US Stock MarketDetailed Quotes

SA Seabridge Gold

Watchlist
  • 15.460
  • +0.110+0.72%
Close May 21 16:00 ET
  • 15.500
  • +0.040+0.26%
Post 19:00 ET
1.36BMarket Cap-68105P/E (TTM)

Seabridge Gold Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
173.53%1.35M
-62.08%-21.54M
-69.07%-7.34M
15.20%-5.26M
-162.04%-3.49M
80.91%-1.84M
-13.21%-13.29M
53.46%-4.34M
-4,316.33%-6.2M
270.53%5.62M
Net income from continuing operations
24.21%-8.17M
-295.81%-29.27M
12.17%-22.18M
-204.90%-5.29M
-52.93%8.99M
-71.69%-10.78M
-926.15%-7.39M
-195.42%-25.25M
713.75%5.05M
31.21%19.09M
Operating gains losses
2,906.49%12.97M
-150.75%-9.21M
-2,530.85%-14.66M
-2.47%11.38M
-179.25%-5.45M
-562.00%-462K
184.27%18.15M
827.69%603K
10,610.81%11.67M
131.80%6.88M
Depreciation and amortization
6.25%34K
57.14%132K
400.00%33K
--34K
-55.41%33K
45.45%32K
-1.18%84K
-152.38%-11K
--0
236.36%74K
Deferred tax
265.89%5.77M
-205.16%-8.7M
-155.99%-14.18M
-16.22%6.35M
-65.75%2.61M
-148.75%-3.48M
78.57%8.27M
-1,274.19%-5.54M
3,376.61%7.58M
--7.63M
Other non cash items
-230.65%-14.91M
161.31%22.13M
61.80%39.23M
41.90%-16.22M
61.51%-12.3M
2,467.01%11.41M
-10,244.41%-36.1M
781.99%24.25M
-1,164.84%-27.92M
-5,123.04%-31.97M
Change In working capital
674.52%4.47M
132.89%100K
223.73%3.63M
16.14%-2.28M
-36.90%1.78M
114.78%577K
-129.40%-304K
129.60%1.12M
-189.01%-2.71M
-29.63%2.82M
-Change in receivables
8,381.82%4.67M
154.08%457K
5,604.08%2.8M
85.56%-363K
-433.33%-2.03M
-94.55%55K
83.29%-845K
101.17%49K
-65.55%-2.51M
-72.74%609K
-Change in payables and accrued expense
-137.55%-196K
-165.99%-357K
-22.20%834K
-856.00%-1.91M
72.24%3.81M
110.62%522K
-91.12%541K
168.67%1.07M
-104.38%-200K
24.62%2.21M
Cash from discontinued investing activities
Operating cash flow
173.53%1.35M
-62.08%-21.54M
-69.07%-7.34M
15.20%-5.26M
-162.04%-3.49M
80.91%-1.84M
-13.21%-13.29M
53.46%-4.34M
-4,316.33%-6.2M
270.53%5.62M
Investing cash flow
Cash flow from continuing investing activities
-229.89%-39.3M
27.83%-202.9M
-84.93%-63.99M
-1.50%-83.66M
70.69%-46.95M
-670.57%-11.91M
-257.48%-281.13M
-136.40%-34.6M
-46.51%-82.42M
-7,226.60%-160.21M
Net PPE purchase and sale
19.19%-39.3M
-29.31%-230.16M
15.03%-63.67M
-16.30%-73.74M
-75.47%-47.74M
-381.91%-48.63M
-244.49%-177.99M
-165.00%-74.93M
-148.16%-63.41M
-380.31%-27.2M
Net investment purchase and sale
--0
255.76%81.69M
-81.70%10.09M
44.61%-10.09M
101.10%1.3M
222.29%80.39M
-461.65%-52.45M
267.97%55.15M
25.04%-18.22M
-1,078,272.73%-118.62M
Net other investing changes
----
-51.36%-54.42M
-12,442.17%-10.41M
122.24%177K
96.40%-518K
-166.33%-43.67M
-103.87%-35.96M
93.84%-83K
87.56%-796K
-93.14%-14.38M
Cash from discontinued investing activities
Investing cash flow
-229.89%-39.3M
27.83%-202.9M
-84.93%-63.99M
-1.50%-83.66M
70.69%-46.95M
-670.57%-11.91M
-257.48%-281.13M
-136.40%-34.6M
-46.51%-82.42M
-7,226.60%-160.21M
Financing cash flow
Cash flow from continuing financing activities
108.71%10.83M
-20.07%260.45M
83.73%34.99M
2,255.45%4.55M
1,981.08%215.73M
