Oil & Gas Exploration & Production
16 companies under coverage.
Oil & Gas Exploration & Production
Texas Pacific Land Corporation (TPL)
HOLD. 12-month probability-weighted target $397 (+6% vs spot). P/E Multiple explains 89% of Monte Carlo outcome variance.
Range Resources Corp (RRC)
SELL. 12-month probability-weighted target $36 (-12% vs spot). P/E Multiple explains 73% of Monte Carlo outcome variance.
Permian Resources Corporation (PR)
SELL. 12-month probability-weighted target $21 (-13% vs spot). P/E Multiple explains 75% of Monte Carlo outcome variance.
Occidental Petroleum Corporation (OXY)
SELL. 12-month probability-weighted target $48 (-20% vs spot). P/E Multiple explains 70% of Monte Carlo outcome variance.
Ovintiv Inc (OVV)
HOLD. 12-month probability-weighted target $59 (-11% vs spot). P/E Multiple explains 66% of Monte Carlo outcome variance.
Murphy Oil Corporation (MUR)
HOLD. 12-month probability-weighted target $38 (+4% vs spot). P/E Multiple explains 61% of Monte Carlo outcome variance.
Matador Resources Company (MTDR)
SELL. 12-month probability-weighted target $50 (-12% vs spot). P/E Multiple explains 71% of Monte Carlo outcome variance.
Diamondback Energy Inc (FANG)
SELL. 12-month probability-weighted target $180 (-13% vs spot). P/E Multiple explains 77% of Monte Carlo outcome variance.
Expand Energy Corporation (EXE)
SELL. 12-month probability-weighted target $85 (-11% vs spot). P/E Multiple explains 63% of Monte Carlo outcome variance.
EQT Corporation (EQT)
HOLD. 12-month probability-weighted target $51 (-6% vs spot). P/E Multiple explains 74% of Monte Carlo outcome variance.
EOG Resources Inc (EOG)
SELL. 12-month probability-weighted target $132 (-12% vs spot). P/E Multiple explains 76% of Monte Carlo outcome variance.
Devon Energy Corporation (DVN)
SELL. 12-month probability-weighted target $42 (-13% vs spot). P/E Multiple explains 75% of Monte Carlo outcome variance.
ConocoPhillips (COP)
SELL. 12-month probability-weighted target $103 (-23% vs spot). P/E Multiple explains 66% of Monte Carlo outcome variance.
CNX Resources Corp (CNX)
SELL. 12-month probability-weighted target $32 (-13% vs spot). P/E Multiple explains 62% of Monte Carlo outcome variance.
Antero Resources Corp (AR)
SELL. 12-month probability-weighted target $33 (-13% vs spot). P/E Multiple explains 69% of Monte Carlo outcome variance.
APA Corporation (APA)
HOLD. 12-month probability-weighted target $40 (-7% vs spot). P/E Multiple explains 72% of Monte Carlo outcome variance.