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Consolidated Statements of Stockholders' Equity - USD ($)
$ in Thousands
Total
Total CNX Resources Stockholders’ Equity
Common Stock
Capital in Excess of Par Value
Retained Earnings (Deficit)
Accumulated Other Comprehensive Loss
Non- Controlling Interest
Balance, Beginning of Period at Dec. 31, 2018 $ 5,081,743 $ 4,329,958 $ 1,990 $ 2,264,063 $ 2,071,809 $ (7,904) $ 751,785
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net (Loss) Income 31,948 (80,730)     (80,730)   112,678
Issuance of Common Stock 565 565 9 556      
Purchase and Retirement of Common Stock (115,477) (115,477) (129) (101,559) (13,789)    
Shares Withheld for Taxes (6,310) (5,614)     (5,614)   (696)
Amortization of Stock-Based Compensation Awards 38,425 36,545   36,545     1,880
Other Comprehensive Loss (4,701) (4,701)       (4,701)  
Distributions to CNXM Noncontrolling Interest Holders (63,884)           (63,884)
Balance, End of Period at Dec. 31, 2019 4,962,309 4,160,546 1,870 2,199,605 1,971,676 (12,605) 801,763
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net (Loss) Income (428,744) (483,775)     (483,775)   55,031
Issuance of Common Stock 2,057 2,057 8 2,049      
Purchase and Retirement of Common Stock (43,247) (43,247) (41) (33,067) (10,139)    
Shares Withheld for Taxes (2,015) (1,706)     (1,706)   (309)
Amortization of Stock-Based Compensation Awards 14,382 12,897   12,897     1,485
Equity Component of Convertible Senior Notes, net of Issuance Costs 78,317 78,317   78,317      
Purchase of Capped Call (26,351) (26,351)   (26,351)      
Other Comprehensive Loss (2,579) (2,579)       (2,579)  
Distributions to CNXM Noncontrolling Interest Holders (41,987)           (41,987)
CNXM Merger (89,705) 726,278 371 725,907     (815,983)
Balance, End of Period at Dec. 31, 2020 4,422,437 4,422,437 2,208 2,959,357 1,476,056 (15,184) 0
Increase (Decrease) in Stockholders' Equity [Roll Forward]              
Net (Loss) Income (498,643) (498,643)     (498,643)    
Issuance of Common Stock 5,087 5,087 7 5,080      
Purchase and Retirement of Common Stock (241,243) (241,243) (183) (146,094) (94,966)    
Shares Withheld for Taxes (4,553) (4,553)     (4,553)    
Amortization of Stock-Based Compensation Awards 16,560 16,560 7 16,553      
Equity Component of Convertible Senior Notes, net of Issuance Costs (33) (33)   (33)      
Other Comprehensive Loss 661 661       661  
Balance, End of Period at Dec. 31, 2021 $ 3,700,273 $ 3,700,273 $ 2,039 $ 2,834,863 $ 877,894 $ (14,523) $ 0