KPIs & Operating Metrics(New)
Average Production Cost By RegionAverage Realized Prices Canadian OperationsAverage Realized Prices Canadian Operations AnnualAverage Realized Prices TotalAverage Realized Prices Total AnnualAverage Realized Prices Usa OperationsAverage Realized Prices Usa Operations AnnualAverage Sales Price CanadaAverage Sales Price UsaBreakdown Of AssetsCapital Expenditure By SegmentCapital Expenditure By Segment AnnualCommitmentsCore Assets ProductionEmployee StatisticsGains (Losses) On Risk Management, Net By SegmentGains (Losses) On Risk Management, Net By Segment AnnualGathering And Processing Product And Service Revenue By SegmentGathering And Processing Product And Service Revenue By Segment AnnualGathering And Processing Revenue By RegionNatural Gas Product And Service Revenue By SegmentNatural Gas Product And Service Revenue By Segment AnnualNatural Gas Revenue By RegionNgls Product And Service Revenue By SegmentNgls Product And Service Revenue By Segment AnnualNgls Revenue By RegionNon Gaap ProfitabilityNon Gaap Profitability %Non Gaap Profitability AnnualNon Gaap Profitability Annual %Oil Product And Service Revenue By SegmentOil Product And Service Revenue By Segment AnnualOil Revenue By RegionOperating Margin By Segment %Operating Margin By Segment Annual %Operating Profit By SegmentOperating Profit By Segment AnnualOpexOpex As A % Of Total Revenue %Opex By SegmentOther Revenue By RegionProducing Wells By RegionProducing Wells TotalProduct And Service Revenues BreakdownProduct And Service Revenues Breakdown AnnualProduct And Service Revenues By Segment AnnualProduction Data By Geography AnnualProduction Data CanadaProduction Data Canadian OperationsProduction Data Canadian Operations AnnualProduction Data TotalProduction Data Total AnnualProduction Data UsaProduction Data Usa OperationsProduction Data Usa Operations AnnualProduction Volume BreakdownProduct Product And Service Revenues By SegmentProperty, Plant And Equipment By Region (Annual)Property, Plant And Equipment By SegmentProved Reserves By Region Natural GasProved Reserves By Region Natural Gas LiquidsProved Reserves By Region OilRevenue By Business VerticalRevenue By Business Vertical %Revenue By Business Vertical AnnualRevenue By Business Vertical Annual %Revenue By GeographyRevenue By Geography %Revenue By Market OptimizationRevenue By Market Optimization %Revenue By Market Optimization AnnualRevenue By Market Optimization Annual %Revenue By Product And ServiceRevenue By Product And Service %Revenue By Product And Service AnnualRevenue By Product And Service Annual %Revenue By SegmentRevenue By Segment %Revenue By Segment AnnualRevenue By Segment Annual %Sublease Revenues By SegmentSublease Revenues By Segment AnnualTotal Acreage BreakdownTotal Assets By Region (Annual)Total Assets By SegmentUpstream Product RevenueUpstream Product Revenue Annual
Balance Sheet
Accounts PayablesAccumulated ExpensesAssetsCapital LeasesCash & Current InvestmentsCash & EquivalentsCommon EquityCurrent AssetsCurrent LeasesCurrent TaxesGoodwillGoodwill & IntangiblesLiabilities and Shareholders EquityLong-Term Deferred TaxLong-Term InvestmentsNon-Current AssetsNon-Current DebtNon-Current Deferred Tax LiabilityOperating LeasesOther Accumulated ExpensesOther Non-Current AssetsOther Non-Current LiabilitiesPayablesPensionProperty, Plant & Equipment (Net)ReceivablesReceivables - NetReceivables - OtherRetained EarningsShareholder's EquityShort term DebtShort-term InvestmentsTotal Current LiabilitiesTotal DebtTotal LiabilitiesTotal Non-Current LiabilitiesTreasury Shares
