Ovintiv Stock Analysis - Accumulation Distribution
| OVV Stock | USD 63.08 0.15 0.24% |
Accumulation/Distribution measures cumulative buying and selling pressure by combining price position within the session range with volume.
Accumulation Distribution Analysis Today
Accumulation/Distribution measures cumulative buying and selling pressure by combining price position within the session range with volume. The current Accumulation Distribution for Ovintiv is 75851.32. This reading indicates price movement remained within defined bounds.| Previous Accumulation Distribution | Accumulation Distribution | Trend |
| 134107.0 | 75851.32 |
| Volatility | Backtest | Information Ratio |
Ovintiv Trading Date Momentum
| On May 05 2026 Ovintiv was traded for 63.08 at the closing time. Highest Ovintiv's price during the trading hours was 63.46 and the lowest price during the day was 62.21 . The net volume was 3.9 M. The aggregate trading history on the 5th of May remained within defined bounds. The trading delta at closing time to current price is -0.76% . |
The absolute value of A/D is not meaningful — the directional trend over time is. Rising A/D alongside rising Ovintiv price confirms buying pressure; divergence between A/D and price may signal a weakening trend. Formula: ((Close - Low) - (High - Close)) / (High - Low) x Volume.
| Compare Ovintiv to competition |
Related Price-Series Methods for Ovintiv
These methods summarize the same price history through smoothing, range, and momentum calculations. Reviewing them alongside Accumulation Distribution helps compare stable sessions with periods of wider price movement in Ovintiv.Ovintiv Related Equities
Ovintiv's market space within the Energy space is illustrated by the firms listed below. Checking Ovintiv against peers on P/E, margins, and return on equity helps put its position in context. How Ovintiv ranks within this group can shift over time as the competitive picture changes. Weighing both financial metrics and softer factors when comparing these firms produces a more balanced assessment.
| Risk & Return | Correlation |
Ovintiv Market Strength Events
For investors tracking Ovintiv, market strength indicators offer quantitative evaluation of stock behavior. When Rate of Change diverges from price direction, it often signals weakening momentum before a visible reversal in Ovintiv.
Ovintiv Risk Indicators
Analyzing Ovintiv's basic risk indicators provides a structured view of the risk-return trade-off for ovintiv stock. Expected shortfall estimates the average loss in the worst-case tail scenarios, going beyond what standard deviation alone captures for Ovintiv.
| Mean Deviation | 1.82 | |||
| Semi Deviation | 1.97 | |||
| Standard Deviation | 2.35 | |||
| Variance | 5.53 | |||
| Downside Variance | 5.7 | |||
| Semi Variance | 3.89 | |||
| Expected Short fall | -2.06 |
Please note, the risk measures we provide can be used independently or collectively to perform a risk assessment. When comparing two potential investments, we recommend comparing similar equities with homogenous growth potential and valuation from related markets to determine which investment holds the most risk.
Ovintiv Short Properties
Reviewing short-oriented indicators for Ovintiv is useful because long and short participants often create very different signals for timing and volatility. A disciplined short-interest review can make timing decisions more informed under rising skepticism.
| Common Stock Shares Outstanding | 259.7 million | |
| Cash And Short Term Investments | 280 million |
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