av/iamgold--big.svg

COM:IAMGOLD

IAMGOLD Corporation

  • Stock

CAD

Last Close

7.95

22/11 21:00

Market Cap

2.83B

Beta: -

Volume Today

1.39M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-860.60M
-
-198.90M
76.89%
-792.50M
298.44%
61.80M
107.80%
510.50M
726.05%
-19.70M
103.86%
-398M
1,920.30%
58.80M
114.77%
-255.10M
533.84%
-36.40M
85.73%
97.50M
367.86%
depreciation and amortization
175.20M
-
231.20M
31.96%
264.20M
14.27%
263.50M
0.26%
266M
0.95%
266.20M
0.08%
276.60M
3.91%
268M
3.11%
349.10M
30.26%
242M
30.68%
221.70M
8.39%
deferred income tax
-9.20M
-
155.10M
1,785.87%
11.50M
92.59%
33.40M
190.43%
97.60M
192.22%
38M
61.07%
30.40M
20%
44.10M
45.07%
-64.50M
246.26%
78.10M
221.09%
30.70M
60.69%
stock based compensation
913.60M
-
-600K
100.07%
648.70M
108,216.67%
-81.40M
112.55%
-590.10M
624.94%
-16.30M
97.24%
256.60M
1,674.23%
1.40M
99.45%
6.90M
392.86%
5.10M
26.09%
6.20M
21.57%
change in working capital
-59.30M
-
-5.10M
91.40%
-41.20M
707.84%
24.30M
158.98%
1.30M
94.65%
-97.30M
7,584.62%
-4.50M
95.38%
-20.50M
355.56%
-8M
60.98%
-40.60M
407.50%
-14.90M
63.30%
accounts receivables
12.30M
-
-24.40M
298.37%
16.70M
168.44%
-36.90M
320.96%
inventory
-51M
-
300K
100.59%
-6.20M
2,166.67%
10.90M
275.81%
-21.30M
295.41%
-87.80M
312.21%
-22.20M
74.72%
-3.40M
84.68%
-36.70M
979.41%
-32.60M
11.17%
-76.60M
134.97%
accounts payables
-12.30M
-
24.40M
298.37%
-16.70M
168.44%
36.90M
320.96%
other working capital
-8.30M
-
-5.40M
34.94%
-35M
548.15%
13.40M
138.29%
22.60M
68.66%
-9.50M
142.04%
17.70M
286.32%
-17.10M
196.61%
28.70M
267.84%
-8M
127.87%
61.70M
871.25%
other non cash items
86.60M
-
130.50M
50.69%
-64.70M
149.58%
12.80M
119.78%
10M
21.88%
20.20M
102%
201.90M
899.50%
-4.20M
102.08%
256.60M
6,209.52%
160.50M
37.45%
-181.80M
213.27%
net cash provided by operating activities
246.30M
-
312.20M
26.76%
26M
91.67%
314.40M
1,109.23%
295.30M
6.08%
191.10M
35.29%
363M
89.95%
347.60M
4.24%
285M
18.01%
408.70M
43.40%
159.40M
61.00%
investments in property plant and equipment
-636.90M
-
-376.70M
40.85%
-213M
43.46%
-300.90M
41.27%
-239.50M
20.41%
-336M
40.29%
-274.40M
18.33%
-317.20M
15.60%
-655.20M
106.56%
-780.50M
19.12%
-907.30M
16.25%
acquisitions net
-8.40M
-
89.10M
-
92.10M
3.37%
-5M
105.43%
34M
780%
100K
99.71%
-700K
800%
389.20M
55,700%
purchases of investments
-127.20M
-
-2.20M
-
-200K
90.91%
-400K
-
sales maturities of investments
170.30M
-
-226.80M
233.18%
2.20M
-
-100K
104.55%
27.60M
27,700%
907.30M
3,187.32%
other investing activites
-51.40M
-
57M
210.89%
499.80M
776.84%
-34.10M
106.82%
327M
1,058.94%
19M
94.19%
129.60M
582.11%
37M
71.45%
24.70M
33.24%
-138.30M
659.92%
116.20M
184.02%
net cash used for investing activites
-688.30M
-
-319.70M
53.55%
278.40M
187.08%
-164.70M
159.16%
-177.40M
7.71%
-224.90M
26.78%
-149.80M
33.39%
-246.20M
64.35%
-630.70M
156.17%
-891.90M
41.41%
-402.30M
54.89%
debt repayment
-39.80M
-
-211.50M
431.41%
-510.50M
141.37%
-1.20M
99.76%
-9.10M
658.33%
-444M
4,779.12%
-26.60M
94.01%
-11.80M
55.64%
-455M
3,755.93%
common stock issued
200K
-
43M
-
263.70M
513.26%
15.10M
94.27%
common stock repurchased
dividends paid
-102.40M
-
-4.10M
96.00%
other financing activites
-30.30M
-
-31M
2.31%
22.40M
172.26%
-30.30M
235.27%
378.20M
1,348.18%
-9.30M
102.46%
9.90M
206.45%
444.80M
4,392.93%
-14.60M
103.28%
415.80M
2,947.95%
656.70M
57.94%
net cash used provided by financing activities
-132.50M
-
-35.10M
73.51%
25.60M
172.93%
21.90M
14.45%
-117.20M
635.16%
-10.50M
91.04%
800K
107.62%
800K
0%
-41.20M
5,250%
404M
1,080.58%
201.70M
50.07%
effect of forex changes on cash
-500K
-
-9.20M
1,740.00%
-19.50M
111.96%
-600K
96.92%
11.40M
2,000%
-4.70M
141.23%
1.50M
131.91%
8.70M
480%
-9.70M
211.49%
-17.10M
76.29%
1.30M
107.60%
net change in cash
-575M
-
-51.80M
90.99%
310.50M
699.42%
171M
44.93%
12.10M
92.92%
-49M
504.96%
215.50M
539.80%
110.90M
48.54%
-396.60M
457.62%
-137.10M
65.43%
-40.70M
70.31%
cash at beginning of period
797.30M
-
210.30M
73.62%
170.50M
18.93%
481M
182.11%
652M
35.55%
664.10M
1.86%
615.10M
7.38%
830.60M
35.03%
941.50M
13.35%
544.90M
42.12%
407.80M
25.16%
cash at end of period
222.30M
-
158.50M
28.70%
481M
203.47%
652M
35.55%
664.10M
1.86%
615.10M
7.38%
830.60M
35.03%
941.50M
13.35%
544.90M
42.12%
407.80M
25.16%
367.10M
9.98%
operating cash flow
246.30M
-
312.20M
26.76%
26M
91.67%
314.40M
1,109.23%
295.30M
6.08%
191.10M
35.29%
363M
89.95%
347.60M
4.24%
285M
18.01%
408.70M
43.40%
159.40M
61.00%
capital expenditure
-636.90M
-
-376.70M
40.85%
-213M
43.46%
-300.90M
41.27%
-239.50M
20.41%
-336M
40.29%
-274.40M
18.33%
-317.20M
15.60%
-655.20M
106.56%
-780.50M
19.12%
-907.30M
16.25%
free cash flow
-390.60M
-
-64.50M
83.49%
-187M
189.92%
13.50M
107.22%
55.80M
313.33%
-144.90M
359.68%
88.60M
161.15%
30.40M
65.69%
-370.20M
1,317.76%
-371.80M
0.43%
-747.90M
101.16%

All numbers in CAD (except ratios and percentages)