Quarterly report pursuant to Section 13 or 15(d)

Reporting Segments (Tables)

v3.21.1
Reporting Segments (Tables)
3 Months Ended
Mar. 31, 2021
Segment Reporting [Abstract]  
Schedule of Segment Reporting Information, by Segment The following tables set forth certain financial information with respect to the Company’s reportable segments (in thousands):
Three months ended March 31, 2021 Infrastructure Well Completion Sand Drilling All Other Eliminations Total
Revenue from external customers $ 29,257  $ 22,901  $ 8,705  $ 919  $ 5,022  $ —  $ 66,804 
Intersegment revenues —  54  —  14  640  (708) — 
Total revenue 29,257  22,955  8,705  933  5,662  (708) 66,804 
Cost of revenue, exclusive of depreciation, depletion, amortization and accretion 26,458  9,003  5,862  1,604  5,153  —  48,080 
Intersegment cost of revenues 45  394  —  —  269  (708) — 
Total cost of revenue 26,503  9,397  5,862  1,604  5,422  (708) 48,080 
Selling, general and administrative 6,253  10,612  2,049  422  1,512  —  20,848 
Depreciation, depletion, amortization and accretion 6,667  6,683  2,140  2,165  3,491  —  21,146 
Operating loss (10,166) (3,737) (1,346) (3,258) (4,763) —  (23,270)
Interest expense, net 661  254  93  63  154  —  1,225 
Other (income) expense, net (9,310) 439  (794) (9) 242  —  (9,432)
Loss before income taxes $ (1,517) $ (4,430) $ (645) $ (3,312) $ (5,159) $ —  $ (15,063)
Three months ended March 31, 2020 Infrastructure Well Completion Sand Drilling All Other Eliminations Total
Revenue from external customers $ 25,475  $ 42,686  $ 10,154  $ 4,723  $ 14,345  $ —  $ 97,383 
Intersegment revenues —  634  95  775  (1,508) — 
Total revenue 25,475  43,320  10,249  4,727  15,120  (1,508) 97,383 
Cost of revenue, exclusive of depreciation, depletion, amortization and accretion 26,681  25,568  11,297  5,625  12,735  —  81,906 
Intersegment cost of revenues 627  —  130  743  (1,508) — 
Total cost of revenue 26,689  26,195  11,297  5,755  13,478  (1,508) 81,906 
Selling, general and administrative 3,944  2,171  1,303  1,063  2,290  —  10,771 
Depreciation, depletion, amortization and accretion 7,622  8,482  2,322  2,849  4,607  —  25,882 
Impairment of goodwill —  53,406  —  —  1,567  —  54,973 
Impairment of other long-lived assets —  4,203  —  326  8,368  —  12,897 
Operating loss (12,780) (51,137) (4,673) (5,266) (15,190) —  (89,046)
Interest expense, net 752  275  79  257  275  —  1,638 
Other (income) expense, net (7,703) (110) (37) 27  414  —  (7,409)
Loss before income taxes $ (5,829) $ (51,302) $ (4,715) $ (5,550) $ (15,879) $ —  $ (83,275)

Infrastructure Well Completion Sand Drilling All Other Eliminations Total
As of March 31, 2021:
Total assets $ 405,364  $ 101,798  $ 167,901  $ 33,498  $ 111,977  $ (40,094) $ 780,444 
As of December 31, 2020:
Total assets $ 436,604  $ 99,247  $ 172,927  $ 36,252  $ 135,194  $ (55,662) $ 824,562