Ovintiv Inc. (OVV)

58.03 -1.15 (-1.94%)

As of 2026-04-02 17:17:27 EST

Ovintiv Inc., based in Denver, is an American company engaged in hydrocarbon exploration. The company was previously known as Encana, which, in 2020, restructured from a company domiciled in Canada to a company domiciled in the United States. The company's operations are mainly in the Permian Basin in the United States and in the Montney Formation, where it has a partnership with Mitsubishi, in Canada.

Traded asNYSE: OVV
ISINUS69047Q1022
CIK0001792580
LEI2549003MEX7YMKLGI239
EIN
SectorPetroleum industry
IndustryCrude Petroleum & Natural Gas
CEO
Employees1,465
Fiscal Year End1231
AddressSUITE 1700, DENVER, CO
Phone(303) 623-2300
Websitehttp://www.ovintiv.com/
Stock Quotes
trading_symbolregistrant_nametimepricechangepercentage_change
OVVOvintiv Inc.2026-04-02 17:17:2758.03-1.15-1.94
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Company Information
trading_symbolcentral_index_keyregistrant_nameisin_numberlei_numberein_numberexchangesic_codesic_descriptionfiscal_year_endstate_of_incorporationaddress_streetaddress_cityaddress_stateaddress_zip_codeaddress_countryaddress_country_codephone_numbermailing_addressbusiness_addressformer_nameindustryfounding_datechief_executive_officernumber_of_employeeswebsitemarket_capshares_issuedshares_outstandingdescriptionupdate_time
OVV0001792580Ovintiv Inc.US69047Q10222549003MEX7YMKLGI239NYSE1311Crude Petroleum & Natural Gas1231DESUITE 1700DENVERCOUNITED STATESUS(303) 623-2300SUITE 1700, DENVER, COSUITE 1700, DENVER, CO1847432 Alberta ULCPetroleum industry20021,465http://www.ovintiv.com/9,780,270,102253,300,000283,335,463Ovintiv Inc., based in Denver, is an American company engaged in hydrocarbon exploration. The company was previously known as Encana, which, in 2020, restructured from a company domiciled in Canada to a company domiciled in the United States. The company's operations are mainly in the Permian Basin in the United States and in the Montney Formation, where it has a partnership with Mitsubishi, in Canada.2026-04-02 15:45:08
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OVV Stock Price (End-of-Day)
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OVV Stock Price (1-Minute)
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Market Cap
Fiscal YearMarket CapChange In Market CapPercentage Change In Market CapShares OutstandingChange In Shares OutstandingPercentage Change In Shares Outstanding
20259,780,270,102-2,595,818,360-20.9745283,335,46323,010,9998.8394
202412,376,088,4621,950,308,38718.7066260,324,464-9,190,660-3.4101
202310,425,780,075-881,088,181-7.7925269,515,12425,872,02010.6188
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Executive Compensation
Executive NameExecutive PositionFiscal YearSalaryBonusStock AwardsIncentive Plan CompensationOther CompensationTotal Compensation
Meghan EilersPresident, General Counsel2025518,7502,000,043563,500121,4633,203,756
Brendan MccrackenChief Executive Officer, President20251,185,0009,900,0052,136,750471,38513,693,140
Corey CodePresident, Chief Financial Officer2025588,9103,150,416824,474137,2824,701,082
Greg GivensPresident, Chief Operating Officer2025712,5003,500,055997,500162,9975,373,052
Rachel MoorePresident2024449,0731,460,430446,379114,9562,470,838
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Employee Count
Fiscal YearEmployee Count
20251,465
20241,623
20231,743
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Income Statements
Fiscal Year202520242023
Revenue8,908,000,0009,152,000,00010,883,000,000
Cost Of Revenue
Gross Profit
Research And Development Expenses
General And Administrative Expenses331,000,000365,000,000393,000,000
Operating Expenses7,777,000,0007,573,000,0008,019,000,000
Operating Income1,131,000,0001,579,000,0002,864,000,000
Net Income1,242,000,0001,125,000,0002,085,000,000
Earnings Per Share Basic4.834.258.02
Earnings Per Share Diluted4.784.217.9
Weighted Average Shares Outstanding Basic257,200,000264,600,000259,900,000
Weighted Average Shares Outstanding Diluted259,700,000267,400,000263,900,000
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Balance Sheet Statements
Fiscal Year202520242023
Cash And Cash Equivalents35,000,00042,000,0003,000,000
Marketable Securities Current245,000,000
Accounts Receivable1,128,000,0001,183,000,0001,442,000,000
Inventories
Non Trade Receivables29,000,00036,000,00017,000,000
Other Assets Current40,000,00042,000,00059,000,000
Total Assets Current1,523,000,0001,369,000,0001,676,000,000
Marketable Securities Non Current20,000,00033,000,00026,000,000
Property Plant And Equipment14,244,000,00014,364,000,00014,640,000,000
Other Assets Non Current1,299,000,000965,000,0001,015,000,000
Total Assets Non Current18,867,000,00017,885,000,00018,311,000,000
