(OVV) Ovintiv - Ratings and Ratios

Exchange: NYSE • Country: United States • Currency: USD • Type: Common Stock • ISIN: US69047Q1022

Natural Gas, Oil, Natural Gas Liquids

OVV EPS (Earnings per Share)

EPS (Earnings per Share) of OVV over the last years for every Quarter: "2020-09": -0.03, "2020-12": 0.7, "2021-03": 1.1, "2021-06": 1.11, "2021-09": 1.5, "2021-12": 1.25, "2022-03": 2.17, "2022-06": 2.41, "2022-09": 1.44, "2022-12": 0.91, "2023-03": 1.81, "2023-06": 0.93, "2023-09": 1.74, "2023-12": 2.35, "2024-03": 1.43, "2024-06": 1.23, "2024-09": 2.44, "2024-12": 1.35, "2025-03": 1.4209, "2025-06": 1.18, "2025-09": 0,

OVV Revenue

Revenue of OVV over the last years for every Quarter: 2020-09: 1190, 2020-12: 1528, 2021-03: 1838, 2021-06: 1692, 2021-09: 2739, 2021-12: 3339, 2022-03: 1967, 2022-06: 3736, 2022-09: 3549, 2022-12: 3212, 2023-03: 2551, 2023-06: 2517, 2023-09: 2649, 2023-12: 3166, 2024-03: 2352, 2024-06: 2288, 2024-09: 2324, 2024-12: 2188, 2025-03: 2377, 2025-06: 2318, 2025-09: null,

Description: OVV Ovintiv

Ovintiv Inc. is a leading North American energy company that explores, develops, produces, and markets natural gas, oil, and natural gas liquids. The company has undergone significant transformation, having rebranded from Encana Corporation to Ovintiv Inc. in January 2020.

From a financial perspective, Ovintiv Inc. has a market capitalization of over $10.5 billion, indicating a substantial presence in the Oil & Gas Exploration & Production sub-industry. Key performance indicators (KPIs) such as Return on Equity (RoE) of 6.07% and a forward Price-to-Earnings (P/E) ratio of 9.50 suggest a relatively stable financial position. Additionally, the companys dividend yield and payout ratio are important metrics to consider, with Ovintiv Inc. currently offering a dividend yield of around 1-2%.

To further evaluate Ovintiv Inc.s performance, its essential to examine its operational efficiency. Key metrics such as production costs per barrel of oil equivalent (BOE), reserve replacement ratio, and debt-to-equity ratio can provide insights into the companys ability to generate cash flows and sustain its operations. For instance, a lower production cost per BOE can indicate a more efficient operation, while a higher reserve replacement ratio can suggest a more sustainable business model.

From a growth perspective, Ovintiv Inc.s ability to increase its production and reserves is crucial. The companys focus on optimizing its portfolio and investing in high-return projects can drive long-term growth. Moreover, the overall energy market trends, including crude oil and natural gas prices, can significantly impact Ovintiv Inc.s revenue and profitability.

OVV Stock Overview

Market Cap in USD 10,312m
Sub-Industry Oil & Gas Exploration & Production
IPO / Inception 2002-04-08

OVV Stock Ratings

Growth Rating -7.67%
Fundamental 54.1%
Dividend Rating 81.5%
Return 12m vs S&P 500 -19.4%
Analyst Rating 4.26 of 5

OVV Dividends

Dividend Yield 12m 3.22%
Yield on Cost 5y 14.55%
Annual Growth 5y 33.66%
Payout Consistency 85.3%
Payout Ratio 18.8%

OVV Growth Ratios

Growth Correlation 3m 10.6%
Growth Correlation 12m -14.8%
Growth Correlation 5y 45.6%
CAGR 5y -7.88%
CAGR/Max DD 3y (Calmar Ratio) -0.18
CAGR/Mean DD 3y (Pain Ratio) -0.35
Sharpe Ratio 12m 0.43
Alpha -26.78
Beta 0.973
Volatility 41.09%
Current Volume 4315k
Average Volume 20d 2905.6k
Stop Loss 35.6 (-4.5%)
Signal -0.44

Piotroski VR‑10 (Strict, 0-10) 5.5

Net Income (595.0m TTM) > 0 and > 6% of Revenue (6% = 552.4m TTM)
FCFTA 0.09 (>2.0%) and ΔFCFTA 2.35pp (YES ≥ +1.0pp, WARN ≥ +0.5pp)
NWC/Revenue -17.70% (prev -17.22%; Δ -0.49pp) (YES ≤20% & Δ≤-1pp; WARN ≤25% & Δ≤0 oder ≤40% & Δ≤-3pp)
CFO/TA 0.20 (>3.0%) and CFO 3.93b > Net Income 595.0m (YES >=105%, WARN >=100%)
Net Debt (6.58b) to EBITDA (3.31b) ratio: 1.99 <= 3.0 (WARN <= 3.5)
Current Ratio 0.43 (target 1.5–3.0; WARN 1.2–<1.5 or >3.0–5.0; CFO/TA gate active)
Outstanding Shares last Quarter (260.1m) change vs 12m ago -2.98% (target <= -2.0% for YES)
Gross Margin 54.59% (prev 54.69%; Δ -0.10pp) >=18% & Δ>=+0.5pp (WARN >=15% & Δ>=0)
Asset Turnover 46.57% (prev 52.78%; Δ -6.21pp) >=50% & Δ>=+2pp (WARN >=35% & Δ>=0)
Interest Coverage Ratio 2.65 (EBITDA TTM 3.31b / Interest Expense TTM 401.0m) >= 6 (WARN >= 3)

