CA Stock MarketDetailed Quotes

AEM Agnico Eagle Mines Ltd

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  • 105.500
  • +3.640+3.57%
15min DelayTrading Aug 12 12:32 ET
52.74BMarket Cap66.48P/E (TTM)

Agnico Eagle Mines Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
110.57%930.43M
-29.33%532.97M
-47.82%348.85M
-47.82%348.85M
-55.60%364.86M
-56.52%441.85M
-29.13%754.16M
249.88%668.52M
249.88%668.52M
237.31%821.76M
-Cash and cash equivalents
113.16%921.99M
-29.55%524.63M
-48.58%338.65M
-48.58%338.65M
-56.74%355.49M
-57.04%432.53M
-29.88%744.65M
254.51%658.63M
254.51%658.63M
240.26%821.76M
-Accounts receivable
-25.39%7.57M
-3.77%6.94M
-5.02%8.15M
-5.02%8.15M
8.72%7.57M
-2.50%10.14M
-32.70%7.21M
-36.66%8.58M
-36.66%8.58M
-46.02%6.96M
-Notes receivable
----
----
6.09%56.26M
6.09%56.26M
----
----
----
3.54%53.02M
3.54%53.02M
----
-Other receivables
----
----
-5.61%94.37M
-5.61%94.37M
----
----
----
41.64%99.97M
41.64%99.97M
----
Total current assets
28.59%2.71B
-2.70%2.25B
0.51%2.19B
0.51%2.19B
-9.41%2.19B
-17.10%2.11B
-10.20%2.31B
67.39%2.18B
67.39%2.18B
71.52%2.42B
Non current assets
-Accumulated depreciation
----
----
-47.65%-11.25B
-47.65%-11.25B
----
----
----
-18.67%-7.62B
-18.67%-7.62B
----
Investment properties
17.11%366.33M
12.72%358.6M
6.27%323.71M
6.27%323.71M
--263.21M
12.46%312.79M
-22.84%318.13M
13.26%304.62M
13.26%304.62M
----
-Long term equity investment
-41.62%1.21B
-21.97%1.85B
36.94%1.86B
36.94%1.86B
46.09%1.96B
54.13%2.07B
63.47%2.37B
-5.68%1.36B
-5.68%1.36B
-6.50%1.34B
-Including:Available-for-sale securities
17.11%366.33M
12.72%358.6M
6.27%323.71M
6.27%323.71M
--263.21M
12.46%312.79M
-22.84%318.13M
13.26%304.62M
13.26%304.62M
----
-Including:Held to maturity investments
-65.77%5.06M
11.23%10.17M
478.82%50.79M
478.82%50.79M
129.15%7.33M
28.69%14.79M
-66.64%9.14M
-28.70%8.77M
-28.70%8.77M
-80.40%3.2M
Financial assets
-2.27%27.54M
-7.67%30.57M
-23.39%21.55M
-23.39%21.55M
--21.48M
58.66%28.18M
-14.24%33.11M
-62.28%28.12M
-62.28%28.12M
----
Non current note receivables
152.84%31.87M
312.55%51.6M
364.80%53.8M
364.80%53.8M
--13.52M
--12.6M
--12.51M
-91.34%11.57M
-91.34%11.57M
--0
-Goodwill
-9.41%4.16B
9.80%4.16B
102.08%4.16B
102.08%4.16B
111.75%4.58B
101.97%4.59B
66.52%3.79B
404.53%2.06B
404.53%2.06B
430.47%2.16B
-Other intangible assets
-4.54%191.2M
2.23%204.62M
2.19%201.76M
2.19%201.76M
2.14%202.69M
2.61%200.3M
3.60%200.16M
3.31%197.43M
3.31%197.43M
5.15%198.45M
Regulatory assets
3.35%178.8M
14.03%170.03M
28.49%184.9M
28.49%184.9M
421.09%189.53M
-32.71%173M
-33.67%149.12M
40.16%143.9M
40.16%143.9M
-66.76%36.37M
Total assets
5.14%171.23M
14.93%163.09M
30.62%176.76M
30.62%176.76M
518.71%181.96M
-25.06%162.86M
-25.19%141.9M
51.83%135.32M
51.83%135.32M
-69.54%29.41M
Liabilities
Current liabilities
Current debt and capital lease obligation
1,528.04%780.87M
-0.67%141.69M
7.28%146.39M
7.28%146.39M
14.85%148.76M
-79.53%47.96M
-45.37%142.64M
-47.10%136.47M
-47.10%136.47M
-49.67%129.53M
