
| Metric | FY2025 | FY2024 | FY2023 | FY2022 | FY2021 | FY2020 | FY2019 | FY2018 | FY2017 |
|---|---|---|---|---|---|---|---|---|---|
| Cash, cash equivalents and restricted cash | $1.43B+69.5% | $846.0M-3.3% | $875.0M-39.8% | $1.45B-36.0% | $2.27B+1.5% | $2.24B+21.3% | $1.84B | — | — |
| Accounts receivable | $1.79B-9.1% | $1.97B+25.4% | $1.57B-11.0% | $1.77B+14.5% | $1.54B+156.7% | $601.0M-27.8% | $832.0M+2.5% | $812.0M-17.9% | $989.0M |
| Inventory | $336.0M+14.3% | $294.0M+18.1% | $249.0M+23.9% | $201.0M+76.3% | $114.0M | — | — | — | — |
| Other current assets | $444.0M+41.0% | $315.0M-31.5% | $460.0M-1.9% | $469.0M+46.1% | $321.0M+29.4% | $248.0M+6.9% | $232.0M-73.6% | $880.0M+120.0% | $400.0M |
| Total current assets | $4.01B+16.9% | $3.43B+8.6% | $3.16B-18.9% | $3.89B-8.4% | $4.25B+30.3% | $3.26B-15.3% | $3.85B-13.2% | $4.44B-7.4% | $4.79B |
| Oil and gas property and equipment, based on successful efforts accounting, net | $23.73B+2.3% | $23.20B+30.1% | $17.82B+7.6% | $16.57B+22.4% | $13.54B+205.1% | $4.44B-41.3% | $7.56B+1.7% | $7.43B-44.2% | $13.32B |
| Other property and equipment, net | $1.69B-6.9% | $1.81B+20.6% | $1.50B-2.3% | $1.54B+4.6% | $1.47B+53.8% | $957.0M-7.5% | $1.03B+0.3% | $1.03B-18.5% | $1.27B |
| Property and equipment, net | $25.42B+1.6% | $25.01B+29.4% | $19.33B+6.7% | $18.11B+20.6% | $15.01B+178.3% | $5.39B-37.2% | $8.59B+1.5% | $8.46B-42.0% | $14.58B |
| Goodwill | $753.0M+0.0% | $753.0M+0.0% | $753.0M+0.0% | $753.0M+0.0% | $753.0M+0.0% | $753.0M+0.0% | $753.0M+0.0% | $753.0M-10.5% | $841.0M |
| Right-of-use assets | $299.0M-1.3% | $303.0M+13.5% | $267.0M+19.2% | $224.0M-4.7% | $235.0M+5.4% | $223.0M-8.2% | $243.0M | — | — |
| Investments | $727.0M+0.0% | $727.0M+9.2% | $666.0M+51.4% | $440.0M+9.5% | $402.0M+3250.0% | $12.0M | — | — | — |
| Other long-term assets | $395.0M+47.4% | $268.0M-16.0% | $319.0M+3.9% | $307.0M-18.8% | $378.0M+39.5% | $271.0M+38.3% | $196.0M-29.0% | $276.0M-6.8% | $296.0M |
| Total assets | $31.60B+3.6% | $30.49B+24.5% | $24.49B+3.2% | $23.72B+12.8% | $21.02B+112.1% | $9.91B-27.7% | $13.72B-29.9% | $19.57B-35.3% | $30.24B |
| Accounts payable | $790.0M-2.0% | $806.0M+6.1% | $760.0M-11.5% | $859.0M+71.8% | $500.0M+106.6% | $242.0M-43.5% | $428.0M-19.2% | $530.0M-16.3% | $633.0M |
| Revenues and royalties payable | $1.49B+4.1% | $1.43B+17.2% | $1.22B-18.9% | $1.51B+3.4% | $1.46B+119.9% | $662.0M-9.3% | $730.0M+1.1% | $722.0M-3.5% | $748.0M |
| Short-term debt | $998.0M+105.8% | $485.0M+0.4% | $483.0M+92.4% | $251.0M | $0 | — | — | — | $115.0M |
