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OVV Ovintiv

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  • 52.825
  • +0.055+0.10%
Trading Apr 24 15:53 ET
14.21BMarket Cap6.69P/E (TTM)

Ovintiv Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
7.79%4.17B
55.66%1.36B
-5.82%906M
-38.17%831M
55.91%1.07B
23.55%3.87B
18.24%875M
18.47%962M
79.20%1.34B
-17.17%685M
Net income from continuing operations
-42.67%2.09B
-35.88%856M
-65.77%406M
-75.24%336M
302.07%487M
156.85%3.64B
-3.54%1.34B
1,747.22%1.19B
761.95%1.36B
-177.99%-241M
Operating gains losses
73.02%-194M
41.62%-317M
140.56%275M
74.70%-128M
-102.38%-24M
-244.38%-719M
41.99%-543M
-214.92%-678M
-187.69%-506M
277.53%1.01B
Depreciation and amortization
63.97%1.83B
98.57%556M
67.01%486M
50.72%419M
37.88%364M
-6.47%1.11B
2.19%280M
-2.02%291M
-10.61%278M
-14.29%264M
Deferred tax
265.52%144M
149.33%111M
-188.64%-78M
-18.97%47M
900.00%64M
-314.29%-87M
-11,150.00%-225M
8,700.00%88M
--58M
60.00%-8M
Other non cash items
-121.10%-23M
--0
-79.55%9M
-45.83%13M
-662.50%-45M
25.29%109M
1,000.00%33M
131.58%44M
-46.67%24M
-60.00%8M
Change In working capital
276.47%330M
3,220.00%156M
-719.35%-192M
8.27%144M
164.16%222M
-356.10%-187M
-129.41%-5M
234.78%31M
504.55%133M
-507.02%-346M
-Change in receivables
215.79%352M
154.55%84M
-176.99%-251M
226.54%205M
162.67%314M
8.71%-304M
171.74%33M
1,404.00%326M
-68.75%-162M
-201.81%-501M
-Change in payables and accrued expense
-708.00%-304M
71.43%-16M
100.69%2M
-142.56%-103M
-222.22%-187M
-81.82%50M
-187.50%-56M
-2,323.08%-289M
218.42%242M
25.41%153M
-Change in other current liabilities
-21.43%11M
0.00%7M
-25.00%-5M
-127.27%-3M
--12M
300.00%14M
450.00%7M
55.56%-4M
1,200.00%11M
--0
-Change in other working capital
411.32%271M
636.36%81M
3,200.00%62M
7.14%45M
4,050.00%83M
120.83%53M
1,000.00%11M
0.00%-2M
-2.33%42M
111.11%2M
Cash from discontinued investing activities
Operating cash flow
7.79%4.17B
55.66%1.36B
-5.82%906M
-38.17%831M
55.91%1.07B
23.55%3.87B
18.24%875M
18.47%962M
79.20%1.34B
-17.17%685M
Investing cash flow
Cash flow from continuing investing activities
-209.01%-5.52B
-34.35%-794M
-223.48%-854M
-485.21%-3.01B
-106.95%-863M
-240.19%-1.79B
-45.93%-591M
28.07%-264M
-190.49%-514M
-29.91%-417M
Capital expenditure reported
-49.86%-2.74B
-84.36%-660M
-63.21%-834M
-25.24%-640M
-35.25%-610M
-20.54%-1.83B
14.96%-358M
-40.00%-511M
-33.42%-511M
-28.86%-451M
Net business purchase and sale
-4,606.90%-2.73B
110.63%27M
-122.07%-47M
-84,000.00%-2.52B
-1,235.71%-187M
-105.72%-58M
---254M
2,762.50%213M
-100.29%-3M
-1,500.00%-14M
Net investment purchase and sale
-143.69%-45M
-866.67%-161M
-20.59%27M
--155M
-237.50%-66M
615.00%103M
31.25%21M
466.67%34M
--0
71.43%48M
Cash from discontinued investing activities
Investing cash flow
-209.01%-5.52B
-34.35%-794M
-223.48%-854M
