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ACX
ACT Energy Technologies Ltd. – TSX
“Patience reduces risk more reliably than prediction.”
Weekly Share Price & Valuation Overview
Market Overview
Open
4.7000
Close
4.7200
High
4.7500
Low
4.6600
Trend
0.10008

ACT Energy Technologies Ltd.

Canada • TSX - Toronto Stock Exchange • ACX • Currency: CAD

ACT Energy Technologies Ltd., together with its subsidiaries, provides directional drilling services to oil and natural gas companies in Canada and the United States. It offers remote directional and measurement-while-drilling (MWD), automated gamma, drilling optimization, and well planning and rotary steerable services. The company also offers mud motors, MWD technology solutions, rotary steerable systems, drilling motors and components, and downhole technology products. It is also involved in the operation of real-time operations centers, that offers continuous monitoring, collaboration, and optimization services; and provision of equipment rental, training, maintenance, and repair services. The company was formerly known as Cathedral Energy Services Ltd. and changed its name to ACT Energy Technologies Ltd. in July 2024. ACT Energy Technologies Ltd. was founded in 1998 and is headquartered in Calgary, Canada.

Key strengths
  • ROE ≥15% reflects strong returns on shareholder equity.
  • Earnings growth ≥10% supports improving profitability trajectory.
  • Quick ratio ≥1.0 indicates obligations can be met without inventory.
Scale & Structure Core size and share structure. TTM values unless noted. “Estimated” where reconciled from per-share × shares.
Market Cap Total equity value of the company (share price × shares outstanding).
CAD 163.57M
Enterprise Value Operating value: market cap + total debt − cash.
CAD 247.79M
Total Revenue (TTM) Sales over the last twelve months. May be estimated from revenue per share when inconsistent.
CAD 523.90M
Gross Profit (TTM) Revenue minus cost of goods sold over the last twelve months. Hidden for financial institutions or if redundant.
CAD 140.76M
EBITDA (TTM) Earnings before interest, taxes, depreciation and amortization (TTM). Hidden for financials or if implausible.
CAD 72.77M
Revenue per Share (TTM) Total revenue divided by shares outstanding (may be estimated).
CAD 15.25
EPS (TTM) Earnings per share over the last twelve months (may be estimated from net income ÷ shares).
0.99
Shares Outstanding
33.94M
Float Shares
21.01M
Implied Shares Outstanding
34.92M
Profitability & Efficiency TTM basis. “Reconciled” = numerator ÷ TTM revenue. Margins reflect latest TTM calculations.
Operating Margin (TTM) Operating income ÷ revenue over the last twelve months (reconciled when possible).
4.48%
EBITDA Margin (TTM) Reconciled EBITDA ÷ revenue over the last twelve months (suppressed if EBITDA implausible/financials).
13.89%
Gross Margin (TTM) Reconciled Gross profit ÷ revenue over the last twelve months (reconciled when possible).
26.87%
Profit Margin (TTM) Net income ÷ revenue over the last twelve months (reconciled when possible).
7.32%
ROA Return on assets: net income ÷ total assets.
5.98%
ROE Excellent Return on equity: net income ÷ shareholder equity.
17.64%
Growth Growth rates are YoY unless labeled QoQ.
Revenue Growth Year-over-year revenue growth.
-14.00%
Earnings Growth (YoY) Strong Year-over-year earnings growth.
30.00%
Liquidity & Solvency Balance-sheet health. Debt metrics shown as latest ratios; D/E is a ratio (not %).
Quick Ratio Adequate Liquid current assets ÷ current liabilities (ex-inventory).
1.21
Debt to Equity Total debt ÷ shareholder equity; leverage.
0.46
Total Cash Cash and equivalents.
CAD 24.05M
Total Debt Short + long-term interest-bearing debt.
CAD 108.27M
Net Debt Total debt − cash (negative = net cash).
CAD 84.23M
Debt / EBITDA Leverage relative to operating earnings; lower is safer.
1.49
Cash Flow Shown only when internally consistent; margins are TTM.
Operating Cash Flow (TTM) Cash generated by core operations (pre-capex).
CAD 85.03M
Free Cash Flow (TTM) Cash after capex; funds buybacks, dividends, and debt paydown.
CAD 18.40M
OCF Margin (TTM) Operating cash flow ÷ revenue (TTM).
16.23%
FCF Margin (TTM) Free cash flow ÷ revenue (TTM).
3.51%
Cash Conversion (OpCF/EBITDA)
1.17
Sharemaestro House View
Confidence: 1 Sharemaestro internal conviction (0–3, higher is better). Risk: 1 Sharemaestro internal risk profile (0–3, higher is safer). Operational: 2 Operational quality/consistency (0–3, higher is better). Composite Score: 1 Overall internal composite (0–3, higher is better). Suggested Allocation: 1.67% Indicative portfolio weighting suggestion based on house view.
Structural Insights (experimental)
Ownership & Liquidity
Free Float Proportion of shares available for public trading. 61.9%
Insiders Shares held by company insiders (officers, directors). 7.4%
Institutions Shares held by institutions (funds, pensions). 30.3%
Capital Structure
Potential Dilution Increase in share count if options/convertibles exercise.
2.9%
Net Debt Total debt − cash (negative = net cash).
CAD 84.23M
16.1% of revenue Net debt relative to revenue — debt load vs business scale.
Resilience Score 0–100 composite of liquidity, leverage and cash conversion; higher is better. If inputs are unavailable, we estimate using proxies (Net debt vs revenue, Cash-to-Debt). It is a guide, not a rating. 74
Methodology Notes
  • Margins shown on a TTM basis. “Reconciled” = numerator ÷ TTM revenue for internal consistency.
  • Cash Flow section is displayed only when figures are self-consistent (and hidden for financials).
As of: 2025-09-09 12:46

Disclaimer: Information is compiled from publicly available sources and is subject to errors and omissions. It is provided as a guide only and does not constitute investment advice. Please do your own research.

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