` ARX (ARC Resources Ltd) vs S&P TSX Composite Index (Canada) Comparison - Alpha Spread

ARX
vs
S&P TSX Composite Index (Canada)

Over the past 12 months, ARX has underperformed S&P TSX Composite Index (Canada), delivering a return of 13% compared to the S&P TSX Composite Index (Canada)'s 16% growth.

Stocks Performance
ARX vs S&P TSX Composite Index (Canada)

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ARX
S&P TSX Composite Index (Canada)
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Performance Gap
ARX vs S&P TSX Composite Index (Canada)

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ARX
S&P TSX Composite Index (Canada)
Difference

Performance By Year
ARX vs S&P TSX Composite Index (Canada)

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ARX
S&P TSX Composite Index (Canada)
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Competitors Performance
ARC Resources Ltd vs Peers

S&P TSX Composite Index (Canada)
ARX
COP
600938
CNQ
EOG
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ARC Resources Ltd
Glance View

Economic Moat
None
Market Cap
17.1B CAD
Industry
Energy

ARC Resources Ltd., a prominent Canadian energy company, has carved out a significant niche in the natural resource sector, specializing primarily in oil and natural gas production. Born from a lineage of strategic acquisitions and capital discipline, ARC has honed its operations across the Montney formation, a prolific shale basin in Western Canada known for its rich reserves. The company's strategic placement helps it to maintain a diversified portfolio of high-quality, long-life assets, allowing ARC to weather the fluctuations of the volatile energy markets. This focus on premier assets is complemented by a robust technological capability that enhances extraction efficiency and supports sustainable practices, fostering a balance between financial performance and environmental stewardship. With a business model heavily reliant on the extraction, processing, and sale of hydrocarbons, ARC Resources generates revenue by selling natural gas and oil in both domestic and international markets. Its operational strategy emphasizes maximizing cash flow and shareholder value through prudent cost management and capital allocation. By employing advanced drilling techniques and leveraging economies of scale, ARC optimizes production rates and lowers per-unit costs, driving profitability. Additionally, the company adheres to a systematic hedging program, safeguarding against price volatility and ensuring stable financial performance. This blend of strategic asset management, technological investment, and risk mitigation frames ARC Resources as a resilient player in the energy landscape, poised to adapt to the shifting dynamics of the global market.

ARX Intrinsic Value
30.19 CAD
Undervaluation 3%
Intrinsic Value
Price
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