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BTE Baytex Energy

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  • 2.290
  • +0.060+2.69%
Close Dec 20 16:00 ET
  • 2.300
  • +0.010+0.44%
Post 19:44 ET
1.80BMarket Cap-5.68P/E (TTM)

Baytex Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-10.83%21.31M
82.75%35.89M
352.13%29.14M
921.50%55.82M
921.50%55.82M
441.93%23.9M
--19.64M
--6.45M
--5.46M
--5.46M
-Cash and cash equivalents
-10.83%21.31M
82.75%35.89M
352.13%29.14M
921.50%55.82M
921.50%55.82M
441.93%23.9M
--19.64M
--6.45M
--5.46M
--5.46M
Receivables
-30.47%375.94M
15.82%429.1M
81.28%423.12M
52.81%339.41M
52.81%339.41M
114.82%540.68M
13.52%370.5M
-17.45%233.41M
28.08%222.11M
28.08%222.11M
-Accounts receivable
-30.47%375.94M
15.82%429.1M
81.28%423.12M
52.81%339.41M
52.81%339.41M
114.82%540.68M
13.52%370.5M
-17.45%233.41M
28.08%222.11M
28.08%222.11M
Other current assets
--21.63M
--22.94M
--17.47M
237.62%21.53M
237.62%21.53M
----
----
----
--6.38M
--6.38M
Total current assets
-22.42%443.2M
18.51%494.95M
83.34%475.16M
80.30%440.02M
80.30%440.02M
113.00%571.27M
21.28%417.64M
-10.30%259.17M
34.05%244.05M
34.05%244.05M
Non current assets
Net PPE
-14.94%6.93B
-11.89%7.02B
43.30%6.97B
40.47%6.75B
40.47%6.75B
77.45%8.15B
78.35%7.96B
7.05%4.87B
3.22%4.8B
3.22%4.8B
-Gross PPE
4.53%16.96B
6.95%16.75B
31.07%16.31B
28.05%15.65B
28.05%15.65B
33.74%16.22B
31.03%15.66B
5.26%12.45B
3.40%12.22B
3.40%12.22B
-Accumulated depreciation
-24.17%-10.03B
-26.45%-9.73B
-23.22%-9.34B
-20.02%-8.91B
-20.02%-8.91B
-7.12%-8.08B
-2.80%-7.7B
-4.14%-7.58B
-3.52%-7.42B
-3.52%-7.42B
Non current deferred assets
-18.93%185.91M
-15.13%199.33M
283.20%207.76M
272.34%213.15M
272.34%213.15M
275.64%229.33M
--234.86M
--54.22M
--57.24M
--57.24M
Other non current assets
--56.8M
--58.87M
--60.43M
--61.73M
--61.73M
----
----
----
----
----
Total non current assets
-14.38%7.17B
-11.27%7.28B
47.18%7.24B
44.47%7.02B
44.47%7.02B
79.90%8.37B
83.61%8.2B
8.22%4.92B
4.45%4.86B
4.45%4.86B
Total assets
-14.89%7.61B
-9.82%7.77B
48.98%7.72B
46.18%7.46B
46.18%7.46B
81.70%8.95B
79.15%8.62B
7.11%5.18B
5.57%5.1B
5.57%5.1B
Liabilities
Current liabilities
Payables
-13.57%602.43M
3.35%635.38M
139.48%644.63M
118.04%495.68M
118.04%495.68M
159.68%696.99M
98.85%614.76M
4.46%269.18M
19.21%227.33M
19.21%227.33M
-accounts payable
-13.74%584.7M
0.40%617.22M
132.61%626.14M
109.96%477.3M
109.96%477.3M
152.54%677.86M
98.85%614.76M
4.46%269.18M
19.21%227.33M
19.21%227.33M
-Dividends payable
-7.35%17.73M
--18.16M
--18.49M
--18.38M
--18.38M
--19.14M
----
----
--0
--0
Current provisions
18.89%17.51M
49.93%19.44M
50.02%19.33M
59.59%20.45M
59.59%20.45M
35.52%14.73M
18.63%12.97M
16.97%12.88M
15.64%12.81M
15.64%12.81M
Current debt and capital lease obligation
