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MEG MEG Energy Corp

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  • 19.860
  • -0.250-1.24%
15min DelayTrading Apr 30 10:17 ET
5.07BMarket Cap10.62P/E (TTM)

MEG Energy Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-2.50%156M
-2.50%156M
26.40%158M
30.30%86M
0.00%85M
-16.67%160M
-16.67%160M
-26.04%125M
-72.95%66M
-70.69%85M
-Cash and cash equivalents
-2.50%156M
-2.50%156M
26.40%158M
30.30%86M
0.00%85M
-16.67%160M
-16.67%160M
-26.04%125M
-72.95%66M
-70.69%85M
Receivables
-6.65%421M
-6.65%421M
-45.99%350M
22.94%552M
-23.51%436M
-5.05%451M
-5.05%451M
9.09%648M
-22.98%449M
-7.32%570M
-Accounts receivable
-57.14%9M
-57.14%9M
-98.14%12M
-98.21%8M
-98.24%10M
31.25%21M
31.25%21M
8.75%646M
-23.33%447M
-7.19%568M
-Other receivables
-4.19%412M
-4.19%412M
16,800.00%338M
27,100.00%544M
21,200.00%426M
-6.32%430M
-6.32%430M
--2M
--2M
-33.33%2M
Inventory
9.79%258M
9.79%258M
-15.62%281M
41.05%323M
24.08%237M
27.03%235M
27.03%235M
82.97%333M
-4.58%229M
-15.49%191M
Prepaid assets
35.71%19M
35.71%19M
40.00%21M
-26.32%14M
0.00%18M
7.69%14M
7.69%14M
--15M
--19M
0.00%18M
Hedging assets-current
--0
--0
--0
--0
--0
-97.44%2M
-97.44%2M
--0
--0
--0
Total current assets
-0.93%854M
-0.93%854M
-27.74%810M
27.79%975M
-10.19%776M
-8.59%862M
-8.59%862M
10.12%1.12B
-33.71%763M
-32.02%864M
Non current assets
Net PPE
-2.19%5.68B
-2.19%5.68B
-2.91%5.68B
-3.37%5.71B
-2.17%5.74B
-1.32%5.81B
-1.32%5.81B
-1.37%5.85B
-1.42%5.91B
-1.87%5.87B
-Gross PPE
4.47%11.4B
4.47%11.4B
4.48%11.24B
4.12%11.11B
4.61%11B
4.97%10.91B
4.97%10.91B
4.61%10.76B
3.15%10.67B
2.61%10.51B
-Accumulated depreciation
-12.06%-5.72B
-12.06%-5.72B
-13.28%-5.56B
-13.41%-5.4B
-13.17%-5.26B
-13.21%-5.1B
-13.21%-5.1B
-12.74%-4.91B
-9.44%-4.76B
-8.88%-4.65B
Non current accounts receivable
-12.50%7M
-12.50%7M
----
----
-30.00%7M
-20.00%8M
-20.00%8M
--9M
--9M
--10M
Non current prepaid assets
-12.50%7M
-12.50%7M
----
----
-12.50%7M
0.00%8M
0.00%8M
--7M
--7M
--8M
Goodwill and other intangible assets
0.00%3M
0.00%3M
----
----
-25.00%3M
-25.00%3M
-25.00%3M
--3M
--4M
--4M
Other non current assets
-8.25%189M
-8.25%189M
28.21%200M
27.74%198M
17.32%210M
15.08%206M
15.08%206M
-24.27%156M
-22.89%155M
-10.95%179M
Total non current assets
-2.42%5.89B
-2.42%5.89B
-2.41%5.88B
-2.89%5.91B
-1.66%5.97B
-0.89%6.04B
-0.89%6.04B
-2.14%6.03B
-3.43%6.08B
-4.80%6.07B
Total assets
-2.23%6.74B
-2.23%6.74B
-6.38%6.69B
0.53%6.88B
-2.73%6.74B
-1.92%6.9B
-1.92%6.9B
-0.40%7.15B
-8.11%6.85B
-9.33%6.93B
Liabilities
Current liabilities
Current debt and capital lease obligation
6.67%16M
6.67%16M
-15.79%16M
-11.11%16M
-11.11%16M
-25.00%15M
-25.00%15M
-62.75%19M
-10.00%18M
-92.34%18M
-Current capital lease obligation
6.67%16M
6.67%16M
-15.79%16M
-11.11%16M
-11.11%16M
-11.76%15M
-11.76%15M
0.00%19M
-10.00%18M
-14.29%18M
Payables
1.26%481M
1.26%481M