| Other current liabilities | $807.0M+37.7% | $586.0M+21.1% | $484.0M-1.0% | $489.0M-56.8% | $1.13B+111.0% | $536.0M+72.9% | $310.0M-3.1% | $320.0M-61.4% | $828.0M |
| Total current liabilities | $4.09B+23.5% | $3.31B+12.2% | $2.95B-5.0% | $3.10B+0.6% | $3.09B+114.4% | $1.44B-25.3% | $1.93B-13.4% | $2.23B-32.9% | $3.31B |
| Long-term debt | $7.39B-12.0% | $8.40B+48.1% | $5.67B-8.4% | $6.19B-4.5% | $6.48B+50.8% | $4.30B+0.1% | $4.29B+0.0% | $4.29B-36.4% | $6.75B |
| Lease liabilities | $197.0M-38.4% | $320.0M+8.5% | $295.0M+14.8% | $257.0M+2.0% | $252.0M+2.4% | $246.0M+0.8% | $244.0M | — | — |
| Asset retirement obligations | $863.0M+12.1% | $770.0M+19.8% | $643.0M+25.8% | $511.0M+9.2% | $468.0M+30.7% | $358.0M-5.8% | $380.0M-18.8% | $468.0M-57.4% | $1.10B |
| Other long-term liabilities | $907.0M+8.0% | $840.0M-4.1% | $876.0M-2.7% | $900.0M-14.3% | $1.05B+90.6% | $551.0M+29.3% | $426.0M+3.6% | $411.0M-25.1% | $549.0M |
| Deferred income taxes | $2.63B+22.3% | $2.15B+16.9% | $1.84B+25.6% | $1.46B+409.8% | $287.0M | — | — | $529.0M+8.2% | $489.0M |
| Common stock, $0.10 par value. Authorized 1.0 billion shares; issued [629] million and 651 million shares in 2025 and 2024, respectively | $62.0M-4.6% | $65.0M+1.6% | $64.0M-1.5% | $65.0M-1.5% | $66.0M+73.7% | $38.0M+0.0% | $38.0M-15.6% | $45.0M-15.1% | $53.0M |
| Additional paid-in capital | $5.39B-15.6% | $6.39B+7.5% | $5.94B-14.2% | $6.92B-9.4% | $7.64B+176.1% | $2.77B+1.1% | $2.73B-39.0% | $4.49B-38.8% | $7.33B |
| Retained earnings | $10.20B+24.9% | $8.17B+31.8% | $6.20B+44.2% | $4.30B+154.0% | $1.69B+713.5% | $208.0M-93.4% | $3.15B-13.8% | $3.65B+419.9% | $702.0M |
| Accumulated other comprehensive loss | -$122.0M+0.0% | -$122.0M+1.6% | -$124.0M-6.9% | -$116.0M+12.1% | -$132.0M-3.9% | -$127.0M-6.7% | -$119.0M-111.6% | $1.03B-11.9% | $1.17B |
| Total stockholders’ equity attributable to Devon | $15.53B+7.1% | $14.50B+20.2% | $12.06B+8.0% | $11.17B+20.6% | $9.26B+221.0% | $2.88B-50.3% | $5.80B-36.8% | $9.19B-0.7% | $9.25B |
| Noncontrolling interests | $0-100.0% | $208.0M+33.3% | $156.0M+20.9% | $129.0M-5.8% | $137.0M+2.2% | $134.0M+13.6% | $118.0M | — | — |
| Total equity | $15.53B+5.6% | $14.70B+20.4% | $12.22B+8.2% | $11.30B+20.2% | $9.40B+211.3% | $3.02B-49.0% | $5.92B-35.6% | $9.19B-34.9% | $14.10B |
| Total liabilities and equity | $31.60B+3.6% | $30.49B+24.5% | $24.49B+3.2% | $23.72B+12.8% | $21.02B+112.1% | $9.91B-27.7% | $13.72B-29.9% | $19.57B-35.3% | $30.24B |
Source: SEC EDGAR XBRL. % change vs prior period shown where available.
Source: SEC EDGAR 10-K and 10-Q filings. Up to 10 years annual / 16 quarters shown.