-58.21%7.54M
-65.12%8.47M
184.70%13.38M
280.32%13.39M
280.32%13.39M
383.33%18.03M
664.53%24.29M
62.88%4.7M
19.84%3.52M
19.84%3.52M
-Current capital lease obligation
-58.21%7.54M
-65.12%8.47M
184.70%13.38M
280.32%13.39M
280.32%13.39M
383.33%18.03M
664.53%24.29M
62.88%4.7M
19.84%3.52M
19.84%3.52M
Other current liabilities
----
82.80%5.31M
--14.51M
----
----
-73.67%12.79M
-98.73%2.91M
----
----
----
Current liabilities
-13.03%645.82M
4.89%686.92M
146.89%707.99M
93.40%558.02M
93.40%558.02M
123.93%742.55M
18.74%654.92M
-47.71%286.76M
-14.82%288.53M
-14.82%288.53M
Non current liabilities
Long term provisions
4.47%626.34M
-5.93%603.59M
6.38%606.16M
4.66%602.95M
4.66%602.95M
10.25%599.54M
16.39%641.61M
-11.20%569.81M
-21.36%576.11M
-21.36%576.11M
Long term debt and capital lease obligation
-13.99%2.28B
-3.20%2.46B
155.84%2.45B
159.97%2.43B
159.97%2.43B
142.62%2.65B
124.15%2.54B
-25.87%958.77M
-32.57%933.65M
-32.57%933.65M
-Long term debt
-14.05%2.26B
-3.46%2.44B
155.22%2.44B
159.08%2.41B
159.08%2.41B
141.85%2.63B
123.90%2.53B
-25.89%955.17M
-32.55%930.63M
-32.55%930.63M
-Long term capital lease obligation
-4.70%16.12M
51.54%18M
321.61%15.16M
432.18%16.06M
432.18%16.06M
382.24%16.91M
192.01%11.88M
-19.10%3.6M
-37.50%3.02M
-37.50%3.02M
Non current deferred liabilities
-71.83%61.45M
-77.91%39.27M
-90.30%26.98M
-91.98%21.33M
-91.98%21.33M
-5.62%218.17M
25.21%177.75M
181.55%278.15M
58.76%265.86M
58.76%265.86M
Employee benefits
--5.62M
--4.39M
--2.53M
-21.56%7.22M
-21.56%7.22M
----
----
----
--9.21M
--9.21M
Other non current liabilities
--19.58M
--19.85M
--19.62M
--19.15M
--19.15M
----
----
----
----
----
Total non current liabilities
-13.90%2.99B
-7.00%3.13B
71.86%3.11B
72.44%3.08B
72.44%3.08B
85.78%3.47B
82.78%3.36B
-11.60%1.81B
-21.88%1.78B
-21.88%1.78B
Total liabilities
-13.75%3.63B
-5.07%3.81B
82.13%3.82B
75.36%3.64B
75.36%3.64B
91.53%4.21B
68.01%4.02B
-19.24%2.1B
-20.96%2.07B
-20.96%2.07B
Shareholders'equity
Share capital
-6.99%6.25B
-6.73%6.39B
18.54%6.52B
18.69%6.53B
18.69%6.53B
21.52%6.72B
21.20%6.85B
-4.21%5.5B
-4.13%5.5B
-4.13%5.5B
-common stock
-6.99%6.25B
-6.73%6.39B
18.54%6.52B
18.69%6.53B
18.69%6.53B
21.52%6.72B
21.20%6.85B
-4.21%5.5B
-4.13%5.5B
-4.13%5.5B
Retained earnings
-14.40%-3.37B
-15.83%-3.53B
-10.87%-3.62B
-8.17%-3.59B
-8.17%-3.59B
19.80%-2.94B
22.45%-3.05B
20.67%-3.26B
20.51%-3.32B
20.51%-3.32B
Paid-in capital
125.10%304.78M
174.01%246.53M
117.06%195.09M
114.82%193.08M
114.82%193.08M
61.61%135.4M
150.73%89.97M
1,214.79%89.88M
562.87%89.88M
562.87%89.88M
Gains losses not affecting retained earnings
-3.57%791.86M
20.35%853.5M
6.07%801.48M
-8.63%690.92M
-8.63%690.92M
5.28%821.17M
6.98%709.19M
25.10%755.65M
19.63%756.2M
19.63%756.2M
Total stockholders'equity
-15.91%3.98B
-13.98%3.96B
26.47%3.9B