-16.14%452M
25.24%531M
-20.42%452M
0.42%475M
0.42%475M
-1.10%539M
-32.59%424M
6.17%568M
-accounts payable
-4.21%455M
-4.21%455M
-21.15%425M
25.24%531M
-20.42%452M
0.42%475M
0.42%475M
-1.10%539M
-32.59%424M
6.17%568M
-Dividends payable
--26M
--26M
--27M
----
----
--0
--0
----
----
----
Current accrued expenses
-29.03%22M
-29.03%22M
-76.74%10M
-57.38%26M
-71.43%12M
-29.55%31M
-29.55%31M
104.76%43M
5.17%61M
44.83%42M
Current provisions
26.67%19M
26.67%19M
280.00%19M
340.00%22M
375.00%19M
275.00%15M
275.00%15M
-16.67%5M
-28.57%5M
-42.86%4M
Pension and other retirement benefit plans
-33.33%16M
-33.33%16M
--19M
--21M
--33M
-76.00%24M
-76.00%24M
----
----
----
Other current liabilities
----
----
-65.00%7M
-37.50%15M
38.46%18M
84.62%24M
84.62%24M
--20M
--24M
--13M
Current liabilities
-5.14%554M
-5.14%554M
-16.45%523M
18.61%631M
-14.73%550M
-10.70%584M
-10.70%584M
0.48%626M
-25.49%532M
-19.98%645M
Non current liabilities
Long term debt and capital lease obligation
-20.39%1.09B
-20.39%1.09B
-32.55%1.04B
-25.56%1.19B
-25.65%1.26B
-24.21%1.37B
-24.21%1.37B
-23.32%1.54B
-29.20%1.6B
-31.52%1.69B
-Long term debt
-23.67%858M
-23.67%858M
-39.23%804M
-30.97%954M
-30.76%1.02B
-28.77%1.12B
-28.77%1.12B
-25.30%1.32B
-31.79%1.38B
-34.14%1.47B
-Long term capital lease obligation
-5.33%231M
-5.33%231M
8.92%232M
8.72%237M
8.11%240M
7.49%244M
7.49%244M
-8.19%213M
-6.84%218M
-7.11%222M
Derivative product liabilities
----
----
----
----
----
----
----
--3M
--6M
--6M
Long term provisions
-23.97%184M
-23.97%184M
6.91%201M
15.30%211M
23.53%210M
49.38%242M
49.38%242M
43.51%188M
33.58%183M
-12.82%170M
Employee benefits
----
----
--2M
----
--2M
----
----
----
----
----
Non current deferred liabilities
104.52%362M
104.52%362M
106.58%314M
219.05%268M
311.54%214M
637.50%177M
637.50%177M
--152M
--84M
--52M
Other non current liabilities
--2M
--2M
----
--1M
----
----
----
----
----
----
Total non current liabilities
-8.39%1.64B
-8.39%1.64B
-17.35%1.55B
-10.78%1.67B
-12.27%1.68B
-10.47%1.79B
-10.47%1.79B
-11.95%1.88B
-21.86%1.87B
-27.97%1.92B
Total liabilities
-7.59%2.19B
-7.59%2.19B
-17.13%2.08B
-4.28%2.3B
-12.89%2.23B
-10.53%2.37B
-10.53%2.37B
-9.14%2.51B
-22.69%2.41B
-26.11%2.56B
Shareholders'equity
Share capital
-5.66%4.57B
-5.66%4.57B
-6.43%4.68B
-5.78%4.75B
-5.99%4.79B
-6.18%4.85B
-6.18%4.85B
-6.65%5B
-7.59%5.04B
-7.37%5.09B
-common stock
-5.66%4.57B
-5.66%4.57B
-6.43%4.68B
-5.78%4.75B
-5.99%4.79B
-6.18%4.85B
-6.18%4.85B
-6.65%5B
-7.59%5.04B
-7.37%5.09B
Additional paid-in capital
-2.22%176M
-2.22%176M
-1.15%172M
-1.76%167M
0.00%164M
6.51%180M
6.51%180M
0.58%174M
4.94%170M
-4.65%164M
Retained earnings
54.43%-242M
54.43%-242M
52.20%-271M
53.32%-373M
48.32%-477M
46.26%-531M
46.26%-531M
50.52%-567M
38.63%-799M
39.00%-923M
Gains losses not affecting retained earnings
45.45%48M
45.45%48M
0.00%38M
21.21%40M
0.00%38M
-13.16%33M
-13.16%33M
