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OTCMHMENF
Market cap124mUSD
Jan 07, Last price  
1.29USD
1D
-1.91%
1Q
-8.64%
Jan 2017
973.52%
Name

Hemisphere Energy Corp

Chart & Performance

D1W1MN
OTCM:HMENF chart
P/E
7.43
P/S
2.66
EPS
0.25
Div Yield, %
10.45%
Shrs. gr., 5y
2.56%
Rev. gr., 5y
30.69%
Revenues
68m
-29.99%
16,02414,11932,15610,294438,961354,368191,745289,4264,590,60810,573,19916,635,2799,749,3776,221,49710,974,63417,756,43931,511,08418,660,25743,139,31496,699,00067,702,000
Net income
24m
+13.50%
69,952-264,300-6,620,170-2,545,928-1,627,193-1,637,743-614,707-1,280,954942,665-3,832,078-1,667,807-8,310,831-2,680,647-3,796,175-7,937,119-1,274,813-3,457,2624,171,34621,317,00024,195,000
CFO
44m
-1.89%
-416,179-638,243-542,730-306,419-265,799-130,714-282,253-501,674863,2533,665,2746,659,6802,993,272432,6041,915,2482,230,07110,496,8759,389,70218,371,61145,091,00044,241,000
Dividend
Oct 11, 20240.022206 USD/sh
Earnings
May 27, 2025

Profile

Hemisphere Energy Corporation acquires, explores for, develops, and produces petroleum and natural gas interests in Canada. It primarily owns a 100% working interest in 9,440 net acres of land in the Atlee Buffalo property located in southeastern Alberta; and a land position of 7,009 net acres in the Jenner property situated in southeastern Alberta. The company was formerly known as Northern Hemisphere Development Corp. and changed its name to Hemisphere Energy Corporation in April 2009. Hemisphere Energy Corporation was founded in 1977 and is headquartered in Vancouver, Canada.
IPO date
May 22, 1981
Employees
8
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFY
2023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
67,702
-29.99%
96,699
124.16%
Cost of revenue
30,666
53,002
Unusual Expense (Income)
NOPBT
37,036
43,697
NOPBT Margin
54.70%
45.19%
Operating Taxes
8,271
8,343
Tax Rate
22.33%
19.09%
NOPAT
28,765
35,354
Net income
24,195
13.50%
21,317
411.03%
Dividends
(13,083)
(7,683)
Dividend yield
9.95%
5.80%
Proceeds from repurchase of equity
(4,095)
(2,215)
BB yield
3.12%
1.67%
Debt
Debt current
702
633
Long-term debt
6,106
7,241
Deferred revenue
Other long-term liabilities
6,432
5,750
Net debt
(381)
7,606
Cash flow
Cash from operating activities
44,241
45,091
CAPEX
(16,872)
(17,124)
Cash from investing activities
(19,456)
(18,847)
Cash from financing activities
(17,748)
(26,092)
FCF
19,517
17,505
Balance
Cash
7,189
152
Long term investments
116
Excess cash
3,804
Stockholders' equity
54,808
47,670
Invested Capital
67,255
62,475
ROIC
44.35%
61.25%
ROCE
46.28%
61.89%
EV
Common stock shares outstanding
101,894
101,198
Price
1.29
-1.53%
1.31
32.32%
Market cap
131,444
-0.85%
132,569
44.94%
EV
131,063
140,175
EBITDA
46,250
51,581
EV/EBITDA
2.83
2.72
Interest
731
929
Interest/NOPBT
1.97%
2.13%