Viper Energy Partners LP (NASDAQ:VNOM) Accelerates Growth With Recent Acquisitions And Dividend Increase

Viper Energy Partners LP shows expanding asset footprint and robust margin metrics while valuation multiples sit above its peer central tendency. Near-term price momentum shows limited strength, leaving upside contingent on confirmation from volume and momentum indicators.

Recent News

On July 1, 2026 Viper closed the Riverbend acquisition, adding mineral and royalty interests acquired for approximately $339 million in cash and equity consideration. On June 12, 2026 the company and affiliates executed a first amendment to the credit agreement with its lending group. On August 3, 2026 the company announced a definitive agreement to acquire approximately 933 net royalty acres from Diamondback in exchange for roughly 3.7 million operating-sub company units and concurrent Class B common stock, and also disclosed second-quarter operational results and a decision to increase the annual base dividend beginning in the third quarter of 2026. Rating commentary from S&P Global reflected upgraded forward outlooks tied to the pro forma scale gains from these transactions.

Technical Analysis

Directional indicators present a bearish tilt with limited conviction: ADX at 16.02 signals no established trend, but DI+ at 26.62 decreasing and DI- at 19.83 showing a dip-and-reverse both point toward recent downside pressure; together these imply a bearish bias lacking strong trend strength, which tempers any immediate valuation-driven breakout potential.

MACD sits at 0.40 with the signal line at 0.29; the MACD currently sits above its signal line (a recent bullish crossover), yet the MACD trend shows a peak-and-reversal, indicating momentum has turned toward contraction—this contrast suggests a short-lived bullish crossover that may fade unless momentum re-accelerates, limiting confirmation of value-based upside.

MRO reads 9.61 and indicates the current price sits above the model target; a positive, low-magnitude MRO implies modest downward pressure toward fair value in the near term and reduces the probability of sustained upside without renewed catalytic momentum.

RSI at 50.07 with a peak-and-reversal pattern places the stock in neutral territory while signaling a loss of short-term upward momentum; this neutral RSI aligns with the weak ADX and suggests range-bound action unless directional indicators reassert themselves.

Price vs moving averages shows the close at $44.39, below the 20-day average ($44.59) but above the 50-day ($43.30) and 200-day ($42.81) averages; the 12-day EMA peaked and reversed, reinforcing short-term momentum weakening. Bollinger band width remains tight (upper ~$45.20, lower ~$43.97), implying limited near-term volatility and a sideways bias unless volume returns above recent averages—the 10-, 50- and 200-day volume averages exceed current session volume, signifying muted conviction behind recent moves.

 


Fundamental Analysis

Revenue and margin dynamics support a high-quality cash profile. Total revenue reached $673,000,000 with YoY revenue growth of 49.37% and QoQ revenue growth of 78.69%, reflecting rapid top-line expansion from recent asset additions. Gross profit totaled $435,000,000 and operating income $428,000,000, producing an operating margin of 63.596% and an EBIT margin of 63.447%—both well above the industry peer mean (EBIT margin mean ~23.60% and median ~17.82%), indicating materially stronger profitability on current assets and pricing.

Earnings per share delivered $0.76 versus an estimate of $0.80, an EPS surprise ratio of -5.00%, and an EPS difference of -$0.04. Free cash flow reached $384,000,000, with a free cash flow yield of 2.44%; free cash flow growth shows a recent negative YoY movement, indicating FCF expansion despite rate-of-change softness. Operating cash flow totaled $487,000,000 and cash conversion remains healthy, with a cash-flow-to-earnings multiple of 2.70.

Balance sheet and leverage metrics show conservative long-term leverage: total debt $1,678,000,000, net debt $1,601,000,000, debt-to-EBITDA at 2.70 and interest coverage near 17.79x, reflecting ample coverage and manageable serviceability. Current ratio at 6.37 and cash plus short-term investments of $77,000,000 provide working capital cushion; the capital structure produces a debt-to-equity of 0.33 and debt-to-assets of 13.92%.

