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Derivative Instruments (Tables)
12 Months Ended
Dec. 31, 2022
Derivative Instruments and Hedging Activities Disclosure [Abstract]  
Schedule of Notional Amounts of Outstanding Derivative Positions
The total notional amounts of CNX's derivative instruments were as follows:
December 31,Forecasted to
20222021Settle Through
Natural Gas Commodity Swaps (Bcf)1,607.9 1,686.1 2027
Natural Gas Basis Swaps (Bcf)1,023.7 1,233.3 2027
Interest Rate Swaps$410,000 $410,000 2024
Schedule of Derivative Liabilities at Fair Value
The gross fair value of CNX's derivative instruments was as follows:
December 31,
20222021
Current Assets:
  Commodity Derivative Instruments:
     Commodity Swaps$21,759 $92 
     Basis Only Swaps118,115 94,682 
     Interest Rate Swaps14,600 228 
Total Current Assets$154,474 $95,002 
Other Non-Current Assets:
  Commodity Derivative Instruments:
     Commodity Swaps$42,786 $12,419 
     Basis Only Swaps197,280 119,077 
     Interest Rate Swaps4,865 498 
Total Other Non-Current Assets$244,931 $131,994 
Current Liabilities:
  Commodity Derivative Instruments:
     Commodity Swaps$732,717 $505,460 
     Basis Only Swaps38,559 13,206 
     Interest Rate Swaps11,377 2,932 
Total Current Liabilities$782,653 $521,598 
Non-Current Liabilities:
  Commodity Derivative Instruments:
     Commodity Swaps$1,466,124 $642,442 
     Basis Only Swaps47,370 41,332 
     Interest Rate Swaps3,527 3,580 
Total Non-Current Liabilities$1,517,021 $687,354 
Schedule of Derivative Assets at Fair Value
The gross fair value of CNX's derivative instruments was as follows:
December 31,
20222021
Current Assets:
  Commodity Derivative Instruments:
     Commodity Swaps$21,759 $92 
     Basis Only Swaps118,115 94,682 
     Interest Rate Swaps14,600 228 
Total Current Assets$154,474 $95,002 
Other Non-Current Assets:
  Commodity Derivative Instruments:
     Commodity Swaps$42,786 $12,419 
     Basis Only Swaps197,280 119,077 
     Interest Rate Swaps4,865 498 
Total Other Non-Current Assets$244,931 $131,994 
Current Liabilities:
  Commodity Derivative Instruments:
     Commodity Swaps$732,717 $505,460 
     Basis Only Swaps38,559 13,206 
     Interest Rate Swaps11,377 2,932 
Total Current Liabilities$782,653 $521,598 
Non-Current Liabilities:
  Commodity Derivative Instruments:
     Commodity Swaps$1,466,124 $642,442 
     Basis Only Swaps47,370 41,332 
     Interest Rate Swaps3,527 3,580 
Total Non-Current Liabilities$1,517,021 $687,354 
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value
The effect of commodity derivative instruments on the Company's Consolidated Statements of Income was as follows:
For the Years Ended December 31,
202220212020
Realized (Loss) Gain on Commodity Derivative Instruments:
  Natural Gas:
   Commodity Swaps$(1,971,287)$(596,619)$390,547 
    Basis Swaps158,510 57,603 70,670 
Total Realized (Loss) Gain on Commodity Derivative Instruments(1,812,777)(539,016)461,217 
Unrealized (Loss) Gain on Commodity Derivative Instruments:
 Natural Gas:
    Commodity Swaps(922,424)(1,240,827)(407,308)
    Basis Swaps71,426 147,110 119,073 
Total Unrealized Loss on Commodity Derivative Instruments(850,998)(1,093,717)(288,235)
 (Loss) Gain on Commodity Derivative Instruments:
  Natural Gas:
    Commodity Swaps(2,893,711)(1,837,446)(16,761)
    Basis Swaps229,936 204,713 189,743 
Total (Loss) Gain on Commodity Derivative Instruments$(2,663,775)$(1,632,733)$172,982 

The effect of interest rate swaps on Interest Expense in the Company's Consolidated Statements of Income was as follows:
For the Years Ended December 31,
202220212020
Cash Paid in Settlement of Interest Rate Swaps$(1,572)$(5,574)$(3,141)
Unrealized Gain (Loss) on Interest Rate Swaps10,348 8,485 (13,051)
Gain (Loss) on Interest Rate Swaps$8,776 $2,911 $(16,192)