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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 (except ratios and percentages)