CNX Resources
NYSE:CNX
$ 40,58
+ $0,57 (1,42%)
40,58 $
+$0,57 (1,42%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$2,51
Earnings Per Share
$15,73
Revenue Per Share
74,12%
Gross Margin %
$5,76 B
Market Cap
$2,21 B
Long-Term Debt
Earnings Per Share
$2,51
Revenue Per Share
$15,73
Gross Margin %
74,12%
Market Cap
$5,76 B
Long-Term Debt
$2,21 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $2,51 $1,88 $1,86 $2,81 $1,61 $0,96 $0,91 $1,35 $1,17 $-0,43 $-0,39 $0,94 $-0,03 $1,28 $3,11 $2,39 $2,95 $2,20 $1,45 $2,04
Earnings Earnings $357,35M $279,82M $282,33M $478,07M $326,01M $210,92M $169,84M $267,76M $261,80M $-98,66M $-89,33M $216,44M $-6,87M $292,01M $706,25M $540,71M $648,76M $397,28M $264,63M $372,34M
RPS Revenue Per Share $15,73 $8,51 $22,83 $7,41 $3,74 $5,73 $10,30 $8,72 $6,50 $8,83 $13,60 $16,19 $14,40 $23,80 $26,94 $23,14 $21,02 $25,76 $20,61 $20,35
Revenue Revenue $2,24B $1,27B $3,47B $1,26B $756,79M $1,26B $1,92B $1,73B $1,46B $2,03B $3,11B $3,73B $3,30B $5,43B $6,12B $5,24B $4,62B $4,65B $3,76B $3,72B
OCF Operating Cash Flow $1,03B $815,78M $814,59M $1,24B $926,36M $795,07M $980,56M $885,82M $648,69M $469,29M $505,85M $936,78M $658,78M $728,13M $1,53B $1,13B $945,45M $1,03B $684,03M $664,55M
FCF Free Cash Flow $489,16M $275,45M $157,00M $669,26M $460,50M $307,78M $-212,04M $-230,57M $15,84M $242,47M $-516,72M $-556,65M $-942,49M $-847,10M $48,88M $-108,57M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 41,58% 0,28% 153,07% -1,58% -20,05% 2,76% 11,71% 29,50% 4,01% -55,40% 10,71% 12,82% 3,85% 8,98% 25,90% 13,98% 18,00% 15,64% 8,55% 13,04%
GM % Gross Margin % 74,12% 59,90% 62,46% 83,01% 78,28% 58,44% 66,72% 71,76% 53,80% 35,78% 32,56% 52,41% 37,67% 37,63% 43,97% 35,62% 38,40% 35,13% 29,89% 31,74%
FCFS Free Cash Flow Per Share $3,77 $1,82 $0,83 $3,53 $2,13 $1,54 $-1,11 $-1,09 $0,07 $1,27 $-1,43 $-2,27 $-3,66 $-2,27 $1,54 $-0,11 $0,78 $-0,39 $-0,32 $-0,14
LT Debt Long-Term Debt $2,21B $1,84B $1,89B $2,21B $2,22B $2,41B $2,76B $2,38B $2,19B $2,42B $2,70B $3,20B $3,12B $3,12B $3,12B $3,13B $363,73M $393,31M $398,08M $391,98M
Sha. Stocks 142,37M 148,84M 151,79M 170,13M 202,49M 219,71M 186,64M 198,34M 223,76M 229,44M 229,05M 230,26M 229,16M 228,13M 227,09M 226,24M 219,92M 180,58M 182,5M 182,52M
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