Skip to content

Ovintiv OVV Cash Flow Statement

FY'25FY'24FY'23FY'22
$1.24B+4.8%$1.19B-43.2%$2.09B-42.7%$3.64B+157%
$2.18B-4.8%$2.29B+25.5%$1.83B+64.0%$1.11B-6.5%
-$514M$144M+266%-$87M-314%
$920M+104%$450M$0$0
-$20M+86.5%-$148M-42.3%
$3.65B-1.9%$3.72B-10.7%$4.17B+7.8%$3.87B+23.6%
$2.15B-6.8%$2.3B-16.1%$2.74B+49.9%$1.83B+20.5%
$0+100%-$12M-100%$3.23B$0
$127M+2.4%$124M+176%$45M+144%-$103M
$1.93B+1,082%$163M-78.9%$772M+236%$230M-77.6%
-$2.88B-17.4%-$2.46B+55.5%-$5.52B-209%-$1.79B-240%
$308M-2.5%$316M+2.9%$307M+28.5%$239M+95.9%
$307M-48.6%$597M+40.1%$426M-40.8%$719M+548%
$600M$0$0-100%$1.63B+43.7%
-$34M+55.8%-$77M
-$800M+35.0%-$1.23B-$2.27B+6.2%
-$13M-317%$6M+167%-$9M-350%-$2M
-$2M+98.9%-$190M-203%
$920M+104%$450M$0$0
$28M+47.4%$19M0.0%$19M+5.6%$18M-18.2%
$42M0.0%$42M+800%-$6M
$45M+229%-$35M
$40M-45.9%$74M+19.4%$62M+8.8%$57M+46.2%
-$20M+86.5%-$148M-42.3%
$6M+104%-$136M-170%$194M-73.8%$741M
$2.54B+1,138%$205M-26.0%$277M-3.1%$286M+2,500%
$127M+2.4%$124M+176%$45M+144%-$103M
$1.93B+1,082%$163M-78.9%$772M+236%$230M-77.6%
-$34M+55.8%-$77M
$360M+227%-$284M-161%-$109M
$600M$0$0-100%$1.63B+43.7%
$1.51B+6.1%$1.42B-0.4%$1.42B-30.1%$2.04B+26.4%
$1.51B+6.1%$1.42B-0.4%$1.42B-30.1%$2.04B+26.4%

Chart any of these lines over time, or line them up against competitors.

Compare these in charts →

Questions, answered.

How much cash does Ovintiv generate?
Ovintiv (OVV) generated $3.8B in operating cash flow over the trailing twelve months.
What is Ovintiv's free cash flow?
After $2.1B of capital expenditures, Ovintiv's free cash flow was $1.7B over the trailing twelve months, up 5.9% year over year.
Where does Ovintiv's cash flow data come from?
Every line is extracted from Ovintiv's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.