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Supplemental information on oil and gas producing activities (unaudited) - Future net cash flows (Details) - COP ($)
$ in Millions
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Supplemental information on oil and gas producing activities (unaudited)      
Future cash inflows $ 493,144,459 $ 425,761,732 $ 685,716,359
Future costs      
Production [1] (193,522,901) (158,870,388) (182,522,131)
Development (49,298,761) (40,675,517) (58,332,264)
Income taxes (84,245,300) (80,373,445) (201,912,509)
Future net cash flow 166,077,497 145,842,382 242,949,455
10% discount factor (48,561,554) (49,557,596) (86,340,334)
Standardized measure of discounted net cash flows $ 117,515,943 $ 96,284,786 $ 156,609,121
[1] Production future costs include the estimated costs related to assets retirement obligations in the amount of $25,448,529, $22,615,261, and $23,234,408, as of December 31, 2024, 2023, and 2022, respectively.