RE:RE:RE:RE:RE:RE:RE:RE:check737Can you post their report.. If I were to use $60 for all of 2015 then cash flow according to my qtrly model would be $1.8 bln after hedges. They would add $514 mln to debt and payout 128% if my model is reasonably correct. Debt to Ebitda goes to 1.7 times.