_id
691094c8ccc777a4e85d5ab3
Ticker
EFXT
Name
Enerflex Ltd.
Exchange
NYSE
Address
1331 Macleod Trail SE, Calgary, AB, Canada, T2G 0K3
Country
USA
Sector
Energy
Industry
Oil & Gas Equipment & Services
Currency
USD
Website
https://www.enerflex.com
Description
Enerflex Ltd. offers energy infrastructure and energy transition solutions in North America, Latin America, and the Eastern Hemisphere. The company's portfolio includes compression, processing, cryogenic, and treated water solutions, spanning all phases of a project's lifecycle, from front-end engineering and design to after-market services; and energy infrastructure portfolio includes energy infrastructure solutions under contract for natural gas processing, compression, and treated water equipment. It also provides contract operations services that includes trained personnel, equipment, tools, materials, and supplies to meet their natural gas needs, as well as designing, sourcing, installing, operating, servicing, repairing, and maintaining equipment. In addition, the company offers after-market services products, such as delivers comprehensive mechanical services to client partners, including parts distribution; operations and maintenance solutions; equipment optimization and maintenance programs; manufacturer warranties; exchange components; long-term service agreements; and technical services, as well as provides contract operations and maintenance services for natural gas facilities. Further, the company involves in the sale of modular natural gas-handling and low-carbon solutions that are engineered, designed, fabricated, and assembled for gas processing, including cryogenic solutions; gas compression systems; CCUS; water treatment; and electric power generation systems, as well as engineers, designs, fabricates, constructs, commissions, operates, and services hydrocarbon processing equipment. Additionally, it provides field construction, installation, and commissioning for an integrated electric power solution, as well as re-engineering and refurbishment services. The company was formerly known as Enerflex Systems Income Fund and changed its name to Enerflex Ltd. in January 2010. Enerflex Ltd. was founded in 1980 and is headquartered in Calgary, Canada.
Last Close
15.88
Volume
157483
Current Price
15.575
Change
-1.9206549118388
Last Updated
2025-11-29T12:36:04.199Z
Image
data:image/webp;base64,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
Ipo Date
2011-06-13T00:00:00.000Z
Market Cap
1578551040
Next Dividend Date
2025-12-01T00:00:00.000Z
Dividend Frequency
Quarterly
Dividend Rate
0.0301
Dividend Yield
0.7572327044025157
Sentiment
0.995
Sentiment Sources
4
Rating
4.375
Target Price
15.125
Strong Buy
4
Buy
3
Hold
1
Sell
0
Strong Sell
0
Current Quarter
2025-09-30
Revenue
1081156650
Cost Of Revenue
841827250
Gross Profit
239329400
Operating Expenses
97401500
Operating Income
141927900
Interest Expense
20000000
Pretax Income
86269900
Net Income
51483650
Eps
0.4207436942976028
Dividends Per Share
3000000
Shares Outstanding
121801779
Income Tax Expense
34786250
EBITDA
141927900
Operating Margin
13.127413127413126
Total Other Income Expense Net
-55658000
Cash
89052800
Short Term Investments
-
Receivables
944794550
Inventories
457787050
Total Current Assets
1568164150
Property Plant Equipment
1182732500
Total Assets
3972589750
Payables
655372950
Short Term Debt
30611900
Long Term Debt
648000000
Total Liabilities
2365465000
Equity
1607124750
Depreciation
40000000
Change In Working Capital
-41000000
Cash From Operations
74000000
Capital Expenditures
6000000
Cash From Investing
-30000000
Cash From Financing
