Valuation: Ovintiv Inc.

Capitalization 16.38B 14.1B 12.89B 12.3B 22.55B 1,572B 22.92B 155B 59.84B 746B 61.48B 60.17B 2,600B P/E ratio 2026 *
15.4x
P/E ratio 2027 * 7.01x
Enterprise value 19.74B 16.99B 15.53B 14.82B 27.17B 1,894B 27.62B 186B 72.12B 899B 74.1B 72.51B 3,133B EV / Sales 2026 *
2.03x
EV / Sales 2027 * 2x
Free-Float
99.56%
Yield 2026 *
2.09%
Yield 2027 * 2.11%
1 day+2.92%
1 week+3.75%
Current month-2.52%
1 month+9.01%
3 months+30.21%
6 months+57.07%
Current year+53.10%
1 week 56.79
Extreme 56.79
60.08
1 month 51.03
Extreme 51.03
63.46
Current year 36.8
Extreme 36.805
63.46
1 year 34.88
Extreme 34.88
63.46
3 years 29.8
Extreme 29.8
63.46
5 years 21.92
Extreme 21.915
63.46
10 years 2.1
Extreme 2.1
71.55
Manager TitleAgeSince
Chief Executive Officer 50 31/07/2021
Director of Finance/CFO 52 30/04/2019
Chief Operating Officer 52 31/08/2019
Director TitleAgeSince
Director/Board Member 73 12/05/2014
Chairman 69 05/05/2026
Director/Board Member 72 12/02/2013
Change 5d. change 1-year change 3-years change Capi.($)
+2.92%+3.75%+59.45%+79.43% 16.38B
+2.89%+7.50%+31.68%+22.06% 145B
+1.19%+8.52%+53.14%+73.44% 98.92B
+3.14%+7.87%+21.06%+25.97% 72.43B
+1.65%+7.87%+43.40%+57.85% 56.34B
+4.89%+12.43%+37.47%+1.88% 56.54B
+2.56%+9.19%+122.74%+94.01% 56.35B
+4.76%+8.51%+48.17%+3.73% 54.47B
+2.06%+2.49%+40.07%-7.16% 42.05B
-0.62%+0.46%+0.39%+59.99% 35.38B
Average +2.46%+2.67%+45.76%+41.12% 63.38B
Weighted average by Cap. +2.52%+3.52%+44.42%+38.39%

Financials

2026 *2027 *
Net sales 9.73B 8.37B 7.65B 7.3B 13.39B 933B 13.61B 91.82B 35.53B 443B 36.5B 35.72B 1,543B 9.41B 8.09B 7.4B 7.06B 12.95B 903B 13.16B 88.79B 34.36B 428B 35.3B 34.55B 1,493B
Net income 1.14B 979M 895M 854M 1.57B 109B 1.59B 10.74B 4.15B 51.81B 4.27B 4.18B 180B 2.05B 1.76B 1.61B 1.54B 2.82B 196B 2.86B 19.32B 7.47B 93.2B 7.68B 7.52B 325B
Net Debt 3.36B 2.89B 2.64B 2.52B 4.63B 323B 4.7B 31.73B 12.28B 153B 12.62B 12.34B 533B 2.44B 2.1B 1.92B 1.83B 3.36B 234B 3.41B 23.03B 8.91B 111B 9.16B 8.96B 387B
Logo Ovintiv Inc.
Ovintiv Inc. is an oil and natural gas exploration and production company. The Company is focused on developing a multi-basin portfolio of assets located in the United States and Canada. Its operations include marketing of oil, natural gas liquids and natural gas. Its assets include Permian Basin and Montney. The Permian Basin is an oil play, located in oil deposits in the United States, located in west Texas primarily in Midland, Martin, Andrews, Howard, Glasscock, Ector and Upton counties. The Company develops the play using its cube development model and multi-frac techniques. The Montney is a liquids and natural gas play located in northwest Alberta and northeast British Columbia. The play includes properties that are in the Montney formation, which is an oil and gas deposit in North America. The formation is characterized by up to six stacked horizons spanning over 1,000 feet of stratigraphy and is being developed through horizontal drilling and completion operations.
Employees
1,465
Date Price Change Volume
15/05/26 60.00 $ +2.92% 3,688,485
14/05/26 58.30 $ +0.88% 3,003,255
13/05/26 57.79 $ -0.52% 4,628,264
12/05/26 58.09 $ -1.69% 6,993,706
11/05/26 59.09 $ +2.18% 5,238,056
Trader
Investor
Global
Quality
ESG MSCI
AAA
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
24
Last Close Price
58.30USD
Average target price
70.05USD
Spread / Average Target
+20.15%

Quarterly revenue - Rate of surprise