Market multiples place valuation above peer central tendencies. Price-to-earnings at 58.06 exceeds the industry peer mean of ~28.90 and median of ~24.81; price-to-book at 3.12 sits above the industry peer mean (~2.19) and median (~2.34); price-to-sales at 23.35 surpasses the industry peer high (~20.08). Forward PE at 73.84 also sits notably above the peer mean. These elevated multiples underpin WMDST’s assessment: the current valuation as determined by WMDST classifies the stock as over-valued.

Dividend profile and shareholder cash returns show a dividend rate of $0.71595 and a dividend yield of 1.62%, with dividends paid of $255,000,000; dividend coverage sits at 0.56 and payout ratio at 179.58%, indicating distributions rely materially on cash generation assumptions and asset monetization cadence rather than purely on trailing EPS coverage.

MOST-RECENT QUARTERLY REPORT
REPORT PERIOD ENDING: 2026-06-30
REPORT DATE: 2026-08-03
NEXT REPORT DATE: 2026-11-02
CASH FLOW  Begin Period Cash Flow 28.0 M
 Operating Cash Flow 487.0 M
 Capital Expenditures -103.00 M
 Change In Working Capital -67.00 M
 Dividends Paid -255.00 M
 Cash Flow Delta 49.0 M
 End Period Cash Flow 77.0 M
 
INCOME STATEMENT REVENUE
 Total Revenue 673.0 M
 Forward Revenue 262.4 M
COSTS
 Cost Of Revenue 238.0 M
 Depreciation
 Depreciation and Amortization
 Research and Development
 Total Operating Expenses 245.0 M
PROFITABILITY
 Gross Profit 435.0 M
 EBITDA 622.0 M
 EBIT 427.0 M
 Operating Income 428.0 M
 Interest Income
 Interest Expense 24.0 M
 Net Interest Income -24.00 M
 Income Before Tax 403.0 M
 Tax Provision 72.0 M
 Tax Rate 17.866 %
 Net Income 142.0 M
 Net Income From Continuing Operations 331.0 M
EARNINGS
 EPS Estimate 0.80
 EPS Actual 0.76
 EPS Difference -0.04
 EPS Surprise -5.0 %
 Forward EPS 0.62
 
BALANCE SHEET ASSETS
 Total Assets 12.1 B
 Intangible Assets
 Net Tangible Assets 5.0 B
 Total Current Assets 580.0 M
 Cash and Short-Term Investments 77.0 M
 Cash 77.0 M
 Net Receivables 488.0 M
 Inventory
 Long-Term Investments 46.0 M
LIABILITIES
 Accounts Payable
 Short-Term Debt
 Total Current Liabilities 91.0 M
 Net Debt 1.6 B
 Total Debt 1.7 B
 Total Liabilities 1.8 B
EQUITY
 Total Equity 5.0 B
 Retained Earnings -273.00 M
VALUATION & PER-SHARE METRICS EQUITY & PER-SHARE METRICS
 Book Value Per-Share 14.14
 Shares Outstanding 356.172 M
 Revenue Per-Share 1.89
VALUATION
 Market Capitalization 15.7 B
 Enterprise Value 17.3 B
 Enterprise Multiple 27.841
Enterprise Multiple QoQ 27.571 %
Enterprise Multiple YoY 4.704 %
Enterprise Multiple IPRWA high: 49.871
VNOM: 27.841
mean: 24.56
median: 22.506
low: 5.198
 EV/R 25.731
CAPITAL STRUCTURE
 Asset To Equity 2.394
 Asset To Liability 6.799
 Debt To Capital 0.25
 Debt To Assets 0.139
Debt To Assets QoQ 4.622 %
Debt To Assets YoY 24.086 %
Debt To Assets IPRWA high: 0.637
mean: 0.192
median: 0.192
VNOM: 0.139
low: 0.011
 Debt To Equity 0.333
Debt To Equity QoQ 6.323 %
Debt To Equity YoY 3.806 %
Debt To Equity IPRWA high: 1.74
mean: 0.542
median: 0.404
VNOM: 0.333
low: 0.012
PRICE-BASED VALUATION
 Price To Book (P/B) 3.121
Price To Book QoQ 81.124 %
Price To Book YoY 111.566 %
Price To Book IPRWA high: 4.654
VNOM: 3.121
median: 2.337
mean: 2.192
low: 0.434
 Price To Earnings (P/E) 58.059
Price To Earnings QoQ -32.156 %
Price To Earnings YoY -39.337 %
Price To Earnings IPRWA high: 87.244
VNOM: 58.059
mean: 28.896
median: 24.813
low: 1.626
 PE/G Ratio 1.521
 Price To Sales (P/S) 23.352
Price To Sales QoQ 35.4 %
Price To Sales YoY 37.455 %
Price To Sales IPRWA VNOM: 23.352
high: 20.082
mean: 6.315
median: 5.359
low: 0.502
FORWARD MULTIPLES
Forward P/E 73.844
Forward PE/G 1.934
Forward P/S 61.133
EFFICIENCY OPERATIONAL
 Operating Leverage 1.834
ASSET & SALES
 Asset Turnover Ratio 0.056
Asset Turnover Ratio QoQ 35.075 %
Asset Turnover Ratio YoY 50.675 %
Asset Turnover Ratio IPRWA high: 0.701
median: 0.232
mean: 0.226
VNOM: 0.056
low: 0.017
 Receivables Turnover 1.516
Receivables Turnover Ratio QoQ 11.235 %
Receivables Turnover Ratio YoY 47.749 %
Receivables Turnover Ratio IPRWA high: 6.417
mean: 2.549
median: 1.99
VNOM: 1.516
low: 0.366
 Inventory Turnover
Inventory Turnover Ratio QoQ
Inventory Turnover Ratio YoY
Inventory Turnover Ratio IPRWA
 Days Sales Outstanding (DSO) 60.201
CASH CYCLE
 Cash Conversion Cycle Days (CCC) 60.201
Cash Conversion Cycle Days QoQ
Cash Conversion Cycle Days YoY
Cash Conversion Cycle Days IPRWA high: 63.579
VNOM: 60.201
mean: -11.495
median: -11.56
low: -188.724
CAPITAL DEPLOYMENT
 Cash Conversion Ratio 1.376
 CapEx To Revenue -0.153
 CapEx To Depreciation
 
