crk stock: Comstock Resources (CRK) Overview
CRK (Comstock Resources, Inc.) — Stock Overview
Quick summary: crk stock is the NYSE ticker for Comstock Resources, Inc., an independent oil and natural gas exploration and production company focused mainly on the Haynesville shale. This article covers the company’s stock (equity) — not any cryptocurrency token. Readers will find background on the company, trading and price history, financial and operational metrics, governance, major holders, recent news, risks to consider, and where to locate official filings and live quotes.
Company Background
Comstock Resources, Inc. was founded as an independent E&P company focused on natural gas and oil exploration and production. Headquartered in Frisco, Texas, the company’s primary activities include acquisition, development, exploration and production of oil and natural gas resources. Comstock’s operational focus has centered on the Haynesville and Bossier shales, where it holds acreage and operates drilling programs targeted at increasing production and reserves.
The company operates as a publicly traded corporation listed on a major U.S. exchange and manages its upstream business through direct operating units and subsidiaries that hold leases, mineral interests and midstream arrangements. Comstock’s corporate structure typically comprises the parent operating company with various local or asset-level subsidiaries that own or operate specific leases and wells.
Stock Identification and Listings
crk stock trades on the New York Stock Exchange under the ticker CRK. Trading currency is U.S. dollars. The primary trading hours for CRK are regular NYSE hours: 9:30 a.m. to 4:00 p.m. Eastern Time, with pre-market and after-hours sessions also available through many brokers.
ISIN and CUSIP identifiers for CRK are published in financial databases and SEC documents; investors should consult the company’s investor relations page or the SEC for the up-to-date ISIN/CUSIP record. As a domestic common equity issue, CRK is not an ADR. Any alternate listings or depository receipts would be disclosed in the company’s filings.
Price History and Trading Data
Overview: crk stock has shown sensitivity to commodity price moves, drilling results, and broader energy market sentiment. The share price can present volatile intraday moves as natural gas and oil prices change, production reports are released, or corporate actions are announced.
Recent intraday snapshot: As of January 22, 2026, per a market report by Benzinga, Comstock Resources Inc (NYSE: CRK) gained roughly 9.8%, trading near $24.49 on that session. That move reflected broad market strength in the energy patch and company-specific flow-through from quarterly reports and guidance activity cited in the same market coverage.
Key trading metrics (investors should confirm the latest live values before making decisions):
- Market capitalization: approximately in the low billions of U.S. dollars range — market-cap values move with price and should be checked on live quote pages.
- Average daily volume: CRK historically records trading volumes in the hundreds of thousands to a few million shares per day depending on market activity; volume spikes accompany news or commodity-price moves.
- 52-week high / low: the 52-week trading range for crk stock is useful for context; verify the up-to-date high/low on market quote services.
- Bid/ask spreads: spreads vary with liquidity; during normal sessions CRK typically has a standard equity spread but can widen in pre/post-market trading.
- Float and shares outstanding: float and total shares outstanding are disclosed in SEC filings and financial data providers; they determine free-float market cap and potential stock move sensitivity.
Because market conditions change rapidly, the numbers above are directional. For precise market-cap, float, average volume and 52‑week range, consult live quote pages and the company’s most recent SEC filings.
Intraday and Extended‑Hours Trading
crk stock can be traded in pre-market and after-hours sessions. Liquidity in these extended-hours windows is typically lower than during regular NYSE hours, which can widen bid/ask spreads and amplify price moves. Traders using extended-hours executions should consider potential gaps between the extended-hours price and the opening price during regular trading.
Because crk stock is an energy small‑to‑mid cap name, news releases (earnings, guidance, asset sales) announced outside regular trading hours can cause sharp moves when the market opens. Use limit orders and check liquidity if trading outside standard sessions.
Financials and Key Metrics
High-level financials: Comstock’s financial statements reflect the cyclical nature of the oil and gas industry. Key items investors often review include:
- Revenue: generated primarily from the sale of natural gas, natural gas liquids (NGLs) and oil produced from company-operated fields.
- Net income / loss: periodic profitability depends on realized commodity prices, production levels and operating costs; some periods may show net losses if prices or volumes decline.
- Cash and debt positions: balance-sheet strength is critical — investors examine cash balances, credit facility availability and long-term debt levels to assess leverage.
- Margins: operating margin and cash flow measures (e.g., operating cash flow, adjusted EBITDA) indicate the company’s ability to fund operations and capital expenditure from internal cash generation.
Common valuation metrics investors monitor for crk stock:
- Price-to-Earnings (P/E) ratio — meaningful only when earnings are positive; for periods of negative earnings, P/E is not meaningful.
- Price-to-Cash-Flow (P/CF) — useful for E&P companies that generate significant operating cash flow relative to reported earnings.
- Enterprise Value to EBITDA (EV/EBITDA) — a standard peer-comparison metric for energy companies adjusting for debt and cash differences.
- Price-to-Book (P/B) — can be relevant for asset-heavy businesses but must be interpreted alongside reserve valuations and impairment risks.
