Greenfire Resources Ltd. logo

Greenfire Resources Ltd.

GFR

NYSEEnergyOil & Gas Exploration & Production

Previous close

$6.45

+$0.08 · +1.26%

Aug 21, 4:00 PM ET

Pre-market

$6.46

+$0.01 · +0.16%

Aug 24, 7:00 AM ET

GFR company overview

Regular session · ET · Market data may be delayed.

GoAI snapshot

AI-powered factor overview

Jul 10, 2026

GoAI score

Sell

Trim exposure — unfavorable risk-reward

Valuation

27

Expensive

Momentum

40

Weakening

Sentiment

59

Mixed

Risk resilience

65

Moderate Risk

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Company profile

Company website

Greenfire Resources Ltd., operating through its various subsidiaries, is actively involved in the exploration, development, and management of oil and gas properties. These significant holdings are located specifically within Alberta's Athabasca oil sands region. The company is responsible for a portfolio of premier, "Tier-1" oil sands assets across Western Canada. For the extraction of bitumen, Greenfire employs Steam-Assisted Gravity Drainage (SAGD), a specialized thermal recovery technique. Its corporate headquarters are located in Calgary, Canada.

Industry
Oil & Gas Exploration & Production
Sector
Energy
Headquarters
CA
CEO
Adam R. Waterous
Listed since
Dec 13, 2021
Employees
197

Market position

Day range

Current $6.45

52-week range

Current $6.45

Open
$6.40
Previous close
$6.37
Volume
900.4K
3.54× average
Average volume
254.55K
Average daily volume
Market cap
466.91M USD
Beta
0.19
Market reference 1
50-day average
$6.0624
+6.39% above average
200-day average
$5.6997
+13.16% above average

Financials

Financial snapshot

Latest / TTM

Valuation & yield

Enterprise value
436.92M CAD
P/E (TTM)
-10.26×
P/B (TTM)
0.98×
P/S (TTM)
1.07×
EV / EBITDA
2.41×
Earnings yield
10.05%
Free cash flow yield
5.13%
Dividend yield
0.00%

Profitability & efficiency

Gross margin
44.33%
Operating margin
12.92%
Net margin
-6.14%
Return on equity
4.07%
Return on assets
3.69%
Return on invested capital
4.26%

Financial health

Debt / equity
0.03×
Current ratio
1.56×

Financial statements

Margin trends

Profitability as a percentage of reported revenue.

Gross marginOperating marginNet margin
Gross, operating, and net margin trends281%171%62%-47%Gross margin, FY2021: 53.40%Gross margin, FY2022: 51.33%Gross margin, FY2023: 41.34%Gross margin, FY2024: 32.64%Gross margin, FY2025: 44.43%Operating margin, FY2021: 30.29%Operating margin, FY2022: 27.08%Operating margin, FY2023: -8.55%Operating margin, FY2024: 28.74%Operating margin, FY2025: 9.83%Net margin, FY2021: 253.30%Net margin, FY2022: 13.18%Net margin, FY2023: -20.07%Net margin, FY2024: 15.35%Net margin, FY2025: 7.87%FY2021FY2022FY2023FY2024FY2025
Gross margin FY2021 53.40%. Gross margin FY2022 51.33%. Gross margin FY2023 41.34%. Gross margin FY2024 32.64%. Gross margin FY2025 44.43%. Operating margin FY2021 30.29%. Operating margin FY2022 27.08%. Operating margin FY2023 -8.55%. Operating margin FY2024 28.74%. Operating margin FY2025 9.83%. Net margin FY2021 253.30%. Net margin FY2022 13.18%. Net margin FY2023 -20.07%. Net margin FY2024 15.35%. Net margin FY2025 7.87%.

Income trends

Revenue

603.3M CAD-23.72%

Operating income

59.28M CAD-73.92%

Net income

47.5M CAD-60.87%
Income trends across reported periods1.11B CAD658.49M CAD204.69M CAD−249.12M CADRevenue, FY2021: 261.13M CADRevenue, FY2022: 998.85M CADRevenue, FY2023: 675.97M CADRevenue, FY2024: 790.95M CADRevenue, FY2025: 603.3M CADOperating income, FY2021: 79.11M CADOperating income, FY2022: 270.49M CADOperating income, FY2023: −57.81M CADOperating income, FY2024: 227.28M CADOperating income, FY2025: 59.28M CADNet income, FY2021: 661.44M CADNet income, FY2022: 131.7M CADNet income, FY2023: −135.67M CADNet income, FY2024: 121.41M CADNet income, FY2025: 47.5M CADFY2021FY2022FY2023FY2024FY2025
Revenue FY2021 261.13M CAD. Revenue FY2022 998.85M CAD. Revenue FY2023 675.97M CAD. Revenue FY2024 790.95M CAD. Revenue FY2025 603.3M CAD. Operating income FY2021 79.11M CAD. Operating income FY2022 270.49M CAD. Operating income FY2023 −57.81M CAD. Operating income FY2024 227.28M CAD. Operating income FY2025 59.28M CAD. Net income FY2021 661.44M CAD. Net income FY2022 131.7M CAD. Net income FY2023 −135.67M CAD. Net income FY2024 121.41M CAD. Net income FY2025 47.5M CAD.
Metric (CAD)FY2025FY2024FY2023FY2022FY2021
Revenue603.3M CAD790.95M CAD675.97M CAD998.85M CAD261.13M CAD
Cost of goods sold335.29M CAD532.75M CAD396.5M CAD486.11M CAD
Gross profit268.02M CAD258.2M CAD279.47M CAD512.74M CAD139.44M CAD
Selling, general, and administrative75.71M CAD30.91M CAD77.02M CAD78.86M CAD3.64M CAD
Operating expenses208.74M CAD30.91M CAD337.28M CAD242.26M CAD716.33K CAD
Interest income−7.91M CAD
Interest expense41.66M CAD48.52M CAD46.68M CAD76.33M CAD25.05M CAD
Depreciation and amortization84.25M CAD80.42M CAD67.89M CAD67.87M CAD
Operating income59.28M CAD227.28M CAD−57.81M CAD270.49M CAD79.11M CAD
Net income47.5M CAD121.41M CAD−135.67M CAD131.7M CAD661.44M CAD

Company facts updated Aug 24, 2026.

Corporate actions

Corporate action history

Stock split

Effective Nov 17, 2025

561:500

GFR peers

ETFs holding GFR

Funds reporting this stock among their holdings, ordered by reported position size.

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