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GTGTE

Gran Tierra Energy Inc.

$GTE·$364M·Oil & Gas Exploration & Production·Energy
$10.30+0.6%YTD+139.8%1Y+151.2%
Price updated 9h ago·X counts updated 6d ago
GTGTE
$GTEGran Tierra Energy Inc.
$10.30+0.59%13 posts
AI analysisFundamentalsVoices on X
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On X

The complete picture of $GTE on X — how loud the conversation is right now, how it has trended over the last two weeks, and which way the crowd is leaning.

13X posts · last 7 days
Sep 1Sep 13
Bullish sentimentAI analysisGenerated by AI from underlying data7 posts analyzed · as of 2026-08-13

X users are bullish on Gran Tierra Energy after the $1.33B sale of Colombia and Ecuador oil assets to Maurel & Prom, described as remarkable and validating Gary Guidry's leadership. Posters cite LM Asset Management building a consistent position and note the stock got a 25% pop on earnings, breaking above the neckline of a technical setup that was alerted at roughly $6.50 in July.

Read what X is saying about $GTE

  • Bullish vs bearish call — with the AI summary of the day's posts
  • Divergence flag when the top-engagement posts argue the other side
  • How loud the conversation is versus this ticker's own normal
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AI verdictAI analysisGenerated by AI from underlying data

TickerTalks' own read on what's driving $GTE — fundamentals, momentum, or an event — and whether it agrees with the X crowd.

Hinges on a big eventAcceleratingAI verdict · as of 2026-09-18

The move is getting stronger, with heavier trading behind it.

Colombian E&P up 140% YTD on a $1.33B asset sale to Maurel & Prom.

Gran Tierra Energy has stepped up materially this year on a transformative asset sale and an activist rebuild — the tape is following the balance-sheet story, not the earnings track.

  • Announced the $1.33B sale of Colombia and Ecuador oil assets to Maurel & Prom — the deal is the whole trade this year.
  • Equinox Partners' Schedule 13D/A shows an 11.7% aggregate stake as of Aug 11 — an activist holder with meaningful influence on capital allocation.
  • Q2 EPS $0.70 versus $1.19 estimate — a 41% miss (the trailing quarters are deeply negative), but the debt-restructuring narrative is what the market is trading.
  • Announced a consent solicitation on Senior Secured Amortizing Notes due 2031 Sept 11 to pave the way for the transaction.

Q3 print Nov 3, definitive closing of the Maurel & Prom sale, and Equinox's next move are the swing factors.

Agrees with X sentimentX frames GTE around the $1.33B asset sale and technical breakout — matches the M&A disclosure and Equinox 13D/A activity.

What to watch: Definitive Maurel & Prom closing, Q3 earnings Nov 3, and any Equinox 13D/A escalation.

On the calendar: Q3 earnings on 2026-11-03

Read the AI verdict on $GTE

  • One-line verdict on what's driving the move — fundamentals, momentum, both, or an event
  • Next dated catalyst when there is one (earnings, deal closing, activist clock)
  • Whether TickerTalks' read agrees with or diverges from the X crowd
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What it does

Plain-English summary of the business — what they sell and how they make money.

Oil explorer and producer focused entirely on Colombia and Ecuador, with assets in established Andean Basin plays.

Industry overviewAI analysisGenerated by AI from underlying data

Where Oil & Gas Exploration & Production sits in its cycle right now — and what that implies for $GTE.

Oil & Gas Exploration & Production · Energy

Crude oil above $100 following Houthi seizure of a Red Sea port is the immediate geopolitical supply driver — WTI and Brent held bullish breakouts with analysts flagging value in beaten-down E&P names. LNG export demand is the secular tailwind for Appalachian gas producers; Permian consolidation is rationalizing costs and lifting FCF conversion.

What this means for $GTE

Partial — Gran Tierra's Colombia and Ecuador oil production captures $100+ Brent prices at the wellhead; political and security risk in Andean basins is the persistent overhang limiting valuation expansion.

Industry benchmark

27-name peer basket
+46.3%YTD
+35.5%1Y

Fundamentals & catalyst

Profitability, valuation, and the next earnings event — at a glance, with rule-of-thumb signals.

