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Strathcona Resources (SCR) USD

At a glance: strengths & risks
✓Revenue growing (+58% y/y, Q2 2026)✓Profit growing (+43% y/y, Q2 2026)✗Margins compressing (42%→38%, Q2 2026)

Sector: Oil & gas

COMM_SCR

Price chart

38.78 CADDay 0.54%

Key metrics

Net debt (table and EV/EBITDA): |short-term borrowings| + |long-term borrowings| + |other financial liabilities| when extracted + |non-controlling interest| when extracted − |cash and equivalents|; amounts in millions of the reporting currency.

Market

Price
38.78 CAD · 0.54%
Market cap
5.9 bn USD

Growth

Δ revenue y/y
57.6%
Δ EBITDA y/y
52.6%

Multiples

P/E (LTM)
8.1x
3y avg: 8.3x
P/B (FY)
1.8x
P/E (ann.)
6.1x
EV/EBITDA (LTM)
5.6x
3y avg: 4.6x
EV/EBITDA (ann.)
4.5x

Cash return

Dividend yield
28.9%
FCF yield (LTM)
-23.3%

Value creation

to target market cap (spot commodity model)
Upside (potential)

Liquidity

Daily turnover (listing)
7.9 mln CAD

Shares: connector/market_inputs

Financial results

Monetary columns are in M USD, one decimal; scale (K/M/B/T) keeps values readable. For the period (default) shows P&L and cash flow for that row’s reporting window: quarterly amounts when the feed uses quarter-duration facts (typical US 10-Q revenue and income), quarterly cash flows after stripping YTD where only cumulative tags exist, and an implied Q4 on 31 Dec FY rows (P&L: FY minus Q1–Q3; operating / investing cash flow: FY 12m minus 9M YTD to 30 Sep when sourced from SEC builder evidence) so they match 10-Q scale. Some issuers still use cumulative YTD minus the prior row in the same calendar year. As reported shows values stored on each row (e.g. full-year on FY). Balance sheet is always as reported. Source JSON may use millions etc.; conversion uses amounts_unit per row.

DatePeriodStatusRevenueM USDOperating profitM USDD&AM USDEBITDAM USDNet profitM USDOperating CFM USDCapex + M&AM USDAssetsM USDEquityM USDROE (annualized)Net debtM USDSource
2026-06-30Q2 2026 (3M)OK1134.2
y/y 57.6%
297.8
y/y 125.0%
100.7
y/y -21.8%
398.5
y/y 52.6%
239.5
y/y 43.4%
361.8-197.86459.7
y/y -29.6%
3222.1
y/y -28.2%
30.3%1383.1Yahoo Finance
2026-03-31Q1 2026 (3M)OK824.3
y/y 0.3%
155.6
y/y -25.1%
103.2
y/y -31.2%
258.8
y/y -27.7%
28.4
y/y -80.2%
287.1-218.16535.3
y/y -18.7%
3098.7
y/y -25.5%
3.6%1530.0Yahoo Finance
2025-12-31Q4 2025 (3M)OK688.7
y/y —
-95.8
y/y —
109.7
y/y —
13.9
y/y —
-70.7
y/y —
186.9—6419.1
y/y -15.9%
3171.9
y/y -21.6%
17.0%1530.1Yahoo Finance
2025-06-30Q2 2025 (3M)OK719.5
y/y —
132.3
y/y —
128.7
y/y —
261.0
y/y —
167.0
y/y —
269.0-839.59172.7
y/y —
4485.0
y/y —
15.5%1664.6Yahoo Finance
2025-03-31Q1 2025 (3M)OK822.2
y/y —
207.8
y/y —
150.1
y/y —
358.0
y/y —
143.2
y/y —
358.6-606.18034.0
y/y —
4158.9
y/y —
14.0%1727.5Yahoo Finance
2024-12-31FY 2024 (12M)OK3237.8
y/y -8.9%
763.6
y/y 3.0%
636.2
y/y 17.1%
1399.8
y/y 9.0%
439.7
y/y 1.0%
1450.0-945.67630.0
y/y -3.7%
4047.1
y/y 0.7%
10.9%1711.1Yahoo Finance
2023-12-31FY 2023 (12M)OK3553.0
y/y —
741.2
y/y —
543.1
y/y —
1284.3
y/y —
435.1
y/y —
1129.9-740.67921.6
y/y —
4020.1
y/y —
—2011.2Yahoo Finance