-Current debt
--740M
0.00%100M
0.00%100M
0.00%100M
0.00%100M
----
-55.56%100M
-55.56%100M
-55.56%100M
-55.56%100M
-Current capital lease obligation
-14.78%40.87M
-2.23%41.69M
27.23%46.39M
27.23%46.39M
65.15%48.76M
39.72%47.96M
18.11%42.64M
10.54%36.47M
10.54%36.47M
-8.70%29.53M
-accounts payable
-4.45%770.8M
0.40%696.91M
22.74%317.89M
22.74%317.89M
5.16%756.07M
23.58%806.69M
9.52%694.15M
36.99%259M
36.99%259M
40.39%718.97M
-Total tax payable
-10.16%7.5B
-8.12%8.14B
30.24%8.21B
30.24%8.21B
35.79%8.19B
40.84%8.35B
45.72%8.86B
82.57%6.31B
82.57%6.31B
84.26%6.03B
-Other payable
9.41%745.34M
5.80%691.99M
55.27%641M
55.27%641M
50.60%666.87M
103.76%681.26M
138.84%654.03M
43.45%412.82M
43.45%412.82M
72.56%442.8M
Current accrued expenses
160.09%21.2M
-5.68%19.34M
6.76%352.35M
6.76%352.35M
-5.37%19.41M
-20.42%8.15M
-19.54%20.51M
97.24%330.03M
97.24%330.03M
-20.45%20.51M
Current provisions
13.61%48.65M
-6.09%34.55M
3.22%24.27M
3.22%24.27M
104.68%39.02M
98.72%42.82M
79.68%36.8M
211.49%23.51M
211.49%23.51M
-13.74%19.07M
Current liabilities
78.06%1.79B
1.93%1.02B
10.74%1.05B
10.74%1.05B
-1.19%1.1B
2.19%1.01B
1.11%996.32M
24.23%946.42M
24.23%946.42M
26.30%1.12B
Non current liabilities
-Long term debt
-16.02%105.36M
-15.07%109.04M
0.24%115.15M
0.24%115.15M
17.27%116.53M
25.26%125.46M
17.11%128.38M
16.69%114.88M
16.69%114.88M
7.88%99.37M
Non current accrued expenses
-0.24%21.17B
-5.75%21.19B
14.97%21.22B
14.97%21.22B
19.22%21.43B
19.94%21.22B
27.11%22.49B
140.49%18.46B
140.49%18.46B
136.28%17.97B
Long term provisions
-43.27%1.1B
-22.36%1.74B
40.34%1.74B
40.34%1.74B
48.40%1.84B
56.46%1.94B
67.26%2.24B
-7.32%1.24B
-7.32%1.24B
-7.49%1.24B
Employee benefits
-33.98%6.85M
-42.65%4.39M
-4.12%67.41M
-4.12%67.41M
99.90%10M
85.44%10.38M
-21.99%7.65M
37.28%70.3M
37.28%70.3M
--5M
Preferred securities outside stock equity
47.92%16.73M
7.03%14.45M
60.52%24.32M
60.52%24.32M
116.99%11.77M
91.08%11.31M
23.05%13.5M
--15.15M
--15.15M
--5.42M
Total non current liabilities
-0.68%9.29B
-7.10%9.16B
27.69%9.26B
27.69%9.26B
30.02%9.29B
35.33%9.36B
39.50%9.86B
72.03%7.25B
72.03%7.25B
71.94%7.15B
Shareholders'equity
Share capital
1.65%18.53B
1.31%18.4B
12.82%18.33B
12.82%18.33B
12.86%18.28B
12.39%18.22B
12.33%18.16B
177.16%16.25B
177.16%16.25B
177.90%16.2B
-common stock
1.65%18.53B
1.31%18.4B
12.82%18.33B
12.82%18.33B
12.86%18.28B
12.39%18.22B
12.33%18.16B
177.16%16.25B
177.16%16.25B
177.90%16.2B
Additional paid-in capital
--0
-27.25%16.06M
-5.18%22.07M
-5.18%22.07M
-8.40%22.07M
-0.20%22.07M
-40.75%22.07M
-37.51%23.28M
-37.51%23.28M
-35.32%24.1M
Gains losses not affecting retained earnings
-79.34%-93.57M
-225.84%-86.54M
-241.15%-98.96M
-241.15%-98.96M
-60.95%-110.26M
-31.29%-52.17M
-132.66%-26.56M
-153.44%-29.01M
-153.44%-29.01M
-351.29%-68.51M
Other equity interest
-1.49%36.33M
-1.87%35.17M
-8.19%35.93M
-8.19%35.93M
-87.00%38.95M
658.67%36.88M
1,312.53%35.84M
46.51%39.14M
46.51%39.14M
1,100.02%299.55M
Noncontrolling interests
-96.26%11.24M