CAPITAL, LIQUIDITY & COVERAGE CAPITAL STRUCTURE
 Total Capital 6.7 B
 Net Invested Capital 6.7 B
 Invested Capital 6.7 B
 Net Tangible Assets 5.0 B
 Net Working Capital 489.0 M
LIQUIDITY
 Cash Ratio 0.846
 Current Ratio 6.374
Current Ratio QoQ 3.283 %
Current Ratio YoY 3.589 %
Current Ratio IPRWA VNOM: 6.374
high: 2.816
median: 1.252
mean: 1.21
low: 0.467
 Quick Ratio
Quick Ratio QoQ
Quick Ratio YoY
Quick Ratio IPRWA
COVERAGE & LEVERAGE
 Debt To EBITDA 2.698
 Cost Of Debt 1.202 %
 Interest Coverage Ratio 17.792
Interest Coverage Ratio QoQ 77.917 %
Interest Coverage Ratio YoY 151.769 %
Interest Coverage Ratio IPRWA high: 86.568
mean: 30.618
VNOM: 17.792
median: 15.887
low: -13.39
 Operating Cash Flow Ratio 5.352
TIMING / LIQUIDITY
 Days Payables Outstanding (DPO)
DIVIDENDS
 Dividend Coverage Ratio 0.557
 Dividend Payout Ratio 1.796
 Dividend Rate 0.72
 Dividend Yield 0.016
PERFORMANCE GROWTH
 Asset Growth Rate 0.058 %
 Revenue Growth 31.703 %
Revenue Growth QoQ 78.689 %
Revenue Growth YoY 49.373 %
Revenue Growth IPRWA high: 94.825 %
median: 35.834 %
mean: 33.124 %
VNOM: 31.703 %
low: -51.194 %
 Earnings Growth 38.182 %
Earnings Growth QoQ -46.198 %
Earnings Growth YoY -258.603 %
Earnings Growth IPRWA high: 669.565 %
mean: 118.173 %
median: 79.032 %
VNOM: 38.182 %
low: -355.556 %
MARGINS
 Gross Margin 64.636 %
Gross Margin QoQ 22.329 %
Gross Margin YoY 26.296 %
Gross Margin IPRWA high: 85.152 %
VNOM: 64.636 %
mean: 28.986 %
median: 22.517 %
low: 3.205 %
 EBIT Margin 63.447 %
EBIT Margin QoQ 20.078 %
EBIT Margin YoY 77.772 %
EBIT Margin IPRWA high: 95.642 %
VNOM: 63.447 %
mean: 23.604 %
median: 17.819 %
low: 2.99 %
 Return On Sales (ROS) 63.596 %
Return On Sales QoQ 28.448 %
Return On Sales YoY 30.261 %
Return On Sales IPRWA high: 95.642 %
VNOM: 63.596 %
mean: 21.135 %
median: 16.032 %
low: 2.583 %
CASH FLOW
 Free Cash Flow (FCF) 384.0 M
 Free Cash Flow Yield 2.443 %
Free Cash Flow Yield QoQ -27.743 %
Free Cash Flow Yield YoY -120.476 %
Free Cash Flow Yield IPRWA high: 17.176 %
mean: 3.392 %
median: 3.3 %
VNOM: 2.443 %
low: -3.681 %
 Free Cash Growth 28.859 %
Free Cash Growth QoQ -381.799 %
Free Cash Growth YoY -74.054 %
Free Cash Growth IPRWA high: 1077.9 %
median: 227.394 %
mean: 66.575 %
VNOM: 28.859 %
low: -1268.173 %
 Free Cash To Net Income 2.704
 Cash Flow Margin 8.024 %
 Cash Flow To Earnings 3.43
VALUE & RETURNS
 Economic Value Added 0.04
 Return On Assets (ROA) 1.178 %
Return On Assets QoQ 50.064 %
Return On Assets YoY 154.978 %
Return On Assets IPRWA high: 10.571 %
median: 3.127 %
mean: 2.935 %
VNOM: 1.178 %
low: -2.231 %
 Return On Capital Employed (ROCE) 3.569 %
 Return On Equity (ROE) 0.028
Return On Equity QoQ 48.656 %
Return On Equity YoY 160.628 %
Return On Equity IPRWA high: 0.233
mean: 0.07
median: 0.064
VNOM: 0.028
low: -0.064
 DuPont ROE 2.798 %
 Return On Invested Capital (ROIC) 5.224 %
Return On Invested Capital QoQ 46.907 %
Return On Invested Capital YoY 141.182 %
Return On Invested Capital IPRWA high: 11.602 %
mean: 5.681 %
VNOM: 5.224 %
median: 4.949 %
low: -1.274 %

