Annual CFF:
-$1.23B-$2.59B(-190.58%)Summary
- As of today, OVV annual cash from financing is -$1.23 billion, with the most recent change of -$2.59 billion (-190.58%) on December 31, 2024.
- During the last 3 years, OVV annual cash from financing has risen by +$1.19 billion (+49.11%).
- OVV annual cash from financing is now -190.58% below its all-time high of $1.36 billion, reached on December 31, 2023.
Performance
OVV Cash From Financing Chart
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Quarterly CFF:
-$438.07M-$426.07M(-3550.57%)Summary
- As of today, OVV quarterly cash from financing is -$438.07 million, with the most recent change of -$426.07 million (-3550.57%) on June 30, 2025.
- Over the past year, OVV quarterly cash from financing has dropped by -$64.01 million (-17.11%).
- OVV quarterly cash from financing is now -115.97% below its all-time high of $2.74 billion, reached on June 30, 2004.
Performance
OVV Quarterly Cash From Financing Chart
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TTM CFF:
-$1.38B-$64.01M(-4.85%)Summary
- As of today, OVV TTM cash from financing is -$1.38 billion, with the most recent change of -$64.01 million (-4.85%) on June 30, 2025.
- Over the past year, OVV TTM cash from financing has dropped by -$429.43 million (-44.99%).
- OVV TTM cash from financing is now -147.49% below its all-time high of $2.91 billion, reached on June 30, 2004.
Performance
OVV TTM Cash From Financing Chart
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Cash From Financing Formula
CFF = Cash Inflows from Financing Activities − Cash Outflows from Financing Activities
OVV Cash From Financing Trends
| PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
|---|---|---|---|
| 1Y1 Year | -190.6% | -17.1% | -45.0% |
| 3Y3 Years | +49.1% | +59.6% | +28.7% |
| 5Y5 Years | +0.6% | -232.8% | -10000.0% |
OVV Cash From Financing Highs & Lows
| PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | TTM vs HighTTM vs High | TTM vs LowTTM vs Low | |
|---|---|---|---|---|---|---|---|
| 3Y | 3-Year | -190.6% | +49.1% | -119.8% | +33.5% | -181.9% | +36.4% |
| 5Y | 5-Year | -190.6% | +49.1% | -119.8% | +64.5% | -181.9% | +46.0% |
| All-Time | All-Time | -190.6% | +71.3% | -116.0% | +76.7% | -147.5% | +74.7% |
OVV Cash From Financing History
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Jun 2025 | - | -$438.07M(-3550.6%) | -$1.38B(-4.8%) |
| Mar 2025 | - | -$12.00M(+97.5%) | -$1.32B(-9.5%) |
| Dec 2024 | -$1.23B(-190.6%) | -$481.76M(-6.6%) | -$1.21B(+7.7%) |
| Sep 2024 | - | -$452.11M(-20.9%) | -$1.31B(-36.9%) |
| Jun 2024 | - | -$374.06M(-466.7%) | -$954.51M(-158.5%) |
| Mar 2024 | - | $102.00M(+117.5%) | $1.63B(+21.2%) |
