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Gear Energy Ltd T.GXE

Alternate Symbol(s):  GENGF

Gear Energy Ltd. is a Canadian exploration and production company with heavy and light oil production in Central Alberta, West Central Saskatchewan and Southeast Saskatchewan. The Company carries on the business of acquiring, developing and holding interests in petroleum and natural gas properties and assets. Its properties include Celtic/Paradise Hill, Saskatchewan; Wildmere Area, Alberta; Wilson Creek, Alberta, and Tableland, Saskatchewan. The Celtic/Paradise Hill is located within Township 52, and Ranges 23 and 24 W3 and is approximately 40 kilometers northeast of Lloydminster, Alberta. The Wildmere field is located within Townships 47, 48 and 49, and Ranges 3, 4, 5 and 6W4, is approximately 200 kilometers southeast of Edmonton, Alberta. The property consists of approximately 24,325 gross (23,000 net) acres of lands. The Tableland property development is predominately focused on the Three Forks/Torquay formation, with minor production from the Bakken and Ratcliffe formations.


TSX:GXE - Post by User

Comment by kraftdinneron Jul 10, 2023 9:48pm
97 Views
Post# 35534730

RE:RE:RE:RE:Market Tightening

RE:RE:RE:RE:Market TighteningThis is still a small company and it takes awhile to grow. About 20 years ago, maybe even on this site, there was talk about using debt to annualized to cashflow to guage safety. The post mentioned using a number of two as being high, with the thinking being that if the company stopped all spending how long would it take to pay off the debt. A person can use any number they like though I did observe charts trending down when the ratio got above two.

Then I did spreadsheets for a company trying to calculate cashflow and netbacks. This weekend I tried a different approach as their are more pricing variables, and NGLs pricing seems allover the place. I was trying to get an idea of how the companies compared to each other product wise and generally. as a supplement to 'the activity' or lack of it management talks about. I'll try posting what I did this weekend using last quarter's number's, hopefully it pastes good. The companies used have very different personalities and I do not have ONE criteria I use. For dividend safety, the spreadsheet is using 'conditional formatting to highlight good cells, the more good cells the better.

Pine Cliff Energy is interesting this quarter as a dividend payer without debt having net cashflow, a cash pile, and little spending. I do not remember seeing companies like this 20 years ago.

Now hopefully this material gets into the post safely....
  Gear Energy Ltd. Pine Cliff Energy Ltd. Inplay Oil Corp. Cardinal Energy Ltd. Surge Peyto Whitecap Hemisphere
Price 1.00 1.47 2.51 6.82 7.33 11.19 9.48 1.27
Shares Issued                    261,211,907                          351,607,130                                89,103,401                  159,638,699          98,334,459        174,792,822        606,443,428                      101,273,639
Market Cap.                    261,211,907                          516,862,481                              223,649,537              1,088,735,927        720,791,584    1,955,931,678    5,749,083,697                      128,617,522
Price/Operating Cashflow                          4.37                              5.79                                 2.52                        6.62                3.31                2.66                3.07                           3.56
(Boed/D)                                 5,952                                    20,076                                           9,020                             21,726                  25,138                102,918                155,124                                   3,171
(Boed/D)/Million Shares                                       23                                             57                                              101                                   136                        256                        589                        256                                          -  
Operating Cashflow/Share                                   0.06                                         0.06                                             0.25                                 0.26                       0.55                       1.05                       0.77                                     0.09
Operating Cashflow/Total Liabilities 13% 9% 13% 17% 8% 12% 12% 36%


Profit for the Period                         1,990,000                              4,985,000                                  9,291,000                    16,321,000 14,789,000          89,981,000 262,600,000 5,958,000
Operating Cashflow                      14,933,000                            22,326,000                                22,224,000                    41,089,000 54,506,000        183,606,000 468,600,000 9,034,000
Dividends Paid                         7,826,000                            11,413,000                                  3,973,000                    28,742,000 11,095,000          57,677,000 87,700,000 2,545,000
Dividend % of Operating Cashflow 52% 51% 18% 70% 20% 31% 19% 28%
                 
Additions to Property Plant and Equipment                      17,992,000                              4,441,000                                29,568,000                    24,455,000 45,733,000        121,802,000 253,600,000 1,415,000
Growth Capex Depreciation Coverage 7,429,000 -6,005,000 17,821,000 -538,000 1,376,000 44,794,000 38,000,000 -797,000
Net Cashflow 0 7,141,000 0 0 0 -7,678 0 2,578,000
Free Op. Cashflow after Dividends and Capex (Debt Capex) -10,885,000 6,472,000 -11,317,000 -12,108,000 -2,322,000 4,127,000 127,300,000 5,074,000
                 
Dividend % of Profit 393% 229% 43% 176% 75% 64% 33% 43%
Dividend % of Profit, Growth Capex, Net Cashflow 83% 186% 15% 182% 69% 43% 29% 33%
Dividend % of Profit and Net Cashflow 393% 94% 43% 176% 75% 64% 33% 30%
Dividend % of Free Op. Cashflow and Net Cashflow -72% 84% -35% -237% -478% 1400% 69% 33%
Dividend % of Profit and Debt Capex 28%   9% 41% 15%      
Debt/Operating Cashflow 0.25 0.00 0.53 0.28 1.52 1.20 0.78 0.00
                 
Cash 0 61,569,000 0 0 0 4,227,000 0 2,730,000
Net Debt -15,176,000 0 -47,311,000 -45,320,000 -331,917,000 -877,827,000 -1,471,100,000 0
Total Liabilities -115,206,000 -252,152,000 -175,969,000 -235,491,000 -680,591,000 -1,531,036,000 -3,967,900,000 -25,362,000
Retained Earnings (deficit) -120,064,000 -166,751,000 -3,140,000 -199,539,000 -985,659,000 463,746,000 334,200,000 -16,055,000
Direction of Retained Earnings (deficit) Falling Falling Rising Falling Rising Rising Rising Rising
Shareholder Equity 246,103,000 128,214,000 456,061,000 908,314,000 860,937,000 2,305,076,000 5,915,300,000 56,171,000
Direction of Shareholder Equity Falling Falling Rising Falling Rising Rising Rising Rising

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