-98.24%5.19M
285.33%325.83M
-23.59%19.04M
-101.58%-211K
-71.19%10.37M
Net issuance payments of debt
-59.52%-201K
-29.71%198.16M
-76.07%-206K
-34.64%-206K
462,186.05%198.7M
-100.04%-126K
366,241.56%281.93M
-485.00%-117K
-665.00%-153K
-126.32%-43K
Net common stock issuance
----
68.18%61.52M
----
----
81.73%17.03M
----
--36.58M
----
----
--9.37M
Proceeds from stock option exercised by employees
----
-89.44%773K
-83.42%773K
--0
--0
----
-71.33%7.32M
-47.42%4.66M
--0
-90.71%1.04M
Net other financing activities
107.54%11.04M
----
----
8,296.55%4.75M
----
-58.36%5.32M
----
----
-100.49%-58K
----
Cash from discontinued financing activities
Financing cash flow
108.71%10.83M
-20.07%260.45M
83.73%34.99M
2,255.45%4.55M
1,981.08%215.73M
-98.24%5.19M
285.33%325.83M
-23.59%19.04M
-101.58%-211K
-71.19%10.37M
Net cash flow
Beginning cash position
78.63%82.44M
300.50%46.15M
79.80%118.96M
32.42%202.64M
-87.30%37.57M
300.50%46.15M
-34.26%11.52M
524.84%66.16M
187.56%153.04M
2,055.52%295.82M
Current changes in cash
-216.67%-27.11M
14.67%36.02M
-82.62%-36.34M
5.03%-84.36M
214.61%165.29M
-103.01%-8.56M
639.62%31.41M
-2,179.31%-19.9M
-107.60%-88.83M
-462.86%-144.22M
Effect of exchange rate changes
1,772.73%368K
-91.64%269K
-60.87%-185K
-65.05%684K
-114.62%-209K
60.71%-22K
1,847.83%3.22M
-400.00%-115K
1,138.61%1.96M
672.00%1.43M
End cash Position
48.25%55.69M
78.63%82.44M
78.63%82.44M
79.80%118.96M
32.42%202.64M
-87.30%37.57M
300.50%46.15M
300.50%46.15M
524.84%66.16M
187.56%153.04M
Free cash flow
24.81%-37.95M
-31.59%-251.7M
10.42%-71.01M
-13.50%-79M
-137.33%-51.22M
-155.82%-50.47M
-124.12%-191.28M
-110.80%-79.27M
-174.00%-69.6M
-101.32%-21.58M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 173.53%1.35M-62.08%-21.54M-69.07%-7.34M15.20%-5.26M-162.04%-3.49M80.91%-1.84M-13.21%-13.29M53.46%-4.34M-4,316.33%-6.2M270.53%5.62M
Net income from continuing operations 24.21%-8.17M-295.81%-29.27M12.17%-22.18M-204.90%-5.29M-52.93%8.99M-71.69%-10.78M-926.15%-7.39M-195.42%-25.25M713.75%5.05M31.21%19.09M
Operating gains losses 2,906.49%12.97M-150.75%-9.21M-2,530.85%-14.66M-2.47%11.38M-179.25%-5.45M-562.00%-462K184.27%18.15M827.69%603K10,610.81%11.67M131.80%6.88M
Depreciation and amortization 6.25%34K57.14%132K400.00%33K--34K-55.41%33K45.45%32K-1.18%84K-152.38%-11K--0236.36%74K
Deferred tax 265.89%5.77M-205.16%-8.7M-155.99%-14.18M-16.22%6.35M-65.75%2.61M-148.75%-3.48M78.57%8.27M-1,274.19%-5.54M3,376.61%7.58M--7.63M
Other non cash items -230.65%-14.91M161.31%22.13M61.80%39.23M41.90%-16.22M61.51%-12.3M2,467.01%11.41M-10,244.41%-36.1M781.99%24.25M-1,164.84%-27.92M-5,123.04%-31.97M
Change In working capital 674.52%4.47M132.89%100K223.73%3.63M16.14%-2.28M-36.90%1.78M114.78%577K-129.40%-304K129.60%1.12M-189.01%-2.71M-29.63%2.82M
-Change in receivables 8,381.82%4.67M154.08%457K5,604.08%2.8M85.56%-363K-433.33%-2.03M-94.55%55K83.29%-845K101.17%49K-65.55%-2.51M-72.74%609K
-Change in payables and accrued expense -137.55%-196K-165.99%-357K-22.20%834K-856.00%-1.91M72.24%3.81M110.62%522K-91.12%541K168.67%1.07M-104.38%-200K24.62%2.21M
