Annual report pursuant to Section 13 and 15(d)

Supplemental Oil and Gas Reserve Information (Unaudited) - Schedule of Changes in Standardized Measure Related to Proved Oil, Natural Gas and Natural Gas Liquids Reserves (Details)

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Supplemental Oil and Gas Reserve Information (Unaudited) - Schedule of Changes in Standardized Measure Related to Proved Oil, Natural Gas and Natural Gas Liquids Reserves (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Oil and Gas, Standardized Measure, Discounted Future Net Cash Flow [Roll Forward]      
Standardized measure - beginning of year $ 821,518 $ 995,621 $ 616,919
Sales, net of production costs (366,379) (350,194) (443,700)
Net changes of prices and production costs related to future production 10,003 (426,381) 401,411
Oil and Gas, Standardized Measure, Discounted Future Net Cash Flow, Extension, Discovery, and Improved Recovery 330,825 441,343 486,327
Acquisition of reserves 125,918 5,827 1,259
Net change in income taxes 1,424 51,996 (103,905)
Accretion of discount 104,269 126,879 78,618
Changes in timing and other (18,942) (23,573) (41,308)
Standardized measure - end of year $ 1,008,636 $ 821,518 $ 995,621