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Ovintiv Inc (OVV)

Valor Justo
EnergyOil & Gas E&PUnited States

Fundamental

68

Precio

$59.26

Capitalización Bursátil

$16.47B

Parte 1 · Cuánto vale la empresa

Resumen

Ovintiv Inc., together with its subsidiaries, operates as an oil and natural gas exploration and production company in North America. The company operates through USA Operations and Canadian Operations segments. It is involved in the exploration, development, production, and marketing of oil, NGLs, natural gas and other related activities in the Permian in West Texas and Anadarko in West-central Oklahoma in the United States, as well as in the Montney in northwest Alberta and northeast British Columbia. The company was formerly known as Encana Corporation and changed its name to Ovintiv Inc. in January 2020. Ovintiv Inc. was incorporated in 2020 and is based in Denver, Colorado.

No editorial profile for this company yet

Direct competitors

Who this company fights with for the same customers

Compare

Generated on 19 de septiembre de 2026 with claude-haiku-4-5 — shared with all users

P/E: 10.9Score: 70Market cap: $51.40B

A US independent of similar size whose oil-weighted output comes from the same Permian and mid-continent shale plays Ovintiv drills, so the two bid against each other for acreage, rigs and frac crews and sell the same barrels into the same Gulf Coast markets.

P/E: 35.0Score: 63Market cap: $52.93B

The largest pure-play operator in the Midland Basin, where Ovintiv's US drilling is now concentrated, competing directly for the same undrilled inventory, oilfield services and midstream capacity in West Texas.

P/E: 13.7Score: 75Market cap: $17.84B

A Permian-focused independent of comparable scale that competes for the same West Texas and New Mexico shale acreage, the same service crews and the same light-oil buyers.

ARC Resources Ltd.ARX

Canada's largest pure-play Montney producer, competing with Ovintiv's Canadian arm for the same liquids-rich Montney land, processing and pipeline capacity in Alberta and northeast British Columbia.

Tourmaline Oil Corp.TOU

Canada's biggest natural gas producer, with Montney and Deep Basin assets that sell gas and condensate to the same Western Canadian buyers and export routes Ovintiv depends on.

Coterra Energy Inc.CTRA

A multi-basin US independent that, like Ovintiv, splits capital between oily Permian wells and gas-weighted plays, competing for the same drilling inventory and the same mix of oil and gas customers.

Balance y Liquidez

Ingresos

$9.52B

Últimos 12 meses (hasta 30/6/2026)

Beneficio Neto

$920M

Últimos 12 meses (hasta 30/6/2026)

Flujo de Caja Libre

$1.50B

Patrimonio Neto Total

$11.20B

Pasivo Total

$9.20B

Ratio de Liquidez

1.01

Cobertura de Intereses

2.45

Deuda/EBITDA

1.52

Beneficio Por Acción

Ingresos y Beneficio Neto

Flujo de Caja Libre

Desglose de Ingresos

Estado histórico

Márgenes en el tiempo

La deuda en el tiempo

Cuánto pesa la deuda

Cuadro de crecimiento

Crecimiento — Ingresos

Estimación de Valor Justo

CíclicaValoración Justa

Valor Justo

$57.88

Precio Actual

$59.26

Margen de Seguridad

-2.4%

Rango de Valor Justo

$37.62 - $78.14

Dispersión entre los métodos de valoración utilizados, no un intervalo de confianza calibrado estadísticamente.

Métodos de Estimación

Precio objetivo de los analistas:$76.17
Flujo de caja descontado (DCF):No aplicable a este tipo de empresa
Múltiplo sobre beneficios (P/E):$29.51
Fórmula de crecimiento de Graham:No aplicable a este tipo de empresa
Valor de la capacidad de generar beneficios (EPV):$21.43
P/B justificado:No aplicable a este tipo de empresa
Descuento de dividendos (Gordon):No aplicable a este tipo de empresa
P/FFO, fondos de operaciones:No aplicable a este tipo de empresa
Beneficios de mitad de ciclo:$70.81
Múltiplo sobre ingresos:No aplicable a este tipo de empresa
Consenso de Analistas:Compra Fuerte (24B / 5H / 1S)
Última Sorpresa de Resultados:-11.25%

Métricas de Valoración

Ratio P/E

16.61

ROE

11.1%

Ratio P/B

1.39

P/FCF

7.03

Margen Bruto

-

ROIC

4.4%

Radar de Rentabilidad

Creación de Valor (Ventaja Competitiva)

ROIC

4.4%

WACC

7.5%

ROIC − WACC

-3.1 pp

El ROIC está por debajo del coste del capital: la empresa destruye valor por cada dólar invertido.

