parex resources inc. - PARXF

PARXF

Close Chg Chg %
10.30 0.02 0.15%

Closed Market

10.32

+0.02 (0.15%)

Volume: 5.96K

Last Updated:

Jul 1, 2025, 3:42 PM EDT

Company Overview: parex resources inc. - PARXF

PARXF Key Data

Open

$10.20

Day Range

10.17 - 10.40

52 Week Range

7.31 - 16.27

Market Cap

$1.00B

Shares Outstanding

97.39M

Public Float

95.49M

Beta

1.04

Rev. Per Employee

N/A

P/E Ratio

12.65

EPS

$0.81

Yield

1,075.02%

Dividend

$0.28

EX-DIVIDEND DATE

Jun 9, 2025

SHORT INTEREST

N/A

AVERAGE VOLUME

66.10K

 

PARXF Performance

1 Week
 
0.53%
 
1 Month
 
4.78%
 
3 Months
 
29.07%
 
1 Year
 
-32.90%
 
5 Years
 
-10.75%
 

PARXF Analyst Ratings

  • Sell
  • Under
  • Hold
  • Over
  • Buy
Number of Ratings
Full Ratings ➔

About parex resources inc. - PARXF

Parex Resources, Inc. engages in the exploration, development, and production of crude oil. It operates thorough the Canada and Colombia geographical segments. Its operating reserves include, Llanos, and lower and middle Magdalena. The company was founded on August 17, 2009 and is headquartered in Calgary, Canada.

PARXF At a Glance

Parex Resources, Inc.
2700 Eighth Avenue Place
Calgary, Alberta T2P 1G1
Phone 1-403-265-4800 Revenue 1.09B
Industry Oil & Gas Production Net Income 60.68M
Sector Energy Minerals Employees 448
Fiscal Year-end 12 / 2025
View SEC Filings

PARXF Valuation

P/E Current 12.646
P/E Ratio (with extraordinary items) N/A
P/E Ratio (without extraordinary items) 16.998
Price to Sales Ratio 0.949
Price to Book Ratio 0.546
Price to Cash Flow Ratio 1.81
Enterprise Value to EBITDA 1.458
Enterprise Value to Sales 0.918
Total Debt to Enterprise Value 0.065

PARXF Efficiency

Revenue/Employee 2,425,821.429
Income Per Employee 135,446.429
Receivables Turnover 9.346
Total Asset Turnover 0.476

PARXF Liquidity

Current Ratio 1.318
Quick Ratio 1.308
Cash Ratio 0.529

PARXF Profitability

Gross Margin 49.676
Operating Margin 42.275
Pretax Margin 28.458
Net Margin 5.584
Return on Assets 2.655
Return on Equity 3.205
Return on Total Capital 3.20
Return on Invested Capital 3.075

PARXF Capital Structure

Total Debt to Total Equity 3.56
Total Debt to Total Capital 3.438
Total Debt to Total Assets 3.026
Long-Term Debt to Equity 3.529
Long-Term Debt to Total Capital 3.407
  • Income Statement
  • Balance Sheet
  • Cash Flow Statement

Annual Financials for Parex Resources Inc. - PARXF

Collapse All in section
All values USD millions. 2021 2022 2023 2024 5-year trend
Sales/Revenue
900.20M 1.31B 1.17B 1.09B
Sales Growth
+69.25% +45.60% -10.75% -7.10%
Cost of Goods Sold (COGS) incl D&A
296.65M 356.30M 482.95M 546.90M
COGS excluding D&A
- - - -
-
Depreciation & Amortization Expense
125.02M 155.16M 202.93M 224.98M
Depreciation
125.02M 155.16M 202.93M 224.98M
Amortization of Intangibles
- - - -
-
COGS Growth
+1.40% +20.11% +35.54% +13.24%
Gross Income
603.55M 954.39M 686.90M 539.87M
Gross Income Growth
+152.19% +58.13% -28.03% -21.41%
Gross Profit Margin
+67.05% +72.82% +58.72% +49.68%
2021 2022 2023 2024 5-year trend
SG&A Expense
70.43M 69.79M 91.02M 70.44M
Research & Development
- - - -
-
Other SG&A
70.43M 69.79M 91.02M 70.44M
SGA Growth
+51.23% -0.91% +30.41% -22.61%
Other Operating Expense
- - - 10.00M
-
Unusual Expense
28.14M 103.93M 142.74M 135.26M
EBIT after Unusual Expense
504.98M 780.67M 453.14M 324.17M
Non Operating Income/Expense
1.56M 26.45M 9.03M (5.77M)
Non-Operating Interest Income
1.61M 9.02M 14.52M 4.32M
Equity in Earnings of Affiliates
- - - -
-
Interest Expense
2.72M 3.96M 7.94M 9.14M
Interest Expense Growth
+1.45% +45.24% +100.68% +15.09%
Gross Interest Expense
2.72M 3.96M 7.94M 9.14M
Interest Capitalized
- - - -
-
Pretax Income
503.82M 803.17M 454.24M 309.27M
Pretax Income Growth
+190.63% +59.42% -43.44% -31.91%
Pretax Margin
+55.97% +61.28% +38.83% +28.46%
Income Tax
200.71M 191.80M (5.07M) 248.59M
Income Tax - Current - Domestic
- 6.63M 5.34M (3.12M)
Income Tax - Current - Foreign
110.07M 339.41M 150.34M 93.51M
Income Tax - Deferred - Domestic
171.00K 2.06M (1.95M) 3.80M
Income Tax - Deferred - Foreign
90.47M (156.30M) (158.81M) 154.41M
Income Tax Credits
- - - -
-
Equity in Earnings of Affiliates
- - - -
-
Other After Tax Income (Expense)
- - - -
-
Consolidated Net Income
303.11M 611.37M 459.31M 60.68M
Minority Interest Expense
- - - -
-
Net Income
303.11M 611.37M 459.31M 60.68M
Net Income Growth
+205.17% +101.70% -24.87% -86.79%
Net Margin Growth
+33.67% +46.64% +39.26% +5.58%
Extraordinaries & Discontinued Operations
- - - -
-
Discontinued Operations
- - - -
-
Net Income After Extraordinaries
303.11M 611.37M 459.31M 60.68M
Preferred Dividends
- - - -
-
Net Income Available to Common
303.11M 611.37M 459.31M 60.68M
EPS (Basic)
2.4208 5.3831 4.323 0.5983
EPS (Basic) Growth
+237.21% +122.37% -19.69% -86.16%
Basic Shares Outstanding
125.21M 113.57M 106.25M 101.41M
EPS (Diluted)
2.4133 5.3789 4.3211 0.5983
EPS (Diluted) Growth
+239.23% +122.89% -19.67% -86.15%
Diluted Shares Outstanding
125.60M 113.66M 106.30M 101.41M
EBITDA
658.13M 1.04B 798.81M 684.40M
EBITDA Growth
+111.87% +57.99% -23.17% -14.32%
EBITDA Margin
+73.11% +79.33% +68.28% +62.98%

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