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Fair Value Measurements (Tables)
9 Months Ended
Sep. 30, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis
The following tables set forth by level, within the fair value hierarchy, the Company’s financial assets and liabilities that were accounted for at fair value on a recurring basis:
Fair value at September 30, 2025
Level 1Level 2Level 3Total
(In thousands)
Assets:
Commodity derivative contracts (see Note 6)
$— $66,502 $— $66,502 
Contingent consideration (see Note 6)
— 24,640 — 24,640 
Investment in unconsolidated affiliate (see Note 9)
124,562 — — 124,562 
Total assets$124,562 $91,142 $— $215,704 
Liabilities:
Commodity derivative contracts (see Note 6)
$— $1,094 $— $1,094 
Total liabilities$— $1,094 $— $1,094 

 Fair value at December 31, 2024
 Level 1Level 2Level 3Total
 (In thousands)
Assets:
Commodity derivative contracts (see Note 6)
$— $18,793 $— $18,793 
Contingent consideration (see Note 6)
— 22,780 — 22,780 
Investment in unconsolidated affiliate (see Note 9)
142,201 — — 142,201 
Total assets$142,201 $41,573 $— $183,774 
Liabilities:
Commodity derivative contracts (see Note 6)
$— $2,246 $— $2,246 
Total liabilities$— $2,246 $— $2,246