
Kalkine's Global Tariff Report offers independent, data-driven analysis of key global sectors impacted by tariff adjustments. It evaluates the potential implications these changes may have for equity valuations within those industries. The report prioritizes trade-sensitive sectors, which typically face increased investor scrutiny during periods of tariff uncertainty, while also identifying defensive and countercyclical segments that demonstrate resilience or potential for outperformance amidst global trade disruptions.
As illustrated in the table below, several key sectors in different countries are directly impacted by the recent tariff announcement from President Trump.


Key Developments (as of August 25th, 2025)
Canada
India
China
European Union

In June 2025, Canada’s total trade in goods and services reached roughly CAD ~79.7 bn in exports and CAD ~86.2 bn in imports, resulting in a combined trade deficit of CAD ~6.5 bn. This was slightly wider than May’s CAD ~6.5 bn deficit, as rising imports outpaced modest export growth.
Overall, modest gains in goods exports helped partially offset rising imports, though weak metal, auto, and service exports kept the trade recovery uneven across sectors.







Amid elevated Market Volatility and Tariff pressures, Advantage Energy Ltd. (TSX: AAV) stands out as our defensive pick within the Oil sector, supported by rigorous fundamental and technical research.
Section1: Company Overview and Fundamental Insights:

Advantage Energy Ltd (TSX: AAV) supplies clean, affordable, reliable, and sustainable Canadian energy to power the needs of Canada and the world. It is focused on the development and delineation of its Montney natural gas and liquids resource at Glacier, Wembley/Pipestone, Valhalla, and Progress, Alberta.
Kalkine’s Global Tariff Report covers the Investment Highlights, Key Financial Metrics, Risks, Technical Analysis along with the Valuation, Target Price, and Recommendation on the stock.





The top 10 shareholders together form ~30.39% of the total shareholding. EdgePoint Investment Group Inc. and Mackenzie Investments hold a maximum stake in the company at ~10.38% and ~6.77%, respectively.


The company reported rising financials in Q2 2025, where it clocked healthy growth under its Natural Gas and Liquids Sales and Net Income, which is a key positive. Furthermore, it witnessed elevated Adjusted Funds Flow and Cash provided by Operating Activities, displaying its decent cash generation ability.

Section 2: Business Updates and Financial Highlights

The picture below gives an overview of the company’s recent activities, such as an announcement regarding Strategic and Structural Upside and Track Record of Repurchases.



Section 3: Key Risks and Company Outlook

Section 4: Stock Recommendation Summary


The stock has witnessed an upside of ~3.91% and a downside of ~5.47% over the last 1 week and 3 months respectively. Moreover, it is trading above the average 52-week high price of CAD 12.75 and 52-week low price of CAD 7.81, providing an opportunity to ride the trend.



Valuation Methodology: EV to Sales Based Relative Valuation (Illustrative):


Markets are trading in a highly volatile zone currently due to certain macroeconomic issues and geopolitical tensions prevailing. Therefore, it is prudent to follow a cautious approach while investing.
Note 1: Past performance is not a reliable indicator of future performance.
Note 2: The reference date for all price data, currency, technical indicators, support, and resistance levels is August 22, 2025. The reference data in this report has been partly sourced from REFINITIV.
Note 3: Investment decisions should be made depending on an individual's appetite for upside potential, risks, holding duration, and any previous holdings. An 'Exit' from the stock can be considered if the Target Price mentioned as per the Valuation and or the technical levels provided has been achieved and is subject to the factors discussed above.
Note 4: Dividend Yield may vary as per the stock price movement.
Note 5: Kalkine reports are prepared based on the stock prices captured either from REFINITIV or Trading View. Typically, REFINITIV or Trading View may reflect stock prices with a delay which could be a lag of 25-30 minutes. There can be no assurance that future results or events will be consistent with the information provided in the report. The information is subject to change without any prior notice.
Technical Indicators Defined: -
Support: A level at which the stock prices tend to find support if they are falling, and a downtrend may take a pause backed by demand or buying interest. Support 1 refers to the nearby support level for the stock and if the price breaches the level, then Support 2 may act as the crucial support level for the stock.
Resistance: A level at which the stock prices tend to find resistance when they are rising, and an uptrend may take a pause due to profit booking or selling interest. Resistance 1 refers to the nearby resistance level for the stock and if the price surpasses the level, then Resistance 2 may act as the crucial resistance level for the stock.
Stop-loss: It is a level to protect further losses in case of unfavourable movement in the stock prices.
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Past performance is not a reliable indicator of future performance.