NYSE:WPX (USA) Also trade in: Germany

WPX Energy Inc

$ 10.16 -0.27 (-2.59%)
Volume: 6,095,063 Avg Vol (1m): 7,298,485
Market Cap $: 4.29 Bil Enterprise Value $: 6.76 Bil
P/E (TTM): 19.16 P/B: 1.02
Earnings Power Value -38.81
Net Current Asset Value -8.36
Tangible Book 10.09
Projected FCF -3.87
Median P/S Value 11.26
Graham Number 10.97
Peter Lynch Value 0
DCF (FCF Based) 0
DCF (Earnings Based) 0
1Y (-%)

Financial Strength : 4.5/10

GuruFocus Financial Strength Rank measures how strong a company's financial situation is . It is based on these factors
1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.
A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.
Current vs industry vs history
Equity-to-Asset 0.50
Equity-to-Asset range over the past 10 years
Min: 0.42, Med: 0.5, Max: 0.69
Current: 0.5
0.42
0.69
Debt-to-Equity 0.58
Debt-to-Equity range over the past 10 years
Min: 0.23, Med: 0.52, Max: 0.9
Current: 0.58
0.23
0.9
Debt-to-EBITDA 1.92
Debt-to-EBITDA range over the past 10 years
Min: -13.27, Med: 1.86, Max: 23.07
Current: 1.92
-13.27
23.07
Interest Coverage 2.91
Interest Coverage range over the past 10 years
Min: 0.98, Med: 2.93, Max: 9.05
Current: 2.91
0.98
9.05
Piotroski F-Score 7
0
1
2
3
4
5
6
7
8
9
Altman Z-Score 0.53
DISTRESS
GREY
SAFE
Beneish M-Score -1.88
Not Manipulator
Manipulator
WACC vs ROIC %
ROIC 5.43%
WACC 9.91%

Profitability & Growth : 4/10

GuruFocus Profitability Rank ranks how profitable a company is and how likely the company's business will stay that way.
Current vs industry vs history
Operating Margin % 19.52
Operating Margin range over the past 10 years
Min: -53.28, Med: 0.81, Max: 21.4
Current: 19.52
-53.28
21.4
Net Margin % 9.27
Net Margin range over the past 10 years
Min: -182.17, Med: -7.87, Max: 9.27
Current: 9.27
-182.17
9.27
ROE % 5.24
ROE range over the past 10 years
Min: -44.21, Med: -5.03, Max: 5.24
Current: 5.24
-44.21
5.24
ROA % 2.69
ROA range over the past 10 years
Min: -20.12, Med: -2.61, Max: 2.69
Current: 2.69
-20.12
2.69
ROC (Joel Greenblatt) % 6.35
ROC (Joel Greenblatt) range over the past 10 years
Min: -21.35, Med: -0.06, Max: 7.41
Current: 6.35
-21.35
7.41
3-Year Total Revenue Growth Rate 33.00
3-Year Revenue Growth Rate range over the past 10 years
Min: -44.4, Med: -19.7, Max: 10.2
Current: 10.2
-44.4
10.2
3-Year Total EBITDA Growth Rate 3.30
N/A

» WPX's 30-Y Financials

Financials (Next Earnings Date: 2019-08-05)

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Business Description

Industry Oil & Gas - E&P » Oil & Gas - E&P    NAICS : 211120    SIC : 1311
Compare NYSE:PE NYSE:EQT NYSE:NFG HKSE:00467 NYSE:XEC ZAG:INA NYSE:CHK NYSE:MUR KAR:OGDC TSX:TOU LSE:TLW TSX:VET NYSE:BSM XTAE:DEDR ASX:BPT TSX:PSK NYSE:MGY ASX:OSH BUD:MOL NAS:CDEV
Traded in other countries WPE.Germany
Address 3500 One Williams Center, Tulsa, OK, USA, 74172-0172
WPX Energy, based in Tulsa, Oklahoma, is an unconventional oil and gas producer with acreage in the Williston Basin (Bakken), the Permian Basin, and the Rockies. At the end of 2017, the company reported net proven reserves of 436 million barrels of oil equivalent. Net production averaged 110 thousand barrels of oil equivalent per day in 2017, at a ratio of 68% liquids and 32% natural gas.