1.46%10.8M
1.24%10.87M
1.24%10.87M
--10.96M
2,612.19%300.95M
--10.65M
--10.73M
--10.73M
----
Total equity
-0.07%29.29B
-2.85%28.8B
22.09%28.68B
22.09%28.68B
25.57%29.23B
26.42%29.31B
27.07%29.65B
129.98%23.49B
129.98%23.49B
131.55%23.27B
(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 110.57%930.43M-29.33%532.97M-47.82%348.85M-47.82%348.85M-55.60%364.86M-56.52%441.85M-29.13%754.16M249.88%668.52M249.88%668.52M237.31%821.76M
-Cash and cash equivalents 113.16%921.99M-29.55%524.63M-48.58%338.65M-48.58%338.65M-56.74%355.49M-57.04%432.53M-29.88%744.65M254.51%658.63M254.51%658.63M240.26%821.76M
-Accounts receivable -25.39%7.57M-3.77%6.94M-5.02%8.15M-5.02%8.15M8.72%7.57M-2.50%10.14M-32.70%7.21M-36.66%8.58M-36.66%8.58M-46.02%6.96M
-Notes receivable --------6.09%56.26M6.09%56.26M------------3.54%53.02M3.54%53.02M----
-Other receivables ---------5.61%94.37M-5.61%94.37M------------41.64%99.97M41.64%99.97M----
Total current assets 28.59%2.71B-2.70%2.25B0.51%2.19B0.51%2.19B-9.41%2.19B-17.10%2.11B-10.20%2.31B67.39%2.18B67.39%2.18B71.52%2.42B
Non current assets
-Accumulated depreciation ---------47.65%-11.25B-47.65%-11.25B-------------18.67%-7.62B-18.67%-7.62B----
Investment properties 17.11%366.33M12.72%358.6M6.27%323.71M6.27%323.71M--263.21M12.46%312.79M-22.84%318.13M13.26%304.62M13.26%304.62M----
-Long term equity investment -41.62%1.21B-21.97%1.85B36.94%1.86B36.94%1.86B46.09%1.96B54.13%2.07B63.47%2.37B-5.68%1.36B-5.68%1.36B-6.50%1.34B
-Including:Available-for-sale securities 17.11%366.33M12.72%358.6M6.27%323.71M6.27%323.71M--263.21M12.46%312.79M-22.84%318.13M13.26%304.62M13.26%304.62M----
-Including:Held to maturity investments -65.77%5.06M11.23%10.17M478.82%50.79M478.82%50.79M129.15%7.33M28.69%14.79M-66.64%9.14M-28.70%8.77M-28.70%8.77M-80.40%3.2M
Financial assets -2.27%27.54M-7.67%30.57M-23.39%21.55M-23.39%21.55M--21.48M58.66%28.18M-14.24%33.11M-62.28%28.12M-62.28%28.12M----
Non current note receivables 152.84%31.87M312.55%51.6M364.80%53.8M364.80%53.8M--13.52M--12.6M--12.51M-91.34%11.57M-91.34%11.57M--0
-Goodwill -9.41%4.16B9.80%4.16B102.08%4.16B102.08%4.16B111.75%4.58B101.97%4.59B66.52%3.79B404.53%2.06B404.53%2.06B430.47%2.16B
-Other intangible assets -4.54%191.2M2.23%204.62M2.19%201.76M2.19%201.76M2.14%202.69M2.61%200.3M3.60%200.16M3.31%197.43M3.31%197.43M5.15%198.45M
Regulatory assets 3.35%178.8M14.03%170.03M28.49%184.9M28.49%184.9M421.09%189.53M-32.71%173M-33.67%149.12M40.16%143.9M40.16%143.9M-66.76%36.37M
Total assets 5.14%171.23M14.93%163.09M30.62%176.76M30.62%176.76M518.71%181.96M-25.06%162.86M-25.19%141.9M51.83%135.32M51.83%135.32M-69.54%29.41M
Liabilities
Current liabilities
Current debt and capital lease obligation 1,528.04%780.87M-0.67%141.69M7.28%146.39M7.28%146.39M14.85%148.76M-79.53%47.96M-45.37%142.64M-47.10%136.47M-47.10%136.47M-49.67%129.53M
-Current debt --740M0.00%100M0.00%100M0.00%100M0.00%100M-----55.56%100M-55.56%100M-55.56%100M-55.56%100M