Six-Week Outlook

Expect range-bound to modest downside price action absent a clear trend acceleration: directional indicators signal bearish bias but ADX below 20 limits conviction, while MACD and short-term EMAs show momentum weakening. Near-term upside requires renewed volume and a MACD/directional confirmation; absent that, price likely oscillates between the lower Bollinger band near $44.0 and the upper band near $45.2. Fundamental strength—high margins and solid cash flow—provides a valuation floor, but elevated market multiples constrain near-term upside until market re-rates the multiples or material asset-driven cash generation accelerates.

About Viper Energy Partners LP

Viper Energy Partners LP (NASDAQ:VNOM) acquires and manages mineral and royalty interests in oil and natural gas properties, primarily located in the prolific Permian Basin of North America. As a subsidiary of Diamondback Energy, Inc., Viper Energy Partners LP benefits from a strategic relationship that enhances its operational capabilities. The company generates revenue through the ownership of mineral rights, allowing it to receive a percentage of the production or revenue from oil and gas extraction activities conducted by operators on these properties. Viper Energy Partners GP LLC serves as the general partner, providing governance and oversight. Founded in 2013 and headquartered in Midland, Texas, Viper Energy Partners LP leverages its expertise in the energy sector to deliver value to its stakeholders through strategic acquisitions and efficient management of its asset portfolio. The company consistently seeks opportunities to expand its holdings and optimize returns for its investors by capitalizing on the rich resources of the Permian Basin.



© 2026 WMDST — The World’s Most Dangerous Swing Trader. All rights reserved.