Cash Flow Statement
AcquisitionsAmortizatization of IntangiblesAsset Writedowns and ImpairmentCapital ExpendituresCash from Financing ActivitiesCash from Investing ActivitiesCash from OperationsChange in Accured ExpensesChange in CashChange in ReceivablesChange in TaxesChange in Working CapitalDeferred TaxesDepreciation & Amortization (CF)Dividends Paid - CommonExchange Rate EffectFree Cash FlowGains from Investment SecuritiesNet Cash FlowNet IncomeSales of Property, Plant and Equipment
Daily Values
Growth Metrics
Assets (QoQ)Assets Growth (1y)Assets Growth (3y)Assets Growth (5y)Capital Expenditures (QoQ)Capital Expenditures Growth (1y)Capital Expenditures Growth (3y)Capital Expenditures Growth (5y)Cash & Equivalents (QoQ)Cash & Equivalents Growth (1y)Cash & Equivalents Growth (3y)Cash & Equivalents Growth (5y)Cash from Investing Activities (QoQ)Cash from Investing Activities Growth (1y)Cash from Investing Activities Growth (3y)Cash from Investing Activities Growth (5y)Cash from Operations (QoQ)Cash from Operations Growth (1y)Cash from Operations Growth (3y)Cash from Operations Growth (5y)Dividends Paid - Common (QoQ)Dividends Paid - Common Growth (1y)Dividends Paid - Common Growth (3y)Dividends Paid - Common Growth (5y)EBIT (QoQ)EBIT Growth (1y)EBIT Growth (3y)EBIT Growth (5y)EBIT Margin (QoQ)EBIT Margin Growth (1y)EBIT Margin Growth (3y)EBIT Margin Growth (5y)EBITDA Margin (QoQ)EBITDA Margin Growth (1y)EBITDA Margin Growth (3y)EBITDA Margin Growth (5y)EBT (QoQ)EBT Growth (1y)EBT Growth (3y)EBT Growth (5y)EBT Margin (QoQ)EBT Margin Growth (1y)EBT Margin Growth (3y)EBT Margin Growth (5y)EPS (Basic) (QoQ)EPS (Basic) Growth (1y)EPS (Basic) Growth (3y)EPS (Basic) Growth (5y)EPS (Weighted Average and Diluted) (QoQ)EPS (Weighted Average and Diluted) Growth (1y)EPS (Weighted Average and Diluted) Growth (3y)EPS (Weighted Average and Diluted) Growth (5y)Enterprise Value (QoQ)Enterprise Value Growth (1y)Enterprise Value Growth (3y)Enterprise Value Growth (5y)FCF Margin (QoQ)FCF Margin Growth (1y)FCF Margin Growth (3y)FCF Margin Growth (5y)FCF Payout Ratio (QoQ)FCF Payout Ratio Growth (1y)FCF Payout Ratio Growth (3y)FCF Payout Ratio Growth (5y)Free Cash Flow (QoQ)Free Cash Flow Growth (1y)Free Cash Flow Growth (3y)Free Cash Flow Growth (5y)Gross Margin (QoQ)Gross Margin Growth (1y)Gross Margin Growth (3y)Gross Margin Growth (5y)Gross Profit (QoQ)Gross Profit Growth (1y)Gross Profit Growth (3y)Gross Profit Growth (5y)Interest Coverage Ratio (QoQ)Interest Coverage Ratio Growth (1y)Interest Coverage Ratio Growth (3y)Interest Coverage Ratio Growth (5y)Net Cash Flow (QoQ)Net Cash Flow Growth (1y)Net Cash Flow Growth (3y)Net Cash Flow Growth (5y)Net Income (QoQ)Net Income Growth (1y)Net Income Growth (3y)Net Income Growth (5y)Net Income towards Common Stockholders (QoQ)Net Income towards Common Stockholders Growth (1y)Net Income towards Common Stockholders Growth (3y)Net Income towards Common Stockholders Growth (5y)Net Margin (QoQ)Net Margin Growth (1y)Net Margin Growth (3y)Net Margin Growth (5y)Operating Income (QoQ)Operating Income Growth (1y)Operating Income Growth (3y)Operating Income Growth (5y)Operating Margin (QoQ)Operating Margin Growth (1y)Operating Margin Growth (3y)Operating Margin Growth (5y)Profit After Tax (QoQ)Profit After Tax Growth (1y)Profit After Tax Growth (3y)Profit After Tax Growth (5y)Property, Plant & Equipment (Net) (QoQ)Property, Plant & Equipment (Net) Growth (1y)Property, Plant & Equipment (Net) Growth (3y)Property, Plant & Equipment (Net) Growth (5y)Return on Assets (QoQ)Return on Assets Growth (1y)Return on Assets Growth (3y)Return on Assets Growth (5y)Return on Capital Employed (QoQ)Return on Capital Employed Growth (1y)Return on Capital Employed Growth (3y)Return on Capital Employed Growth (5y)Return on Equity (QoQ)Return on Equity Growth (1y)Return on Equity Growth (3y)Return on Equity Growth (5y)Return on Invested Capital (QoQ)Return on Invested Capital Growth (1y)Return on Invested Capital Growth (3y)Return on Invested Capital Growth (5y)Return on Sales (QoQ)Return on Sales Growth (1y)Return on Sales Growth (3y)Return on Sales Growth (5y)Revenue (QoQ)Revenue Growth (1y)Revenue Growth (3y)Revenue Growth (5y)Shareholder's Equity (QoQ)Shareholder's Equity Growth (1y)Shareholder's Equity Growth (3y)Shareholder's Equity Growth (5y)Tax Rate (QoQ)Tax Rate Growth (1y)Tax Rate Growth (3y)Tax Rate Growth (5y)Total Debt (QoQ)Total Debt Growth (1y)Total Debt Growth (3y)Total Debt Growth (5y)
Income Statement
Amortization - IntangiblesConsolidated Net IncomeCost of RevenueEBITEBITDAEBTEPS (Basic)EPS (Weighted Average and Diluted)Gross ProfitIncome from Continuing OperationsIncome towards Parent CompanyInterest ExpensesNet Income towards Common StockholdersNon Operating IncomeOperating ExpensesOperating IncomeOther Non Operating IncomeOther Operating ExpensesProfit After TaxRevenueSelling, General & AdministrativeShares Outstanding (Diluted Average)Shares Outstanding (Weighted Average)Tax ProvisionsTax Rate
Others
Ratios
Asset Utilization RatioAssets AverageDebt RatioDebt to EquityEBIT MarginEBITDA MarginEBT MarginEnterprise ValueEquity AverageEquity RatioFCF MarginFCF Payout RatioGross MarginInterest Coverage RatioInvested CapitalNet MarginOperating MarginReturn on AssetsReturn on Capital EmployedReturn on EquityReturn on Invested CapitalReturn on SalesTimes Interest Earned
Ovintiv (OVV) Free Cash Flow (2019 - 2025)
Generated on {Timestamp}
© BusinessQuant.com
Generated on {Timestamp}
Powered by
Historic Free Cash Flow for Ovintiv (OVV) over the last 7 years, with Q3 2025 value amounting to $268.0 million.
- Ovintiv's Free Cash Flow fell 4462.81% to $268.0 million in Q3 2025 from the same period last year, while for Sep 2025 it was $1.5 billion, marking a year-over-year decrease of 1016.95%. This contributed to the annual value of $1.4 billion for FY2024, which is 35.14% down from last year.
- According to the latest figures from Q3 2025, Ovintiv's Free Cash Flow is $268.0 million, which was down 4462.81% from $492.0 million recorded in Q2 2025.
- Ovintiv's 5-year Free Cash Flow high stood at $833.0 million for Q2 2022, and its period low was $68.0 million during Q1 2024.
- Its 5-year average for Free Cash Flow is $394.8 million, with a median of $447.0 million in 2021.
- Within the past 5 years, the most significant YoY rise in Ovintiv's Free Cash Flow was 57222.22% (2024), while the steepest drop was 8515.28% (2024).
- Quarter analysis of 5 years shows Ovintiv's Free Cash Flow stood at $319.0 million in 2021, then skyrocketed by 62.07% to $517.0 million in 2022, then surged by 35.78% to $702.0 million in 2023, then crashed by 33.33% to $468.0 million in 2024, then plummeted by 42.74% to $268.0 million in 2025.
- Its Free Cash Flow stands at $268.0 million for Q3 2025, versus $492.0 million for Q2 2025 and $256.0 million for Q1 2025.
Peer Comparison
Historic Data
Download Data 🔒| Date | Value |
|---|---|