-485.21%-3.01B
-106.95%-863M
-240.19%-1.79B
-45.93%-591M
28.07%-264M
-190.49%-514M
-29.91%-417M
Financing cash flow
Cash flow from continuing financing activities
159.92%1.36B
-89.23%-562M
85.34%-101M
302.57%2.21B
4.66%-184M
6.24%-2.27B
-100.68%-297M
-23.70%-689M
9.78%-1.09B
61.93%-193M
Net issuance payments of debt
259.69%2.09B
-789.58%-427M
108.61%26M
367.08%2.38B
265.71%116M
40.07%-1.31B
-4,700.00%-48M
41.92%-302M
24.70%-890M
85.51%-70M
Net common stock issuance
40.75%-426M
71.81%-53M
86.15%-45M
34.07%-89M
-236.62%-239M
-547.75%-719M
-69.37%-188M
---325M
---135M
---71M
Cash dividends paid
-28.45%-307M
-34.43%-82M
-32.26%-82M
-28.13%-82M
-17.31%-61M
-95.90%-239M
-69.44%-61M
-67.57%-62M
-156.00%-64M
-116.67%-52M
Cash from discontinued financing activities
Financing cash flow
159.92%1.36B
-89.23%-562M
85.34%-101M
302.57%2.21B
4.66%-184M
6.24%-2.27B
-100.68%-297M
-23.70%-689M
9.78%-1.09B
61.93%-193M
Net cash flow
Beginning cash position
-97.44%5M
-83.33%3M
550.00%52M
-90.41%26M
-97.44%5M
1,850.00%195M
125.00%18M
-93.44%8M
2,911.11%271M
1,850.00%195M
Current changes in cash
103.72%7M
146.15%6M
-644.44%-49M
111.20%29M
-72.00%21M
-201.62%-188M
-106.95%-13M
108.04%9M
-333.33%-259M
7,600.00%75M
Effect of exchange rate changes
-350.00%-9M
---6M
--0
25.00%-3M
--0
---2M
--0
150.00%1M
-300.00%-4M
--1M
End cash Position
-40.00%3M
-40.00%3M
-83.33%3M
550.00%52M
-90.41%26M
-97.44%5M
-97.44%5M
125.00%18M
-93.44%8M
2,911.11%271M
Free cash flow
-30.07%1.42B
35.78%702M
-84.04%72M
-77.07%191M
95.73%458M
26.40%2.04B
62.07%517M
0.89%451M
126.98%833M
-50.94%234M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 7.79%4.17B55.66%1.36B-5.82%906M-38.17%831M55.91%1.07B23.55%3.87B18.24%875M18.47%962M79.20%1.34B-17.17%685M
Net income from continuing operations -42.67%2.09B-35.88%856M-65.77%406M-75.24%336M302.07%487M156.85%3.64B-3.54%1.34B1,747.22%1.19B761.95%1.36B-177.99%-241M
Operating gains losses 73.02%-194M41.62%-317M140.56%275M74.70%-128M-102.38%-24M-244.38%-719M41.99%-543M-214.92%-678M-187.69%-506M277.53%1.01B
Depreciation and amortization 63.97%1.83B98.57%556M67.01%486M50.72%419M37.88%364M-6.47%1.11B2.19%280M-2.02%291M-10.61%278M-14.29%264M
Deferred tax 265.52%144M149.33%111M-188.64%-78M-18.97%47M900.00%64M-314.29%-87M-11,150.00%-225M8,700.00%88M--58M60.00%-8M
Other non cash items -121.10%-23M--0-79.55%9M-45.83%13M-662.50%-45M25.29%109M1,000.00%33M131.58%44M-46.67%24M-60.00%8M
Change In working capital 276.47%330M3,220.00%156M-719.35%-192M8.27%144M164.16%222M-356.10%-187M-129.41%-5M234.78%31M504.55%133M-507.02%-346M
-Change in receivables 215.79%352M154.55%84M-176.99%-251M226.54%205M162.67%314M8.71%-304M171.74%33M1,404.00%326M-68.75%-162M-201.81%-501M
-Change in payables and accrued expense -708.00%-304M71.43%-16M100.69%2M-142.56%-103M-222.22%-187M-81.82%50M-187.50%-56M-2,323.08%-289M218.42%242M25.41%153M