| Dec 2023 | $1.36B(+159.9%) | -$582.38M(-482.0%) | $1.35B(-20.3%) |
| Sep 2023 | - | -$100.07M(-104.5%) | $1.69B(+49.4%) |
| Jun 2023 | - | $2.21B(+1302.8%) | $1.13B(+152.2%) |
| Mar 2023 | - | -$184.00M(+22.9%) | -$2.17B(+0.4%) |
| Dec 2022 | -$2.27B(+6.2%) | -$238.75M(+63.8%) | -$2.17B(-4.5%) |
| Sep 2022 | - | -$659.26M(+39.2%) | -$2.08B(-7.2%) |
| Jun 2022 | - | -$1.08B(-461.6%) | -$1.94B(+7.2%) |
| Mar 2022 | - | -$193.00M(-33.2%) | -$2.09B(+13.1%) |
| Dec 2021 | -$2.42B(-1074.3%) | -$144.94M(+72.1%) | -$2.41B(+6.1%) |
| Sep 2021 | - | -$520.25M(+57.8%) | -$2.56B(-11.8%) |
| Jun 2021 | - | -$1.23B(-143.3%) | -$2.29B(-214.8%) |
| Mar 2021 | - | -$507.00M(-68.3%) | -$728.05M(-243.3%) |
| Dec 2020 | -$206.00M(+83.4%) | -$301.23M(-20.6%) | -$212.05M(-6276.0%) |
| Sep 2020 | - | -$249.80M(-175.7%) | $3.43M(+109.0%) |
| Jun 2020 | - | $329.99M(+3566.5%) | -$38.22M(+95.1%) |
| Mar 2020 | - | $9.00M(+110.5%) | -$787.45M(+36.7%) |
| Dec 2019 | -$1.24B(-212.6%) | -$85.75M(+70.6%) | -$1.24B(-4.4%) |
| Sep 2019 | - | -$291.45M(+30.5%) | -$1.19B(-21.0%) |
| Jun 2019 | - | -$419.24M(+6.4%) | -$984.65M(-43.0%) |
| Mar 2019 | - | -$448.00M(-1248.7%) | -$688.66M(-77.2%) |
| Dec 2018 | -$396.00M(-184.9%) | -$33.22M(+60.5%) | -$388.66M(+0.0%) |
| Sep 2018 | - | -$84.19M(+31.7%) | -$388.70M(-12.8%) |
| Jun 2018 | - | -$123.25M(+16.7%) | -$344.71M(-33.1%) |
| Mar 2018 | - | -$148.00M(-344.9%) | -$258.92M(-82.4%) |
| Dec 2017 | -$139.00M(-265.8%) | -$33.26M(+17.3%) | -$141.92M(-1358.5%) |
| Sep 2017 | - | -$40.20M(-7.3%) | $11.28M(+102.2%) |
| Jun 2017 | - | -$37.46M(-20.8%) | -$505.70M(-158.4%) |
| Mar 2017 | - | -$31.00M(-125.8%) | -$195.73M(-418.8%) |
| Dec 2016 | -$38.00M(+96.4%) | $119.94M(+121.5%) | -$37.73M(+96.0%) |
| Sep 2016 | - | -$557.18M(-304.5%) | -$940.23M(-130.8%) |
| Jun 2016 | - | $272.51M(+114.6%) | -$407.40M(+78.0%) |
| Mar 2016 | - | $127.00M(+116.2%) | -$1.85B(-83.3%) |
| Dec 2015 | -$1.05B(+29.8%) | -$782.57M(-3114.6%) | -$1.01B(-123.4%) |
| Sep 2015 | - | -$24.34M(+97.9%) | -$452.05M(+11.6%) |
| Jun 2015 | - | -$1.17B(-221.0%) | -$511.15M(-244.7%) |
| Mar 2015 | - | $968.00M(+530.7%) | $353.26M(+124.2%) |
| Dec 2014 | -$1.50B(-65.1%) | -$224.78M(-169.4%) | -$1.46B(+17.5%) |
| Sep 2014 | - | -$83.44M(+72.8%) | -$1.77B(+1.1%) |
| Jun 2014 | - | -$306.52M(+63.7%) | -$1.79B(-12.6%) |
| Mar 2014 | - | -$845.00M(-58.2%) | -$1.59B(-78.0%) |
| Dec 2013 | -$909.00M(+18.2%) | -$534.04M(-421.3%) | -$892.62M(-75.2%) |
| Sep 2013 | - | -$102.44M(+4.4%) | -$509.47M(+10.2%) |
| Jun 2013 | - | -$107.14M(+28.1%) | -$567.42M(+6.0%) |
| Mar 2013 | - | -$149.00M(+1.3%) | -$603.51M(+46.1%) |
| Dec 2012 | -$1.11B(-472.7%) | -$150.89M(+5.9%) | -$1.12B(+34.6%) |
| Sep 2012 | - | -$160.39M(-12.0%) | -$1.71B(-22.5%) |