-Current capital lease obligation -14.78%40.87M-2.23%41.69M27.23%46.39M27.23%46.39M65.15%48.76M39.72%47.96M18.11%42.64M10.54%36.47M10.54%36.47M-8.70%29.53M
-accounts payable -4.45%770.8M0.40%696.91M22.74%317.89M22.74%317.89M5.16%756.07M23.58%806.69M9.52%694.15M36.99%259M36.99%259M40.39%718.97M
-Total tax payable -10.16%7.5B-8.12%8.14B30.24%8.21B30.24%8.21B35.79%8.19B40.84%8.35B45.72%8.86B82.57%6.31B82.57%6.31B84.26%6.03B
-Other payable 9.41%745.34M5.80%691.99M55.27%641M55.27%641M50.60%666.87M103.76%681.26M138.84%654.03M43.45%412.82M43.45%412.82M72.56%442.8M
Current accrued expenses 160.09%21.2M-5.68%19.34M6.76%352.35M6.76%352.35M-5.37%19.41M-20.42%8.15M-19.54%20.51M97.24%330.03M97.24%330.03M-20.45%20.51M
Current provisions 13.61%48.65M-6.09%34.55M3.22%24.27M3.22%24.27M104.68%39.02M98.72%42.82M79.68%36.8M211.49%23.51M211.49%23.51M-13.74%19.07M
Current liabilities 78.06%1.79B1.93%1.02B10.74%1.05B10.74%1.05B-1.19%1.1B2.19%1.01B1.11%996.32M24.23%946.42M24.23%946.42M26.30%1.12B
Non current liabilities
-Long term debt -16.02%105.36M-15.07%109.04M0.24%115.15M0.24%115.15M17.27%116.53M25.26%125.46M17.11%128.38M16.69%114.88M16.69%114.88M7.88%99.37M
Non current accrued expenses -0.24%21.17B-5.75%21.19B14.97%21.22B14.97%21.22B19.22%21.43B19.94%21.22B27.11%22.49B140.49%18.46B140.49%18.46B136.28%17.97B
Long term provisions -43.27%1.1B-22.36%1.74B40.34%1.74B40.34%1.74B48.40%1.84B56.46%1.94B67.26%2.24B-7.32%1.24B-7.32%1.24B-7.49%1.24B
Employee benefits -33.98%6.85M-42.65%4.39M-4.12%67.41M-4.12%67.41M99.90%10M85.44%10.38M-21.99%7.65M37.28%70.3M37.28%70.3M--5M
Preferred securities outside stock equity 47.92%16.73M7.03%14.45M60.52%24.32M60.52%24.32M116.99%11.77M91.08%11.31M23.05%13.5M--15.15M--15.15M--5.42M
Total non current liabilities -0.68%9.29B-7.10%9.16B27.69%9.26B27.69%9.26B30.02%9.29B35.33%9.36B39.50%9.86B72.03%7.25B72.03%7.25B71.94%7.15B
Shareholders'equity
Share capital 1.65%18.53B1.31%18.4B12.82%18.33B12.82%18.33B12.86%18.28B12.39%18.22B12.33%18.16B177.16%16.25B177.16%16.25B177.90%16.2B
-common stock 1.65%18.53B1.31%18.4B12.82%18.33B12.82%18.33B12.86%18.28B12.39%18.22B12.33%18.16B177.16%16.25B177.16%16.25B177.90%16.2B
Additional paid-in capital --0-27.25%16.06M-5.18%22.07M-5.18%22.07M-8.40%22.07M-0.20%22.07M-40.75%22.07M-37.51%23.28M-37.51%23.28M-35.32%24.1M
Gains losses not affecting retained earnings -79.34%-93.57M-225.84%-86.54M-241.15%-98.96M-241.15%-98.96M-60.95%-110.26M-31.29%-52.17M-132.66%-26.56M-153.44%-29.01M-153.44%-29.01M-351.29%-68.51M
Other equity interest -1.49%36.33M-1.87%35.17M-8.19%35.93M-8.19%35.93M-87.00%38.95M658.67%36.88M1,312.53%35.84M46.51%39.14M46.51%39.14M1,100.02%299.55M
Noncontrolling interests -96.26%11.24M1.46%10.8M1.24%10.87M1.24%10.87M--10.96M2,612.19%300.95M--10.65M--10.73M--10.73M----
Total equity -0.07%29.29B-2.85%28.8B22.09%28.68B22.09%28.68B25.57%29.23B26.42%29.31B27.07%29.65B129.98%23.49B129.98%23.49B131.55%23.27B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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