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Consolidated Statements of Changes in Stockholders' Equity - USD ($)
$ in Thousands
Total
Cumulative Effect, Period of Adoption, Adjustment
Common Stock
Treasury Stock
Additional Paid-in-Capital
Additional Paid-in-Capital
Regular Cash Dividend
Retained Earnings (Deficit)
Retained Earnings (Deficit)
Cumulative Effect, Period of Adoption, Adjustment
Non-controlling Interests
Increase (Decrease) in Stockholders' Equity [Roll Forward]                  
Beginning balance (in shares)     318,377,000 2,092,000          
Beginning balance $ 3,918,880   $ 3,157 $ (29,025) $ 3,077,755   $ 682,689   $ 184,304
Ending balance (in shares)     318,377,000 2,092,000          
Ending balance 3,918,880   $ 3,157 $ (29,025) 3,077,755   682,689   184,304
Equity-based compensation (in shares)     3,729,000            
Equity-based compensation 35,392   $ 32   34,982       378
Distributions to non-controlling interest owners (21,270)               (21,270)
Treasury stock - tax withholdings (in shares)     (875,000) (875,000)          
Treasury stock - tax withholdings (4,856)     $ (4,856)          
Other (418)       (353)       (65)
Net income (loss) $ (90,647)           (128,243)   37,596
Accounting Standards Update [Extensible List] Accounting Standards Update 2016-13 [Member]                
Beginning balance (in shares)     321,231,000 2,967,000          
Beginning balance $ 3,837,081 $ (410) $ 3,189 $ (33,881) 3,112,384   554,446 $ (410) 200,943
Ending balance (in shares)     321,231,000 2,967,000          
Ending balance 3,837,081 $ (410) $ 3,189 $ (33,881) 3,112,384   554,446 $ (410) 200,943
Equity-based compensation (in shares)     1,080,000            
Equity-based compensation 31,734   $ 44   31,454       236
Distributions to non-controlling interest owners (24,080)               (24,080)
Treasury stock - tax withholdings (in shares)     (2,010,000) (2,010,000)          
Treasury stock - tax withholdings (2,756)     $ (2,756)          
Equity component of senior unsecured convertible notes, net (337)       (337)        
Net income (loss) (3,724,611)           (3,640,328)   (84,283)
Cancellation in Predecessor equity (in shares)     (320,301,000) (4,977,000)          
Cancellation of Predecessor equity (23,805)   $ (3,233) $ 36,637 (3,143,501)   3,086,292    
Issuance of Successor common stock (in shares)     20,000,000            
Issuance of Successor common stock 941,810   $ 200   941,610        
Issuance of Successor warrants 23,805       23,805        
Beginning balance (in shares)     20,000,000 0          
Beginning balance 1,058,431   $ 200 $ 0 965,415   0   92,816
Ending balance (in shares)     20,000,000 0          
Ending balance 1,058,431   $ 200 $ 0 965,415   0   92,816
Equity-based compensation (in shares)     93,000            
Equity-based compensation 270   $ 0   239       31
Net income (loss) (45,962)           (49,912)   3,950
Beginning balance (in shares)     20,093,000 0          
Beginning balance 1,012,739   $ 200 $ 0 965,654   (49,912)   96,797
Ending balance (in shares)     20,093,000 0          
Ending balance 1,012,739   $ 200 $ 0 965,654   (49,912)   96,797
Equity-based compensation (in shares)     3,000            
Equity-based compensation 15,476   $ 0   14,685       791
Dividends (116,852)         $ (116,852)      
Distributions to non-controlling interest owners (28,720)               (28,720)
Issuance of Oasis Midstream Partners common units 86,467               86,467
Midstream Simplification (Note 5) 0       2,358       (2,358)
Common control transaction costs (5,675)       (5,675)        
Warrants exercised (in shares)     51,000            
Warrants exercised $ 2,840       2,840        
Repurchase of common stock (in shares) (871,018)   (871,000) (871,000)          
Repurchase of common stock $ (100,000)     $ (100,000)          
Net income (loss) 355,298           319,602   35,696
Beginning balance (in shares)     19,276,000 871,000          
Beginning balance 1,221,573   $ 200 $ (100,000) 863,010   269,690   188,673
Ending balance (in shares)     19,276,000 871,000          
Ending balance $ 1,221,573   $ 200 $ (100,000) $ 863,010   $ 269,690   $ 188,673