| Jun 2012 | - | -$143.23M(+78.5%) | -$1.40B(-43.5%) |
| Mar 2012 | - | -$666.00M(+10.4%) | -$974.58M(-419.6%) |
| Dec 2011 | -$194.00M(+84.9%) | -$743.00M(-582.9%) | -$187.58M(-148.8%) |
| Sep 2011 | - | $153.87M(-45.2%) | $384.50M(+448.9%) |
| Jun 2011 | - | $280.55M(+131.9%) | -$110.22M(+84.7%) |
| Mar 2011 | - | $121.00M(+170.8%) | -$720.20M(+44.9%) |
| Dec 2010 | -$1.28B | -$170.93M(+49.9%) | -$1.31B(+22.1%) |
| Date | Annual | Quarterly | TTM |
|---|---|---|---|
| Sep 2010 | - | -$340.84M(-3.5%) | -$1.68B(-295.8%) |
| Jun 2010 | - | -$329.43M(+29.2%) | $857.02M(+271.9%) |
| Mar 2010 | - | -$465.00M(+14.3%) | $230.45M(-74.5%) |
| Dec 2009 | $835.00M(+158.0%) | -$542.55M(-124.7%) | $902.45M(+7.1%) |
| Sep 2009 | - | $2.19B(+329.5%) | $843.00M(+137.8%) |
| Jun 2009 | - | -$956.00M(-561.8%) | -$2.23B(-74.9%) |
| Mar 2009 | - | $207.00M(+134.4%) | -$1.28B(+14.0%) |
| Dec 2008 | -$1.44B(-1109.2%) | -$602.00M(+31.7%) | -$1.48B(-213.6%) |
| Sep 2008 | - | -$881.00M(-140.3%) | $1.31B(+1197.5%) |
| Dec 2007 | -$119.00M(+97.2%) | $2.19B(+395.9%) | -$119.00M(+96.0%) |
| Sep 2007 | - | -$739.00M(+12.1%) | -$2.95B(-7.2%) |
| Jun 2007 | - | -$841.00M(-15.8%) | -$2.75B(+12.4%) |
| Mar 2007 | - | -$726.00M(-13.3%) | -$3.14B(+26.9%) |
| Dec 2006 | -$4.29B(-26.4%) | -$641.00M(-18.3%) | -$4.29B(+21.4%) |
| Sep 2006 | - | -$542.00M(+55.9%) | -$5.47B(-27.2%) |
| Jun 2006 | - | -$1.23B(+34.6%) | -$4.30B(+7.3%) |
| Mar 2006 | - | -$1.88B(-3.8%) | -$4.64B(-32.7%) |
| Dec 2005 | -$3.40B(-2183.4%) | -$1.81B(-389.5%) | -$3.49B(-12.1%) |
| Sep 2005 | - | $626.00M(+139.9%) | -$3.12B(+32.7%) |
| Jun 2005 | - | -$1.57B(-112.2%) | -$4.63B(-1351.4%) |
| Mar 2005 | - | -$739.00M(+48.5%) | -$319.00M(-295.7%) |
| Dec 2004 | $163.00M(+130.2%) | -$1.44B(-61.6%) | $163.00M(-92.1%) |
| Sep 2004 | - | -$888.00M(-132.4%) | $2.06B(-29.3%) |
| Jun 2004 | - | $2.74B(+1167.3%) | $2.91B(+692.1%) |
| Mar 2004 | - | -$257.00M(-155.8%) | $367.85M(+168.1%) |
| Dec 2003 | -$540.00M(-213.5%) | $460.68M(+1504.5%) | -$540.00M(+58.6%) |
| Sep 2003 | - | -$32.80M(-116.7%) | -$1.30B(-67.9%) |
| Jun 2003 | - | $196.97M(+116.9%) | -$776.86M(-22.7%) |
| Mar 2003 | - | -$1.16B(-283.9%) | -$633.17M(-233.1%) |
| Dec 2002 | $475.71M(+323.2%) | -$303.46M(-161.4%) | $475.86M(-61.7%) |
| Sep 2002 | - | $494.48M(+45.2%) | $1.24B(+66.1%) |
| Jun 2002 | - | $340.65M(+710.2%) | $748.21M(+83.6%) |
| Mar 2002 | - | -$55.82M(-112.0%) | $407.56M(+59.0%) |
| Dec 2001 | -$213.10M(-300.7%) | $463.38M(+323.8%) | $256.34M(+289.1%) |
| Mar 2001 | - | -$207.04M(-222.0%) | -$135.54M(-231.1%) |
| Dec 2000 | $106.17M(+166.9%) | $169.75M(+2228.2%) | $103.36M(+219.6%) |
| Sep 2000 | - | -$7.98M(+91.2%) | -$86.44M(+45.0%) |
| Jun 2000 | - | -$90.27M(-383.4%) | -$157.16M(-134.9%) |