Altman Z'' 0.35

(A) -0.08 = (Total Current Assets 1.24b - Total Current Liabilities 2.87b) / Total Assets 19.73b
(B) 0.08 = Retained Earnings (Balance) 1.50b / Total Assets 19.73b
(C) 0.05 = EBIT TTM 1.06b / Avg Total Assets 19.77b
(D) 0.26 = Book Value of Equity 2.48b / Total Liabilities 9.36b
Total Rating: 0.35 = (6.56 * A) + (3.26 * B) + (6.72 * C) + (1.05 * D)

ValueRay F-Score (Strict, 0-100) 54.10

1. Piotroski 5.50pt = 0.50
2. FCF Yield 10.07% = 5.0
3. FCF Margin 18.46% = 4.62
4. Debt/Equity 0.64 = 2.30
5. Debt/Ebitda 1.99 = 0.02
6. ROIC - WACC (= -1.14)% = -1.43
7. RoE 5.74% = 0.48
8. Rev. Trend -77.01% = -5.78
9. EPS Trend -32.44% = -1.62

What is the price of OVV shares?

As of October 16, 2025, the stock is trading at USD 37.29 with a total of 4,314,996 shares traded.
Over the past week, the price has changed by -6.94%, over one month by -8.31%, over three months by -7.22% and over the past year by -6.44%.

Is Ovintiv a good stock to buy?

Neither. Based on ValueRay´s Fundamental Analyses, Ovintiv is currently (October 2025) neither a good nor a bad stock to buy. It has a ValueRay Fundamental Rating of 54.10 and therefor a neutral outlook according to the companies health.
Based on momentum, paid dividends and discounted-cash-flow analyses, the fair value of OVV is around 34.55 USD . This means that OVV is currently overvalued and has a potential downside of -7.35%.

Is OVV a buy, sell or hold?

Ovintiv has received a consensus analysts rating of 4.26. Therefore, it is recommended to buy OVV.
  • Strong Buy: 11
  • Buy: 7
  • Hold: 5
  • Sell: 0
  • Strong Sell: 0

What are the forecasts/targets for the OVV price?

Issuer Target Up/Down from current
Wallstreet Target Price 53.6 43.7%
Analysts Target Price 53.6 43.7%
ValueRay Target Price 37.8 1.3%

Last update: 2025-10-05 02:07

OVV Fundamental Data Overview

Market Cap USD = 10.31b (10.31b USD * 1.0 USD.USD)
P/E Trailing = 17.674
P/E Forward = 9.3284
P/S = 1.152
P/B = 0.9799
Beta = 0.973
Revenue TTM = 9.21b USD
EBIT TTM = 1.06b USD
EBITDA TTM = 3.31b USD
Long Term Debt = 4.39b USD (from longTermDebt, last quarter)
Short Term Debt = 1.05b USD (from shortTermDebt, last quarter)
Debt = 6.60b USD (from shortLongTermDebtTotal, last quarter)
Net Debt = 6.58b USD (from netDebt column, last quarter)
Enterprise Value = 16.89b USD (10.31b + Debt 6.60b - CCE 20.0m)
Interest Coverage Ratio = 2.65 (Ebit TTM 1.06b / Interest Expense TTM 401.0m)
FCF Yield = 10.07% (FCF TTM 1.70b / Enterprise Value 16.89b)
FCF Margin = 18.46% (FCF TTM 1.70b / Revenue TTM 9.21b)
Net Margin = 6.46% (Net Income TTM 595.0m / Revenue TTM 9.21b)
Gross Margin = 54.59% ((Revenue TTM 9.21b - Cost of Revenue TTM 4.18b) / Revenue TTM)
Gross Margin QoQ = 53.88% (prev 56.50%)
Tobins Q-Ratio = 0.86 (Enterprise Value 16.89b / Total Assets 19.73b)
Interest Expense / Debt = 1.44% (Interest Expense 95.0m / Debt 6.60b)
Taxrate = 23.06% (92.0m / 399.0m)
NOPAT = 818.7m (EBIT 1.06b * (1 - 23.06%))
Current Ratio = 0.43 (Total Current Assets 1.24b / Total Current Liabilities 2.87b)
Debt / Equity = 0.64 (Debt 6.60b / totalStockholderEquity, last quarter 10.38b)
Debt / EBITDA = 1.99 (Net Debt 6.58b / EBITDA 3.31b)
Debt / FCF = 3.87 (Net Debt 6.58b / FCF TTM 1.70b)
Total Stockholder Equity = 10.36b (last 4 quarters mean from totalStockholderEquity)
RoA = 3.02% (Net Income 595.0m / Total Assets 19.73b)
RoE = 5.74% (Net Income TTM 595.0m / Total Stockholder Equity 10.36b)
RoCE = 7.21% (EBIT 1.06b / Capital Employed (Equity 10.36b + L.T.Debt 4.39b))
RoIC = 5.15% (NOPAT 818.7m / Invested Capital 15.91b)
WACC = 6.29% (E(10.31b)/V(16.91b) * Re(9.60%) + D(6.60b)/V(16.91b) * Rd(1.44%) * (1-Tc(0.23)))
Discount Rate = 9.60% (= CAPM, Blume Beta Adj.)
Shares Correlation 3-Years: 100.0 | Cagr: 1.73%
[DCF Debug] Terminal Value 73.56% ; FCFE base≈1.52b ; Y1≈1.59b ; Y5≈1.84b
Fair Price DCF = 96.06 (DCF Value 24.69b / Shares Outstanding 257.0m; 5y FCF grow 4.92% → 3.0% )
EPS Correlation: -32.44 | EPS CAGR: -52.10% | SUE: -3.49 | # QB: 0
Revenue Correlation: -77.01 | Revenue CAGR: -14.35% | SUE: 0.33 | # QB: 0

Additional Sources for OVV Stock

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