Toronto - Delayed Quote CAD
Vermilion Energy Inc. (VET.TO)
At close: October 22 at 4:00 PM EDT
Breakdown
TTM
12/31/2023
12/31/2022
12/31/2021
12/31/2020
12/31/2019
Total Revenue
2,142,192.00
2,199,555.00
3,721,228.00
2,226,852.00
1,247,398.00
--
Cost of Revenue
1,078,968.00
1,081,313.00
1,127,985.00
904,901.00
814,868.00
--
Gross Profit
1,063,224.00
1,118,242.00
2,593,243.00
1,321,951.00
432,530.00
--
Operating Expense
818,469.00
803,896.00
728,167.00
628,168.00
624,026.00
--
Operating Income
244,755.00
314,346.00
1,865,076.00
693,783.00
-191,496.00
--
Net Non Operating Interest Income Expense
-82,581.00
-85,212.00
-82,858.00
-73,075.00
-75,077.00
--
Other Income Expense
-999,813.00
-507,416.00
268,881.00
761,185.00
-1,610,826.00
--
Pretax Income
-837,639.00
-278,282.00
2,051,099.00
1,381,893.00
-1,877,399.00
--
Tax Provision
-11,692.00
-40,695.00
738,037.00
233,197.00
-359,972.00
--
Net Income Common Stockholders
-825,947.00
-237,587.00
1,313,062.00
1,148,696.00
-1,517,427.00
--
Diluted NI Available to Com Stockholders
-825,947.00
-237,587.00
1,313,062.00
1,148,696.00
-1,517,427.00
--
Basic EPS
-5.05
-1.45
8.03
7.13
-9.61
--
Diluted EPS
-5.05
-1.45
7.80
6.97
-9.61
--
Basic Average Shares
162,006.50
163,719.00
163,489.00
161,172.00
157,908.00
--
Diluted Average Shares
162,006.50
163,719.00
168,426.00
164,765.00
157,908.00
--
Total Expenses
1,897,437.00
1,885,209.00
1,856,152.00
1,533,069.00
1,438,894.00
--
Net Income from Continuing & Discontinued Operation
-825,947.00
-237,587.00
1,313,062.00
1,148,696.00
-1,517,427.00
--
Normalized Income
152,234.98
195,267.65
1,148,068.45
533,769.37
-212,827.05
--
Interest Expense
82,581.00
85,212.00
82,858.00
73,075.00
75,077.00
--
Net Interest Income
-82,581.00
-85,212.00
-82,858.00
-73,075.00
-75,077.00
--
EBIT
-755,058.00
-193,070.00
2,133,957.00
1,454,968.00
-1,802,322.00
--
EBITDA
-5,341.00
519,549.00
2,711,091.00
2,026,656.00
-1,221,861.00
--
Reconciled Cost of Revenue
1,078,968.00
1,081,313.00
1,127,985.00
904,901.00
814,868.00
--
Reconciled Depreciation
749,717.00
712,619.00
577,134.00
571,688.00
580,461.00
--
Net Income from Continuing Operation Net Minority Interest
-825,947.00
-237,587.00
1,313,062.00
1,148,696.00
-1,517,427.00
--
Total Unusual Items Excluding Goodwill
-992,029.00
-506,996.00
257,732.00
739,763.00
-1,614,084.00
--
Total Unusual Items
-992,029.00
-506,996.00
257,732.00
739,763.00
-1,614,084.00
--
Normalized EBITDA
986,688.00
1,026,545.00
2,453,359.00
1,286,893.00
392,223.00
--
Tax Rate for Calcs
0.00
0.00
0.00
0.00
0.00
--
Tax Effect of Unusual Items
-13,847.02
-74,141.35
92,738.45
124,836.37
-309,484.05
--
12/31/2019 - 8/13/1996
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