Business Context and Reporting Period
Company: Permian Basin Royalty Trust (PBT)
Filing Type: Form 8-K (Current Report)
Date of Report: June 20, 2025
Context: The Trust announced its monthly cash distribution to unitholders of record as of June 30, 2025. The announcement was made via a press release attached as Exhibit 99.1.
Key Financial Metrics
The filing text does not provide specific numerical values for revenue, profit, cash flow, margins, debt, or liquidity. The document serves as a notification of a distribution event rather than a detailed financial statement. The specific distribution amount is contained in the referenced press release (Exhibit 99.1), which is not included in the provided text.
Material Changes
No material changes to operations or financial condition are detailed in the text of this filing. The report solely references the issuance of a press release regarding the monthly distribution.
Guidance, Outlook, and Risks
The filing contains no management commentary, forward-looking guidance, risk factors, or discussion of contingencies. It is a procedural filing to satisfy Item 2.02 requirements regarding the announcement of the distribution.
Investor Verification Checklist
- Verify the exact cash distribution amount per unit by reviewing the attached press release (Exhibit 99.1).
- Confirm the record date of June 30, 2025, to determine eligibility for the distribution.
- Check the payment date for the distribution, which is not specified in this summary text.