3,468 2,425 4,350 106.0 87.1 56.9 29.1 75.5 28.2 6.1 6.5 1.7 4.8 3.6 4.7 22.7
Operating Cash Flow 4,545 3,620 3,129 4,943 3,496 1,388 2,867 3,777 2,428 2,430 4,332.3 3,231.5 2,705.9 1,380.7 1,934.7 1,529.4 638.2 471.5 723.8 490.5 332.1 335.6 225.1
Investing Activities
Capital Expenditure (2,766) (2,851) (2,357) (2,398) (1,110) (1,274) (2,961) (3,904) (2,760) (1,949) (3,715.9) (2,456.5) (1,594.9) (1,037.4) (1,524.8) (1,010.5) (591.3) (699.5) (731.9) (642.1) (1,149.6) (180) (439.6)
Acquisitions 611 0 5 (143) 0 (327) (1,172) (91) 0 0 0 (880.1) (1,365.2) (269.9) (989.0) (1,250.8) 0 0 0 0 0 13.4 0
Purchases of Investments 0 0 0 0 0 0 0 0 0 0 0 0 0 7.0 (103.9) 0 (5.3) 0 0 0 0 (5) 0
Sales/Maturities of Investments 0 0 228 224 0 0 0 0 0 0 0 0 0 101.7 380.4 0 0 26.1 0 7.2 0 6.6 0
Other Investing Activities 2 1,987 (14) 806 277 135 687 51 1,344 289 (16.0) (74.4) 1.4 (37.5) (76.8) 32.3 121.7 161.3 (334.3) 16.7 279.6 (354.7) (27)
Investing Cash Flow (2,153) (924) (2,138) (1,511) (833) (1,466) (3,446) (3,944) (1,416) (1,660) (3,731.8) (3,411.0) (2,958.8) (1,236.0) (2,314.1) (2,229.0) (1,769.8) (512.1) (1,066.2) (618.2) (870) (519.7) (466.6)
Financing Activities
Net Debt Issuance (1,403) (1,253) (259) (1,469) (1,403) 373 235 (378) (70) (181) (396.2) 261.4 167.5 (85.5) 24.4 332.4 527.1 (4.2) 355.9 150.1 355.6 195.6 113.4
Stock Repurchased (280) (246) (329) (1,423) (847) 0 0 (305) 0 0 0 0 0 0 (43.0) (20.3) (15.6) (21.4) (0.4) (1.7) 0 0 0
Dividends Paid (360) (353) (308) (207) (52) (146) (376) (382) (380) (379) (117.4) (90.4) (72.8) (68.9) (54.5) (52.9) (42.3) (28.2) (25.3) (23.4) (18.9) (17.1) (14.9)
Other Financing Activities (458) (306) (253) (390) (321) (135) 251 278 (271) (300) 5.4 52.0 (443.1) (6.7) 440.7 (0.8) (4.9) (0.6) (2.9) (5.8) (12.1) (1) (0.3)
Financing Cash Flow (2,501) (2,158) (1,149) (3,489) (2,623) 93 112 (787) (721) (860) (482.7) 257.1 234.5 (128.4) 377.8 723.6 1,130.2 45.5 338.9 127.3 521.6 182.1 232.4
Cash Position
Net Change in Cash (109) 538 (158) (57) 40 15 (467) (954) 291 (90) 117.8 77.6 (18.4) 16.3 (1.5) 24.0 (1.3) 4.8 (13.2) 127.3 (30) 182.1 232.4
Cash at Beginning 625 87 245 302 262 247 714 1,668 1,377 1,467 111.1 33.5 51.9 35.6 37.2 13.2 14.5 9.7 13.2 13.6 30 17.1 26.1
Cash at End 516 625 87 245 302 262 247 714 1,668 1,377 228.9 111.1 33.5 51.9 35.6 37.2 13.2 55.2 352.1 140.9 551.6 199.2 258.5
Free Cash Flow 1,779 769 772 2,545 2,386 114 (94) (127) (332) 481 616.4 775.0 1,111.0 343.4 410.0 518.9 46.9 (228) (8.1) (151.6) (817.5) 155.6 (214.5)