Note: Many energy companies have volatile earnings due to commodity price swings; when earnings are negative, ratios like P/E are not meaningful and investors typically focus on EV/EBITDA, P/CF and production-adjusted metrics.
Business Operations and Assets
Principal assets: Comstock’s core assets are its leasehold interests and producing wells in the Haynesville and Bossier shale plays. These geological formations are significant natural gas basins in the U.S. Gulf Coast region, known for high productivity in certain zones.
Reserve base and production metrics: The company reports proved reserves, developed and undeveloped acreage, and production volumes in its annual 10‑K and quarterly 10‑Q filings. Typical operating metrics investors track include average daily production (in MMcf/d for natural gas or BOE/d), realized commodity prices per unit, and finding and development costs on a $/BOE basis.
Capital expenditure and development strategy: Comstock’s capex program centers on drilling and completion activities to convert undeveloped acreage into producing wells, along with facilities and pipeline connections to support operations. The company often prioritizes projects with the highest rate of return under current commodity prices and may adjust activity levels as market conditions change.
Corporate Governance and Management
Executives and board: Comstock maintains an executive leadership team headed by a CEO and CFO managing day-to-day operations and investor relations. The board of directors provides oversight on strategy and corporate governance. For the current composition of the board and executive bios, consult the company’s investor relations materials and proxy statement.
Governance practices: As a U.S. public company, Comstock adheres to SEC disclosure requirements and NYSE listing rules. The company files annual reports (Form 10‑K), quarterly reports (Form 10‑Q) and current reports (Form 8‑K) for material events. The proxy statement details director independence, executive compensation and shareholder rights topics.
Corporate actions: Past notable corporate events—such as asset sales, acquisitions, spin-offs, or significant recapitalizations—are disclosed in the company’s SEC filings and press releases. Shareholders should review material corporate events in 8‑K filings to understand their equity impact.
Major Shareholders and Ownership
Institutional ownership: A portion of crk stock is typically held by institutional investors like mutual funds, pension funds and other asset managers. The exact institutional ownership percentage and the largest institutional holders are reported by major financial data providers and in the company’s proxy filings.
Insider ownership: Company insiders (executive officers and directors) hold shares and report transactions on Form 4 filings with the SEC. Monitoring insider buying or selling can offer context but should not be interpreted in isolation.
Activists and strategic partners: If any activist investors or strategic partners hold significant stakes, these relationships will be disclosed in the company’s filings and public announcements. Such investors may push for operational or capital allocation changes.
Dividends, Share Repurchases and Capital Return Policy
Dividend policy: Historically, dividend practices for many E&P companies vary with cash flow and balance-sheet priorities. As of the most recent public disclosures, investors should check whether Comstock pays a regular dividend, a special dividend, or has suspended distributions. The company’s investor relations page and recent press releases will clarify current dividend policy.
Share repurchases: Any authorized share buyback programs and repurchase activity are disclosed in 10‑Q and 10‑K filings, as well as in press releases. Repurchase authorizations, their scale and timing reflect management’s view on capital allocation vs. debt repayment and drilling investment priorities.
Analyst Coverage, Ratings and Market Sentiment
Analyst coverage: crk stock receives coverage from sell‑side and independent research analysts who monitor the broader E&P sector. Common ratings are Buy/Hold/Sell and associated price targets; these are published by brokerage research desks and financial news outlets.
Consensus and price targets: Ratings and price targets change with quarterly results, guidance revisions, commodity price fluctuations, and strategic announcements. Investors should consult recent analyst reports and aggregated consensus data from financial information platforms for the latest view.
Market sentiment drivers: Key drivers of sentiment for crk stock include quarterly earnings results and guidance, realized natural gas and oil prices, changes in production volumes, major shareholder activity, and broader energy market trends. For example, the price appreciation noted in market reports on January 22, 2026, reflected a session where crk stock gained nearly 10% amid stronger market momentum in energy names, as covered by Benzinga.
Recent Developments and News
Notable recent market move: As of January 22, 2026, per Benzinga’s market coverage, Comstock Resources Inc (NYSE:CRK) advanced roughly 9.8% to trade near $24.49 during the session. That day’s market strength in CRK was part of a broader set of gains across individual stocks reported by the same market bulletin.
Company disclosures and earnings: Recent quarterly earnings releases, production updates, and any announced asset transactions are the primary drivers of short‑term price moves for crk stock. Investors should review the company’s latest earnings release, investor presentation and the transcript of the earnings call for details on production guidance, realized pricing, and capital spending plans.
Investor presentations and conferences: Management presentations at industry conferences and investor days can provide forward-looking information on development plans, acreage position and long-term strategy. These materials are commonly posted to the investor relations section of the company website and summarized in quarterly filings.
Risks and Considerations for Investors
Commodity price risk: crk stock’s performance is heavily correlated with natural gas and oil prices. Volatility in Henry Hub natural gas prices or global oil benchmarks can materially affect revenue and margins.
