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Fair Value Measurements - Hierarchy of Fair Value, Assets and Liabilities Measured on Recurring Basis (Details) - Recurring - USD ($)
$ in Thousands
Jan. 31, 2023
Dec. 31, 2022
Jan. 31, 2022
Dec. 31, 2021
Assets:        
Total assets   $ 192,275   $ 44,865
Total liabilities   344,370   0
Commodity derivatives        
Assets:        
Total assets   780   55
Total liabilities   344,370 $ 27,500 204,729
Commodity derivatives | Subsequent Event        
Assets:        
Total liabilities $ 24,500      
Contingent consideration (see Note 9)        
Assets:        
Total assets   60,920   44,810
Investment in unconsolidated affiliate (see Note 14)        
Assets:        
Total assets   130,575    
Level 1        
Assets:        
Total assets   130,575   0
Total liabilities   0   0
Level 1 | Commodity derivatives        
Assets:        
Total assets   0   0
Total liabilities   0   0
Level 1 | Contingent consideration (see Note 9)        
Assets:        
Total assets   0   0
Level 1 | Investment in unconsolidated affiliate (see Note 14)        
Assets:        
Total assets   130,575    
Level 2        
Assets:        
Total assets   61,700   44,865
Total liabilities   329,676   204,729
Level 2 | Commodity derivatives        
Assets:        
Total assets   780   55
Total liabilities   329,676   204,729
Level 2 | Contingent consideration (see Note 9)        
Assets:        
Total assets   60,920   44,810
Level 2 | Investment in unconsolidated affiliate (see Note 14)        
Assets:        
Total assets   0    
Level 3        
Assets:        
Total assets   0   0
Total liabilities   14,694   0
Level 3 | Commodity derivatives        
Assets:        
Total assets   0   0
Total liabilities   14,694   0
Level 3 | Contingent consideration (see Note 9)        
Assets:        
Total assets   0   $ 0
Level 3 | Investment in unconsolidated affiliate (see Note 14)        
Assets:        
Total assets   $ 0