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999 1998 1997 1996 1995 1994 1993
Income Statement
Revenue 8,920 9,737 8,279 11,075 7,985 4,435 6,491 7,348 5,887 5,367 6,383 12,795 14,771 16,428 16,810 12,183 8,614.8 12,389.8 9,962.0 8,074.3 7,584.2 5,332.6 4,190.3 2,559.7 2,777.1 2,283.9 1,300.4 876.4 1,180.7 976 750.4 537.8 463.2
Gross Profit 3,329 4,302 4,227 6,255 3,540 905 1,916 3,156 2,028 1,055 (1,898) 5,758 5,967 6,468 9,705 6,890 8,471.8 10,323.6 8,137.9 6,607.6 6,443.5 4,385.9 3,430.2 2,059.1 2,370.0 2,028.7 1,109.8 694.3 755.1 611.7 447.4 354.8 290.9
Operating Income 2,750 3,199 3,358 5,082 2,692 173 445 1,969 712 (144) (2,335) 2,360 4,170 5,122 8,315 5,618 568 1,188.9 4,951.2 4,325.0 4,376.3 2,896.8 2,043.8 1,045.6 1,388.2 1,302.8 426.8 (117.0) 329 255.6 108.6 83.4 77.5
Net Income 1,434 804 2,855 3,674 1,135 (4,784) (3,515) 40 1,304 (1,405) (10,352) (8,360) 2,232 2,001 4,584 3,032 (284.4) 712.0 2,812.4 2,552.5 2,623.7 1,668.8 1,121.9 554.3 723.4 713.1 200.9 (129.4) 154.9 121.4 20.2 42.8 37.3
EPS (Diluted) 3.99 2.28 9.25 11.02 2.59 -12.86 -9.43 0.10 3.41 -3.71 -61.20 -14.07 5.50 4.92 11.47 8.46 -0.87 2.09 8.39 7.64 7.84 5.03 3.43 1.80 2.25 2.46 0.74 -0.58 0.71 0.60 0.12 0.30 0.26
Balance Sheet
Cash & Equivalents 516 625 87 245 302 262 247 714 1,668 1,377 2,048.1 1,181.5 111.1 33.5 51.9 35.6 37.2 13.2 14.5 9.7 13.2 13.6 15.1 17.1
Total Assets 18,998 19,390 15,244 13,147 13,303 12,746 18,107 21,582 21,922 22,519 28,185.7 29,186.5 15,502.5 12,416.1 9,459.9 8,933.7 7,481.9 5,502.5 3,996.1 4,138.6 3,432.4 2,681.5 1,879 1,592.4
Total Debt 4,810 6,162 5,304 5,620 7,609 8,888 8,735 8,204 8,484 8,544 5,067.7 4,921.6 2,588.4 2,327.0 2,158.8 2,587.0 2,218.3 1,885.9 1,358.8 1,518.6 1,237.7 1,075.1 657.6 462
Stockholders' Equity 6,093 5,280 2,655 423 (1,595) (1,639) 3,255 7,130 7,416 6,238 15,778.6 16,508.7 8,204.4 6,532.8 4,924.3 4,418.5 3,754.6 2,669.4 1,801.8 1,729.2 1,518.5 1,091.8 816.2 785.9
Cash Flow
Operating Cash Flow 4,545 3,620 3,129 4,943 3,496 1,388 2,867 3,777 2,428 2,430 4,332.3 3,231.5 2,705.9 1,380.7 1,934.7 1,529.4 638.2 471.5 723.8 490.5 332.1 335.6 225.1
Capital Expenditure (2,766) (2,851) (2,357) (2,398) (1,110) (1,274) (2,961) (3,904) (2,760) (1,949) (3,715.9) (2,456.5) (1,594.9) (1,037.4) (1,524.8) (1,010.5) (591.3) (699.5) (731.9) (642.1) (1,149.6) (180) (439.6)
Free Cash Flow 1,779 769 772 2,545 2,386 114 (94) (127) (332) 481 616.4 775.0 1,111.0 343.4 410.0 518.9 46.9 (228) (8.1) (151.6) (817.5) 155.6 (214.5)