-50000000
Net Change In Cash
-7000000
PE
11.7818
PB
1.2105960380486953
ROE
3.2034632034632033
ROA
1.2959719789842383
FCF
68000000
Fcf Percent
0.06289560351869454
Piotroski FScore
4
Health Score
49
Deep Value Investing Score
6.5
Defensive Investing Score
7.5
Dividend Investing Score
4
Economic Moat Investing Score
6.3
Garp Investing Score
4.5
Growth Investing Score
4.5
Momentum Investing Score
4
Net Net Investing Score
2.5
Quality Investing Score
5.5
Value Investing Score
6.5
Quarters > 0 > quarter
2025-09-30
Quarters > 0 > income Statement > revenue
1081156650
Quarters > 0 > income Statement > cost Of Revenue
841827250
Quarters > 0 > income Statement > gross Profit
239329400
Quarters > 0 > income Statement > operating Expenses
97401500
Quarters > 0 > income Statement > operating Income
141927900
Quarters > 0 > income Statement > interest Expense
20000000
Quarters > 0 > income Statement > pretax Income
86269900
Quarters > 0 > income Statement > net Income
51483650
Quarters > 0 > income Statement > eps
0.4207436942976028
Quarters > 0 > income Statement > dividends Per Share
3000000
Quarters > 0 > income Statement > shares Outstanding
122363450
Quarters > 0 > income Statement > income Tax Expense
34786250
Quarters > 0 > income Statement > EBITDA
141927900
Quarters > 0 > income Statement > operating Margin
13.127413127413126
Quarters > 0 > income Statement > total Other Income Expense Net
-55658000
Quarters > 0 > balance Sheet > cash
89052800
Quarters > 0 > balance Sheet > short Term Investments
-
Quarters > 0 > balance Sheet > receivables
944794550
Quarters > 0 > balance Sheet > inventories
457787050
Quarters > 0 > balance Sheet > total Current Assets
1568164150
Quarters > 0 > balance Sheet > property Plant Equipment
1182732500
Quarters > 0 > balance Sheet > total Assets
3972589750
Quarters > 0 > balance Sheet > payables
655372950
Quarters > 0 > balance Sheet > short Term Debt
30611900
Quarters > 0 > balance Sheet > long Term Debt
648000000
Quarters > 0 > balance Sheet > total Liabilities
2365465000
Quarters > 0 > balance Sheet > equity
1607124750
Quarters > 0 > cash Flow > net Income
37000000
Quarters > 0 > cash Flow > depreciation
40000000
Quarters > 0 > cash Flow > change In Working Capital
-41000000
Quarters > 0 > cash Flow > cash From Operations
74000000
Quarters > 0 > cash Flow > capital Expenditures
6000000
Quarters > 0 > cash Flow > cash From Investing
-30000000
Quarters > 0 > cash Flow > cash From Financing
-50000000
Quarters > 0 > cash Flow > net Change In Cash
-7000000
Quarters > 0 > ratios > PE
0.4207436942976028
Quarters > 0 > ratios > PB
1.2105960380486953
Quarters > 0 > ratios > ROE
3.2034632034632033
Quarters > 0 > ratios > ROA
1.2959719789842383
Quarters > 0 > ratios > FCF
68000000
Quarters > 0 > ratios > Piotroski FScore
4
Quarters > 0 > ratios > fcf Percent
0.06289560351869454
Quarters > 0 > health Score
49
Quarters > 1 > quarter
2025-06-30
Quarters > 1 > income Statement > revenue
837697650
Quarters > 1 > income Statement > cost Of Revenue
648364360
Quarters > 1 > income Statement > gross Profit
189333290
Quarters > 1 > income Statement > operating Expenses
85812930
Quarters > 1 > income Statement > operating Income
103520360
Quarters > 1 > income Statement > interest Expense
18000000
Quarters > 1 > income Statement > pretax Income
100796140
Quarters > 1 > income Statement > net Income
81726600
Quarters > 1 > income Statement > eps
0.6622826533801605
Quarters > 1 > income Statement > dividends Per Share
4000000
Quarters > 1 > income Statement > shares Outstanding
123401390
Quarters > 1 > income Statement > income Tax Expense
