VERMILION ENERGY INC (VET)

CA9237251058 - Common Stock

12.09  +0.06 (+0.5%)

After market: 12.09 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
140.79M13.70M5.90M6.80M28.90M
Marketable Securities
661.00K100.00K100.00K100.00K100.00K
Receivables
242.93M373.70M328.60M196.10M211.40M
Inventories
57.33M19.70M20.10M13.40M29.40M
Other Current Assets
381.80M307.30M118.10M44.60M77.80M
Total Current Assets
823.51M714.40M472.80M261.00M347.70M
 
Non-Current Assets
PPE Net
5.08B5.96B5.06B3.36B5.30B
Investments And Advances
73.26M56.40MN/AN/AN/A
Other Non-Current Assets
258.16M258.10M375.00M486.90M216.70M
Total Non-Current Assets
5.41B6.28B5.43B3.85B5.52B
 
TOTAL ASSETS
6.24B6.99B5.91B4.11B5.87B
 
LIABILITIES
Current Liabilities
Short Term Debt
0.000.000.000.000.00
Current Portion Of LT Debt.
21.07M19.50M15.00M22.90M23.70M
Accounts Payable
359.30M462.00M425.60M274.80M288.80M
Other Current Liabilities
315.70M410.60M306.20M135.50M103.80M
Total Current Liabilities
696.07M892.00M746.80M433.10M416.20M
 
Non-Current Liabilities
Long Term Debt
947.02M1.13B1.71B2.01B2.02B
Deferred Taxes/Income
380.97M477.30M328.80M264.30M336.30M
Other Non-Current Liabilities
1.18B1.09B1.05B476.00M642.60M
Total Non-Current Liabilities
2.51B2.70B3.09B2.75B3.00B
 
TOTAL LIABILITIES
3.20B3.59B3.84B3.18B3.41B
 
SHAREHOLDERS' EQUITY
Retained Earnings
-1.26B-1.00B-2.25B-3.40B-1.79B
Additional Paid In Capital
43.35M35.40M49.50M66.30M75.70M
Common Shares
4.14B4.24B4.24B4.18B4.12B
Other Shareholders' Equity
109.30M123.50M28.50M78.00M49.60M
Shares Outstanding
162.27M163.20M162.30M158.70M156.30M
Tangible Book Value per Share
18.6820.8412.735.8315.70
Total Shareholders' Equity
3.03B3.40B2.07B925.40M2.45B
 
TOTAL LIABILITIES AND EQUITY
6.24B6.99B5.91B4.11B5.87B
 
Statistics
Debt/Equity
0.310.330.832.170.82
Current Ratio
1.180.800.630.600.84
Return On Assets (ROA)
-3.81%18.78%19.45%-36.93%0.56%
Return On Equity (ROE)
-7.84%38.61%55.60%-163.97%1.34%
Return On Invested Capital (ROIC)
3.63%19.69%8.88%N/A2.23%
Return On Invested Capital Ex Cash (ROICexc)
3.63%19.69%8.88%N/A2.23%
Return On Invested Capital Ex Cash + Goodwill (ROICexcg)
3.63%19.69%8.88%N/A2.23%

All data in CAD

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