CRESCENT POINT ENERGY CORP (CPG)

CA22576C1014 - Common Stock

8.6  -0.1 (-1.15%)

After market: 8.6 0 (0%)

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2023
(2023-12-31)
2022
(2022-12-31)
2021
(2021-12-31)
2020
(2020-12-31)
2019
(2019-12-31)
ASSETS
Current Assets
Cash
17.30M289.90M13.50M9.00M57.00M
Receivables
377.90M327.80M314.30M201.00M296.00M
Other Current Assets
654.80M371.50M83.10M70.00M279.00M
Total Current Assets
1.05B989.20M410.90M279.00M632.00M
 
Non-Current Assets
PPE Net
11.43B7.91B7.83B4.56B8.21B
Investments And Advances
N/AN/A0.003.00M7.00M
Goodwill
275.90M203.90M211.50M223.00M231.00M
Other Non-Current Assets
21.70M381.60M714.90M1.56B996.00M
Total Non-Current Assets
11.73B8.50B8.76B6.37B9.46B
 
TOTAL ASSETS
12.78B9.49B9.17B6.65B10.09B
 
LIABILITIES
Current Liabilities
Short Term Debt
0.000.000.000.000.00
Current Portion Of LT Debt.
420.50M563.60M303.60M248.00M232.00M
Accrued Expenses
37.50M49.10MN/AN/AN/A
Accounts Payable
634.90M448.20M450.70M312.00M479.00M
Other Current Liabilities
280.60M178.10M277.90M110.00M64.00M
Total Current Liabilities
1.37B1.24B1.03B669.00M775.00M
 
Non-Current Liabilities
Long Term Debt
3.29B1.00B1.81B2.17B2.85B
Deferred Taxes/Income
643.00M77.30MN/AN/AN/A
Other Non-Current Liabilities
601.20M674.70M925.70M986.00M1.12B
Total Non-Current Liabilities
4.53B1.75B2.73B3.15B3.97B
 
TOTAL LIABILITIES
5.91B2.99B3.77B3.82B4.75B
 
SHAREHOLDERS' EQUITY
Retained Earnings
-10.20B-10.56B-11.85B-14.17B-11.64B
Additional Paid In Capital
17.40M17.10M17.50M20.00M35.00M
Common Shares
17.32B16.68B16.96B16.71B16.70B
Other Shareholders' Equity
-272.00M363.80M273.10M262.00M239.00M
Shares Outstanding
619.93M550.89M579.48M530.00M529.00M
Tangible Book Value per Share
10.6311.428.964.919.66
Total Shareholders' Equity
6.87B6.49B5.41B2.82B5.34B
 
TOTAL LIABILITIES AND EQUITY
12.78B9.49B9.17B6.65B10.09B
 
Statistics
Debt/Equity
0.480.150.330.770.53
Current Ratio
0.760.800.400.420.82
Return On Assets (ROA)
4.46%15.64%25.78%-37.92%-10.24%
Return On Equity (ROE)
8.30%22.84%43.74%-89.26%-19.34%
Return On Invested Capital (ROIC)
7.51%15.54%10.39%0.00%5.22%
Return On Invested Capital Ex Cash (ROICexc)
7.51%15.54%10.39%0.00%5.22%
Return On Invested Capital Ex Cash + Goodwill (ROICexcg)
7.69%15.93%10.67%0.00%5.36%

All data in CAD

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