19069540
Quarters > 1 > income Statement > EBITDA
163453200
Quarters > 1 > income Statement > operating Margin
12.357723577235772
Quarters > 1 > income Statement > total Other Income Expense Net
-2724220
Quarters > 1 > balance Sheet > cash
71000000
Quarters > 1 > balance Sheet > short Term Investments
3000000
Quarters > 1 > balance Sheet > receivables
644000000
Quarters > 1 > balance Sheet > inventories
395000000
Quarters > 1 > balance Sheet > total Current Assets
1148000000
Quarters > 1 > balance Sheet > property Plant Equipment
855000000
Quarters > 1 > balance Sheet > total Assets
2884000000
Quarters > 1 > balance Sheet > payables
470000000
Quarters > 1 > balance Sheet > short Term Debt
24000000
Quarters > 1 > balance Sheet > long Term Debt
679000000
Quarters > 1 > balance Sheet > total Liabilities
1757000000
Quarters > 1 > balance Sheet > equity
1127000000
Quarters > 1 > cash Flow > net Income
60000000
Quarters > 1 > cash Flow > depreciation
42000000
Quarters > 1 > cash Flow > change In Working Capital
-93000000
Quarters > 1 > cash Flow > cash From Operations
-4000000
Quarters > 1 > cash Flow > capital Expenditures
34000000
Quarters > 1 > cash Flow > cash From Investing
-10000000
Quarters > 1 > cash Flow > cash From Financing
10000000
Quarters > 1 > cash Flow > net Change In Cash
-4000000
Quarters > 1 > ratios > PE
0.6622826533801605
Quarters > 1 > ratios > PB
1.7409779068322981
Quarters > 1 > ratios > ROE
7.251694764862466
Quarters > 1 > ratios > ROA
2.8337933425797504
Quarters > 1 > ratios > FCF
-38000000
Quarters > 1 > ratios > Piotroski FScore
2
Quarters > 1 > ratios > fcf Percent
-0.04536242879516255
Quarters > 1 > health Score
47
Quarters > 2 > quarter
2025-03-31
Quarters > 2 > income Statement > revenue
794250720
Quarters > 2 > income Statement > cost Of Revenue
610076640
Quarters > 2 > income Statement > gross Profit
184174080
Quarters > 2 > income Statement > operating Expenses
82015020
Quarters > 2 > income Statement > operating Income
102159060
Quarters > 2 > income Statement > interest Expense
23000000
Quarters > 2 > income Statement > pretax Income
61870980
Quarters > 2 > income Statement > net Income
34532640
Quarters > 2 > income Statement > eps
0.27741516709511566
Quarters > 2 > income Statement > dividends Per Share
6000000
Quarters > 2 > income Statement > shares Outstanding
124480000
Quarters > 2 > income Statement > income Tax Expense
27338340
Quarters > 2 > income Statement > EBITDA
158274600
Quarters > 2 > income Statement > operating Margin
12.862318840579709
Quarters > 2 > income Statement > total Other Income Expense Net
-40288080
Quarters > 2 > balance Sheet > cash
75000000
Quarters > 2 > balance Sheet > short Term Investments
5000000
Quarters > 2 > balance Sheet > receivables
594000000
Quarters > 2 > balance Sheet > inventories
323000000
Quarters > 2 > balance Sheet > total Current Assets
1036000000
Quarters > 2 > balance Sheet > property Plant Equipment
848000000
Quarters > 2 > balance Sheet > total Assets
2758000000
Quarters > 2 > balance Sheet > payables
410000000
Quarters > 2 > balance Sheet > short Term Debt
21000000
Quarters > 2 > balance Sheet > long Term Debt
639000000
Quarters > 2 > balance Sheet > total Liabilities
1683000000
Quarters > 2 > balance Sheet > equity
1075000000
Quarters > 2 > cash Flow > net Income
24000000
Quarters > 2 > cash Flow > depreciation
39000000
Quarters > 2 > cash Flow > change In Working Capital
34000000
Quarters > 2 > cash Flow > cash From Operations
96000000
Quarters > 2 > cash Flow > capital Expenditures
14000000
Quarters > 2 > cash Flow > cash From Investing
-26000000
