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Fair Value Measurements (Tables)
3 Months Ended
Mar. 31, 2025
Fair Value Disclosures [Abstract]  
Schedule of Fair Value, Assets and Liabilities Measured on Recurring Basis The following table presents the Company’s financial assets and liabilities that were accounted for at fair value on a recurring basis by level within the fair value hierarchy:
March 31, 2025
Level 1Level 2Level 3Total
(In thousands)
Financial assets:
Commodity derivative assets$— $13,117 $— $13,117 
Interest rate assets$— $670 $— $670 
Financial liabilities:
Commodity derivative liabilities$— $(17,154)$— $(17,154)
Interest rate liabilities$— $(163)$— $(163)
December 31, 2024
Level 1Level 2Level 3Total
(In thousands)
Financial assets:
Commodity derivative assets$— $15,301 $— $15,301 
Interest rate assets$— $1,177 $— $1,177 
Financial liabilities:
Commodity derivative liabilities$— $(13,043)$— $(13,043)
Liabilities Not Measured on a Recurring Basis
The following table summarizes the fair value and carrying amount of the Company's financial instruments:
March 31, 2025December 31, 2024
Carrying AmountFair ValueCarrying AmountFair Value
(In thousands)
Credit Facility (Level 2)
$99,000 $99,000 $115,000 $115,000 
Senior Notes (Level 2)(1)
$150,342 $166,353 $154,494 $172,864 
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(1)The carrying value reported for the Senior Notes is shown net of unamortized discount and unamortized deferred financing costs.