Projected Income Statement: Parex Resources Inc.

Forecast Balance Sheet: Parex Resources Inc.

Fiscal Period: December 2021 2022 2023 2024 2025 2026 2027 2028
Net Debt 1 -474 -569 -60.6 -49 -85.6 868 656 354
Change - -20.04% 89.35% 19.14% -74.69% 1,114.52% -24.42% -46.04%
Announcement Date 01/03/22 08/03/23 29/02/24 05/03/25 04/03/26 - - -
1CAD in Million
Estimates

Cash Flow Forecast: Parex Resources Inc.

Fiscal Period: December 2021 2022 2023 2024 2025 2026 2027 2028
CAPEX 1 351.9 899.6 656 501.1 424.1 950.9 740.6 702.1
Change - 155.64% -27.08% -23.62% -15.36% 124.22% -22.12% -5.19%
Free Cash Flow (FCF) 1 381.2 99.77 250.3 395.6 197.7 -542.4 473.6 582.5
Change - -73.82% 150.89% 58.05% -50.03% -374.35% 187.31% 23%
Announcement Date 01/03/22 08/03/23 29/02/24 05/03/25 04/03/26 - - -
1CAD in Million
Estimates

Forecast Financial Ratios: Parex Resources Inc.

Fiscal Period: December 2020 2021 2022 2023 2024 2025 2026 2027 2028

Profitability

         
EBITDA Margin (%) - 60.07% 58.07% 57.74% 56.26% 51% 49.08% 57.34% 61.89%
EBIT Margin (%) - - 48.91% 44.01% 52.04% 31.07% 54.88% 50.2% 37.51%
EBT Margin (%) - - - - 24.16% 23.34% 36.07% 35.25% 31.8%
Net margin (%) - - 37.2% - 4.74% 25.36% 12.36% 22.79% 22.89%
FCF margin (%) - 28.41% 4.4% 13.04% 21.3% 14.37% -20.13% 16.64% 21.47%
FCF / Net Income (%) - - 11.84% - 449.24% 56.65% -162.87% 73.03% 93.81%

Profitability

         
ROA 7.12% 19.04% 23.81% 13.55% 11.06% 7.13% - - -
ROE 7.24% 22.17% 39.33% 25.03% 3.2% 13.48% - - -

Financial Health

         
Leverage (Debt/EBITDA) - - - - - - 0.66x 0.4x 0.21x
Debt / Free cash flow - - - - - - -1.6x 1.38x 0.61x

Capital Intensity

         
CAPEX / Current Assets (%) - 26.22% 39.7% 34.17% 26.97% 30.82% 35.3% 26.03% 25.88%
CAPEX / EBITDA (%) - 43.66% 68.37% 59.17% 47.94% 60.44% 71.93% 45.39% 41.82%
CAPEX / FCF (%) - 92.32% 901.62% 262.06% 126.65% 214.52% -175.32% 156.38% 120.54%

Items per share

         
Cash flow per share 1 - 5.836 8.792 8.53 8.905 6.396 10.25 11.83 12.22
Change - - 50.64% -2.98% 4.39% -28.18% 60.28% 15.38% 3.28%
Dividend per Share 1 - 0.6346 0.89 1.5 1.53 1.54 1.565 1.62 -
Change - - 40.24% 68.54% 2% 0.65% 1.62% 3.51% -
Book Value Per Share 1 - - - - - - - - -
Change - - - - - - - - -
EPS 1 - - 7.417 5.863 0.8708 3.584 3.334 6.568 6.298
Change - - - -20.95% -85.15% 311.61% -6.99% 97% -4.11%
Nbr of stocks (in thousands) - 1,20,452 1,09,109 1,04,172 98,534 96,324 96,180 96,180 96,180
Announcement Date - 01/03/22 08/03/23 29/02/24 05/03/25 04/03/26 - - -
1CAD
Estimates
2026 *2027 *
P/E 6.56x 3.33x
PBR - -
EV / Sales 1.1x 0.97x
Yield 7.16% 7.41%

EPS & Dividend

Y-o-Y evolution of P/E

Year-on-year evolution of the Yield

Trader
Investor
-
Global
-
Quality
-
ESG MSCI
A
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
6
Last Close Price
21.87CAD
Average target price
32.08CAD
Spread / Average Target
+46.70%

Annual profits - Rate of surprise

  1. Stock Market
  2. Stocks
  3. PXT Stock
  4. Financials Parex Resources Inc.