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Obsidian Energy Ltd. (OBE) 10-Year Financial Performance & Capital Metrics

OBE • • Industrial / General
EnergyOil & Gas E&PInternational E&PInternational Onshore Focused
AboutObsidian Energy Ltd. primarily focuses on the exploration, production, and development of oil and natural gas properties in the Western Canada Sedimentary Basin. The company was formerly known as Penn West Petroleum Ltd. and changed its name to Obsidian Energy Ltd. in June 2017. Obsidian Energy Ltd. is headquartered in Calgary, Canada.Show more
  • Revenue $838M +28.2%
  • EBITDA $413M -29.4%
  • Net Income -$203M -287.6%
  • EPS (Diluted) -2.67 -308.6%
  • Gross Margin 7.44% -88.1%
  • EBITDA Margin 49.29% -45.0%
  • Operating Margin -29.78% -152.0%
  • Net Margin -24.19% -246.3%
  • ROE -13.29% -298.3%
  • ROIC -10.34% -167.8%
  • Debt/Equity 0.24 +75.7%
  • Interest Coverage -7.49 -163.7%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Excellent 3Y average ROE of 20.9%
  • ✓Strong 5Y sales CAGR of 15.0%
  • ✓Share count reduced 9.6% through buybacks
  • ✓Trading at only 0.3x book value

✗Weaknesses

  • ✗Negative free cash flow

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

Loading chart...

Growth Metrics

Revenue CAGR

10Y-10.11%
5Y15.03%
3Y23.12%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-

EPS CAGR

10Y-
5Y-
3Y-
TTM-

ROCE

10Y Avg-1.02%
5Y Avg18.59%
3Y Avg13.56%
Latest-12.93%

Peer Comparison

International Onshore Focused
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Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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TTM Growth
Famous Investor Metrics
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Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
GTEGran Tierra Energy Inc.170.83M4.8448.40-2.37%-13.91%-23.55%2.98%1.84
VISTVista Energy, S.A.B. de C.V.5.09B48.8510.5540.98%32.66%30.2%0.95
GPRKGeoPark Limited394.2M7.634.22-12.66%5.37%10%70.95%2.66
TBNTamboran Resources Corp553.13M26.30-0.01-10.06%0.07
ANNAAleAnna, Inc.105.31M2.59-0.59-32.16%-9.19%3.33
OBEObsidian Energy Ltd.427.53M6.37-2.3928.23%-24.19%-13.29%0.24
INDOIndonesia Energy Corporation Limited54.55M3.64-5.87-24.34%-173.01%-42.14%0.05
VETVermilion Energy Inc.1.31B8.53-28.43-5.7%-11.74%-8.65%25.37%0.36

