Ovintiv Financial Ratios for Analysis 2009-2024 | OVV

Fifteen years of historical annual and quarterly financial ratios and margins for Ovintiv (OVV).

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
0.600.610.580.510.771.331.391.231.211.261.452.101.751.031.37
0.340.290.490.620.410.330.380.410.460.430.540.580.320.290.31
0.550.460.941.790.700.560.620.690.860.761.381.460.500.440.47
46.8743.3736.6540.1046.6753.1249.3425.1544.7855.5650.3269.3878.6170.0273.81
26.3230.9117.54-88.668.8928.5224.04-64.46-142.4929.0714.856.4519.1126.9821.55
26.3230.9117.54-88.668.8928.5224.04-64.46-142.4929.0714.856.4519.1126.9821.55
43.0939.8431.29-58.5338.8549.9442.79-35.02-108.8450.8341.5744.3659.5463.5354.88
23.0628.5614.31-94.144.6819.5832.19-55.52-181.1457.73-0.20-93.620.0223.2217.45
19.1629.1816.35-100.163.4818.0018.61-32.35-116.8042.304.03-54.151.5116.9016.75
0.540.830.620.420.310.390.290.200.280.330.330.280.250.260.33
------------906886243
7.467.616.225.074.395.583.302.684.564.423.784.177.898.049.42
48.9347.9458.6471.9683.0865.3911113679.9882.6696.5887.4346.2645.3938.75
20.1147.3027.91-158.902.3614.3512.29-15.41-83.7535.374.5920.572.443.8419.53
26.8371.2457.89-503.053.2021.8420.08-28.20-152.9550.626.7430.502.714.2621.70
10.4324.1610.07-42.141.096.975.42-6.44-33.0813.971.345.821.171.959.59
13.1833.4714.36-59.751.389.597.57-9.14-44.9120.122.098.681.662.7213.41
38.1731.2919.6714.7738.2239.0934.5731.4836.2965.33-----
15.7914.9611.757.2911.1811.985.403.5410.2218.0015.5121.1027.4015.9852.43
5.397.886.040.611.131.69-3.83-2.87-3.350.95-2.87-2.51-3.63-16.2720.04

