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OVV · Energy

OVINTIV INC

USA Energy Filing: 2025-12-31
Smart-money confidence · 1 of 3 sources firing
Weak — few signals

No standout activity across the feeds we track.

Hedge funds
44
Congress
No data
Insiders
No data
Cross-source blend of hedge-fund breadth, Congress trades, and insider Form 4s.  ·  how the score works
◆ Next steps Interested in OVINTIV INC? Here's what to do with it.
Not financial advice. Bogen Capital surfaces public SEC filings — you decide what to do with them.
Market cap
$16.6B
Industry
Oil & Gas E&P
Sector
Energy
Exchange
NYSE
About OVINTIV INC

Ovintiv Inc., together with its subsidiaries, operates as an oil and natural gas exploration and production company in North America. The company operates through USA Operations and Canadian Operations segments. It is involved in the exploration, development, production, and marketing of oil, NGLs, natural gas and other related activities in the Permian in West Texas and Anadarko in West-central Oklahoma in the United States, as well as in northwest Alberta and northeast British Columbia. The company was formerly known as Encana Corporation and changed its name to Ovintiv Inc. in January…

Who's behind the signal
Every informed buyer we can see on OVV, across all three feeds.
Hedge funds · 8
Point72 (Steve Cohen) Increased +40%
Citadel Advisors Increased +107%
D.E. Shaw & Co Increased +114%
+2 more in the full breakdown below ↓
Congress · 0
No congressional trades on record.
Insiders
No significant Form 4 insider activity in the window.
Not a model pick — but on our radar. OVINTIV INC isn't in the top-10 model right now, but 8 tracked investors hold it. Everything below is real signal from public filings — treat this as a watch candidate, not a conviction call.
8
Investors
0
New positions
6
Increasing
2
Decreasing
0
Unchanged
Price History
Loading price data...
Return: High: Low:
Who's Holding This Stock
Position sizes and recent activity from tracked institutional investors
Trust weight: 1.1×
Increased +40%
% of portfolio
0.3%
Position change
+40%
0.3% of Point72's portfolio
Trust weight: 1.3×
Increased +11%
% of portfolio
0.2%
Position change
+11%
0.2% of Bridgewater Associates's portfolio
Trust weight: 1.0×
Increased +118%
% of portfolio
0.2%
Position change
+118%
0.2% of Millennium Management's portfolio
Trust weight: 1.0×
Increased +107%
% of portfolio
0.1%
Position change
+107%
0.1% of Citadel Advisors's portfolio
Trust weight: 1.1×
Increased +150%
% of portfolio
0.0%
Position change
+150%
0.0% of Gotham Asset Mgmt's portfolio
Trust weight: 1.0×
Increased +114%
% of portfolio
0.0%
Position change
+114%
0.0% of D.E. Shaw & Co's portfolio
Trust weight: 1.0×
Decreased −31%
% of portfolio
0.1%
Position change
−31%
0.1% of AQR Capital Management's portfolio
Trust weight: 1.2×
Decreased −54%
% of portfolio
0.1%
Position change
−54%
0.1% of Tudor Investment's portfolio
Portfolio Allocation
How much of each investor's portfolio is allocated to OVINTIV INC
⚠ Disclaimer: This page is for informational purposes only. Holdings data from SEC EDGAR 13F filings, delayed up to 135 days. Not a recommendation to buy or sell OVINTIV INC or any security.

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