-Change in other current liabilities -21.43%11M0.00%7M-25.00%-5M-127.27%-3M--12M300.00%14M450.00%7M55.56%-4M1,200.00%11M--0
-Change in other working capital 411.32%271M636.36%81M3,200.00%62M7.14%45M4,050.00%83M120.83%53M1,000.00%11M0.00%-2M-2.33%42M111.11%2M
Cash from discontinued investing activities
Operating cash flow 7.79%4.17B55.66%1.36B-5.82%906M-38.17%831M55.91%1.07B23.55%3.87B18.24%875M18.47%962M79.20%1.34B-17.17%685M
Investing cash flow
Cash flow from continuing investing activities -209.01%-5.52B-34.35%-794M-223.48%-854M-485.21%-3.01B-106.95%-863M-240.19%-1.79B-45.93%-591M28.07%-264M-190.49%-514M-29.91%-417M
Capital expenditure reported -49.86%-2.74B-84.36%-660M-63.21%-834M-25.24%-640M-35.25%-610M-20.54%-1.83B14.96%-358M-40.00%-511M-33.42%-511M-28.86%-451M
Net business purchase and sale -4,606.90%-2.73B110.63%27M-122.07%-47M-84,000.00%-2.52B-1,235.71%-187M-105.72%-58M---254M2,762.50%213M-100.29%-3M-1,500.00%-14M
Net investment purchase and sale -143.69%-45M-866.67%-161M-20.59%27M--155M-237.50%-66M615.00%103M31.25%21M466.67%34M--071.43%48M
Cash from discontinued investing activities
Investing cash flow -209.01%-5.52B-34.35%-794M-223.48%-854M-485.21%-3.01B-106.95%-863M-240.19%-1.79B-45.93%-591M28.07%-264M-190.49%-514M-29.91%-417M
Financing cash flow
Cash flow from continuing financing activities 159.92%1.36B-89.23%-562M85.34%-101M302.57%2.21B4.66%-184M6.24%-2.27B-100.68%-297M-23.70%-689M9.78%-1.09B61.93%-193M
Net issuance payments of debt 259.69%2.09B-789.58%-427M108.61%26M367.08%2.38B265.71%116M40.07%-1.31B-4,700.00%-48M41.92%-302M24.70%-890M85.51%-70M
Net common stock issuance 40.75%-426M71.81%-53M86.15%-45M34.07%-89M-236.62%-239M-547.75%-719M-69.37%-188M---325M---135M---71M
Cash dividends paid -28.45%-307M-34.43%-82M-32.26%-82M-28.13%-82M-17.31%-61M-95.90%-239M-69.44%-61M-67.57%-62M-156.00%-64M-116.67%-52M
Cash from discontinued financing activities
Financing cash flow 159.92%1.36B-89.23%-562M85.34%-101M302.57%2.21B4.66%-184M6.24%-2.27B-100.68%-297M-23.70%-689M9.78%-1.09B61.93%-193M
Net cash flow
Beginning cash position -97.44%5M-83.33%3M550.00%52M-90.41%26M-97.44%5M1,850.00%195M125.00%18M-93.44%8M2,911.11%271M1,850.00%195M
Current changes in cash 103.72%7M146.15%6M-644.44%-49M111.20%29M-72.00%21M-201.62%-188M-106.95%-13M108.04%9M-333.33%-259M7,600.00%75M
Effect of exchange rate changes -350.00%-9M---6M--025.00%-3M--0---2M--0150.00%1M-300.00%-4M--1M
End cash Position -40.00%3M-40.00%3M-83.33%3M550.00%52M-90.41%26M-97.44%5M-97.44%5M125.00%18M-93.44%8M2,911.11%271M
Free cash flow -30.07%1.42B35.78%702M-84.04%72M-77.07%191M95.73%458M26.40%2.04B62.07%517M0.89%451M126.98%833M-50.94%234M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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