Quarters > 2 > cash Flow > cash From Financing
-86000000
Quarters > 2 > cash Flow > net Change In Cash
-17000000
Quarters > 2 > ratios > PE
0.27741516709511566
Quarters > 2 > ratios > PB
1.841146046511628
Quarters > 2 > ratios > ROE
3.2123386046511624
Quarters > 2 > ratios > ROA
1.2520899202320521
Quarters > 2 > ratios > FCF
82000000
Quarters > 2 > ratios > Piotroski FScore
4
Quarters > 2 > ratios > fcf Percent
0.10324195866010673
Quarters > 2 > health Score
53
Quarters > 3 > quarter
2024-12-31
Quarters > 3 > income Statement > revenue
806544090
Quarters > 3 > income Statement > cost Of Revenue
605267490
Quarters > 3 > income Statement > gross Profit
201276600
Quarters > 3 > income Statement > operating Expenses
129392100
Quarters > 3 > income Statement > operating Income
71884500
Quarters > 3 > income Statement > interest Expense
26238037
Quarters > 3 > income Statement > pretax Income
30191490
Quarters > 3 > income Statement > net Income
21565350
Quarters > 3 > income Statement > eps
0.17371378168724777
Quarters > 3 > income Statement > dividends Per Share
2000000
Quarters > 3 > income Statement > shares Outstanding
124143000
Quarters > 3 > income Statement > income Tax Expense
8626140
Quarters > 3 > income Statement > EBITDA
77635260
Quarters > 3 > income Statement > operating Margin
8.9126559714795
Quarters > 3 > income Statement > total Other Income Expense Net
-41693010
Quarters > 3 > balance Sheet > cash
92000000
Quarters > 3 > balance Sheet > short Term Investments
0
Quarters > 3 > balance Sheet > receivables
607000000
Quarters > 3 > balance Sheet > inventories
293000000
Quarters > 3 > balance Sheet > total Current Assets
1041000000
Quarters > 3 > balance Sheet > property Plant Equipment
867000000
Quarters > 3 > balance Sheet > total Assets
2791000000
Quarters > 3 > balance Sheet > payables
395000000
Quarters > 3 > balance Sheet > short Term Debt
22000000
Quarters > 3 > balance Sheet > long Term Debt
708000000
Quarters > 3 > balance Sheet > total Liabilities
1742000000
Quarters > 3 > balance Sheet > equity
1049000000
Quarters > 3 > cash Flow > net Income
15000000
Quarters > 3 > cash Flow > depreciation
45000000
Quarters > 3 > cash Flow > change In Working Capital
39000000
Quarters > 3 > cash Flow > cash From Operations
113000000
Quarters > 3 > cash Flow > capital Expenditures
6000000
Quarters > 3 > cash Flow > cash From Investing
-20000000
Quarters > 3 > cash Flow > cash From Financing
-94000000
Quarters > 3 > cash Flow > net Change In Cash
-3000000
Quarters > 3 > ratios > PE
0.17371378168724777
Quarters > 3 > ratios > PB
1.8816717826501428
Quarters > 3 > ratios > ROE
2.0558007626310775
Quarters > 3 > ratios > ROA
0.7726746685775707
Quarters > 3 > ratios > FCF
107000000
Quarters > 3 > ratios > Piotroski FScore
4
Quarters > 3 > ratios > fcf Percent
0.13266478711659768
Quarters > 3 > health Score
55
Valuation > metrics > PE
11.7818
Valuation > metrics > PB
1.2105960380486953
Valuation > final Score
100
Valuation > verdict
Fair
Profitability > metrics > ROE
3.2034632034632033
Profitability > metrics > ROA
3.2830523513753325
Profitability > metrics > Net Margin
0.047619047619047616
Profitability > final Score
23
Profitability > verdict
Weak
Risk > metrics > Debt Equity
1.4718614718614718
Risk > metrics > Interest Coverage
7.096395
Risk > final Score
58
Risk > verdict
High
Liquidity > metrics > Current Ratio
2.286004056795132
Liquidity > metrics > Quick Ratio
1.618661257606491
Liquidity > final Score
100
Liquidity > verdict
Great
Prev Valuations > 0
100
Prev Valuations > 1
100
Prev Valuations > 2
100
Prev Profitabilities > 0
50
Prev Profitabilities > 1
23
Prev Profitabilities > 2