Key ratios

P/E
-1.3How much investors are paying per dollar of profit the company actually earned in the last 12 months. Lower means the stock looks cheaper relative to earnings.~15–25 is typical for the S&P 500; high-growth names trade 30+; hyper-growth or speculative can be 100+ or negative.
ROIC
0.9%What percentage return the business earns on every dollar of capital (equity + debt) deployed in operations. The cleanest measure of business quality.Above ~15% is high-quality; consistently above 25% suggests a real moat. Below the company's cost of capital is value-destroying.
Op margin
1.8%Operating profit (after sales, marketing, R&D, and overhead but before interest and taxes) as a percentage of revenue. The clearest view of how well the underlying business is run.Mature business above 20% is healthy; software businesses can run 30%+; commodity / retail businesses operate in single digits.
FCF yield
80.7%Free cash flow (operating cash flow minus capex) divided by the company's market cap. The cash-on-cash return you'd get owning the whole business at today's price.Above ~5% is attractive; below ~2% means you're paying up for growth. Capital-light businesses (software) run higher than capital-heavy ones (utilities).
P/S
0.5Same idea as P/E but per dollar of revenue. Useful for companies that aren't profitable yet, where P/E is meaningless.Under ~2 is cheap; software / SaaS often runs 8–15; well above 20 implies the market is pricing in very high future growth.
ROE
-122%Net income as a percentage of shareholders' equity. Similar to ROIC but counts only the equity side.Above 20% is strong, but can be inflated by leverage — a heavily indebted company can show high ROE with weak underlying ROIC.
Gross margin
27.0%Revenue minus the direct cost of producing what was sold, as a percentage of revenue. The first read on whether the product is structurally profitable.Software / SaaS is typically 70%+; consumer goods 30–50%; commodity / hardware businesses can be under 20%.
D/E
4.5Total debt divided by shareholders' equity. Measures how much the business runs on borrowed money versus owner capital.Under 1 is conservative; 1–2 is typical for mature businesses; over 2 is leveraged and more sensitive to interest rates.

Past earnings

QuarterReportedActualEstimateSurprise
Q2 2026Aug 4, 2026$0.70$1.19-41.2%
Q1 2026May 7, 2026$-3.38$-2.66-27.1%
Q4 2025Mar 3, 2026$-3.98$-0.16-2387.5%
Q3 2025Oct 30, 2025$-0.57——
Next earningsTue, Nov 3·consensus EPS $0.33

Quarterly trend

QuarterRevenueYoYGrossOpEPSFCF
Q2 FY26$187.2M+22.8%70.4%24.2%$0.70$-3.6M
Q1 FY26$172.1M+0.9%17.9%-3.0%$-3.38$131.2M
Q4 FY25$124.4M-15.5%-2.8%-19.3%$-3.98$95.0M
Q3 FY25$149.3M-1.4%7.8%-3.1%$-0.57$46.8M

Forward consensus

4-year forecast · up to 3 analysts
FYRevenueRangeEPSRangeAnalysts
FY26$680.0M$607.6M – $756.9M-$2.00-$2.30 – -$1.731
FY27$736.1M$658.3M – $829.0M$0.10$0.08 – $0.113
FY28$793.5M$741.0M – $846.0M-$0.59-$0.67 – -$0.512
FY29$765.7M$684.2M – $852.3M-$0.38-$0.44 – -$0.331

Setup & momentum

Volume, range, and moving-average position — the technical setup driving short-term moves.

Right now

Vol vs 30dToday's traded share volume divided by the average over the prior 30 trading days. ≥3× signals unusual interest; below 1× is quiet.0.9×Today's traded share volume divided by the average over the prior 30 trading days. ≥3× signals unusual interest; below 1× is quiet.
52w rangeWhere the latest close sits between the 52-week low (0%) and high (100%). Above 80% is extended; below 30% is basing or in a downtrend.86%Where the latest close sits between the 52-week low (0%) and high (100%). Above 80% is extended; below 30% is basing or in a downtrend.
vs 50d MALatest close vs the 50-day simple moving average. Positive = short-term trend is up.+16.8%Latest close vs the 50-day simple moving average. Positive = short-term trend is up.
vs 200d MALatest close vs the 200-day simple moving average. Positive = long-term trend is up.+41.0%Latest close vs the 200-day simple moving average. Positive = long-term trend is up.

Insider activity

Recent open-market buys and sells by officers and directors — flagged when multiple insiders cluster.

