**US25179M1036 - Common Stock - After market: 60.9 +0.05 (+0.08%)**

Taking everything into account, **DVN** scores **7** out of 10 in our fundamental rating. **DVN** was compared to 391 industry peers in the **Oil, Gas & Consumable Fuels** industry. **DVN** has a great profitability rating, but there are some minor concerns on its financial health. **DVN** is growing strongly while it is still valued neutral. This is a good combination!

The Piotroski-F score of **DVN** is **7.00**. This is a strong score and indicates good health and profitability for **DVN**.

ROA (26.54%) VS Industry: 84% outperformed.

0.06

1,189.87

ROE (57.49%) VS Industry: 86% outperformed.

0.24

5,310.48

Profit Margin (32.65%) VS Industry: 64% outperformed.

0.07

268.29

With a **Price/Earnings Ratio** of **7.57**, the valuation of **DVN** can be described as very cheap.

With a **Forward Price/Earnings Ratio** of **6.62**, the valuation of **DVN** can be described as cheap.

When comparing the current price to the book value of **DVN**, we can conclude it is valued correctly. It is trading at **3.66** times its book value.

When comparing the **Enterprise Value to EBITDA** ratio of **DVN** to the average industry ratio of 4.05, **DVN** is valued in line with its industry peers.

Compared to an average industry **Price/Earning Ratio** of **6.45**, **DVN** is valued slightly more expensive.

Compared to an average industry price book ratio of 1.57, **DVN** is valued more expensive than its industry peers. **81%** of the companies listed in the same industry are valued cheaper.

Price/Earnings (7.57) VS Industry: 40% outperformed.

1,200.00

0.06

Price/Book (3.66) VS Industry: 19% outperformed.

3,359.10

0.04

Enterprise Value/ EBITDA (4.41) VS Industry: 46% outperformed.

242.49

0.24

The **Revenue** is expected to grow by **19.42%** on average over the next 5 years. This is quite good.

When comparing the Revenue growth rate of the last 5 years to the growth rate of the upcoming 5 years, we see that the growth is accelerating.

Based on estimates for the next 5 years, **DVN** will show a small growth in **Earnings Per Share**. The EPS will grow by **9.59%** on average per year.

Measured over the past 5 years, **DVN** shows a small growth in **Revenue**. The Revenue has been growing by **3.45%** on average per year.

The EPS growth is decreasing: in the next 5 years the growth will be less than in the last years.

Past | Future | ||||||
---|---|---|---|---|---|---|---|

5Y | 3Y | 1Y | 1Y | 2Y | 3Y | 5Y | |

EPS | N/A | 39.74% | 277.46% | 151.56% | 61.55% | 31.74% | 9.59% |

Revenue | 3.45% | 11.12% | 114.49% | 70.03% | 31.14% | 19.42% | N/A |

An Altman-Z score of **4.09** indicates that **DVN** is not in any danger for bankruptcy at the moment.

The Current Ratio is in line with the industry averages, which is at **1.11**.

The Quick Ratio is in line with the industry averages, which is at **0.95**.

When comparing the Debt to Equity Ratio of **DVN** to the average industry Debt to Equity Ratio of **0.29**, **DVN** required more debt to finance its operations than its industry peers.

Debt/Equity (0.59) VS Industry: 32% outperformed.

31.33

0.00

Quick Ratio (1.16) VS Industry: 58% outperformed.

0.00

297.28

Current Ratio (1.16) VS Industry: 51% outperformed.

0.00

297.28

Altman-Z (4.09) VS Industry: 74% outperformed.

-283,883.15

1,024.97

With a **Yearly Dividend Yield** of **7.98%**, **DVN** is a good candidate for dividend investing.

Compared to an average industry **Dividend Yield** of **5.56**, **DVN** pays a bit more dividend than its industry peers.

The dividend of **DVN** is nicely growing with an annual growth rate of **87.26%**!

The dividend of **DVN** is growing, but the earnings are growing slower. This means the dividend growth is not sustainable.

Dividend Yield (7.98%) VS Industry: 75% outperformed.

0.34

64.51

NYSE:DVN (2/3/2023, 7:04:00 PM)**-0.1 (-0.16%) **

GICS Sector | Energy | ||

GICS IndustryGroup | Energy | ||

GICS Industry | Oil, Gas & Consumable Fuels | ||

Earnings (Last) | 11-01 2022-11-01/amc | Earnings (Next) | 02-13 2023-02-13/amc |