Net debt structure (leases included, IFRS 16) 2026-06-30

Short-term debt (incl. ST leases)14
Long-term debt (incl. LT leases)1 369
Net debt1 383

Net debt / LTM EBITDA: 1.1x

Revenue & EBITDA

RevenueEBITDA

Quarterly values ($ mln)

01 0002 0003 0004 0002023 FY2024 FY2025 q12025 q22025 q42026 q12026 q2

Year-over-year change

-50%-25%0%25%50%2023 FY2024 FY2025 q12025 q22025 q42026 q12026 q2

Cash flow

FCF ($ mln)

-1 000-50005001 0001 5002023 FY2024 FY2025 q12025 q22025 q42026 q12026 q2

Net debt / cash ($ mln)

05001 0001 5002 0002023 FY2024 FY2025 q12025 q22025 q42026 q12026 q2

Operating statistics

Production indicators — supplementary, not part of the financial statements

PeriodProduction
boe/d
Oil & liquids share
%
Realized price
CAD $/boe
Operating netback
CAD $/boe
Operating cost
CAD $/boe
Q2 2026-06117 022
+7.4%
99.70
+0.3%
102.24
+41.6%
54.89
+54.2%
16.35
−8.3%
H1 2026-06116 783
+3.9%
99.70
+0.1%
89.81
+16.9%
—16.86
−4.5%
Q1 2026-03116 542
−40.1%
99.7077.46
+19.9%
37.92
+7.1%
17.36
+31.7%
Q4 2025-12117 715
+6.0%
99.70
−0.1%
65.50
−16.0%
33.41
−5.2%
14.05
−7.6%
FY 2025-12152 163
+37.2%
99.60
−0.2%
64.40
−20.8%
34.1613.18
−16.7%
Q3 2025-09116 20199.6074.0940.6012.84
Q2 2025-06108 92699.4072.1835.5917.83
H1 2025-06112 37399.6076.82—17.65
Q1 2025-03194 609—64.5835.4013.18
Q4 2024-12111 01399.8077.9935.2515.20
FY 2024-12110 87399.8081.33—15.82

Company reports (PLR coverage review 2026-10-01), extracted with DeepSeek and every number checked against the document text: https://www.strathconaresources.com/wp-content/uploads/2024/05/Strathcona-Managements-Discussion-and-Analysis-Q4-2025-Executed.pdf; https://www.strathconaresources.com/wp-content/uploads/2026/03/Annual-Information-Form-Q4-2025-Executed.pdf; https://www.strathconaresources.com/wp-content/uploads/2026/08/Strathcona-Managements-Discussion-and-Analysis-Q2-2026-Executed.pdf

Production & Reserves

Physical operating metrics — supplementary, not part of the financial statements

Proved reserves
2 166 mln boe (2P)
2025
Reserve life (R/P)
39.0 yrs
reserves ÷ annual output
Annual production
55.54 mln boe
2025

Production, mln boe

40.47202455.542025

Proved reserves

YearReserves, mln boe (2P)
20252 166

Production

YearProduction, mln boeper day, mln boe
202555.54
+37.2%
0.15
202440.470.11

Company reports: https://www.strathconaresources.com/wp-content/uploads/2024/05/Strathcona-Managements-Discussion-and-Analysis-Q4-2025-Executed.pdf; https://www.strathconaresources.com/wp-content/uploads/2026/03/Annual-Information-Form-Q4-2025-Executed.pdf; https://www.strathconaresources.com/wp-content/uploads/2026/08/Strathcona-Managements-Discussion-and-Analysis-Q2-2026-Executed.pdf

Key-commodity price — WTI Crude Oil

Current 94spot vs LTM +30%

Commodity-player potential

Target market cap from conservative EBITDA and the historical EV/EBITDA

Upside: +21.5% → +0.0 pp 1d

Main driver: WTI Crude Oil +31% vs LTM; revenue ×1.27 vs costs ×1.04; EBITDA 1 140→1 610; at 5.5× EV/EBITDA → +21%.

Product prices — moves vs the LTM average

CommodityShareSpotLTM3-yrvs LTM, $3y vs LTM
WTI Crude Oil (rev)+90%93.9371.9676.52+31%+6%

How it is calculated — revenue → costs → EBITDA → target market cap

1 · Reported baseline (LTM)
LTM revenue3 367
LTM EBITDA1 140
LTM cash costs (revenue − EBITDA)2 226
2 · Revenue projection
Revenue multiplier — spot×1.275 (+27%)
= Spot revenue4 292
Revenue multiplier — 3y price×1.057 (+6%)
= 3-year-price revenue3 559
3 · Costs projection
Cost multiplier — spot×1.040 (+4%)
= Spot cash costs2 316
Cost multiplier — 3y price×1.040 (+4%)
= 3-year-price cash costs2 316
4 · EBITDA projection (revenue − costs)
= Spot EBITDA1 976
= 3-year-price EBITDA1 243
Conservative EBITDA = min(spot, avg)1 610
5 · Valuation → target market cap
Historical EV/EBITDA (75th pct, realized earnings)5.5x
Target EV = EV/EBITDA × conservative EBITDA8 853
Net debt1 665
Target market cap = EV − net debt7 243
Current market cap5 962

Upside = target market cap ÷ current − 1 = +21.5%

Spot model vs reported — what the spot model projected (trailing-LTM base brought to the period × the period's commodity-price move) against the actual report, per reported period (quarter, half-year or full year — per the filer's calendar); amounts in USD mln. green = reported above projection, pink = below.

PeriodAct. revModel revΔ revAct. EBITDAModel EBITDAΔ EBITDA
2023 FY3 5532 842+25.0%1 354524+158.4%
2024 FY3 2383 472-6.8%1 2981 186+9.5%
2025 FY2 9942 820+6.1%917803+14.2%

EV/EBITDA — LTM vs projected

Projected EV/EBITDA 6.4x · target 75th pct (3y) 9.3x · LTM avg 5.5x

EV/EBITDA (LTM)EV/EBITDA (projected)target 75th pct (projected, 3y)

Dividends

Paid (completed)

DatePer shareDetailsStatusSource
2026-09-110.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2026-06-080.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2026-03-200.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2025-12-2310 CADEx-dividend: 10 CAD per sharePaidYahoo Finance (ex-div)
2025-12-050.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2025-09-120.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2025-06-130.3 CADEx-dividend: 0.3 CAD per sharePaidYahoo Finance (ex-div)
2025-03-210.26 CADEx-dividend: 0.26 CAD per sharePaidYahoo Finance (ex-div)
2024-12-160.25 CADEx-dividend: 0.25 CAD per sharePaidYahoo Finance (ex-div)
2024-09-160.25 CADEx-dividend: 0.25 CAD per sharePaidYahoo Finance (ex-div)
2023-09-140.441 CADEx-dividend: 0.441 CAD per sharePaidYahoo Finance (ex-div)
2023-06-140.441 CADEx-dividend: 0.441 CAD per sharePaidYahoo Finance (ex-div)
2023-03-140.441 CADEx-dividend: 0.441 CAD per sharePaidYahoo Finance (ex-div)

KASE: status follows wording in the news headline (paid vs intends to pay). Yahoo: amounts are cash dividends per share on ex-dividend dates (UTC calendar date). stockscope.uz (UZ): amounts are per share in UZS by publication date (not necessarily ex-div).

Reporting forms detected in loaded periods: ✓ ✓ ✓ (Balance sheet / Profit or loss (P&L) / Cash flows)

Financial results, valuation multiples (P/E, P/B, EV/EBITDA), profitability and dividend yield of Strathcona Resources (SCR) — from primary filings.

Frequently asked questions

What is Strathcona Resources (SCR)'s P/E ratio?
Strathcona Resources (SCR) trades at a P/E of 8.1x (price to trailing 12-month earnings).
What is Strathcona Resources (SCR)'s EV/EBITDA?
Strathcona Resources (SCR) trades at 5.6x EV/EBITDA.
What is Strathcona Resources (SCR)'s P/B ratio?
Strathcona Resources (SCR) trades at a P/B of 1.8x.
What is Strathcona Resources (SCR)'s dividend yield?
Strathcona Resources (SCR)'s trailing 12-month dividend yield is 28.9%.
What is Strathcona Resources (SCR)'s return on equity (ROE)?
Strathcona Resources (SCR)'s ROE is 30.3%.
What is Strathcona Resources (SCR)'s market capitalization?
Strathcona Resources (SCR)'s market cap is 5.9 bn USD.

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