US Stock MarketDetailed Quotes

Centerra Gold (CGAU)

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  • 18.970
  • +0.310+1.66%
Close Apr 24 16:00 ET
  • 18.970
  • 0.0000.00%
Post 18:43 ET
3.79BMarket Cap6.68P/E (TTM)

Centerra Gold (CGAU) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
16.83%348.63M
11.09%103.06M
55.98%161.65M
888.86%25.31M
-41.05%58.61M
21.50%298.4M
-36.21%92.77M
-37.78%103.64M
-92.34%2.56M
199.64%99.43M
Net income from continuing operations
626.41%583.99M
467.20%192.77M
914.82%292.19M
82.04%68.57M
-54.16%30.45M
198.91%80.39M
-82.49%-52.5M
-52.51%28.79M
194.93%37.67M
190.44%66.43M
Operating gains losses
41.71%-46.65M
83.29%-12.56M
-9,291.56%-21.78M
-154.60%-2.57M
0.45%-9.74M
-3,693.53%-80.03M
-2,988.40%-75.19M
146.88%237K
485.25%4.7M
-1,407.49%-9.78M
Depreciation and amortization
-11.50%115.64M
-12.66%27.8M
2.73%36.1M
-7.22%26.88M
-28.40%24.87M
0.75%130.66M
-23.52%31.83M
-19.04%35.14M
19.48%28.97M
69.96%34.73M
Deferred tax
56.96%147.02M
256.19%64.77M
113.90%59.58M
-112.13%-2.16M
-16.87%24.82M
-1.32%93.66M
-53.29%18.18M
-32.87%27.85M
173.46%17.76M
273.36%29.86M
Other non cash items
101.50%291K
67.19%-8.73M
1,211.04%4.39M
-48.89%-6.43M
143.70%8.31M
-136.55%-19.46M
-169.42%-26.61M
-94.19%335K
-140.94%-4.32M
-204.13%-19.01M
Change In working capital
-249.18%-40.29M
-160.22%-21.05M
301.76%27.39M
-165.70%-25.75M
-312.04%-20.88M
-37.53%27.01M
23.76%34.95M
-84.08%6.82M
-120.22%-9.69M
93.31%-5.07M
-Change in receivables
-10,150.74%-74.28M
93.88%2.28M
-5,900.91%-38.29M
-359.87%-5.68M
-27,062.32%-37.21M
-89.08%739K
149.12%1.18M
115.49%660K
-101.99%-1.24M
100.28%138K
-Change in inventory
-1,333.72%-90.49M
-363.88%-40.31M
-1,163.38%-43.74M
-45.61%-15.62M
790.59%9.17M
-81.77%7.34M
3,350.21%15.28M
-76.59%4.11M
-548.37%-10.73M
-106.40%-1.33M
-Change in payables and accrued expense
334.80%117.2M
98.58%42.37M
1,195.29%62.21M
97.66%6.68M
331.50%5.94M
346.59%26.96M
-25.47%21.34M
-82.69%4.8M
119.98%3.38M
94.91%-2.57M
-Change in other current assets
190.71%7.27M
-794.79%-25.39M
1,811.46%47.2M
-902.70%-11.13M
192.69%1.22M
-211.79%-8.02M
-214.53%-2.84M
-255.82%-2.76M
-477.55%-1.11M
-149.90%-1.31M
Cash from discontinued investing activities
Operating cash flow
16.83%348.63M
11.09%103.06M
55.98%161.65M
888.86%25.31M
-41.05%58.61M
21.50%298.4M
-36.21%92.77M
-37.78%103.64M
-92.34%2.56M
199.64%99.43M
Investing cash flow
Cash flow from continuing investing activities
-57.31%-303.92M
-99.87%-94.92M
-30.23%-87.82M
-104.18%-72.62M
-13.71%-48.57M
-113.98%-193.2M
-413.95%-47.49M
-34.31%-67.44M
-56.09%-35.57M
-430.32%-42.71M
Net PPE purchase and sale
-61.69%-296.43M
-193.89%-134.26M
4.86%-62.96M
-76.08%-50.64M
-13.71%-48.57M
-118.80%-183.33M
-33.42%-45.68M
-198.97%-66.18M
-26.22%-28.76M
-822.51%-42.71M
Net business purchase and sale
--41.04M
----
----
----
----
--0
--0
--0
----
----
Net investment purchase and sale
-560.43%-48.54M
5.81%-1.7M
-1,875.91%-24.86M
-412.88%-21.98M
----
---7.35M
---1.81M
---1.26M
---4.29M
----
Net other investing changes
----
----
----
----
----
---2.52M
--0
----
---2.52M
----
Cash from discontinued investing activities
