Ovintiv Inc. logo OVV - Ovintiv Inc.

Price: -- -- | CONSENSUS: Buy DETAILS
STRONG
BUY
0
BUY 20
HOLD 6
SELL 0
STRONG
SELL
0
| PRICE TARGET: $64.13 DETAILS
HIGH: $75.00
LOW: $50.00
MEDIAN: $68.50
CONSENSUS: $64.13
UPSIDE: 9.18%
AlphaVal

AlphaVal

Deterministic, archetype-aware fair value

Oil & Gas E&P 85% confidence

Primary model: FCF at Price Deck × Multiple

Valuation Signal Overvalued Strong
Trading 43.7% above fair value
Current Price $58.74
Bear Case $5.18 91.2% downside ($5.18 - $58.74) / $58.74 = -91.2% FCF $1053M × 8x
Fair Value $40.87 30.4% downside ($40.87 - $58.74) / $58.74 = -30.4% FCF $1505M × 11x
Bull Case $88.45 50.6% upside ($88.45 - $58.74) / $58.74 = 50.6% FCF $1956M × 14x

Adjust Assumptions

75.0$/bbl
11.0x

Key Value Driver

Oil price assumption ($75/bbl base case)

Implied Market Multiple 15.8x

Plain-Language Summary

Our base-case estimate uses a valuation based on free cash flow under different commodity price assumptions and a valuation multiple. We then blend that result with the average analyst price target of $64.13 from 26 analysts, using a 25% weight on analyst consensus. That produces an estimated intrinsic value of $40.87 per share.

Warnings

Debt per share ($25.80) is significant relative to the stock price. Even small changes in the debt figure meaningfully shift what each share is worth.
If oil drops to $60/barrel, the stock could fall -93%. Check whether the company can survive at low prices and still pay its dividend.
Where you think oil prices will settle long-term drives over 80% of this valuation. The biggest risk isn't the company itself — it's getting the commodity price wrong.
Wall Street's average price target is $64.13 (from 26 analysts). Our estimate is 48% below the consensus -- consider that gap carefully.

Key Risks

  • Growth DCF inappropriate — commodity volumes do not compound
  • Geopolitical premiums are real but historically temporary
  • Reserve replacement ratio below 100% for 3 years is existential