MorningStar Partners, L.P.
TXO Partners, L.P., an oil and natural gas company, focuses on the acquisition, development, optimization, and exploitation of conventional oil, natural gas, and natural gas liquid reserves in North America. Its acreage positions are concentrated in the Permian Basin of West Texas and New Mexico; the San Juan Basin of New Mexico and Colorado; and the Williston Basin of Montana and North Dakota. T… Read more
MorningStar Partners, L.P. - Asset Resilience Ratio
MorningStar Partners, L.P. (TXO) has an Asset Resilience Ratio of 0.39% as of September 2025. The Asset Resilience Ratio measures the percentage of a company's total assets that are held in liquid form (cash and short-term investments). This metric indicates how well-positioned the company is to handle unexpected financial challenges, economic downturns, or strategic opportunities without requiring external financing.
Liquid Assets
Total Assets
Resilience Assessment
Asset Resilience Ratio Trend (2020–2024)
This chart shows how MorningStar Partners, L.P.'s Asset Resilience Ratio has changed over time. Compare with other companies' asset resilience ratios.
Liquid Assets Composition Over Time
This chart breaks down MorningStar Partners, L.P.'s liquid assets into cash & equivalents and short-term investments, showing how the composition has evolved over time.
Current Liquid Assets Breakdown
| Component | Amount | % of Total Assets |
|---|---|---|
| Cash & Equivalents | $5.31 Million | 0.39% |
| Short-term Investments | $0.00 | 0% |
| Total Liquid Assets | $5.31 Million | 0.39% |
Asset Resilience Insights
- Limited Liquidity: MorningStar Partners, L.P. maintains only 0.39% of assets in liquid form.
- This low level may indicate efficient asset utilization but could pose risks during economic downturns.
- The company primarily holds liquidity in cash and equivalents rather than short-term investments.
MorningStar Partners, L.P. Industry Peers by Asset Resilience Ratio
Compare MorningStar Partners, L.P.'s asset resilience ratio with other companies in the same industry.
| Company | Industry | Asset Resilience Ratio |
|---|---|---|
|
Bounty Oil & Gas NL
PINK:BYOGF |
Oil & Gas E&P | 0.18% |
|
Shanxi Blue Flame Holding Co Ltd
SHE:000968 |
Oil & Gas E&P | 0.01% |
|
Oriental Energy Co Ltd
SHE:002221 |
Oil & Gas E&P | -3.13% |
|
P/F Atlantic Petroleum
CO:ATLA-DKK |
Oil & Gas E&P | 1.46% |
|
Hibiscus Petroleum BHD
KLSE:5199 |
Oil & Gas E&P | -5.94% |
|
Reach Energy Bhd
KLSE:5256 |
Oil & Gas E&P | 0.15% |
|
Geo-Jade Petroleum Corp
SHG:600759 |
Oil & Gas E&P | 0.01% |
|
Shandong Xinchao Energy Co Ltd
SHG:600777 |
Oil & Gas E&P | 8.49% |
Annual Asset Resilience Ratio for MorningStar Partners, L.P. (2020–2024)
The table below shows the annual Asset Resilience Ratio data for MorningStar Partners, L.P..
| Year | Asset Resilience Ratio (%) | Liquid Assets | Total Assets | Change |
|---|---|---|---|---|
| 2024-12-31 | 0.71% | $7.30 Million | $1.03 Billion | +0.06pp |
| 2023-12-31 | 0.65% | $4.50 Million | $695.61 Million | -0.35pp |
| 2022-12-31 | 1.00% | $9.20 Million | $924.63 Million | +0.09pp |
| 2021-12-31 | 0.91% | $7.55 Million | $832.82 Million | -2.61pp |
| 2020-12-31 | 3.52% | $21.93 Million | $623.94 Million | -- |