14
Prev Risks > 0
53
Prev Risks > 1
48
Prev Risks > 2
41
Prev Liquidities > 0
100
Prev Liquidities > 1
100
Prev Liquidities > 2
100
Updated At
2025-12-12T16:24:35.771Z
Enerflex Ltd. offers energy infrastructure and energy transition solutions in North America, Latin America, and the Eastern Hemisphere. The company's portfolio includes compression, processing, cryogenic, and treated water solutions, spanning all phases of a project's lifecycle, from front-end engineering and design to after-market services; and energy infrastructure portfolio includes energy infrastructure solutions under contract for natural gas processing, compression, and treated water equipment. It also provides contract operations services that includes trained personnel, equipment, tools, materials, and supplies to meet their natural gas needs, as well as designing, sourcing, installing, operating, servicing, repairing, and maintaining equipment. In addition, the company offers after-market services products, such as delivers comprehensive mechanical services to client partners, including parts distribution; operations and maintenance solutions; equipment optimization and maintenance programs; manufacturer warranties; exchange components; long-term service agreements; and technical services, as well as provides contract operations and maintenance services for natural gas facilities. Further, the company involves in the sale of modular natural gas-handling and low-carbon solutions that are engineered, designed, fabricated, and assembled for gas processing, including cryogenic solutions; gas compression systems; CCUS; water treatment; and electric power generation systems, as well as engineers, designs, fabricates, constructs, commissions, operates, and services hydrocarbon processing equipment. Additionally, it provides field construction, installation, and commissioning for an integrated electric power solution, as well as re-engineering and refurbishment services. The company was formerly known as Enerflex Systems Income Fund and changed its name to Enerflex Ltd. in January 2010. Enerflex Ltd. was founded in 1980 and is headquartered in Calgary, Canada.
Stock Price
$ 0.00
0% decrease compared to yesterday.
Dividend
Frequency:
Rate:
0.0301Next Payout:
Dec 1, 2025Yield:
0.7572 %Enerflex Ltd. Announces Redemption of 9.00% Senior Notes Due 2027 - Yahoo Finance Singapore
12/11/2025
Enerflex Ltd. Announces Redemption of 9.00% Senior Notes Due 2027 Yahoo Finance Singapore
Read more →Showing 2 of 10
(Last Updated 2025-09-30)
Rating:
BUY
Target Price:
$15.125
Analyst Picks
Strong Buy
4
Buy
3
Hold
1
Sell
0
Strong Sell
0
Sentiment:
Bullish
(Last Updated 2025-09-30)
Health Score
Price to Earnings Ratio (P/E)
-
Very High
Low ≥ 50
High ≤ 10
Price to Book Ratio (P/B)
-
Very Low
Low ≤ 1
High ≥ 3
Return on Equity (ROE)
-
Very Low
Low ≤ 5%
High ≥ 25%
Return on Assets (ROA)
-
Very Low
Low ≤ 2%
High ≥ 10%
Free Cash Flow - Revenue % (FCF)
-
Very Low
Low ≤ 5%
High ≥ 15%
Debt to Equity
-
Very Low
Low ≥ 1
High ≤ 0.3
* Institutions hold a combined 78.16% of the total shares of Enerflex Ltd.
1.
T. Rowe Price Investment Management,Inc.(8.0145%)
since
2025/06/30
2.
Royal Bank of Canada(6.3636%)
since
2025/06/30
3.
1832 Asset Management L.P(6.143%)
since
2025/06/30
4.
Canoe Financial LP(5.0972%)
since
2025/06/30
5.
Connor Clark & Lunn Inv Mgmt Ltd(4.6616%)
since
2025/06/30
6.
Letko, Brosseau & Associates Inc.(4.1358%)
since
2025/06/30
7.
T. Rowe Price Small-Cap Value(4.0523%)
since
2025/07/31
8.
Mackenzie Investments(3.7765%)
since
2025/06/30
9.
Dynamic Dividend Advantage A(3.5175%)
since
2025/05/31
10.
