Ovintiv Reports Fourth Quarter and Year-End 2025 Financial and Operating Results
PR Newswire —
Strategic Transformation Complete, Driving Increased Shareholder Returns Highlights: Full Year 2025 Generated cash from operating activities of $3.7 billion, Non-GAAP Cash Flow of $3.8 billion and Non-GAAP Free Cash Flow of $1.6 billion after capital expenditures of $2.1 billion Produced...