Total Assets20,390,000,00019,254,000,00019,987,000,000
Accounts Payable390,000,000435,000,000586,000,000
Deferred Revenue
Short Term Debt810,000,000600,000,000284,000,000
Other Liabilities Current5,000,0009,000,000232,000,000
Total Liabilities Current2,795,000,0002,681,000,0002,812,000,000
Long Term Debt5,202,000,0005,453,000,0005,737,000,000
Other Liabilities Non Current100,000,000114,000,000132,000,000
Total Liabilities Non Current6,400,000,0006,242,000,0006,805,000,000
Total Liabilities9,195,000,0008,923,000,0009,617,000,000
Common Stock3,000,0003,000,0003,000,000
Retained Earnings2,440,000,0001,506,000,000697,000,000
Accumulated Other Comprehensive Income973,000,000777,000,0001,050,000,000
Total Shareholders Equity11,195,000,00010,331,000,00010,370,000,000
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Cash Flow Statements
Fiscal Year202520242023
Depreciation And Amortization2,179,000,0002,290,000,0001,825,000,000
Share Based Compensation Expense
Other Non Cash Income Expense-21,000,000115,000,000-20,000,000
Change In Accounts Receivable
Change In Inventories
Change In Non Trade Receivables
Change In Other Assets
Change In Accounts Payable-177,000,000-247,000,000-304,000,000
Change In Other Liabilities
Cash From Operating Activities3,652,000,0003,721,000,0004,167,000,000
Purchases Of Marketable Securities
Sales Of Marketable Securities
Acquisition Of Property Plant And Equipment2,147,000,0002,303,000,0002,744,000,000
Acquisition Of Business0-12,000,0003,225,000,000
Other Investing Activities127,000,000124,000,00045,000,000
Cash From Investing Activities-2,884,000,000-2,457,000,000-5,519,000,000
Tax Withholding For Share Based Compensation
Payments Of Dividends308,000,000316,000,000307,000,000
Issuance Of Common Stock
Repurchase Of Common Stock307,000,000597,000,000426,000,000
Issuance Of Long Term Debt
Repayment Of Long Term Debt
Other Financing Activities102,000,000
Cash From Financing Activities-762,000,000-1,231,000,0001,359,000,000
Change In Cash-7,000,00039,000,000-2,000,000
Cash At End Of Period35,000,00042,000,0003,000,000
Income Taxes Paid62,000,000295,000,000-19,000,000
Interest Paid383,000,000426,000,000308,000,000
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Key Metrics
Fiscal Year202520242023
Earnings Per Share4.834.258.02
Price To Earnings Ratio8.11399.52945.4763
Earnings Growth Rate13.6471-47.0075-44.0725
Price Earnings To Growth Ratio0.5946-0.2027-0.1243
Book Value Per Share43.526439.043839.9
Price To Book Ratio0.90041.03731.1008
Ebitda3,859,000,0004,122,000,0004,246,000,000
Enterprise Value16,056,668,00016,727,300,00017,432,808,000
Dividend Yield0.03060.02950.0269
Dividend Payout Ratio0.2480.28090.1472
Debt To Equity Ratio0.5370.58590.5806
Capital Expenditures2,059,000,0002,014,000,0006,997,000,000
Free Cash Flow1,593,000,0001,707,000,000-2,830,000,000
Return On Equity0.11090.10890.2011
One Year Beta1.42640.66121.1391
Three Year Beta1.17931.05641.2528
Five Year Beta1.22861.61661.6684
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Insider Transactions
Insider NameRelationship To IssuerTransaction DateAmount Of SecuritiesAcquired Or DisposedSecurities Owned Following Transaction
Gentle MegDirector2026-03-3155A11,339
Mayson Howard JohnDirector2026-03-3148A10,028
Shaw Brian GordonDirector2026-03-31180A37,162
Moore Rachel MaureenEVP, Corporate Services2026-03-31182A37,488
Chhina SippyDirector2026-03-3111A2,355
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House Trading
Name Of Reporting PersonReport DateStateTransaction TypeTransaction DateOwner TypeAmount
Lisa McClain2025-08-13MI09Purchase2025-06-24Spouse$1,001 - $15,000
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Institutional Holdings
Investor NamePeriod Of ReportMarket ValueAmount Of SecuritiesPrice Per Security
Investors Research Corp2026-03-31189,9523,20059.36
Ares Financial Consulting, LLC2026-03-3130,37552957.4197
GOLDMAN SACHS GROUP INC2025-12-318,606,124219,60039.19
GOLDMAN SACHS GROUP INC2025-12-318,606,124219,60039.19
GOLDMAN SACHS GROUP INC2025-12-3117,237,342439,84039.19
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Mutual Fund Holdings
Registrant NamePeriod Of ReportFund NameFund SymbolAmount Of UnitsValue In UsdPercentage Value Compared To Assets
Direxion Shares ETF Trust2026-01-31Direxion Daily Mid Cap Bull 3X ETFMIDU4,249184,704.030.2425
Direxion Shares ETF Trust2026-01-31Direxion Daily S&P Oil & Gas Exp. & Prod. Bull 2X ETFGUSH111,7254,856,685.751.8691
Pacer Funds Trust2026-01-31Pacer US Small Cap Cash Cows ETFCALF1,380,32660,002,771.221.6901
Pacer Funds Trust2026-01-31Pacer Trendpilot US Mid Cap ETFPTMC29,2311,270,671.570.3275
Pacer Funds Trust2026-01-31Pacer Lunt MidCap Multi-Factor Alternator ETFPAMC10,750467,302.50.8027
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