Ratios

Current vs industry vs history
PE Ratio (TTM) 18.81
PE Ratio range over the past 10 years
Min: 4.31, Med: 20.09, Max: 38.31
Current: 18.81
4.31
38.31
Forward PE Ratio 32.26
N/A
PE Ratio without NRI 19.16
PE without NRI range over the past 10 years
Min: 2.9, Med: 9.27, Max: 27.81
Current: 19.16
2.9
27.81
PB Ratio 1.02
PB Ratio range over the past 10 years
Min: 0.31, Med: 0.91, Max: 2.17
Current: 1.02
0.31
2.17
PS Ratio 1.81
PS Ratio range over the past 10 years
Min: 0.76, Med: 2, Max: 7.39
Current: 1.81
0.76
7.39
Price-to-Operating-Cash-Flow 4.25
Price-to-Operating-Cash-Flow range over the past 10 years
Min: 1.12, Med: 5.4, Max: 18.5
Current: 4.25
1.12
18.5
EV-to-EBIT 14.95
EV-to-EBIT range over the past 10 years
Min: -110.6, Med: -10.6, Max: 106.4
Current: 14.95
-110.6
106.4
EV-to-EBITDA 5.24
EV-to-EBITDA range over the past 10 years
Min: -65.3, Med: 6, Max: 29
Current: 5.24
-65.3
29
EV-to-Revenue 2.89
EV-to-Revenue range over the past 10 years
Min: 1, Med: 3.55, Max: 14.7
Current: 2.89
1
14.7
Current Ratio 0.70
Current Ratio range over the past 10 years
Min: 0.27, Med: 1.03, Max: 2
Current: 0.7
0.27
2
Quick Ratio 0.64
Quick Ratio range over the past 10 years
Min: 0.25, Med: 0.97, Max: 1.95
Current: 0.64
0.25
1.95
Days Inventory 13.87
Days Inventory range over the past 10 years
Min: 8.69, Med: 13.17, Max: 21.54
Current: 13.87
8.69
21.54
Days Sales Outstanding 83.49
Days Sales Outstanding range over the past 10 years
Min: 39.41, Med: 65.65, Max: 115.51
Current: 83.49
39.41
115.51
Days Payable 215.28
Days Payable range over the past 10 years
Min: 32.97, Med: 43.38, Max: 215.28
Current: 215.28
32.97
215.28

Dividend & Buy Back

Current vs industry vs history
3-Year Share Buyback Rate -14.30
3-Year Share Buyback Rate range over the past 10 years
Min: -25, Med: -11.4, Max: -0.4
Current: -14.3
-25
-0.4

Valuation & Return

Current vs industry vs history
Price-to-Tangible-Book 1.01
Price-to-Tangible-Book range over the past 10 years
Min: 0.39, Med: 0.88, Max: 2.15
Current: 1.01
0.39
2.15
Price-to-Median-PS-Value 0.90
Price-to-Median-PS-Value range over the past 10 years
Min: 0.45, Med: 0.95, Max: 3.37
Current: 0.9
0.45
3.37
Price-to-Graham-Number 0.93
Price-to-Graham-Number range over the past 10 years
Min: 0.25, Med: 0.45, Max: 1.2
Current: 0.93
0.25
1.2
Earnings Yield (Joel Greenblatt) % 6.67
Earnings Yield (Greenblatt) range over the past 10 years
Min: -30.1, Med: -3.3, Max: 27.8
Current: 6.67
-30.1
27.8

More Statistics

Revenue (TTM) (Mil) $ 2,352
EPS (TTM) $ 0.54
Beta 1.94
Volatility % 41.37
52-Week Range $ 9.89 - 20.8
Shares Outstanding (Mil) 422.27

Analyst Estimate

Piotroski F-Score Details

Piotroski F-Score 7
Positive ROA Y
Positive CFROA Y
Higher ROA yoy Y
CFROA > ROA Y
Lower Leverage yoy Y
Higher Current Ratio yoy N
Less Shares Outstanding yoy N
Higher Gross Margin yoy Y
Higher Asset Turnover yoy Y