Criterios de Análisis Fundamental

Superado (18)

  • EPS shows upward trend
  • P/FCF 7.03
  • P/B Ratio 1.39
  • Debt/Equity ratio
  • Operating Margin 10.0%
  • Positive Free Cash Flow
  • Current Ratio
  • Interest Coverage
  • Debt/EBITDA
  • Return on Tangible Assets
  • ROE 8.3%
  • Revenue Growth 5Y 7.9%
  • Analyst Consensus 80% Buy
  • Earnings Surprise avg 11.3%
  • Earnings Quality (OCF/NI) 4.84
  • Share Dilution -2.8%
  • Net Margin Trend 9.7% vs 6.6%
  • Piotroski F-Score 7/9

Fallido (7)

  • EPS CAGR 1.48%
  • Price CAGR 0.82%
  • ROIC 4.4%
  • CapEx intensity
  • Low reliance on intangibles
  • Price below Graham Number
  • DCF valuation (Fairly valued)

No disponible (3)

  • Gross Margin NaN%
  • Dividend Payout NaN%
  • PEG Ratio (need PE > 0 and growth > 0)

Piotroski F-Score

7/9

Solidez financiera fuerte

score
criteria

Calidad de los Beneficios

4.84

Alta calidad: beneficios respaldados por efectivo

Dilución de Acciones

-2.8%

Recomprando acciones. Favorable para el accionista

Participaciones institucionales

No hay declaraciones institucionales para esta empresa.

Gobernanza

Equipo Directivo

NombreCargoEdad
Mr. Brendan Michael McCrackenPresident, CEO & Director49
Mr. Corey Douglas Code CPAExecutive VP & CFO51
Mr. Gregory Dean GivensExecutive VP & COO52
Ms. Meghan Nicole EilersExecutive Vice President of Commercial and Legal Affairs43
Ms. Rachel Maureen Moore CHRPExecutive Vice President of Corporate Services53

Riesgo de Auditoría

3

Riesgo del Consejo

1

Riesgo de Compensación

1

Riesgo de Derechos del Accionista

1

Parte 2 · El precio y el momento de entrar

Esta parte no sirve para saber si la empresa vale: sirve para elegir cuándo comprarla, una vez que los fundamentales te han convencido. Dentro: análisis técnico, potencial, caídas históricas, exposición gamma.

Documentos

  • Informe anual (10-K)

    Un resumen anual del negocio, los resultados financieros y los riesgos de la empresa.

    Presentado el 2026-02-23

    Ver documento
  • Informe trimestral (10-Q)

    Una actualización del desempeño financiero de los últimos tres meses.

    Presentado el 2026-07-23

    Ver documento
  • Informe de hecho relevante (8-K)

    Un aviso sobre un hecho relevante, como un cambio de dirección o un anuncio importante.

    Presentado el 2026-10-01

    Ver documento

via SEC EDGAR

Historial de Resultados

via SEC EDGAR

Latest News

Recent headlines for OVV, sourced from Markets Gazette.

  • 5/12/2026POSITIVE
    Ovintiv Analysts Raise Their Forecasts After Better-Than-Expected Q1 Earnings

    Ovintiv Inc. (OVV) has seen its Q1 earnings surpass expectations, prompting analysts to revise their forecasts upwards. While specific earnings figures and revenue details are not provided in this update, the positive sentiment from analysts at firms like RBC Capital and Morgan Stanley suggests a strong operational performance. The recent analyst actions, including upgrades and maintained overweight ratings, indicate growing confidence in the company's future prospects. Investors should monitor OVV for potential upward price momentum as market sentiment aligns with these improved analyst outlooks.

  • 5/12/2026NEUTRAL
    Ovintiv Reports Q1 2026 Results: Full Earnings Call Transcript

    Ovintiv Inc. has released its Q1 2026 earnings call transcript. While the transcript provides detailed insights into the company's operational performance, financial health, and strategic outlook for the upcoming quarters, it does not contain specific financial figures or forward-looking guidance that would indicate a significant deviation from market expectations or a clear directional shift. Investors will need to analyze the full transcript for nuanced details regarding production levels, cost management, and capital allocation strategies to form their own investment thesis.

  • 3/5/2026NEUTRAL
    Where Ovintiv Stands With Analysts

    Recent analyst rating revisions for Ovintiv Inc. (OVV) present a mixed picture. In March 2022, B of A Securities downgraded the stock from Buy to Neutral, signaling potential caution. However, in February 2022, RBC Capital upgraded its rating from Sector Perform to Outperform, indicating a more positive outlook. In January 2022, Morgan Stanley maintained its Overweight recommendation. This mix of judgments suggests that while some analysts still see potential, others are adopting a more prudent approach, making the overall sentiment neutral pending further developments.

  • 2/24/2026NEUTRAL
    Ovintiv (OVV) Q4 2025 Earnings Call Transcript

    Ovintiv (OVV) investors are keenly awaiting the full details from the Q4 2025 earnings conference call, which took place on February 24, 2026. While the complete transcript is not yet available, this event is a critical juncture for understanding the company's financial performance during the fiscal year's final quarter. The current lack of specific information prevents any immediate directional assessment of the stock. Analysts and the market will closely monitor the eventual release of the data to evaluate revenues, profits, and management's future outlook, all of which will be crucial for guiding subsequent market movements.

via Markets Gazette