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Variable Interest Entities Statement of Operations and Cash Flows (Details) - USD ($)
$ in Thousands
3 Months Ended 9 Months Ended
May 02, 2018
Sep. 30, 2019
Sep. 30, 2018
Sep. 30, 2019
Sep. 30, 2018
Variable Interest Entity [Line Items]          
Total Revenue   $ 529,997 $ 397,126 $ 1,413,460 $ 1,294,979
Loss on Asset Sales and Abandonments $ (286) (3,308) (134,320) (610) (148,942)
Interest Expense   38,405 35,723 114,328 112,712
Total Costs and Expenses   337,135 193,692 1,063,323 302,014
Net Income Attributable to CNX Resources Shareholders   115,538 125,029 190,679 694,606
Net Cash Provided by Operating Activities       866,092 690,219
Net Cash Used in Investing Activities       (949,226) (584,835)
Net Cash Provided by (Used in) Financing Activities       71,420 (571,879)
Variable Interest Entity, Primary Beneficiary          
Variable Interest Entity [Line Items]          
Gathering Revenue - Related Party   55,453 41,022 168,434 116,328
Gathering Revenue - Third Party   18,523 19,946 55,862 69,523
Total Revenue   73,976 60,968 224,296 185,851
Operating Expense - Related Party   6,105 5,131 18,167 14,645
Operating Expense - Third Party   5,612 4,870 17,774 20,744
General and Administrative Expense - Related Party   3,573 3,060 11,567 10,292
General and Administrative Expense - Third Party   1,236 1,771 4,136 6,639
Loss on Asset Sales and Abandonments   0 0 7,229 2,501
Depreciation Expense   6,184 5,306 17,694 16,605
Interest Expense   7,601 7,255 22,625 16,863
Total Costs and Expenses   30,311 27,393 99,192 88,289
Net Income Attributable to CNX Resources Shareholders   43,665 33,575 125,104 97,562
Net Cash Provided by Operating Activities   51,014 35,666 175,680 131,207
Net Cash Used in Investing Activities   (68,289) (44,241) (251,156) (79,366)
Net Cash Provided by (Used in) Financing Activities   $ 7,333 $ 8,818 $ 73,245 $ (54,085)