PHX Energy Services
TSX:PHX
C$ 13,67
C$-0,32 (-2,29%)
13,67 C$
C$-0,32 (-2,29%)
End-of-day quote: 03/26/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

C$1,16
Earnings Per Share
C$14,49
Revenue Per Share
18,87%
Gross Margin %
C$0,62 B
Market Cap
C$0,02 B
Long-Term Debt
Earnings Per Share
C$1,16
Revenue Per Share
C$14,49
Gross Margin %
18,87%
Market Cap
C$0,62 B
Long-Term Debt
C$0,02 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share C$1,13 C$1,16 C$1,96 C$0,87 C$0,48 C$-0,13 C$-0,04 C$0,15 C$-0,37 C$-0,72 C$-0,70 C$1,05 C$0,79 C$0,63 C$0,65 C$0,63 C$0,46 C$1,07 C$0,81 C$0,92
Earnings Earnings C$51,27M C$52,79M C$92,77M C$44,35M C$23,16M C$-6,54M C$-2,13M C$8,69M C$-21,61M C$-36,58M C$-29,10M C$37,00M C$27,03M C$17,79M C$18,26M C$17,35M C$12,19M C$26,04M C$18,17M C$20,49M
RPS Revenue Per Share C$0,00 C$15,64 C$14,49 C$13,87 C$10,51 C$7,25 C$4,65 C$6,80 C$5,47 C$4,13 C$2,92 C$6,90 C$14,80 C$11,12 C$10,68 C$9,26 C$7,16 C$4,33 C$6,75 C$5,15 C$4,46
Revenue Revenue C$0,00M C$709,60M C$659,66M C$656,34M C$535,74M C$349,92M C$233,73M C$362,06M C$317,14M C$241,00M C$148,40M C$286,78M C$521,47M C$380,66M C$301,72M C$260,06M C$197,28M C$114,69M C$164,35M C$115,55M C$99,35M
OCF Operating Cash Flow C$0,00M C$75,33M C$99,70M C$119,32M C$72,48M C$51,74M C$35,26M C$45,90M C$37,18M C$0,22M C$5,09M C$61,30M C$41,35M C$35,38M C$46,12M C$23,22M C$12,76M C$12,95M C$32,92M C$26,10M C$0,00M
FCF Free Cash Flow C$0,00M C$26,00M C$13,62M C$52,50M C$-36,44M C$10,13M C$9,58M C$40,14M C$16,28M C$3,19M C$0,35M C$-3,00M C$-26,93M C$-6,44M C$-18,38M C$-29,08M C$-35,60M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 0,00% 0,00% 7,71% 11,58% 6,91% 3,75% -1,11% 1,61% -1,24% -12,29% -39,15% -6,33% 8,97% 7,23% 8,98% 9,64% 6,28% 4,28% 15,05% 16,72% 23,43%
GM % Gross Margin % 0,00% 0,00% 18,87% 22,87% 20,46% 18,48% 12,31% 15,12% 12,89% 2,20% -16,24% 6,96% 20,50% 19,17% 21,06% 22,61% 20,91% 28,68% 31,75% 36,64% 39,73%
FCFS Free Cash Flow Per Share C$0,00 C$0,00 C$0,24 C$0,63 C$-0,75 C$0,17 C$0,80 C$0,29 C$-0,43 C$-0,49 C$-0,14 C$0,91 C$-1,05 C$-0,37 C$-0,65 C$-0,93 C$-1,33 C$-0,09 C$-0,04 C$0,51 C$0,59
LT Debt Long-Term Debt N/A C$16,83M C$16,83M C$7,56M C$22,73M N/A N/A C$13,90M C$11,82M C$14,00M C$29,01M C$60,00M C$104,28M C$70,21M C$80,00M C$56,00M C$36,00M N/A C$5,00M C$1,78M C$1,78M
Sha. Stocks 45,51M 45,37M 45,51M 47,33M 50,98M 48,24M 50,29M 53,25M 57,96M 58,4M 50,81M 41,57M 35,24M 34,22M 28,24M 28,09M 27,54M 26,51M 24,34M 22,43M 22,27M
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