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Annual figures as reported in 10-K / 20-F / 40-F filings.
GFR · CIK 0001966287

Greenfire Resources Ltd.

Annual figures as reported, FY2021–FY2025. Ratios and growth rates derived on-page.

GFR logo
Crude Petroleum & Natural Gas
Company profile
NYSE · GFRHQ CalgaryIncorporated in A0Fiscal year ends Dec 31 Emerging growth companyReports in CAD
Revenue
C$584.4M
▼ −26.1% vs FY2024
Net income
C$47.5M
▼ −60.9% vs FY2024
Free cash flow
C$24.7M
▼ −56.8% vs FY2024
Diluted EPS
C$0.66
▼ −61.2% vs FY2024

Revenue

Annual, as reported

0250M500M750M’21’22’23’24’25C$584.4M

Net income

Losses shown in terracotta

0200M400M600M’21’22’23’24’25C$47.5M

Profitability & returns

quality of earnings

Margins

Share of revenue kept at each line

0%100%200%’21’22’23’24’25
Gross marginNet margin

Returns on capital

Net income vs year-end equity and assets

-10%0%10%’22’23’24’25
Return on equityReturn on assets

Cash flow

cash generation

Free cash flow

Operating cash flow less capital expenditure

050M100M’21’22’23’24’25C$24.7M

Operating cash flow

Net cash from operations

050M100M150M’21’22’23’24’25C$136.5M

Shareholder returns

capital allocation

Capital returned

Cash paid out as dividends and share repurchases

020M40M’23
Dividends paid

Diluted shares outstanding

Falling count means buybacks outpace dilution

020M40M60M’21’22’23’24’2572,476

Balance sheet

financial position

Stockholders’ equity

At fiscal year end

0500M1B’22’23’24’25C$1.2B

Net debt

Long-term debt less cash — negative means net cash

0100M200M’22’23’24C$261.5M

Growth rates

compounding, annualized
Revenue CAGR
−14.9%
3y
Net income CAGR
−28.8%
3y
Diluted EPS CAGR
−29.5%
3y
Free cash flow CAGR
−41.8%
3y

Key ratios

derived per fiscal year
Fiscal yearGross marginNet marginFCF marginROEROACurrent ratioDebt / equity
FY2025107.3%8.1%4.2%4.1%3.7%1.56×—
FY202496.5%15.4%7.2%14.8%9.7%0.43×0.40×
FY2023102.5%−20.8%8.1%−19.5%−11.6%1.26×0.54×
FY202287.2%13.9%13.2%15.7%11.2%0.90×0.30×
FY202185.0%253.3%10.5%————

Annual figures

as reported
Fiscal yearRevenueGross profitOp. incomeNet incomeDiluted EPSOp. cash flowCapexTotal assetsLiabilitiesEquityCashLT debt
FY2025C$584.4MC$627.0M—C$47.5MC$0.66C$136.5MC$111.8MC$1.3BC$118.6MC$1.2BC$42.0M—
FY2024C$790.9MC$763.5M—C$121.4MC$1.70C$144.5MC$87.4MC$1.3BC$436.0MC$821.4MC$67.4MC$328.9M
FY2023C$652.3MC$668.7M—−C$135.7M−C$2.49C$86.5MC$33.4MC$1.2BC$478.5MC$695.0MC$109.5MC$376.4M
FY2022C$948.8MC$827.3M—C$131.7MC$1.88C$164.7MC$39.6MC$1.2BC$336.5MC$837.8MC$35.4MC$254.4M
FY2021C$261.1MC$221.8M—C$661.4MC$13.75C$32.0MC$4.6M———C$60.9M—

Latest filings

the most recent regulatory filings
6-KREPORT OF FOREIGN PRIVATE ISSUER2026-05-08 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2026-05-06 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2026-04-16 ↗40-FANNUAL REPORT2026-03-13 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2026-03-13 ↗SCHEDULE 13G/ASEC filing2026-02-17 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2025-12-23 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2025-12-22 ↗6-KREPORT OF FOREIGN PRIVATE ISSUER2025-12-17 ↗SCHEDULE 13D/ASEC filing2025-11-18 ↗

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