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Chord Energy CHRD Derivative, Gain (Loss) on Derivative, Net
Derivative, Gain (Loss) on Derivative, Net at other companies
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Where this comes from
Reported directly by Chord Energy in its filing.
Tagged under the XBRL concept us-gaap:DerivativeGainLossOnDerivativeNet.
The source filing: Chord Energy’s 10-Q, filed August 6, 2026.
- Filed
- Aug 6, 2026, 4:52 PM EDT
- Fiscal quarter
- Q2 FY2026
- Calendar quarter
- Q2 2026
- Accession
- 0001486159-26-000032
| Line item | Three Months Ended June 30, 2026 | Three Months Ended June 30, 2025 | Six Months Ended June 30, 2026 | Six Months Ended June 30, 2025 |
|---|---|---|---|---|
| Gain (loss) on sale of assets, net | (4) | (522) | 339 | 4,993 |
| Operating income (loss) | 602,720 | (403,215) | 935,942 | (65,222) |
| Other income (expense) | ||||
| Net gain (loss) on derivative instruments | 107,866 | 82,231 | (133,605) | 61,950 |
| Net gain (loss) from investment in equity securities | 1,143 | (962) | 23,972 | (5,862) |
| Interest expense, net of capitalized interest | (26,663) | (18,788) | (53,259) | (34,606) |
| Loss on debt extinguishment | — | — | — | (3,494) |
| Other income, net | 2,186 | 5,045 | 8,515 | 4,546 |
Item 1. — Financial Statements (Unaudited)
FAQ
- What is Chord Energy's derivative, gain (loss) on derivative, net?
- Chord Energy (CHRD) reported derivative, gain (loss) on derivative, net of $107.87M in Q2 2026.
- How has Chord Energy's derivative, gain (loss) on derivative, net changed year-over-year?
- Chord Energy's derivative, gain (loss) on derivative, net increased by 31.2% year-over-year, from $82.23M to $107.87M.
- What is the long-term trend for Chord Energy's derivative, gain (loss) on derivative, net?
- Over 3 years (2021 to 2025), Chord Energy's derivative, gain (loss) on derivative, net has grown at a -40.0% compound annual growth rate (CAGR), from -$589.64M to $127.62M.
- What does derivative, gain (loss) on derivative, net mean?
- This metric captures the net realized and unrealized gains or losses from financial instruments used to hedge against commodity price volatility. It reflects the effectiveness of the company's risk management strategy in protecting cash flows from adverse market movements. Investors use this to understand how hedging activities impact the company's reported net income compared to unhedged market performance.
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