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OVV

Ovintiv·NYSE
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4.29 / 10
Netural

Fundamentally, OVV scores 4.3/10 (Neutral). Strengths include Profit‑MV, Net‑income‑Revenue, Asset‑MV, Cash‑MV, and cash growth, each rated bullish. Weak points are Total profit/EBIT and long‑term debt‑to‑working‑capital, both bearish. The composite fund score is 4.29, reflecting modest valuation upside.

Fundamental(4.29)SentimentTechnical

Analysis Checks(7/10)

Revenue-MV
Value0.74
Score1/3
Weight8.55%
1M Return3.70%
Net cash flow from operating activities per share (YoY growth rate %)
Value0.90
Score2/3
Weight6.15%
1M Return3.06%
Profit-MV
Value1.79
Score2/3
Weight10.42%
1M Return4.96%
Net income-Revenue
Value1.42
Score3/3
Weight15.39%
1M Return6.73%
PB-ROE
Value-0.56
Score2/3
Weight9.14%
1M Return3.87%
Total profit / EBIT (%)
Value67.19
Score0/3
Weight1.57%
1M Return0.93%
Cash-UP
Value0.14
Score2/3
Weight14.07%
1M Return5.57%
Long-term debt to working capital ratio (%)
Value6.45
Score0/3
Weight4.00%
1M Return2.01%
Asset-MV
Value-0.55
Score3/3
Weight14.19%
1M Return5.87%
Cash-MV
Value1.40
Score3/3
Weight16.52%
1M Return6.64%
Is OVV fundamentally strong?
  • OVV scores 4.29/10 on fundamentals and holds a Fair valuation at present. Backed by its 11.54% ROE, 13.94% net margin, 13.72 P/E ratio, 1.52 P/B ratio, and 13.65% earnings growth, these metrics solidify its Netural investment rating.