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COMMITMENTS AND CONTINGENT LIABILITIES (Tables)
3 Months Ended
Mar. 31, 2026
Commitments and Contingencies Disclosure [Abstract]  
Schedule of Long-term Purchase Commitment
At March 31, 2026, CNX has provided the following financial guarantees, unconditional purchase obligations, and letters of credit to certain third parties as described by major category in the following tables. These amounts represent the maximum potential of total future payments that the Company could be required to make under these instruments. These amounts have not been reduced for potential recoveries under recourse or collateralization provisions. Generally, recoveries under reclamation bonds would be limited to the extent of the work performed at the time of the default. No amounts related to these unconditional purchase obligations and letters of credit are recorded as liabilities in the financial statements. CNX management believes that the commitments in the following table will expire without being funded, and therefore will not have a material adverse effect on CNX's financial condition.

Certain guarantees and indemnifications do not have a stated expiration date and therefore are presented in the ‘Indefinite’ column. These amounts represent the maximum potential future payments under such arrangements and are not indicative of the expected timing of any payments.
 Amount of Commitment Expiration Per Period
 Total
Amounts
Committed
Less Than
1 Year
1-3 Years3-5 YearsBeyond
5 Years
Indefinite
Letters of Credit:
Firm Transportation$25,077 $25,077 $— $— $— $— 
Other2,920 2,920 — — — — 
Total Letters of Credit27,997 27,997 — — — — 
Surety Bonds:
Employee-Related2,250 2,250 — — — — 
Environmental47,947 47,947 — — — — 
Firm Transportation129,336 129,336 — — — — 
Financial Guarantees90,162 90,162 — — — — 
Other12,873 12,873 — — — — 
Total Surety Bonds282,568 282,568 — — — — 
Other Guarantees25,211 10,707 6,414 590 — 7,500 
Total Commitments$335,776 $321,272 $6,414 $590 $— $7,500 
Schedule of Unrecorded Unconditional Purchase Obligations Disclosure As of March 31, 2026, the purchase obligations for each of the next five years and beyond are as follows:
Obligations DueAmount
Less than 1 year$267,705 
1 - 3 years444,913 
3 - 5 years253,066 
More than 5 years427,298 
Total Purchase Obligations$1,392,982