-2.56%38M
17.86%33M
65.22%38M
Total stockholders'equity
0.57%4.55B
0.57%4.55B
-0.58%4.61B
3.13%4.58B
3.23%4.51B
3.29%4.53B
3.29%4.53B
5.05%4.64B
2.35%4.44B
4.60%4.37B
Total equity
0.57%4.55B
0.57%4.55B
-0.58%4.61B
3.13%4.58B
3.23%4.51B
3.29%4.53B
3.29%4.53B
5.05%4.64B
2.35%4.44B
4.60%4.37B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -2.50%156M-2.50%156M26.40%158M30.30%86M0.00%85M-16.67%160M-16.67%160M-26.04%125M-72.95%66M-70.69%85M
-Cash and cash equivalents -2.50%156M-2.50%156M26.40%158M30.30%86M0.00%85M-16.67%160M-16.67%160M-26.04%125M-72.95%66M-70.69%85M
Receivables -6.65%421M-6.65%421M-45.99%350M22.94%552M-23.51%436M-5.05%451M-5.05%451M9.09%648M-22.98%449M-7.32%570M
-Accounts receivable -57.14%9M-57.14%9M-98.14%12M-98.21%8M-98.24%10M31.25%21M31.25%21M8.75%646M-23.33%447M-7.19%568M
-Other receivables -4.19%412M-4.19%412M16,800.00%338M27,100.00%544M21,200.00%426M-6.32%430M-6.32%430M--2M--2M-33.33%2M
Inventory 9.79%258M9.79%258M-15.62%281M41.05%323M24.08%237M27.03%235M27.03%235M82.97%333M-4.58%229M-15.49%191M
Prepaid assets 35.71%19M35.71%19M40.00%21M-26.32%14M0.00%18M7.69%14M7.69%14M--15M--19M0.00%18M
Hedging assets-current --0--0--0--0--0-97.44%2M-97.44%2M--0--0--0
Total current assets -0.93%854M-0.93%854M-27.74%810M27.79%975M-10.19%776M-8.59%862M-8.59%862M10.12%1.12B-33.71%763M-32.02%864M
Non current assets
Net PPE -2.19%5.68B-2.19%5.68B-2.91%5.68B-3.37%5.71B-2.17%5.74B-1.32%5.81B-1.32%5.81B-1.37%5.85B-1.42%5.91B-1.87%5.87B
-Gross PPE 4.47%11.4B4.47%11.4B4.48%11.24B4.12%11.11B4.61%11B4.97%10.91B4.97%10.91B4.61%10.76B3.15%10.67B2.61%10.51B
-Accumulated depreciation -12.06%-5.72B-12.06%-5.72B-13.28%-5.56B-13.41%-5.4B-13.17%-5.26B-13.21%-5.1B-13.21%-5.1B-12.74%-4.91B-9.44%-4.76B-8.88%-4.65B
Non current accounts receivable -12.50%7M-12.50%7M---------30.00%7M-20.00%8M-20.00%8M--9M--9M--10M
Non current prepaid assets -12.50%7M-12.50%7M---------12.50%7M0.00%8M0.00%8M--7M--7M--8M
Goodwill and other intangible assets 0.00%3M0.00%3M---------25.00%3M-25.00%3M-25.00%3M--3M--4M--4M
Other non current assets -8.25%189M-8.25%189M28.21%200M27.74%198M17.32%210M15.08%206M15.08%206M-24.27%156M-22.89%155M-10.95%179M
Total non current assets -2.42%5.89B-2.42%5.89B-2.41%5.88B-2.89%5.91B-1.66%5.97B-0.89%6.04B-0.89%6.04B-2.14%6.03B-3.43%6.08B-4.80%6.07B
Total assets -2.23%6.74B-2.23%6.74B-6.38%6.69B0.53%6.88B-2.73%6.74B-1.92%6.9B-1.92%6.9B-0.40%7.15B-8.11%6.85B-9.33%6.93B
Liabilities
Current liabilities
Current debt and capital lease obligation 6.67%16M6.67%16M-15.79%16M-11.11%16M-11.11%16M-25.00%15M-25.00%15M-62.75%19M-10.00%18M-92.34%18M
-Current capital lease obligation 6.67%16M6.67%16M-15.79%16M-11.11%16M-11.11%16M-11.76%15M-11.76%15M0.00%19M-10.00%18M-14.29%18M
Payables 1.26%481M1.26%481M-16.14%452M25.24%531M-20.42%452M0.42%475M0.42%475M-1.10%539M-32.59%424M6.17%568M
