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Ovintiv Inc OVV

Alternate Symbol(s):  T.OVV

Ovintiv Inc. is an oil and natural gas exploration and production company. The Company is focused on the development of its multi-basin portfolio of top tier oil and natural gas assets located in the United States and Canada. Its operations also include the marketing of oil, natural gas liquids (NGLs) and natural gas. Its segments include USA Operations, Canadian Operations, and Market Optimization. USA Operations segment includes the exploration for, development of, and production of oil, NGLs, natural gas and other related activities within the United States. Canadian Operations segment includes the exploration for, development of, and production of oil, NGLs, natural gas and other activities within Canada. Market Optimization segment is primarily responsible for the sale of the Company’s production to third-party customers and enhancing the associated netback price. The segment’s activities also include third-party purchases and sales of product to provide operational flexibility.


NYSE:OVV - Post by User

Comment by Grandcentralon Jul 30, 2021 8:34am
221 Views
Post# 33631136

RE:RE:RE:Is OVV a better place to be....

RE:RE:RE:Is OVV a better place to be....TD12 - the TERM "Hedging losses" is a risk, and how they are perceived. Hedging losses are the new 'flaw' with O and Gs according to the bears and shorts - these are not real 'losses' - I personally don't see them that way - they are only called losses because commodity prices are trading higher then when they were sold. When I sell a stock for a 20% profit, but the stock rises another 25%, I don't call it a loss - missed opportunity, sure, but not a real loss. Shorts and bears are really highlighting the word 'losses' with otherwise excellent Q2 results everywhere -even with companies pulling in very nice profits. Future hedges will now start to 'guarantee' future profit levels. Yes, we will have future hedging losses, but worth it to have a floor to stand on - guarantees are helpful. A bit of a double edged sword, hedges, but for minimizing future risk they make sense.
H2 starting with Q3 is the real breakout timeline analysts and economists have been predicting - and we are just entering H2 - I think we are at a new bottom and things are set to advance again.
Covid variants and perceptions around them are another risk, but I feel delta is already priced in, and strong Natural Gas prices and winter demand will be there no matter what happens.
IMO and GLTA
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