Q4 numbers We're waffling along here, not doing much either way. Debt it too high.
We had an asset sale in q4 that generated 153M. We've got somewhere between 300 -350 in fcf for the quarter.
I think a lot of people are in wait and see mode. I am looking for a substantial debt reduction out of these numbers. 300M ballpark based on asset sale and fcf.
They have to demonstrate that they can pay down debt in a 70-77 wti environment. If they can't the 1.5B debt target is a pipe dream