26.22%3.83B
26.22%3.83B
73.76%4.73B
90.16%4.6B
37.60%3.08B
37.04%3.03B
37.04%3.03B
Total equity
-15.91%3.98B
-13.98%3.96B
26.47%3.9B
26.22%3.83B
26.22%3.83B
73.76%4.73B
90.16%4.6B
37.60%3.08B
37.04%3.03B
37.04%3.03B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -10.83%21.31M82.75%35.89M352.13%29.14M921.50%55.82M921.50%55.82M441.93%23.9M--19.64M--6.45M--5.46M--5.46M
-Cash and cash equivalents -10.83%21.31M82.75%35.89M352.13%29.14M921.50%55.82M921.50%55.82M441.93%23.9M--19.64M--6.45M--5.46M--5.46M
Receivables -30.47%375.94M15.82%429.1M81.28%423.12M52.81%339.41M52.81%339.41M114.82%540.68M13.52%370.5M-17.45%233.41M28.08%222.11M28.08%222.11M
-Accounts receivable -30.47%375.94M15.82%429.1M81.28%423.12M52.81%339.41M52.81%339.41M114.82%540.68M13.52%370.5M-17.45%233.41M28.08%222.11M28.08%222.11M
Other current assets --21.63M--22.94M--17.47M237.62%21.53M237.62%21.53M--------------6.38M--6.38M
Total current assets -22.42%443.2M18.51%494.95M83.34%475.16M80.30%440.02M80.30%440.02M113.00%571.27M21.28%417.64M-10.30%259.17M34.05%244.05M34.05%244.05M
Non current assets
Net PPE -14.94%6.93B-11.89%7.02B43.30%6.97B40.47%6.75B40.47%6.75B77.45%8.15B78.35%7.96B7.05%4.87B3.22%4.8B3.22%4.8B
-Gross PPE 4.53%16.96B6.95%16.75B31.07%16.31B28.05%15.65B28.05%15.65B33.74%16.22B31.03%15.66B5.26%12.45B3.40%12.22B3.40%12.22B
-Accumulated depreciation -24.17%-10.03B-26.45%-9.73B-23.22%-9.34B-20.02%-8.91B-20.02%-8.91B-7.12%-8.08B-2.80%-7.7B-4.14%-7.58B-3.52%-7.42B-3.52%-7.42B
Non current deferred assets -18.93%185.91M-15.13%199.33M283.20%207.76M272.34%213.15M272.34%213.15M275.64%229.33M--234.86M--54.22M--57.24M--57.24M
Other non current assets --56.8M--58.87M--60.43M--61.73M--61.73M--------------------
Total non current assets -14.38%7.17B-11.27%7.28B47.18%7.24B44.47%7.02B44.47%7.02B79.90%8.37B83.61%8.2B8.22%4.92B4.45%4.86B4.45%4.86B
Total assets -14.89%7.61B-9.82%7.77B48.98%7.72B46.18%7.46B46.18%7.46B81.70%8.95B79.15%8.62B7.11%5.18B5.57%5.1B5.57%5.1B
Liabilities
Current liabilities
Payables -13.57%602.43M3.35%635.38M139.48%644.63M118.04%495.68M118.04%495.68M159.68%696.99M98.85%614.76M4.46%269.18M19.21%227.33M19.21%227.33M
-accounts payable -13.74%584.7M0.40%617.22M132.61%626.14M109.96%477.3M109.96%477.3M152.54%677.86M98.85%614.76M4.46%269.18M19.21%227.33M19.21%227.33M
-Dividends payable -7.35%17.73M--18.16M--18.49M--18.38M--18.38M--19.14M----------0--0
Current provisions 18.89%17.51M49.93%19.44M50.02%19.33M59.59%20.45M59.59%20.45M35.52%14.73M18.63%12.97M16.97%12.88M15.64%12.81M15.64%12.81M
Current debt and capital lease obligation -58.21%7.54M-65.12%8.47M184.70%13.38M280.32%13.39M280.32%13.39M383.33%18.03M664.53%24.29M62.88%4.7M19.84%3.52M19.84%3.52M