Leverage and liquidity risk: The company’s debt levels and maturity schedule influence financial flexibility. Elevated leverage can increase business risk in periods of weaker commodity prices.
Operational and execution risk: Drilling program execution, well performance, production downtime, and cost overruns can affect earnings and cash flows. Reserve estimation is subject to geological and technical uncertainty.
Regulatory and environmental risk: Permitting, environmental regulation, methane and emissions controls, and changing policy frameworks can increase compliance costs and affect operations.
Liquidity and volatility for traders: crk stock may display above-average volatility around earnings or commodity-news events. Lower liquidity in extended-hours sessions can widen spreads and make large executions more difficult.
Trading Instruments and Derivatives
Options availability: Options trading on CRK may be available on U.S. options exchanges. Common contract sizes follow U.S. standard equity options conventions (one contract = 100 underlying shares). Availability of liquid strikes and expirations can vary; check options chains on your brokerage or market data platform.
Common strategies: Traders may use options for hedging downside risk, generating income through covered calls, or expressing directional views with calls and puts. Derivatives introduce leverage and additional risk — review contract specifications and margin requirements before trading.
ETFs and indexes: If crk stock is included in sector-specific ETFs or energy-focused indexes, those funds can influence trading flows. Check ETF holdings summaries and index composition data to see whether CRK is a material constituent of any widely traded energy ETFs.
Regulatory Filings and Disclosures
Primary filings: Investors should review Comstock Resources’ SEC filings for authoritative information. Key forms include:
- Form 10‑K (annual report): audited financial statements, reserves discussions, risk factors.
- Form 10‑Q (quarterly report): quarterly financials and operational updates.
- Form 8‑K (current report): material events, earnings releases, leadership changes, transactions.
- Proxy statement (DEF 14A): governance, board and executive compensation details.
- Form 4: insider trading reports by officers and directors.
Where to find filings: The SEC’s EDGAR database and the company’s investor relations pages host these documents. Review filings for the latest, legally required disclosures and reconciliations of non‑GAAP metrics often cited in presentations.
Historical Corporate Events
Major milestones and corporate events that historically affect equity value typically include stock splits or reverse splits (if any), recapitalizations, significant asset transactions (acquisitions or divestitures), and any debt restructurings. A chronological list of such events is available in the company’s historical SEC filings and press release archive; shareholders should review these records to understand capital structure changes over time.
Comparison and Peers
Peer group context: crk stock is generally compared with other oil & gas exploration and production companies operating in U.S. onshore shale basins. When benchmarking CRK, analysts often look at peers focused on natural gas basins with similar scale, such as range of pure‑play natural gas producers and diversified E&P firms with significant Haynesville exposure.
How CRK differs: Differences among peers arise from scale (production volumes), geographic footprint (Haynesville vs. other basins), leverage and balance‑sheet strength, hedging policies and capital allocation priorities. Investors use these distinctions when valuing CRK on EV/EBITDA, production per well, or cost-of-supply metrics.
See Also
- Oil and gas exploration and production (E&P) basics
- Haynesville Shale overview and regional pipeline infrastructure
- Commodity price indexes (Henry Hub natural gas price)
- NYSE listing and market hours information
References
Primary sources used for this article include Comstock Resources investor relations materials and SEC filings (10‑K, 10‑Q, 8‑K), and major financial information providers and news outlets such as Yahoo Finance, MarketWatch, Morningstar, Reuters, Nasdaq, Motley Fool and Benzinga. Specific market movement referenced above was reported by Benzinga. Investors should consult these sources directly for the latest figures and the primary documents cited.
Reported market snapshot: As of January 22, 2026, per Benzinga’s market coverage, Comstock Resources Inc (NYSE:CRK) gained approximately 9.8% to trade near $24.49 during that session. The same daily market bulletin listed other notable movers and provided broader context for that trading day.
External Links
For updated company information and live quotes, consult the following resources (search by the company name or ticker symbol):
- Comstock Resources — Investor Relations site
- SEC EDGAR — Comstock Resources filings
- Live market quote pages and financial data providers (search by CRK)
Further reading and next steps
If you want to track crk stock closely, start by bookmarking the company’s investor relations page and its SEC filings. Monitor quarterly results, production updates and commodity price trends (especially Henry Hub natural gas prices). For active traders, verify real-time quotes, option chains and liquidity conditions during regular and extended trading sessions.
To view or trade the ticker, consider using reputable trading platforms that list NYSE equities; for crypto and Web3-related wallet needs, explore Bitget Wallet. Always cross-check figures on live market pages and read the company’s most recent SEC filings before forming an investment view.
Note: This article is for informational purposes only. It provides neutral, factual information about crk stock and related company data; it does not constitute investment advice or a recommendation to buy or sell securities.
If you’d like more company updates or a tailored watchlist, explore additional resources on the company’s IR page or set alerts on your preferred market data platform. Consider Bitget for integrated market tools and wallet services when managing Web3 assets alongside research workflows.





