T. Rowe Price U.S. SC Value Eq Tr-D(2.6328%)
since
2025/06/30
11.
Goldman Sachs Group Inc(2.4991%)
since
2025/06/30
12.
Canoe EIT Income(2.308%)
since
2025/06/30
13.
Scotia Dividend Balanced A(1.9016%)
since
2025/07/31
14.
Morgan Stanley - Brokerage Accounts(1.8341%)
since
2025/06/30
15.
Taconic Capital Advisors L.P.(1.4437%)
since
2025/06/30
16.
TD Asset Management Inc(1.3784%)
since
2025/06/30
17.
Canoe Equity Portfolio Class F(1.24%)
since
2025/06/30
18.
PCJ Investment Counsel Ltd(1.2169%)
since
2025/06/30
19.
NewGen Asset Management Ltd(1.1671%)
since
2025/06/30
20.
O'Shaughnessy Asset Management LLC(1.1265%)
since
2025/06/30
21.
CI North Amer Sm/Mid Cap Eq Fd (Ser F U)(0.9876%)
since
2024/12/31
22.
Millennium Management LLC(0.9569%)
since
2025/06/30
23.
Bank of Montreal(0.9486%)
since
2025/06/30
24.
BMO Capital Markets Corp.(0.9486%)
since
2025/06/30
25.
UBS Group AG(0.9443%)
since
2025/06/30
26.
Man Group PLC(0.8749%)
since
2025/06/30
27.
Dynamic Dividend Advantage Cl Ser I(0.8637%)
since
2025/05/31
28.
Two Sigma Investments LLC(0.8017%)
since
2025/06/30
29.
Canoe Asset Allocation Portfolio Cl F(0.7921%)
since
2025/06/30
30.
iProfile Canadian Equity Private Pool I(0.7088%)
since
2025/06/30
31.
RBC O'Shaughnessy Canadian Eqty Fund A(0.5595%)
since
2025/06/30
32.
BlackRock Global Equity Mkt Netrl Instl(0.5496%)
since
2025/07/31
33.
Franklin ClearBridge Canadian Sm Cap F(0.5134%)
since
2025/07/31
34.
iShares S&P/TSX Capped Energy ETF(0.5017%)
since
2025/08/31
35.
Canoe North American Mth Inc Port Cl F(0.4687%)
since
2025/06/30
36.
iShares Core S&P/TSX Capped Compost ETF(0.4674%)
since
2025/08/31
37.
United Canadian Equity Sm Cap Corp Cl W(0.4508%)
since
2025/03/31
38.
DFA International Small Company I(0.448%)
since
2025/07/31
39.
DFA International Core Equity 2 I(0.445%)
since
2025/07/31
40.
United Cdn Equity Small Cap Pool Class W(0.421%)
since
2024/12/31
* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.
No earnings data available.
(Last Updated 2025-09-30)
(Last Updated 2025-09-30)
Revenue
$ 0
Cost Of Revenue
$ 0
Gross Profit
$ 0
Operating Expenses
$ 0
Operating Income
$ 0
Interest Expense
$ 0
Pretax Income
$ 0
Net Income
$ 0
Income Tax Expense
$ 0
EBITDA
$ 0
Total Other Income Expense Net
$ 0
Earnings Per Share
0
Dividends Per Share
0
Shares Outstanding
0
Operating Margin
0%
(Last Updated 2025-09-30)
Cash
$ 0
Short Term Investments
$ 0
Receivables
$ 0
Inventories
$ 0
Total Current Assets
$ 0
Property Plant Equipment
$ 0
Total Assets
$ 0
Payables
$ 0
Short Term Debt
$ 0
Long Term Debt
$ 0
Total Liabilities
$ 0
Equity
$ 0
(Last Updated 2025-09-30)
Net Income
$ 0
Depreciation
$ 0
Change In Working Capital
$ 0
Cash From Operations
$ 0
Capital Expenditures
$ 0
Cash From Investing
$ 0
Cash From Financing
$ 0
Net Change In Cash
$ 0
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