Inst Owners | 79.68% | Inst Owner Change | 0.13% |

Ins Owners | 0.79% | Ins Owner Change | 5.34% |

Market Cap | 39.78B | Analysts | 75.43 |

Price Target | 79.65 (30.9%) |

Industry Rank | Sector Rank | ||
---|---|---|---|

Dividend Yield | 7.98% |

Dividend Growth(5Y) | 87.26% | DP | 48.92% |

Div Incr Years | 5 | Div Non Decr Years | 5 |

Ex-Date | N/A |

EPS beat(2) | 2 | Avg EPS beat(2) | 4.67% |

Min EPS beat(2) | 1.67% | Max EPS beat(2) | 7.67% |

EPS beat(4) | 4 | Avg EPS beat(4) | 6.72% |

Min EPS beat(4) | 1.67% | Max EPS beat(4) | 10.98% |

Revenue beat(2) | 2 | Avg Revenue beat(2) | 12.46% |

Min Revenue beat(2) | 8.55% | Max Revenue beat(2) | 16.36% |

Revenue beat(4) | 3 | Avg Revenue beat(4) | 8.43% |

Min Revenue beat(4) | -3.59% | Max Revenue beat(4) | 16.36% |

PT rev (1m) | -1.84% | PT rev (3m) | -3.18% |

EPS NQ rev (1m) | -10.78% | EPS NQ rev (3m) | -20.04% |

EPS NY rev (1m) | 0% | EPS NY rev (3m) | -5.87% |

Revenue NQ rev (1m) | -10.09% | Revenue NQ rev (3m) | -13.57% |

Revenue NY rev (1m) | 0% | Revenue NY rev (3m) | 0.35% |

Industry Rank | Sector Rank | ||
---|---|---|---|

PE | 7.57 | ||

Fwd PE | 6.62 | ||

P/S | 2.08 | ||

P/FCF | 11.72 | ||

P/OCF | 4.84 | ||

P/B | 3.66 | ||

P/tB | 3.93 | ||

EV/EBITDA | 4.41 |

EPS(TTM) | 8.04 | EY | 13.21% |

EPS(NY) | 9.19 | Fwd EY | 15.1% |

FCF(TTM) | 5.19 | FCFY | 8.53% |

OCF(TTM) | 12.57 | OCFY | 20.65% |

SpS | 29.28 | BVpS | 16.63 |

TBVpS | 15.48 | PEG (NY) | 0.05 |

PEG (5Y) | N/A |

Industry Rank | Sector Rank | ||
---|---|---|---|

ROA | 26.54% | ||

ROE | 57.49% | ||

ROIC | 31.75% | ||

ROICexc | 33.96% | ||

ROICexgc | 35.38% | ||

OM | 42.19% | ||

PM | 32.65% | ||

GM | 55.59% |

ROICexgc(3y) | N/A | ROICexcg growth 3Y | 27.49% |

ROICexcg growth 5Y | N/A | ROICexc(3y) | N/A |

ROICexc growth 3Y | 27.87% | ROICexc growth 5Y | N/A |

OM growth 3Y | 16.94% | OM growth 5Y | N/A |

PM growth 3Y | -12.77% | PM growth 5Y | N/A |

GM growth 3Y | -18.1% | GM growth 5Y | -10.33% |

F-Score | 7 | Asset Turnover | 0.81 |

Industry Rank | Sector Rank | ||
---|---|---|---|

Debt/Equity | 0.59 | ||

Debt/FCF | 1.98 | ||

Debt/EBITDA | 0.65 | ||

Cap/Depr | 221.56% | ||

Profit Quality | 54.31% | ||

Current Ratio | 1.16 | ||

Quick Ratio | 1.16 | ||

Altman-Z | 4.09 |

F-Score | 7 | WACC | 12.42% |

ROIC/WACC | 2.85 | Cap/Depr(3y) | 103.99% |

Cap/Depr(5y) | 130.65% | Profit Quality(3y) | N/A |

Profit Quality(5y) | N/A |

EPS 1Y | 277.46% | EPS 3Y | 39.74% |

EPS 5Y | N/A | EPS growth Q2Q | 101.85% |

EPS Next Y | 151.56% | EPS Next 2Y | 61.55% |

EPS Next 3Y | 31.74% | EPS Next 5Y | 9.59% |

Revenue growth 1Y | 114.49% | Revenue growth 3Y | 11.12% |

Revenue growth 5Y | 3.45% | Revenue growth Q2Q | 56.72% |

Revenue Next Year | 70.03% | Revenue Next 2Y | 31.14% |

Revenue Next 3Y | 19.42% | Revenue Next 5Y | N/A |

EBIT growth 1Y | 420.09% | EBIT growth 3Y | 29.95% |

EBIT growth 5Y | N/A | EBIT Next Year | 201.79% |

EBIT Next 3Y | 42.06% | EBIT Next 5Y | 28.75% |

FCF growth 1Y | 1650% | FCF growth 3Y | 75.72% |

FCF growth 5Y | N/A | OCF growth 1Y | 431.31% |

OCF growth 3Y | 21.91% | OCF growth 5Y | 26.71% |

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