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ETF
Annual · values202520242023202220212020201920182017
Gross Margin56.08%54.45%54.22%55.21%48.79%44.59%
Operating Margin12.70%17.25%26.32%30.91%17.54%-88.66%8.89%28.52%24.04%
EBITDA Margin37.16%42.27%43.09%39.84%31.29%-58.53%38.85%49.94%42.79%
Net Margin13.94%12.29%19.16%29.18%16.35%-100.16%3.48%18.00%18.61%
Current Ratio0.540.510.600.610.580.510.771.33
Quick Ratio0.540.510.600.610.580.510.771.33
Debt / Equity0.460.530.550.460.941.790.700.56
ROE11.09%10.89%20.11%47.30%27.91%-158.90%2.36%14.35%
ROA6.09%5.84%10.43%24.16%10.07%-42.14%1.09%6.97%
Asset Turnover0.440.480.540.830.620.420.310.39
Book Value / Share43.1138.6439.3029.7619.0514.7738.0238.79

Ovintiv Inc. is a North American oil and natural gas exploration and production company. It explores for, develops, produces, and markets natural gas, oil, and natural gas liquids through its two primary operating segments: USA Operations and Canadian Operations. The USA Operations focus on key plays such as the Permian and Anadarko basins, while Canadian Operations center on the Montney formation, leveraging contiguous positions and access to processing and export capabilities, including liquefied natural gas arrangements. Ovintiv maintains a multi-basin portfolio of high-quality assets, emphasizing a balanced mix of oil, condensate, natural gas liquids, and natural gas production. The company employs commodity hedging strategies to manage price risk and pursues portfolio optimization through targeted acquisitions and divestitures to enhance its asset base in premier resource plays. Headquartered in Denver, Colorado since its incorporation in 2020, Ovintiv plays a significant role in the upstream energy sector, contributing to North American energy supply with operations spanning diverse geological basins.