-accounts payable -4.21%455M-4.21%455M-21.15%425M25.24%531M-20.42%452M0.42%475M0.42%475M-1.10%539M-32.59%424M6.17%568M
-Dividends payable --26M--26M--27M----------0--0------------
Current accrued expenses -29.03%22M-29.03%22M-76.74%10M-57.38%26M-71.43%12M-29.55%31M-29.55%31M104.76%43M5.17%61M44.83%42M
Current provisions 26.67%19M26.67%19M280.00%19M340.00%22M375.00%19M275.00%15M275.00%15M-16.67%5M-28.57%5M-42.86%4M
Pension and other retirement benefit plans -33.33%16M-33.33%16M--19M--21M--33M-76.00%24M-76.00%24M------------
Other current liabilities ---------65.00%7M-37.50%15M38.46%18M84.62%24M84.62%24M--20M--24M--13M
Current liabilities -5.14%554M-5.14%554M-16.45%523M18.61%631M-14.73%550M-10.70%584M-10.70%584M0.48%626M-25.49%532M-19.98%645M
Non current liabilities
Long term debt and capital lease obligation -20.39%1.09B-20.39%1.09B-32.55%1.04B-25.56%1.19B-25.65%1.26B-24.21%1.37B-24.21%1.37B-23.32%1.54B-29.20%1.6B-31.52%1.69B
-Long term debt -23.67%858M-23.67%858M-39.23%804M-30.97%954M-30.76%1.02B-28.77%1.12B-28.77%1.12B-25.30%1.32B-31.79%1.38B-34.14%1.47B
-Long term capital lease obligation -5.33%231M-5.33%231M8.92%232M8.72%237M8.11%240M7.49%244M7.49%244M-8.19%213M-6.84%218M-7.11%222M
Derivative product liabilities ------------------------------3M--6M--6M
Long term provisions -23.97%184M-23.97%184M6.91%201M15.30%211M23.53%210M49.38%242M49.38%242M43.51%188M33.58%183M-12.82%170M
Employee benefits ----------2M------2M--------------------
Non current deferred liabilities 104.52%362M104.52%362M106.58%314M219.05%268M311.54%214M637.50%177M637.50%177M--152M--84M--52M
Other non current liabilities --2M--2M------1M------------------------
Total non current liabilities -8.39%1.64B-8.39%1.64B-17.35%1.55B-10.78%1.67B-12.27%1.68B-10.47%1.79B-10.47%1.79B-11.95%1.88B-21.86%1.87B-27.97%1.92B
Total liabilities -7.59%2.19B-7.59%2.19B-17.13%2.08B-4.28%2.3B-12.89%2.23B-10.53%2.37B-10.53%2.37B-9.14%2.51B-22.69%2.41B-26.11%2.56B
Shareholders'equity
Share capital -5.66%4.57B-5.66%4.57B-6.43%4.68B-5.78%4.75B-5.99%4.79B-6.18%4.85B-6.18%4.85B-6.65%5B-7.59%5.04B-7.37%5.09B
-common stock -5.66%4.57B-5.66%4.57B-6.43%4.68B-5.78%4.75B-5.99%4.79B-6.18%4.85B-6.18%4.85B-6.65%5B-7.59%5.04B-7.37%5.09B
Additional paid-in capital -2.22%176M-2.22%176M-1.15%172M-1.76%167M0.00%164M6.51%180M6.51%180M0.58%174M4.94%170M-4.65%164M
Retained earnings 54.43%-242M54.43%-242M52.20%-271M53.32%-373M48.32%-477M46.26%-531M46.26%-531M50.52%-567M38.63%-799M39.00%-923M
Gains losses not affecting retained earnings 45.45%48M45.45%48M0.00%38M21.21%40M0.00%38M-13.16%33M-13.16%33M-2.56%38M17.86%33M65.22%38M
Total stockholders'equity 0.57%4.55B0.57%4.55B-0.58%4.61B3.13%4.58B3.23%4.51B3.29%4.53B3.29%4.53B5.05%4.64B2.35%4.44B4.60%4.37B
Total equity 0.57%4.55B0.57%4.55B-0.58%4.61B3.13%4.58B3.23%4.51B3.29%4.53B3.29%4.53B5.05%4.64B2.35%4.44B4.60%4.37B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.