Cash from discontinued investing activities
Operating cash flow 173.53%1.35M-62.08%-21.54M-69.07%-7.34M15.20%-5.26M-162.04%-3.49M80.91%-1.84M-13.21%-13.29M53.46%-4.34M-4,316.33%-6.2M270.53%5.62M
Investing cash flow
Cash flow from continuing investing activities -229.89%-39.3M27.83%-202.9M-84.93%-63.99M-1.50%-83.66M70.69%-46.95M-670.57%-11.91M-257.48%-281.13M-136.40%-34.6M-46.51%-82.42M-7,226.60%-160.21M
Net PPE purchase and sale 19.19%-39.3M-29.31%-230.16M15.03%-63.67M-16.30%-73.74M-75.47%-47.74M-381.91%-48.63M-244.49%-177.99M-165.00%-74.93M-148.16%-63.41M-380.31%-27.2M
Net investment purchase and sale --0255.76%81.69M-81.70%10.09M44.61%-10.09M101.10%1.3M222.29%80.39M-461.65%-52.45M267.97%55.15M25.04%-18.22M-1,078,272.73%-118.62M
Net other investing changes -----51.36%-54.42M-12,442.17%-10.41M122.24%177K96.40%-518K-166.33%-43.67M-103.87%-35.96M93.84%-83K87.56%-796K-93.14%-14.38M
Cash from discontinued investing activities
Investing cash flow -229.89%-39.3M27.83%-202.9M-84.93%-63.99M-1.50%-83.66M70.69%-46.95M-670.57%-11.91M-257.48%-281.13M-136.40%-34.6M-46.51%-82.42M-7,226.60%-160.21M
Financing cash flow
Cash flow from continuing financing activities 108.71%10.83M-20.07%260.45M83.73%34.99M2,255.45%4.55M1,981.08%215.73M-98.24%5.19M285.33%325.83M-23.59%19.04M-101.58%-211K-71.19%10.37M
Net issuance payments of debt -59.52%-201K-29.71%198.16M-76.07%-206K-34.64%-206K462,186.05%198.7M-100.04%-126K366,241.56%281.93M-485.00%-117K-665.00%-153K-126.32%-43K
Net common stock issuance ----68.18%61.52M--------81.73%17.03M------36.58M----------9.37M
Proceeds from stock option exercised by employees -----89.44%773K-83.42%773K--0--0-----71.33%7.32M-47.42%4.66M--0-90.71%1.04M
Net other financing activities 107.54%11.04M--------8,296.55%4.75M-----58.36%5.32M---------100.49%-58K----
Cash from discontinued financing activities
Financing cash flow 108.71%10.83M-20.07%260.45M83.73%34.99M2,255.45%4.55M1,981.08%215.73M-98.24%5.19M285.33%325.83M-23.59%19.04M-101.58%-211K-71.19%10.37M
Net cash flow
Beginning cash position 78.63%82.44M300.50%46.15M79.80%118.96M32.42%202.64M-87.30%37.57M300.50%46.15M-34.26%11.52M524.84%66.16M187.56%153.04M2,055.52%295.82M
Current changes in cash -216.67%-27.11M14.67%36.02M-82.62%-36.34M5.03%-84.36M214.61%165.29M-103.01%-8.56M639.62%31.41M-2,179.31%-19.9M-107.60%-88.83M-462.86%-144.22M
Effect of exchange rate changes 1,772.73%368K-91.64%269K-60.87%-185K-65.05%684K-114.62%-209K60.71%-22K1,847.83%3.22M-400.00%-115K1,138.61%1.96M672.00%1.43M
End cash Position 48.25%55.69M78.63%82.44M78.63%82.44M79.80%118.96M32.42%202.64M-87.30%37.57M300.50%46.15M300.50%46.15M524.84%66.16M187.56%153.04M
Free cash flow 24.81%-37.95M-31.59%-251.7M10.42%-71.01M-13.50%-79M-137.33%-51.22M-155.82%-50.47M-124.12%-191.28M-110.80%-79.27M-174.00%-69.6M-101.32%-21.58M
Currency Unit CADCADCADCADCADCADCADCADCADCAD

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg