Cenovus Energy Inc Financial Ratios for Analysis 2009-2024 | CVE

Fifteen years of historical annual and quarterly financial ratios and margins for Cenovus Energy Inc (CVE).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.561.551.641.261.301.231.132.553.481.421.481.401.151.121.24
0.200.240.340.310.260.330.320.350.340.350.330.320.270.260.28
0.250.320.530.450.350.520.480.550.530.540.500.480.380.340.38
52.6649.4749.3561.3058.2458.0552.8642.3943.4221.1024.6826.0526.4725.8729.84
10.9313.716.99-20.8210.18-12.660.95-4.017.598.6412.5914.8116.6513.6814.74
10.9313.716.99-20.8210.18-12.660.95-4.017.598.6412.5914.8116.6513.6814.74
19.8220.7119.695.3721.33-2.4412.868.3323.7718.5522.2424.0124.6523.4427.99
9.6513.052.84-24.426.92-18.8413.00-7.644.116.085.7610.3113.648.669.37
7.809.591.19-17.9910.87-12.8019.75-4.494.733.793.495.769.137.406.39
0.971.200.860.400.570.590.420.480.510.800.750.710.730.610.49
6.137.845.994.705.508.635.785.659.1312.6611.369.899.2211.318.51
15.1318.6111.918.7712.9316.848.986.5810.3912.2010.0511.7711.5212.3611.12
24.1319.6130.6441.6428.2321.6840.6555.4735.1229.9236.3031.0231.6929.5332.83
14.5723.832.54-14.2411.43-16.6911.35-4.704.992.889.1614.1013.178.4014.29
15.9326.152.92-16.4812.96-19.1912.81-4.805.092.959.8915.2514.979.4916.23
7.6211.541.08-7.266.14-8.295.54-2.162.401.193.615.715.583.816.38
11.4717.781.63-9.858.47-11.247.69-3.043.271.886.099.549.586.2610.35
11.3611.129.4110.1511.7810.9712.5410.5011.64------
2.844.372.310.172.011.352.140.781.414.224.544.514.373.354.65
2.842.951.31-0.361.290.490.97-0.16-0.230.890.350.060.873.352.13

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.661.701.561.491.501.631.551.551.731.601.641.341.201.361.261.381.230.711.301.121.021.101.231.261.171.121.131.411.443.052.553.102.893.263.483.582.301.971.421.411.251.161.481.341.371.371.401.491.191.091.151.321.180.961.121.381.451.321.24---
0.200.200.200.200.240.240.240.240.300.320.340.340.350.370.310.310.320.280.260.250.250.310.330.320.340.340.320.380.390.350.350.350.340.340.340.330.350.350.350.330.320.340.330.320.330.330.320.310.260.260.270.280.270.290.260.260.280.260.28---
0.250.240.250.250.310.310.320.320.430.480.530.530.570.600.450.470.480.430.350.380.380.480.520.530.530.500.480.620.680.540.550.540.530.510.530.490.530.540.540.500.500.560.500.480.500.490.480.460.380.390.380.390.390.430.340.350.380.350.38---
32.4935.0049.7554.5953.3252.7651.1542.6950.9753.4646.8746.9950.3455.2666.5661.5265.0054.5157.4360.3357.5057.8543.3960.1265.2860.3356.2761.9948.4842.0742.8340.7145.8939.2473.5811.7825.3112.583.6526.8225.0526.1021.8825.6926.2428.6025.7630.5924.5825.5126.1726.8228.6726.3019.9726.6524.6233.09100.00100.00100.00100.00
9.8313.008.3317.609.956.678.2810.3018.2916.290.8510.697.8910.16-21.64-7.08-7.54-39.895.167.5216.2910.81-48.733.722.40-17.53-28.036.7321.2310.147.87-9.60-7.75-9.8939.19-5.457.60-3.10-19.639.4114.9912.912.7512.748.9812.6210.4816.7910.1113.4513.9710.0720.7214.403.7611.5112.2522.10100.00100.00100.00100.00
9.8313.008.3317.609.956.678.2810.3018.2916.290.8510.697.8910.16-21.64-7.08-7.54-39.895.167.5216.2910.81-48.733.722.40-17.53-28.036.7321.2310.147.87-9.60-7.75-9.8939.19-5.457.60-3.10-19.639.4114.9912.912.7512.748.9812.6210.4816.7910.1113.4513.9710.0720.7214.403.7611.5112.2522.10100.00100.00100.00100.00
--------------------------------------------------------------
8.7911.607.3416.648.574.846.9612.9017.0813.38-1.086.573.183.21-10.29-10.17-16.88-54.061.835.0516.383.14-43.44-8.66-6.69-23.25-28.344.0680.836.734.63-12.53-11.57-14.92-29.2761.804.83-24.26-14.5111.0715.087.13-0.5710.696.246.942.1310.8915.1712.857.5921.6023.452.401.899.185.5517.86100.00100.00100.00100.00
6.728.715.4012.797.015.195.079.2112.699.98-3.194.342.122.40-4.64-5.30-10.81-45.292.593.9531.842.20-30.12-4.11-7.17-14.1914.20-1.5765.405.462.73-7.75-8.88-5.26-21.9255.033.38-21.27-11.147.1211.344.93-1.227.293.963.96-3.176.669.408.876.1413.2216.341.342.307.165.1815.040.852.326.1319.06
0.270.240.240.270.230.230.240.320.340.290.260.230.200.170.110.110.060.120.140.130.160.140.130.150.140.120.120.100.090.150.140.130.120.090.110.120.150.120.150.190.220.200.180.210.180.170.150.180.180.210.190.170.200.180.150.140.150.160.14---
2.181.961.621.371.341.361.512.301.791.621.882.001.641.451.071.270.702.761.351.261.721.532.491.421.441.311.521.491.831.821.661.981.651.590.792.552.202.193.052.412.462.383.002.642.482.552.242.562.872.682.502.472.732.853.042.783.102.86----
3.833.353.773.123.463.333.723.963.282.703.563.132.912.612.313.181.554.753.123.593.832.863.593.092.562.872.542.722.512.181.952.352.112.012.232.942.712.332.302.602.482.272.352.732.612.302.542.473.103.403.053.013.613.093.062.963.003.213.11---
23.5126.8923.8528.8125.9827.0624.2222.7327.4633.3025.2628.8030.9634.5039.0028.3157.9618.9428.8825.0823.5031.5125.0529.1735.0931.3935.3833.1435.8741.1946.2638.2542.6544.7440.4330.6433.1738.6439.0734.6436.3539.6938.2732.9234.4839.0835.4736.4229.0326.4829.5429.9124.9529.1229.4630.3729.9728.0028.95---
3.394.022.596.583.232.322.605.909.446.74-1.772.310.970.95-0.97-1.14-1.36-10.130.660.979.360.63-7.60-1.30-2.16-4.72-3.631.4813.101.800.85-2.20-2.29-0.99-4.9513.821.14-6.15-4.063.195.942.45-0.553.661.801.71-1.202.893.944.232.805.297.590.580.762.191.705.440.26---
3.694.382.837.203.552.542.856.4710.667.68-2.032.571.081.07-1.12-1.31-1.56-11.620.751.1010.630.73-8.73-1.48-2.45-5.34-4.091.6814.871.840.86-2.24-2.33-1.01-5.0514.081.16-6.29-4.153.436.402.64-0.593.951.941.85-1.303.254.444.793.186.028.700.680.862.471.926.160.30---
1.792.141.353.421.611.181.262.924.352.92-0.751.020.420.41-0.49-0.59-0.69-5.380.350.525.050.31-3.77-0.61-1.02-2.30-1.770.685.810.840.39-1.03-1.08-0.48-2.386.730.50-2.65-1.671.352.470.99-0.221.500.730.69-0.491.191.721.831.182.303.340.240.351.000.762.430.12---
2.683.182.045.172.421.741.944.406.484.47-1.131.500.620.59-0.67-0.78-0.93-7.270.490.726.980.44-5.11-0.88-1.41-3.13-2.460.918.011.170.55-1.42-1.50-0.65-3.249.310.74-4.00-2.642.144.011.62-0.362.481.201.15-0.811.982.913.122.033.815.510.420.571.621.234.020.19---
11.8211.8211.3611.3910.7010.8311.1211.0710.569.819.419.609.549.2510.1510.4010.1610.7611.7811.8511.5910.6610.9711.6011.9912.4812.5412.6211.9210.6210.509.9310.8710.47----------------------------
1.850.762.841.740.65-0.114.373.271.680.532.311.450.640.090.170.01-0.420.082.011.571.040.271.351.040.26-0.082.141.401.050.300.780.640.360.161.391.060.600.294.223.221.890.554.543.262.221.174.513.532.130.874.373.131.910.843.352.481.671.054.650.000.000.00
1.850.762.840.51-0.15-0.522.952.321.070.241.310.780.21-0.12-0.36-0.36-0.68-0.111.291.040.690.070.490.36-0.26-0.420.970.700.620.01-0.16-0.07-0.17-0.12-0.232.95-0.18-0.250.890.950.05-0.450.350.250.13-0.030.060.300.13-0.320.870.650.27-0.133.350.620.420.422.13---