MURPHY OIL CORP

MUR 10-Q · Q1 2026

MUR Q1 2026 request

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Income Statement

Income Statement
Metric Q1 2026 Q1 2025 YoY
Revenue 732,354 672,730 +8.9%
Show Product Lines breakouts
Natural Gas Liquids Reserves 16,956 19,483 -13.0%
Natural Gas Liquids Reserves · Canada - Onshore 1,318 1,747 -24.6%
Natural Gas Liquids Reserves · United States - Offshore 6,363 9,249 -31.2%
Natural Gas Liquids Reserves · United States - Onshore 9,275 8,487 +9.3%
Natural Gas Reserves 119,973 102,228 +17.4%
Natural Gas Reserves · Canada - Onshore 82,695 74,320 +11.3%
Natural Gas Reserves · United States - Offshore 26,150 19,941 +31.1%
Natural Gas Reserves · United States - Onshore 11,128 7,967 +39.7%
Oil And Gas Exploration And Production 732,354 672,730 +8.9%
Oil And Gas Exploration And Production · Canada 154.8 165.3 -6.4%
Oil And Gas Exploration And Production · Operating Segments 732.4 672.7 +8.9%
Oil And Gas Exploration And Production · Other 2.9
Oil And Gas Exploration And Production · United States 574.7 507.4 +13.3%
Oil Reserves 595,425 551,019 +8.1%
Oil Reserves · Canada - Offshore 53,336 74,469 -28.4%
Oil Reserves · Canada - Onshore 17,391 14,730 +18.1%
Oil Reserves · Other 2,909
Oil Reserves · United States - Offshore 333,441 352,362 -5.4%
Oil Reserves · United States - Onshore 188,348 109,458 +72.1%
Gain Loss On Sale Of Assets And Other Income 1,198 2,440 -50.9%
Revenue 733,552 665,711 +10.2%
Operating Lease Expense 143,464 205,079 -30.0%
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Canada · Operating Segments 44.9 47.1 -4.7%
Other · Operating Segments 0.8 0.4 +100.0%
United States · Operating Segments 97.8 157.6 -37.9%
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Operating Segments 143.5 205.1 -30.0%
Production Tax Expense 13,746 8,650 +58.9%
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Canada · Operating Segments 0.8 0.3 +166.7%
United States · Operating Segments 12.9 8.4 +53.6%
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Operating Segments 13.7 8.7 +57.5%
Transportation Gatheringand Processing Costs 47,061 48,851 -3.7%
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Canada · Operating Segments 21.9 20.2 +8.4%
United States · Operating Segments 25.2 28.7 -12.2%
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Operating Segments 47.1 48.9 -3.7%
Exploration Expense 82,815 14,488 +471.6%
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Other · Operating Segments 77.1 8.3 +828.9%
United States · Operating Segments 5.7 6.1 -6.6%
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Operating Segments 82.8 14.5 +471.0%
Selling, General & Administrative 34,870 30,915 +12.8%
Depreciation & Amortization 254,376 194,160 +31.0%
Asset Retirement Obligation Accretion Expense 14,514 14,045 +3.3%
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Canada · Operating Segments 2.6 2.5 +4.0%
Other · Operating Segments 0.2 0.2 0.0%
United States · Operating Segments 11.6 11.3 +2.7%
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Corporate Non Segment 0.1
Operating Segments 14.4 14 +2.9%
Other Operating Income Expense Net 4,441 5,629 -21.1%
Total Costs & Expenses 595,287 521,817 +14.1%
Operating Income 138,265 143,894 -3.9%
Other Non-Operating Income (Expense) 9,852 2,402 +310.2%
Interest Expense -28,977 -23,523 -23.2%
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Canada · Operating Segments -0.1
United States · Operating Segments -0.1
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Corporate Non Segment -28.8 -23.5 -22.6%
Operating Segments -0.2
Non-Operating Income (Expense) -19,125 -21,121 +9.5%
Income Before Taxes 119,140 122,773 -3.0%
Income Tax Expense (Benefit) 49,945 32,722 +52.6%
Income Loss From Continuing Operations 69,195 90,051 -23.2%
Income Loss From Discontinued Operations Net Of Tax -542 -633 +14.4%
Net Income 68,653 89,418 -23.2%
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Canada · Operating Segments 31.7 41.5 -23.6%
Other · Operating Segments -82.7 -11.2 -638.4%
United States · Operating Segments 156.6 107.9 +45.1%
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Corporate Non Segment -36.9 -48.8 +24.4%
Operating Segments 105.6 138.2 -23.6%
Net Income Loss Attributable To Noncontrolling Interest 15,667 16,382 -4.4%
Net Income 52,986 73,036 -27.5%
Show Equity Components breakouts
Noncontrolling Interest 15,667 16,382 -4.4%
Retained Earnings 52,986 73,036 -27.5%
Income Loss From Continuing Operations Per Basic Share 0.37 0.51 -27.5%
EPS (Basic) 0.37 0.51 -27.5%
Income Loss From Continuing Operations Per Diluted Share 0.37 0.5 -26.0%
EPS (Diluted) 0.37 0.5 -26.0%
Common Stock Dividends Per Share Cash Paid 0.35 0.33 +7.7%
Wtd Avg Shares (Basic) 143,082 144,284 -0.8%
Wtd Avg Shares (Diluted) 144,381 145,072 -0.5%
Comprehensive Income 30,641 72,233 -57.6%