Investing cash flow
-57.31%-303.92M
-99.87%-94.92M
-30.23%-87.82M
-104.18%-72.62M
-13.71%-48.57M
-113.98%-193.2M
-413.95%-47.49M
-34.31%-67.44M
-56.09%-35.57M
-430.32%-42.71M
Financing cash flow
Cash flow from continuing financing activities
-50.27%-140.46M
-64.36%-41.01M
-41.55%-34.38M
-73.71%-38.52M
-20.37%-26.54M
-25.83%-93.47M
-62.28%-24.95M
6.82%-24.29M
-6.44%-22.18M
-83.64%-22.05M
Net issuance payments of debt
-13.01%-11.06M
-17.31%-4.83M
-11.73%-2.23M
1.71%-2.3M
7.55%-2.22M
11.11%-9.79M
32.75%-4.11M
-22.32%-2M
-5.41%-2.34M
-13.01%-2.4M
Net common stock issuance
-119.77%-88.28M
-127.34%-27.21M
-99.59%-21.37M
-186.70%-25.65M
-64.44%-14.06M
-118.75%-40.17M
-620.04%-11.97M
1.13%-10.71M
-25.33%-8.95M
-776.42%-8.55M
Cash dividends paid
5.50%-41.12M
4.65%-9.99M
6.85%-10.28M
2.87%-10.58M
7.55%-10.27M
3.11%-43.51M
5.85%-10.48M
1.02%-11.03M
5.10%-10.9M
0.41%-11.1M
Cash from discontinued financing activities
Financing cash flow
-50.27%-140.46M
-64.36%-41.01M
-41.55%-34.38M
-73.71%-38.52M
-20.37%-26.54M
-25.83%-93.47M
-62.28%-24.95M
6.82%-24.29M
-6.44%-22.18M
-83.64%-22.05M
Net cash flow
Beginning cash position
1.91%624.67M
-7.04%561.8M
-11.83%522.34M
-6.09%608.17M
1.91%624.67M
15.23%612.94M
22.80%604.34M
47.43%592.42M
57.16%647.61M
15.23%612.94M
Current changes in cash
-916.08%-95.74M
-261.63%-32.87M
231.09%39.46M
-55.54%-85.83M
-147.60%-16.5M
-85.52%11.73M
-83.17%20.33M
-86.80%11.92M
-439.27%-55.18M
128.92%34.67M
End cash Position
-15.33%528.93M
-15.33%528.93M
-7.04%561.8M
-11.83%522.34M
-6.09%608.17M
1.91%624.67M
1.91%624.67M
22.80%604.34M
47.43%592.42M
57.16%647.61M
Free cash flow
-54.50%51.92M
-166.35%-31.19M
163.32%98.64M
5.53%-25.58M
-82.29%10.04M
-28.81%114.11M
-57.72%47.01M
-74.06%37.46M
-355.38%-27.08M
153.56%56.72M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 16.83%348.63M11.09%103.06M55.98%161.65M888.86%25.31M-41.05%58.61M21.50%298.4M-36.21%92.77M-37.78%103.64M-92.34%2.56M199.64%99.43M
Net income from continuing operations 626.41%583.99M467.20%192.77M914.82%292.19M82.04%68.57M-54.16%30.45M198.91%80.39M-82.49%-52.5M-52.51%28.79M194.93%37.67M190.44%66.43M
Operating gains losses 41.71%-46.65M83.29%-12.56M-9,291.56%-21.78M-154.60%-2.57M0.45%-9.74M-3,693.53%-80.03M-2,988.40%-75.19M146.88%237K485.25%4.7M-1,407.49%-9.78M
Depreciation and amortization -11.50%115.64M-12.66%27.8M2.73%36.1M-7.22%26.88M-28.40%24.87M0.75%130.66M-23.52%31.83M-19.04%35.14M19.48%28.97M69.96%34.73M
Deferred tax 56.96%147.02M256.19%64.77M113.90%59.58M-112.13%-2.16M-16.87%24.82M-1.32%93.66M-53.29%18.18M-32.87%27.85M173.46%17.76M273.36%29.86M
Other non cash items 101.50%291K67.19%-8.73M1,211.04%4.39M-48.89%-6.43M143.70%8.31M-136.55%-19.46M-169.42%-26.61M-94.19%335K-140.94%-4.32M-204.13%-19.01M
Change In working capital -249.18%-40.29M-160.22%-21.05M301.76%27.39M-165.70%-25.75M-312.04%-20.88M-37.53%27.01M23.76%34.95M-84.08%6.82M-120.22%-9.69M93.31%-5.07M
-Change in receivables -10,150.74%-74.28M93.88%2.28M-5,900.91%-38.29M-359.87%-5.68M-27,062.32%-37.21M-89.08%739K149.12%1.18M115.49%660K-101.99%-1.24M100.28%138K