Profit & Loss

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+1.19B608M437M444M416M272.8M448.9M920M653.3M837.7M
Revenue Growth %-0.51%-0.49%-0.28%0.02%-0.06%-0.34%0.65%1.05%-0.29%0.28%
Cost of Goods Sold+3.09B959M529M605M1.08B1.04B100K224.3M243.9M775.4M
COGS % of Revenue2.6%1.58%1.21%1.36%2.6%3.8%0%0.24%0.37%0.93%
Gross Profit+-1.91B-351M-92M-161M-667M-750.1M288.1M695.7M409.4M62.3M
Gross Margin %-1.6%-0.58%-0.21%-0.36%-1.6%-2.75%0.64%0.76%0.63%0.07%
Gross Profit Growth %-34.28%0.82%0.74%-0.75%-3.14%-0.12%1.38%1.41%-0.41%-0.85%
Operating Expenses+440M372M60M60M41M17.3M46.3M46.5M35.2M311.8M
OpEx % of Revenue0.37%0.61%0.14%0.14%0.1%0.06%0.1%0.05%0.05%0.37%
Selling, General & Admin144M103M68M66M52M45.1M56.1M47.1M35.2M28.7M
SG&A % of Revenue0.12%0.17%0.16%0.15%0.13%0.17%0.12%0.05%0.05%0.03%
Research & Development0000000000
R&D % of Revenue----------
Other Operating Expenses296M-82M-15M-16M-11M-27.8M-9.8M-600K0283.1M
Operating Income+-2.35B-723M-152M-221M-731M117.8M253.4M502.6M374.2M-249.5M
Operating Margin %-1.98%-1.19%-0.35%-0.5%-1.76%0.43%0.56%0.55%0.57%-0.3%
Operating Income Growth %-6.98%0.69%0.79%-0.45%-2.31%1.16%1.15%0.98%-0.26%-1.67%
EBITDA+22M-331M148M77M-476.8M249.1M338.07M732.07M585.2M412.9M
EBITDA Margin %0.02%-0.54%0.34%0.17%-1.15%0.91%0.75%0.8%0.9%0.49%
EBITDA Growth %-0.98%-16.05%1.45%-0.48%-7.19%1.52%0.36%1.17%-0.2%-0.29%
D&A (Non-Cash Add-back)2.37B392M300M298M254.2M131.3M84.67M229.47M211M662.4M
EBIT-3.1B-834M-74M-284M-752.5M37.2M453.2M602.1M172.6M-231.8M
Net Interest Income+-162M-114M-23M-21M-36.5M-25.6M-33.4M-32.4M-31.3M-33.3M
Interest Income00008.5M06M6.9M500K0
Interest Expense162M114M23M21M40M24.3M30.1M31.6M31.8M33.3M
Other Income/Expense-920M-225M55M-84M-68.6M-889.5M160.6M61.1M-230.6M-15.6M
Pretax Income+-3.27B-948M-97M-305M-788M-771.7M414M563.7M143.6M-265.1M
Pretax Margin %-2.75%-1.56%-0.22%-0.69%-1.89%-2.83%0.92%0.61%0.22%-0.32%
Income Tax+-619M-252M-13M017M00-246.4M35.6M-62.5M
Effective Tax Rate %0.81%0.73%0.87%1%1%1%1%1.44%0.75%0.76%
Net Income+-2.65B-696M-84M-305M-788M-771.7M414M810.1M108M-202.6M
Net Margin %-2.23%-1.14%-0.19%-0.69%-1.89%-2.83%0.92%0.88%0.17%-0.24%
Net Income Growth %-0.53%0.74%0.88%-2.63%-1.58%0.02%1.54%0.96%-0.87%-2.88%
Net Income (Continuing)-2.65B-696M-84M-305M-788.3M-771.7M414M810.1M108M-202.6M
Discontinued Operations0000000000
Minority Interest0000000000
EPS (Diluted)+-36.90-9.70-1.17-4.22-11.04-10.535.349.601.28-2.67
EPS Growth %-0.5%0.74%0.88%-2.61%-1.62%0.05%1.51%0.8%-0.87%-3.09%
EPS (Basic)-36.90-9.70-1.19-4.22-11.04-10.535.529.881.33-2.67
Diluted Shares Outstanding71.71M71.76M71.99M72.33M72.9M73.3M77.6M84.4M84.1M76M
Basic Shares Outstanding71.71M71.76M70.59M72.33M72.9M73.3M75.1M82M84.38M76M
Dividend Payout Ratio----------

