Ovintiv Inc.

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ESG risk
ESG risk is a measure of how well a company manages material ESG risks. Sustainalytics’ ESG risk category is designed to help investors identify and understand financially material ESG risks at the company level and how they might affect the long-term performance for equity investments. The scale is from 0-100. The lower the risk, the better (0 is equivalent to no risk and 100 the most severe).
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About Ovintiv Inc.
Ovintiv is an independent oil and gas producer focused on Canada’s Montney and the US’ Permian basins. Historically, it has been an acquisitive producer across numerous basins and plays but has divested and exited all but two. It remains an active buyer in the remaining footprint. The firm estimates that it has up to 20 and 15 years of inventory remaining in the Montney and Permian basins, respectively.
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The ticker symbol for Ovintiv Inc. is OVV. You can use this code to find the stock in our platforms and track its price and performance.
Ovintiv Inc. has its primary listing on New York Stock Exchange. You can trade Ovintiv Inc. with a Saxo account, alongside thousands of other stocks worldwide.
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