-Change in inventory -1,333.72%-90.49M-363.88%-40.31M-1,163.38%-43.74M-45.61%-15.62M790.59%9.17M-81.77%7.34M3,350.21%15.28M-76.59%4.11M-548.37%-10.73M-106.40%-1.33M
-Change in payables and accrued expense 334.80%117.2M98.58%42.37M1,195.29%62.21M97.66%6.68M331.50%5.94M346.59%26.96M-25.47%21.34M-82.69%4.8M119.98%3.38M94.91%-2.57M
-Change in other current assets 190.71%7.27M-794.79%-25.39M1,811.46%47.2M-902.70%-11.13M192.69%1.22M-211.79%-8.02M-214.53%-2.84M-255.82%-2.76M-477.55%-1.11M-149.90%-1.31M
Cash from discontinued investing activities
Operating cash flow 16.83%348.63M11.09%103.06M55.98%161.65M888.86%25.31M-41.05%58.61M21.50%298.4M-36.21%92.77M-37.78%103.64M-92.34%2.56M199.64%99.43M
Investing cash flow
Cash flow from continuing investing activities -57.31%-303.92M-99.87%-94.92M-30.23%-87.82M-104.18%-72.62M-13.71%-48.57M-113.98%-193.2M-413.95%-47.49M-34.31%-67.44M-56.09%-35.57M-430.32%-42.71M
Net PPE purchase and sale -61.69%-296.43M-193.89%-134.26M4.86%-62.96M-76.08%-50.64M-13.71%-48.57M-118.80%-183.33M-33.42%-45.68M-198.97%-66.18M-26.22%-28.76M-822.51%-42.71M
Net business purchase and sale --41.04M------------------0--0--0--------
Net investment purchase and sale -560.43%-48.54M5.81%-1.7M-1,875.91%-24.86M-412.88%-21.98M-------7.35M---1.81M---1.26M---4.29M----
Net other investing changes -----------------------2.52M--0-------2.52M----
Cash from discontinued investing activities
Investing cash flow -57.31%-303.92M-99.87%-94.92M-30.23%-87.82M-104.18%-72.62M-13.71%-48.57M-113.98%-193.2M-413.95%-47.49M-34.31%-67.44M-56.09%-35.57M-430.32%-42.71M
Financing cash flow
Cash flow from continuing financing activities -50.27%-140.46M-64.36%-41.01M-41.55%-34.38M-73.71%-38.52M-20.37%-26.54M-25.83%-93.47M-62.28%-24.95M6.82%-24.29M-6.44%-22.18M-83.64%-22.05M
Net issuance payments of debt -13.01%-11.06M-17.31%-4.83M-11.73%-2.23M1.71%-2.3M7.55%-2.22M11.11%-9.79M32.75%-4.11M-22.32%-2M-5.41%-2.34M-13.01%-2.4M
Net common stock issuance -119.77%-88.28M-127.34%-27.21M-99.59%-21.37M-186.70%-25.65M-64.44%-14.06M-118.75%-40.17M-620.04%-11.97M1.13%-10.71M-25.33%-8.95M-776.42%-8.55M
Cash dividends paid 5.50%-41.12M4.65%-9.99M6.85%-10.28M2.87%-10.58M7.55%-10.27M3.11%-43.51M5.85%-10.48M1.02%-11.03M5.10%-10.9M0.41%-11.1M
Cash from discontinued financing activities
Financing cash flow -50.27%-140.46M-64.36%-41.01M-41.55%-34.38M-73.71%-38.52M-20.37%-26.54M-25.83%-93.47M-62.28%-24.95M6.82%-24.29M-6.44%-22.18M-83.64%-22.05M
Net cash flow
Beginning cash position 1.91%624.67M-7.04%561.8M-11.83%522.34M-6.09%608.17M1.91%624.67M15.23%612.94M22.80%604.34M47.43%592.42M57.16%647.61M15.23%612.94M
Current changes in cash -916.08%-95.74M-261.63%-32.87M231.09%39.46M-55.54%-85.83M-147.60%-16.5M-85.52%11.73M-83.17%20.33M-86.80%11.92M-439.27%-55.18M128.92%34.67M
End cash Position -15.33%528.93M-15.33%528.93M-7.04%561.8M-11.83%522.34M-6.09%608.17M1.91%624.67M1.91%624.67M22.80%604.34M47.43%592.42M57.16%647.61M
Free cash flow -54.50%51.92M-166.35%-31.19M163.32%98.64M5.53%-25.58M-82.29%10.04M-28.81%114.11M-57.72%47.01M-74.06%37.46M-355.38%-27.08M153.56%56.72M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------
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