Balance Sheet

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+305M341M189M76M169M58.9M87.1M100.3M94.6M492.1M
Cash & Short-Term Investments2M11M2M2M1M8.1M7.3M800K500K0
Cash Only2M11M2M2M1M8.1M7.3M800K500K0
Short-Term Investments0000000000
Accounts Receivable154M113M105M53M70.5M40.8M68.9M82.6M70M88M
Days Sales Outstanding47.3567.8487.743.5761.8654.5956.0232.7739.1138.34
Inventory144M199M64M9M85M800K1.8M6.2M00
Days Inventory Outstanding1775.7444.165.4328.650.286.57K10.09--
Other Current Assets5M18M18M12M200K00011.3M404.1M
Total Non-Current Assets+5.62B3B2.82B2.57B1.74B905.2M1.34B2.1B2.16B1.62B
Property, Plant & Equipment5.39B2.98B2.82B2.57B1.71B905.2M1.34B1.86B1.94B1.35B
Fixed Asset Turnover0.22x0.20x0.16x0.17x0.24x0.30x0.33x0.50x0.34x0.62x
Goodwill0000000000
Intangible Assets0000000000
Long-Term Investments63M00030.7M00000
Other Non-Current Assets168M16M00-700K000211.8M0
Total Assets+5.92B3.34B3.01B2.65B1.9B964.1M1.43B2.2B2.25B2.11B
Asset Turnover0.20x0.18x0.15x0.17x0.22x0.28x0.31x0.42x0.29x0.40x
Asset Growth %-0.4%-0.44%-0.1%-0.12%-0.28%-0.49%0.48%0.54%0.02%-0.06%
Total Current Liabilities+626M344M286M190M603M547.6M530.5M222.9M230M275.3M
Accounts Payable377M172M148M143M111M74.1M107.8M185.6M193.5M175.8M
Days Payables Outstanding44.565.46102.1286.2737.4126.09393.47K302.02289.5882.75
Short-Term Debt222M27M31M19M434.2M451.8M391M02M3.5M
Deferred Revenue (Current)1000K1000K1000K0-1000K0-1000K-1000K00
Other Current Liabilities24M92M62M12M136.8M7.9M126.5M211M32.6M93.9M
Current Ratio0.49x0.99x0.66x0.40x0.28x0.11x0.16x0.45x0.41x1.79x
Quick Ratio0.26x0.41x0.44x0.35x0.14x0.11x0.16x0.42x0.41x1.79x
Cash Conversion Cycle19.8578.1129.74-37.2753.0928.78-386.84K-259.16--
Total Non-Current Liabilities+2.36B748M556M592M209M93.4M135.2M401.7M376.6M433.5M
Long-Term Debt1.72B442M328M402M26.3M00225.3M218M332.4M
Capital Lease Obligations000085M5.6M4.6M2.8M6.1M4.5M
Deferred Tax Liabilities266M14M00000000
Other Non-Current Liabilities269M17M228M190M97.7M87.8M130.6M173.6M152.5M96.6M
Total Liabilities2.99B1.09B842M782M812M641M665.7M624.6M606.6M708.8M
Total Debt+1.94B469M359M421M575M462.2M399.7M231.3M228M342.5M
Net Debt1.94B458M357M419M574M454.1M392.4M230.5M227.5M342.5M
Debt / Equity0.66x0.21x0.17x0.23x0.53x1.43x0.52x0.15x0.14x0.24x
Debt / EBITDA88.18x-2.43x5.47x-1.86x1.18x0.32x0.39x0.83x
Net Debt / EBITDA88.09x-2.41x5.44x-1.82x1.16x0.31x0.39x0.83x
Interest Coverage-14.48x-6.34x-6.61x-10.52x-18.28x4.85x8.42x15.91x11.77x-7.49x
Total Equity+2.94B2.25B2.17B1.87B1.09B323.1M763.5M1.58B1.64B1.41B
Equity Growth %-0.47%-0.23%-0.04%-0.14%-0.42%-0.7%1.36%1.07%0.04%-0.14%
Book Value per Share40.9331.3130.0925.8314.984.419.8418.7219.5518.50
Total Shareholders' Equity2.94B2.25B2.17B1.87B1.09B323.1M763.5M1.58B1.64B1.41B
Common Stock8.99B9B2.18B2.19B2.19B2.19B2.21B2.22B2.18B2.14B
Retained Earnings-6.15B-6.85B-111M-416M-1.2B-1.97B-1.55B-743.4M-635.4M-838M
Treasury Stock0000000000
Accumulated OCI92M97M96M99M102M103.6M103.2M101.2M104.1M108.6M
Minority Interest0000000000

