Enerflex Ltd

Aktienanalyse zu Enerflex Ltd (EFXT)

$20.000

-0.770 (-3.85%)Zum Schluss

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High
20.790
Open
20.790
VWAP
20.25
Vol
288.80K
Mkt Cap
654.66M
Low
19.970
Amount
5.85M
EV/EBITDA, TTM
6.94

Enerflex Ltd. is an integrated global provider of energy infrastructure and energy transition solutions, deploying natural gas, low-carbon, and treated water solutions from individual, modularized products and services to integrated custom solutions. Its segments include North American, Latin America, and Eastern Hemisphere. Its product lines include Energy Infrastructure, After-Market Services, and Engineered Systems. Its Energy Infrastructure includes Infrastructure solutions under contract for natural gas processing, compression, treated water, and electric power. Its After-Market Services consist of providing mechanical maintenance, parts distribution, operations and maintenance solutions, equipment optimization and maintenance programs, manufacturer warranties, exchange components, and long-term service agreements. Its Engineered Systems include engineering, design, and manufacturing processing, compression, cryogenic, electric power, and treated water solutions.

AI analysis of Enerflex Ltd (EFXT)

hold

Enerflex Ltd (EFXT) is currently priced at $20, showing a significant 1-year change of +95.31%, indicating strong long-term growth. However, the RSI is at 40.814, suggesting it is not in oversold territory anymore, and the forward P/E ratio is 14.2653, which is reasonable but not particularly low. The main risk is the recent decline in net income, with a drop to -57 million in Q4 2025, which raises concerns about profitability moving forward. Therefore, while the stock has potential, the recent performance and earnings volatility suggest a hold rather than a buy right now.

Bewertungskennzahlen

The current forward P/E ratio for Enerflex Ltd (EFXT) is 14.27, compared to its 5-year average forward P/E of 17.65.

Forward P/E

Fair
5Y Average P/E
17.65
Current P/E
14.27
Überbewertet
37.69
Unterbewertet
-2.39

Forward EV/EBITDA

Overvalued
5Y Average EV/EBITDA
4.43
Current EV/EBITDA
6.94
Überbewertet
6.25
Unterbewertet
2.61

Forward P/S

Overvalued
5Y Average P/S
0.43
Current P/S
0.64
Überbewertet
0.60
Unterbewertet
0.26

Alphio AI Price Scenarios for EFXT

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%EFXT

$7.71

Szenariopreis

B

Base

Base · 50%EFXT

$7.01

Szenariopreis

B

Bear

Bear · 25%EFXT

$5.73

Szenariopreis

Event-Zeitleiste

2026-08-06 (ET)

06:30:00

Enerflex Q2 Revenue at $582M, Down from $615M Last Year

2026-05-07 (ET)

06:20:00

Enerflex Reports Q1 Revenue of $584M

2026-02-25 (ET)

20:30:00

Enerflex Reports Q4 Revenue of $627M

2025-12-01 (ET)

08:20:00

Enerflex Initiates $400 Million Senior Notes Offering to Redeem 2027 Notes

2025-11-24 (ET)

06:16:09

Celine Gerson Joins Enerflex's Board of Directors

News

EFXT FAQ — answered by Alphio AI

Enerflex Ltd. is an integrated global provider of energy infrastructure and energy transition solutions, deploying natural gas, low-carbon, and treated water solutions from individual, modularized products and services to integrated custom solutions. Its segments include North American, Latin America, and Eastern Hemisphere. Its product lines include Energy Infrastructure, After-Market Services, and Engineered Systems. Its Energy Infrastructure includes Infrastructure solutions under contract for natural gas processing, compression, treated water, and electric power. Its After-Market Services consist of providing mechanical maintenance, parts distribution, operations and maintenance solutions, equipment optimization and maintenance programs, manufacturer warranties, exchange components, and long-term service agreements. Its Engineered Systems include engineering, design, and manufacturing processing, compression, cryogenic, electric power, and treated water solutions. It operates in the Energy sector.

Enerflex Ltd (EFXT) is currently priced at $20, showing a significant 1-year change of +95.31%, indicating strong long-term growth. However, the RSI is at 40.814, suggesting it is not in oversold territory anymore, and the forward P/E ratio is 14.2653, which is reasonable but not particularly low. The main risk is the recent decline in net income, with a drop to -57 million in Q4 2025, which raises concerns about profitability moving forward. Therefore, while the stock has potential, the recent performance and earnings volatility suggest a hold rather than a buy right now.

Diese Seite dient nur der Recherche und ist keine Anlageberatung. Modelle können falsch liegen. Vergangene Wertentwicklung ist kein Indikator für die Zukunft.

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