Balance Sheet

Balance Sheet
Metric Q1 2026 Q1 2025 YoY
Current Assets
Cash & Cash Equivalents 378,753 392,914 -3.6%
Accounts Receivable 467,229 282,249 +65.5%
Inventory 58,428 71,048 -17.8%
Prepaid Expense Current 32,541 25,200 +29.1%
Total Current Assets 936,951 771,411 +21.5%
Non-Current Assets
Property, Plant & Equipment 8,265,324 8,279,284 -0.2%
Operating Lease Right-of-Use Assets 738,315 714,091 +3.4%
Other Non-Current Assets 95,044 55,537 +71.1%
Total Assets 10,035,634 9,820.3 +102092.7%
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Canada · Operating Segments 1,980.3 1,963.4 +0.9%
Other · Operating Segments 660.7 345.7 +91.1%
United States · Operating Segments 6,916.5 7,046.3 -1.8%
Show Consolidation Items breakouts
Corporate Non Segment 478.1 464.9 +2.8%
Operating Segments 9,557.5 9,355.4 +2.2%
Current Liabilities
Long Term Debt And Capital Lease Obligations Current 2,547 892 +185.5%
Accounts Payable 645,829 538,290 +20.0%
Accrued Income Taxes Current 19,690 25,217 -21.9%
Accrual For Taxes Other Than Income Taxes Current 30,418 32,874 -7.5%
Operating Lease Liability Current 270,214 243,232 +11.1%
Other Accrued Liabilities Current 111,858 90,566 +23.5%
Asset Retirement Obligation Current 53,630 77,452 -30.8%
Total Current Liabilities 1,134,186 1,008,523 +12.5%
Non-Current Liabilities
Asset Retirement Obligations Noncurrent 972,503 954,709 +1.9%
Other Non-Current Liabilities 256,209 269,334 -4.9%
Operating Lease Liabilities 479,161 483,370 -0.9%
Deferred Tax Liabilities 412,548 352,280 +17.1%
Total Liabilities 4,802,754 4,543,044 +5.7%
Other Liabilities
Long Term Debt And Capital Lease Obligations 1,548,147 1,474,828 +5.0%
Stockholders' Equity
Common Stock 195,101 195,101 0.0%
Additional Paid-In Capital 837,327 830,945 +0.8%
Retained Earnings 6,694,131 6,799,299 -1.5%
Accumulated Other Comprehensive Income -576,572 -628,875 +8.3%
Treasury Stock Common Value -2,051,091 -2,076,211 +1.2%
Total Stockholders' Equity 5,098,896 5,120,259 -0.4%
Minority Interest 133,984 157,020 -14.7%
Stockholders Equity Including Portion Attributable To Noncontrolling Interest 5,232,880 5,277,279 -0.8%
Show Equity Components breakouts
Accumulated Defined Benefit Plans Adjustment -110,495 -110,884 +0.4%
Accumulated Other Comprehensive Income -576,572 -628,875 +8.3%
Accumulated Translation Adjustment -466,077 -517,991 +10.0%
Additional Paid In Capital 837,327 830,945 +0.8%
Common Stock 195,101 195,101 0.0%
Noncontrolling Interest 133,984 157,020 -14.7%
Parent 5,098,896 5,120,259 -0.4%
Retained Earnings 6,694,131 6,799,299 -1.5%
Treasury Stock Common -2,051,091 -2,076,211 +1.2%
Total Liabilities & Equity 10,035,634 9,820,323 +2.2%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q1 2026 YTD Q1 2025 YoY
Operating Activities
Unsuccessful Exploration Well Costs And Previously Suspended Exploration Costs Credit 67,043 190 +35185.8%
Deferred Income Taxes 36,864 16,343 +125.6%
Employee Benefits And Share Based Compensation Noncash 15,433 9,905 +55.8%
Amortization Of Undeveloped Lease 2,270 1,654 +37.2%
Other Operating Activities Cash Flow Statement -30,539 -11,799 -158.8%
Increase Decrease In Operating Capital -107,972 -22,784 -373.9%
Net Cash Provided By Used In Operating Activities Continuing Operations 321,184 300,681 +6.8%
Change in Accounts Receivable -120,525 -10,089 -1094.6%
Change in Inventory -479 -15,851 +97.0%
Investing Activities
Payments To Acquire Other Productive Assets -387,838 -368,421 -5.3%
Payments To Acquire Oil And Gas Property -22,681 -1,364 -1562.8%
Net Cash from Investing -410,519 -369,785 -11.0%
Financing Activities
Early Repayment Of Senior Debt -227,489
Payments Of Debt Extinguishment Costs -2,369
Proceeds From Issuance Of Debt 500,000
Debt Issuance Costs -7,819
Proceeds From Long Term Lines Of Credit 175,000 250,000 -30.0%
Repayments Of Long Term Lines Of Credit -275,000 -50,000 -450.0%
Payments Of Loan Costs -12,213
Share Repurchases -777 -100,072 +99.2%
Payments Of Dividends Common Stock -50,173 -47,026 -6.7%
Tax Withholding for Share Compensation -7,849 -7,673 -2.3%
Finance Lease Principal Payments -419 -116 -261.2%
Net Cash from Financing 90,892 38,158 +138.2%
Supplemental
Income Taxes Paid 0.1 1.6 -93.8%
Interest Paid 4,897 6,347 -22.8%
Other Cash Flow
Net Change in Cash 1,557 -30,655 +105.1%
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 378,753 392,914 -3.6%

Values in thousands USD. Source: SEC EDGAR 10-Q filing.

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