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.520.440.520.600.450.450.530.610.510.510.540.580.400.430.360.510.700.891.040.770.820.800.741.330.700.731.161.391.611.341.281.231.350.931.101.211.171.161.231.264.122.051.661.451.561.571.842.102.072.331.931.750.810.650.671.031.691.601.811.371.061.361.72
0.310.320.350.340.360.370.290.290.330.390.500.490.560.550.560.620.620.560.410.410.410.410.380.330.360.360.380.380.380.380.390.410.400.540.500.460.480.440.380.430.390.470.540.540.530.540.600.580.580.530.480.320.280.280.280.290.300.310.300.310.240.260.28
0.550.590.600.550.650.660.480.460.550.671.020.941.261.351.551.791.641.250.690.700.710.700.660.560.650.650.620.620.600.620.640.690.671.160.980.860.910.780.760.760.640.881.211.381.411.441.631.461.391.120.910.500.520.500.470.440.440.460.440.470.330.370.40
51.7653.1549.6257.9939.1844.5843.3248.3249.9050.0510.8354.5122.5318.8534.3341.1027.14-19.5661.7541.0250.7856.5031.2670.5642.2329.6049.5849.4234.9650.6057.8026.8942.39-34.0729.4842.7754.5726.0246.4465.2254.0052.5855.448.9249.6477.0256.8574.5262.7348.2977.1582.9780.4975.4373.3110.0681.2471.0086.1588.7231.9540.1966.08
22.6824.3021.0037.5217.6321.1026.5836.2438.6940.58-10.1743.28--7.1510.61-38.68-126.55-559.0928.72-1.7916.8426.18-18.3856.879.43-11.8025.6721.65-0.4629.6437.94-6.5713.07-250.55-138.51-66.15-105.11-283.61-151.0034.4330.1521.2227.96-0.4915.0140.52-12.8429.47-15.90-57.5924.6829.9930.569.77-1.98-13.9133.15-8.4453.941592.6510.9530.53
22.6824.3021.0037.5217.6321.1026.5836.2438.6940.58-10.1743.28--7.1510.61-38.68-126.55-559.0928.72-1.7916.8426.18-18.3856.879.43-11.8025.6721.65-0.4629.6437.94-6.5713.07-250.55-138.51-66.15-105.11-283.61-151.0034.4330.1521.2227.96-0.4915.0140.52-12.8429.47-15.90-57.5924.6829.9930.569.77-1.98-13.9133.15-8.4453.941592.6510.9530.53
---------------------------------------------------------------
24.0120.3718.2033.7014.8417.3624.0334.5635.9038.06-12.5141.39-3.97-12.127.24-42.02-131.09-563.2221.23-4.3510.2624.18-24.7849.523.57-22.4812.1912.1560.6330.1933.67-30.5438.71-293.41-90.31-94.76-139.56-306.99-212.4914.8615735.897.61-17.509.9924.50-36.64-15.51-178.34-434.8823.62-17.118.757.004.68-11.3234.64-36.2854.0212.131.118.5327.04
21.8214.8614.3727.0415.3313.3519.0941.5633.4236.32-12.2541.45-4.02-12.1216.81-40.18-127.82-603.7215.93-0.387.9616.35-19.8443.263.09-15.3611.50-18.9334.1530.5633.44-34.1832.38-165.11-50.33-59.36-94.21-193.98-136.678.7812317.076.13-17.6413.5136.79-40.70-4.98-121.37-202.740.67-10.005.108.864.68-2.9423.46-34.3841.6623.450.646.3520.88
0.120.120.120.160.130.130.170.210.250.250.130.240.130.120.130.110.080.040.120.070.090.090.060.160.080.070.090.080.060.070.090.060.070.020.050.070.080.040.050.090.110.080.110.080.080.110.060.090.050.040.080.070.070.060.050.040.070.040.100.080.070.080.10
---------------------------------------------------21045924422342975.8314232.73-295.253.633.172.92
1.721.791.812.171.732.001.991.962.111.861.042.401.361.281.511.271.170.672.201.021.301.360.862.241.120.731.020.900.710.881.140.751.030.380.811.061.240.720.941.241.311.321.520.921.932.331.081.301.411.202.452.292.271.811.491.302.401.273.202.302.432.563.39
52.4450.1549.7841.4851.9145.0545.1645.8742.6848.4986.7137.4966.3670.1159.6970.6876.9213540.9088.0469.4166.3510540.2280.2312388.6310012710278.6911987.5223611284.5972.5812695.4072.5168.9768.1259.3798.0346.7538.5683.4669.3163.8375.1036.7239.2439.7049.6260.2569.3737.5670.8928.1639.1637.0135.2226.56
4.763.293.298.254.253.616.1717.3618.1123.31-5.1527.28-1.90-5.217.47-16.00-34.95-74.634.13-0.061.503.36-2.3613.830.60-2.322.23-3.404.224.886.61-4.595.09-12.25-6.88-9.92-18.40-20.60-17.942.0429.553.912.22-4.883.4713.75-9.17-1.51-22.54-21.680.14-1.510.721.040.46-0.243.28-3.018.303.550.100.994.12
6.284.394.4011.025.835.009.1726.1529.8442.35-11.7856.58-6.14-15.8820.59-50.66-86.52-133.105.51-0.082.034.53-3.1521.051.00-3.853.61-5.566.768.3111.52-8.409.22-28.96-14.19-18.12-31.64-32.49-25.602.9333.915.063.19-7.175.0420.00-14.35-2.24-32.91-28.820.18-1.670.811.160.51-0.273.63-3.349.183.940.111.104.58
2.551.721.704.282.041.723.228.878.259.09-1.629.85-0.53-1.492.13-4.24-10.04-26.101.96-0.030.701.55-1.136.710.25-1.001.00-1.501.942.212.93-1.922.17-4.03-2.49-3.92-7.15-8.45-7.480.8113.161.450.67-1.421.024.02-2.39-0.43-6.58-7.380.05-0.730.350.500.23-0.121.68-1.554.351.740.050.492.02
3.272.242.155.412.712.274.4012.2912.1914.27-2.5514.04-0.84-2.353.28-6.02-13.23-33.112.45-0.040.881.97-1.479.240.38-1.481.38-2.102.633.014.02-2.723.04-5.67-3.47-5.32-9.62-11.56-11.051.1618.012.081.02-2.231.636.38-3.63-0.64-9.42-10.220.07-1.030.520.740.33-0.172.28-2.085.822.440.080.732.95
40.9239.1138.3538.1735.0034.0132.2931.2926.2822.7518.1119.6714.5415.0715.8414.7716.7522.6139.2338.2238.1837.1935.9739.0934.0933.9735.1834.5735.7934.8633.5331.4832.5628.8732.3936.29---65.33-----------------------
10.226.262.4215.7910.157.574.3114.9611.677.792.6611.759.156.043.117.294.532.632.1811.188.285.202.1711.989.114.461.965.403.501.670.543.542.481.410.929.937.314.643.1817.9916.2311.506.3615.4612.376.062.3021.1016.238.474.1927.3419.8810.804.2916.069.820.82-5.1552.3938.9025.1912.18
3.591.740.255.392.612.591.857.885.934.090.916.044.943.231.790.61-0.84-1.38-0.861.130.53-0.18-0.851.690.60-1.29-0.65-3.83-3.11-2.52-1.51-2.87-2.06-1.96-1.19-3.25-4.26-4.15-1.680.954.974.302.92-2.86-1.14-3.14-2.71-2.51-2.08-4.54-3.42-3.62-4.45-5.48-4.43-16.35-15.22-14.57-12.1420.0214.737.391.62