Cash Flow

Dec 2015Dec 2016Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+175M-137M125M99M77M79.4M198.7M456.8M352.7M361.9M
Operating CF Margin %0.15%-0.23%0.29%0.22%0.19%0.29%0.44%0.5%0.54%0.43%
Operating CF Growth %-0.79%-1.78%1.91%-0.21%-0.22%0.03%1.5%1.3%-0.23%0.03%
Net Income-2.65B-696M-84M-305M-788M-771.7M414M810.1M108M-202.6M
Depreciation & Amortization3.14B452M237M298M254.2M134.2M125.7M185.7M225.8M0
Stock-Based Compensation4M7M8M7M5M2.1M2.3M4.7M8M8.2M
Deferred Taxes-617M-252M-13M0-254.2M-134.2M-125.7M-246.4M35.6M-62.5M
Other Non-Cash Items260M449M-28M329M900M855.6M-212.5M-332.1M-38.3M654.5M
Working Capital Changes31M-97M5M68M-40M-6.6M-5.1M34.8M13.6M-35.7M
Change in Receivables0000000000
Change in Inventory0000000000
Change in Payables0000000000
Cash from Investing+196M1.31B-34M-161M-101M-66.2M-156.6M-290.8M-293.6M-430.5M
Capital Expenditures-470M-82M-141M-168M-103M-57.2M-141M-319.4M-293.1M-83.4M
CapEx % of Revenue0.4%0.13%0.32%0.38%0.25%0.21%0.31%0.35%0.45%0.1%
Acquisitions----------
Investments----------
Other Investing666M1.39B107M7M-8.7M-9.1M18.1M28.6M-500K-347.1M
Cash from Financing+-436M-1.16B-100M60M27M-8.1M-42.9M-172.5M-59.4M67.6M
Debt Issued (Net)----------
Equity Issued (Net)----------
Dividends Paid-75M000000000
Share Repurchases----------
Other Financing159M228M2M8M2.7M2.2M-100K-5.1M-500K-3M
Net Change in Cash----------
Free Cash Flow+-295M-219M-16M-69M-26M22.2M57.7M137.4M59.6M-64.6M
FCF Margin %-0.25%-0.36%-0.04%-0.16%-0.06%0.08%0.13%0.15%0.09%-0.08%
FCF Growth %-3.54%0.26%0.93%-3.31%0.62%1.85%1.6%1.38%-0.57%-2.08%
FCF per Share-4.11-3.05-0.22-0.95-0.360.300.741.630.71-0.85
FCF Conversion (FCF/Net Income)-0.07x0.20x-1.49x-0.32x-0.10x-0.10x0.48x0.56x3.27x-1.79x
Interest Paid00000000032.1M
Taxes Paid0000000000

Key Ratios

Metric2015201620172018201920202021202220232024
Return on Equity (ROE)-62.13%-26.86%-3.81%-15.12%-53.24%-109.07%76.2%69.14%6.7%-13.29%
Return on Invested Capital (ROIC)-28.06%-14.31%-4.36%-6.89%-27.74%7.23%19.66%25.42%15.25%-10.34%
Gross Margin-160.49%-57.73%-21.05%-36.26%-160.34%-274.96%64.18%75.62%62.67%7.44%
Net Margin-222.91%-114.47%-19.22%-68.69%-189.42%-282.88%92.23%88.05%16.53%-24.19%
Debt / Equity0.66x0.21x0.17x0.23x0.53x1.43x0.52x0.15x0.14x0.24x
Interest Coverage-14.48x-6.34x-6.61x-10.52x-18.28x4.85x8.42x15.91x11.77x-7.49x
FCF Conversion-0.07x0.20x-1.49x-0.32x-0.10x-0.10x0.48x0.56x3.27x-1.79x
Revenue Growth-51.21%-48.78%-28.13%1.6%-6.31%-34.42%64.55%104.95%-28.99%28.23%

Revenue by Segment

2018201920202021202220232024
Crude Oil Fuel-357M213.1M362.9M697.9M596M723.7M
Crude Oil Fuel Growth---40.31%70.30%92.31%-14.60%21.43%
Natural Gas50M35M46M76.4M-73.4M39.7M
Natural Gas Growth--30.00%31.43%66.09%---45.91%
Oil and natural gas sales----905.7M--
Oil and natural gas sales Growth-------
Natural gas liquids32M16M16.3M38.2M---
Natural gas liquids Growth--50.00%1.88%134.36%---
Crude oil337M------
Crude oil Growth-------

Frequently Asked Questions

Growth & Financials

Obsidian Energy Ltd. (OBE) reported $837.7M in revenue for fiscal year 2024. This represents a 87% decrease from $6.62B in 2011.

Obsidian Energy Ltd. (OBE) grew revenue by 28.2% over the past year. This is strong growth.

Obsidian Energy Ltd. (OBE) reported a net loss of $202.6M for fiscal year 2024.

Dividend & Returns

Obsidian Energy Ltd. (OBE) has a return on equity (ROE) of -13.3%. Negative ROE indicates the company is unprofitable.

Obsidian Energy Ltd. (OBE) had negative free cash flow of $64.6M in fiscal year 2024, likely due to heavy capital investments.

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