3 days until Q1 is over and we start Q2 (April) contracts/pricing.

Free Cash Flow at this price

Daily $2.30 million
Week $16.1 million

Yearly $893 million


That would be plenty for a dividend, buyback and debt reduction. 

My target was $1.4B debt for Q4 based on $70 which we exceeded in Q4 and down to $1.2B by Q2 2022 based on $70 which we are also beating

Q4 results in 6 trading days