Recent transactions

SellAug 14Equinox Partners Investment Management Llc10% owner348.0K sh$3.2MSellAug 13Equinox Partners Investment Management Llc10% owner327.0K sh$3.0MSellAug 12Equinox Partners Investment Management Llc10% owner165.4K sh$1.6MSellAug 11Equinox Partners Investment Management Llc10% owner248.5K sh$2.3MSellAug 10Equinox Partners Investment Management Llc10% owner113.7K sh$1.0MSellAug 7Equinox Partners Investment Management Llc10% owner104.3K sh$944KSellAug 6Equinox Partners Investment Management Llc10% owner1.1M sh$10.1MSellAug 6Equinox Partners Investment Management Llc10% owner1.1M sh$10.0MSellAug 5Equinox Partners Investment Management Llc10% owner506.3K sh$5.4MBuyAug 4Lm Asset Management Inc.10% owner34.0K sh$234K
1–10 of 20
+ 52 other (41 awards · 7 returns · 4 exempts) in window

See when $GTE insiders are putting their own money in

  • Real-time open-market buys and sells from Form 4 filings
  • Cluster-buy detection when multiple insiders pile in at once
  • 30 / 60 / 180-day windows so you can spot building conviction
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SEC filings

Material 8-K, 13D, S-3, and 424B5 events from the last 180 days — the filings that actually move the price.

Recent material filings

SC 13D/AActivist amendmentAug 13SC 13D/A
AI summary

Equinox Partners Investment Management LLC and affiliated entities filed a Schedule 13D/A (Amendment No. 4) on August 13, 2026 disclosing updated beneficial ownership in Gran Tierra Energy Inc. (GTE), an oil and gas company. As of August 11, 2026, Equinox Partners Investment Management LLC held 4,149,531 shares representing 11.7% of GTE's outstanding common stock, with shared voting and dispositive power; Equinox Partners, L.P. separately holds 1,680,415 shares (4.8%) and Kuroto Fund LP holds 429,147 shares. The investment advisor is registered in Delaware and manages the position across client accounts. A 13D/A filing signals that a material activist or strategic shareholder has updated its position, and the 11.7% aggregate stake gives Equinox meaningful influence over corporate decisions at Gran Tierra.

SC 13D/AActivist amendmentAug 7SC 13D/A
AI summary

Equinox Partners Investment Management LLC 2 Check the approp amended its 13D filing disclosing a beneficial ownership position of 13.5% in GTE (GTE) as of 2026-08-07. The filer indicated plans: plan, Wolff & Cohen P. This is a material ownership disclosure indicating significant shareholder interest that may signal activist or strategic intent. Investors should monitor for further 13D amendments, which could indicate evolving positions or demands on management.

8-KMaterial agreementAug 58-K — Item 1.01: Material agreement · Item 8.01: Other event
AI summary

GRAN TIERRA ENERGY INC. (GTE) entered into Purchase Agreement (the “Share Purchase Agreement”) with Gran Tierra Energy International Holdings with a counterparty on 2026-08-05, involving $1.33 billion. Other items: Item 8.01. . This is a material definitive agreement (Item 1.01) requiring immediate disclosure under SEC rules. Investors should review the agreement terms for financial obligations, dilution, or strategic implications.

8-KShareholder voteMay 128-K — Item 5.07: Shareholder vote
+ 11 other (3 earnings 8-Ks · 2 13Gs · 2 proxys · 2 10-Qs) in window

Recent news

Latest headlines from major outlets, sourced and timestamped — context for whatever just moved.

Gran Tierra Energy Inc. Announces Consent Solicitation for Senior Secured Amortizing Notes due 2031globenewswire.com·8d agoGran Tierra Energy: Selling Its Biggest Assets Could Create More Valueseekingalpha.com·19d agoGran Tierra Energy Q2 Earnings Call Highlightsmarketbeat.com·41d agoGran Tierra Energy Inc. (GTE) Q2 2026 Earnings Call Transcriptseekingalpha.com·45d agoGran Tierra soars on $1.3 billion South America saleproactiveinvestors.com·46d ago

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Voices on X · last 7 days

No standout posts about $GTE on X in the last 7 days.

TickerTalks is a research tool, not financial advice. We surface social-attention data; we do not make stock recommendations. Past attention is not predictive of future price movements.

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