COM:IAMGOLD
IAMGOLD Corporation
- Stock
Last Close
7.95
22/11 21:00
Market Cap
2.83B
Beta: -
Volume Today
1.39M
Avg: -
Preview
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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)