-Current capital lease obligation -58.21%7.54M-65.12%8.47M184.70%13.38M280.32%13.39M280.32%13.39M383.33%18.03M664.53%24.29M62.88%4.7M19.84%3.52M19.84%3.52M
Other current liabilities ----82.80%5.31M--14.51M---------73.67%12.79M-98.73%2.91M------------
Current liabilities -13.03%645.82M4.89%686.92M146.89%707.99M93.40%558.02M93.40%558.02M123.93%742.55M18.74%654.92M-47.71%286.76M-14.82%288.53M-14.82%288.53M
Non current liabilities
Long term provisions 4.47%626.34M-5.93%603.59M6.38%606.16M4.66%602.95M4.66%602.95M10.25%599.54M16.39%641.61M-11.20%569.81M-21.36%576.11M-21.36%576.11M
Long term debt and capital lease obligation -13.99%2.28B-3.20%2.46B155.84%2.45B159.97%2.43B159.97%2.43B142.62%2.65B124.15%2.54B-25.87%958.77M-32.57%933.65M-32.57%933.65M
-Long term debt -14.05%2.26B-3.46%2.44B155.22%2.44B159.08%2.41B159.08%2.41B141.85%2.63B123.90%2.53B-25.89%955.17M-32.55%930.63M-32.55%930.63M
-Long term capital lease obligation -4.70%16.12M51.54%18M321.61%15.16M432.18%16.06M432.18%16.06M382.24%16.91M192.01%11.88M-19.10%3.6M-37.50%3.02M-37.50%3.02M
Non current deferred liabilities -71.83%61.45M-77.91%39.27M-90.30%26.98M-91.98%21.33M-91.98%21.33M-5.62%218.17M25.21%177.75M181.55%278.15M58.76%265.86M58.76%265.86M
Employee benefits --5.62M--4.39M--2.53M-21.56%7.22M-21.56%7.22M--------------9.21M--9.21M
Other non current liabilities --19.58M--19.85M--19.62M--19.15M--19.15M--------------------
Total non current liabilities -13.90%2.99B-7.00%3.13B71.86%3.11B72.44%3.08B72.44%3.08B85.78%3.47B82.78%3.36B-11.60%1.81B-21.88%1.78B-21.88%1.78B
Total liabilities -13.75%3.63B-5.07%3.81B82.13%3.82B75.36%3.64B75.36%3.64B91.53%4.21B68.01%4.02B-19.24%2.1B-20.96%2.07B-20.96%2.07B
Shareholders'equity
Share capital -6.99%6.25B-6.73%6.39B18.54%6.52B18.69%6.53B18.69%6.53B21.52%6.72B21.20%6.85B-4.21%5.5B-4.13%5.5B-4.13%5.5B
-common stock -6.99%6.25B-6.73%6.39B18.54%6.52B18.69%6.53B18.69%6.53B21.52%6.72B21.20%6.85B-4.21%5.5B-4.13%5.5B-4.13%5.5B
Retained earnings -14.40%-3.37B-15.83%-3.53B-10.87%-3.62B-8.17%-3.59B-8.17%-3.59B19.80%-2.94B22.45%-3.05B20.67%-3.26B20.51%-3.32B20.51%-3.32B
Paid-in capital 125.10%304.78M174.01%246.53M117.06%195.09M114.82%193.08M114.82%193.08M61.61%135.4M150.73%89.97M1,214.79%89.88M562.87%89.88M562.87%89.88M
Gains losses not affecting retained earnings -3.57%791.86M20.35%853.5M6.07%801.48M-8.63%690.92M-8.63%690.92M5.28%821.17M6.98%709.19M25.10%755.65M19.63%756.2M19.63%756.2M
Total stockholders'equity -15.91%3.98B-13.98%3.96B26.47%3.9B26.22%3.83B26.22%3.83B73.76%4.73B90.16%4.6B37.60%3.08B37.04%3.03B37.04%3.03B
Total equity -15.91%3.98B-13.98%3.96B26.47%3.9B26.22%3.83B26.22%3.83B73.76%4.73B90.16%4.6B37.60%3.08B37.04%3.03B37.04%3.03B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Heat List
US
Overall
Symbol
Price
% Chg

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