| Mar 2000 | - | $31.85M(+258.9%) | -$66.89M(+32.3%) |
| Dec 1999 | -$158.66M(-383.0%) | -$20.05M(+74.5%) | -$98.75M(-25.5%) |
| Sep 1999 | - | -$78.70M | -$78.70M |
| Dec 1998 | $56.07M(-56.1%) | - | - |
| Dec 1997 | $127.77M(+310.4%) | - | - |
| Dec 1996 | -$60.72M(-125.7%) | - | - |
| Dec 1995 | $235.87M(+288.2%) | - | - |
| Dec 1994 | $60.76M(+148.2%) | - | - |
| Dec 1993 | -$126.02M(-313.8%) | - | - |
| Dec 1992 | -$30.46M(-28.8%) | - | - |
| Dec 1991 | -$23.65M(+84.2%) | - | - |
| Dec 1990 | -$149.35M(-41.2%) | - | - |
| Dec 1989 | -$105.77M(-152.8%) | - | - |
| Dec 1988 | $200.30M(+448.1%) | - | - |
| Dec 1987 | -$57.54M(+8.5%) | - | - |
| Dec 1986 | -$62.91M(+31.2%) | - | - |
| Dec 1985 | -$91.47M(+0.2%) | - | - |
| Dec 1984 | -$91.62M(-0.5%) | - | - |
| Dec 1983 | -$91.20M(-0.1%) | - | - |
| Dec 1982 | -$91.10M(+2.9%) | - | - |
| Dec 1981 | -$93.78M(-9.7%) | - | - |
| Dec 1980 | -$85.46M | - | - |
FAQ
- What is Ovintiv Inc. annual cash from financing?
- What is the all-time high annual cash from financing for Ovintiv Inc.?
- What is Ovintiv Inc. annual cash from financing year-on-year change?
- What is Ovintiv Inc. quarterly cash from financing?
- What is the all-time high quarterly cash from financing for Ovintiv Inc.?
- What is Ovintiv Inc. quarterly cash from financing year-on-year change?
- What is Ovintiv Inc. TTM cash from financing?
- What is the all-time high TTM cash from financing for Ovintiv Inc.?
- What is Ovintiv Inc. TTM cash from financing year-on-year change?
What is Ovintiv Inc. annual cash from financing?
The current annual cash from financing of OVV is -$1.23B
What is the all-time high annual cash from financing for Ovintiv Inc.?
Ovintiv Inc. all-time high annual cash from financing is $1.36B
What is Ovintiv Inc. annual cash from financing year-on-year change?
Over the past year, OVV annual cash from financing has changed by -$2.59B (-190.58%)
What is Ovintiv Inc. quarterly cash from financing?
The current quarterly cash from financing of OVV is -$438.07M
What is the all-time high quarterly cash from financing for Ovintiv Inc.?
Ovintiv Inc. all-time high quarterly cash from financing is $2.74B
What is Ovintiv Inc. quarterly cash from financing year-on-year change?
Over the past year, OVV quarterly cash from financing has changed by -$64.01M (-17.11%)
What is Ovintiv Inc. TTM cash from financing?
The current TTM cash from financing of OVV is -$1.38B
What is the all-time high TTM cash from financing for Ovintiv Inc.?
Ovintiv Inc. all-time high TTM cash from financing is $2.91B
What is Ovintiv Inc. TTM cash from financing year-on-year change?
Over the past year, OVV TTM cash from financing has changed by -$429.43M (-44.99%)