Q115 Free Cash Flow & Net Debt (MM) Q1'15 Q1'14 Difference Cash Flow From Operations 20 103 (83) Divestiture Proceeds (1) 61 6 55 Total 81 109 (28) Cash Capital Expenditures: Drilling and Completion 106 131 (25) LGG, Facility…
Current Hedge Position As of April 30, 2015 Mark to Market Value of Approximately 125 MM (75 MM associated with 2015) Natural Gas Swaps & Collars Oil Swaps NGL Swaps Wtd Avg Year Bbls/d(1) Swap Price Year Bbls/d(1) Swap Price…
Q115 Production and Capital Summary Production By Quarter Q115 Oil and Gas Capital by Type(2) (MMcfe/d) (MM) 543 529 530 33 515 518 35 29 12 21 Non-D&C 11 511 D&C 500 506 494 494 106 Q1'14 Q2'14 Q3'14 Q4'14 Q1'15…
Q115 Adjusted EBITDA Reconciliation Three Months Twelve Months Ended Ended March 31, 2015 March 31, 2015 Net income (loss) (490,331) (1,909,890) Interest expense, net 64,127 135,559 Provision (benefit) for income taxes (271,559)…