US Stock MarketDetailed Quotes

CCJ Cameco

Watchlist
  • 41.830
  • -0.800-1.88%
Close Mar 28 16:00 ET
  • 41.650
  • -0.180-0.43%
Post 20:01 ET
18.21BMarket Cap153.79P/E (TTM)

Cameco Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
5.94%600.46M
5.94%600.46M
-93.36%160.54M
-90.89%203.08M
-92.62%164.8M
-75.16%566.81M
-75.16%566.81M
118.42%2.42B
87.00%2.23B
79.22%2.23B
-Cash and cash equivalents
5.94%600.46M
5.94%600.46M
-93.36%160.54M
-90.81%203.08M
-88.27%164.8M
-50.44%566.81M
-50.44%566.81M
242.86%2.42B
166.22%2.21B
33.10%1.4B
-Short-term investments
----
----
----
----
----
--0
--0
--0
-94.63%19.44M
335.79%826.9M
Receivables
-19.15%350.47M
-19.15%350.47M
3.32%312.16M
-28.78%215.44M
-10.89%232.24M
99.59%433.47M
99.59%433.47M
0.82%302.13M
27.86%302.49M
17.96%260.62M
-Accounts receivable
-25.19%309.57M
-25.19%309.57M
2.62%305.49M
-37.28%172.87M
38.72%206.77M
146.76%413.79M
146.76%413.79M
26.90%297.68M
53.34%275.63M
-16.18%149.05M
-Taxes receivable
303.47%31.25M
303.47%31.25M
-28.01%1.99M
-71.99%1.05M
-66.04%1.05M
12.07%7.75M
12.07%7.75M
158.43%2.76M
129.21%3.76M
11.08%3.09M
-Other receivables
-19.12%9.65M
-19.12%9.65M
177.86%4.68M
79.71%41.51M
-77.49%24.42M
-71.98%11.93M
-71.98%11.93M
-97.37%1.69M
-58.14%23.1M
168.96%108.48M
Inventory
15.52%972.25M
15.52%972.25M
42.27%1.01B
18.95%972.68M
40.24%915.14M
2.31%841.61M
2.31%841.61M
20.31%709.14M
51.54%817.73M
32.25%652.53M
Restricted cash
----
----
-85.27%36.6M
-35.28%158.54M
-34.52%158.42M
----
----
5.04%248.37M
4.40%244.98M
3.50%241.92M
Total current assets
4.41%1.92B
4.41%1.92B
-58.73%1.52B
-56.88%1.55B
-56.58%1.47B
-44.55%1.84B
-44.55%1.84B
64.74%3.68B
63.16%3.59B
54.41%3.39B
Non current assets
Net PPE
-2.44%3.29B
-2.44%3.29B
-0.53%3.3B
-2.18%3.3B
-2.71%3.32B
-3.01%3.37B
-3.01%3.37B
-2.56%3.32B
-1.24%3.37B
-1.25%3.41B
-Gross PPE
2.34%9.74B
2.34%9.74B
----
----
----
0.98%9.52B
0.98%9.52B
----
----
----
-Accumulated depreciation
-4.96%-6.45B
-4.96%-6.45B
----
----
----
-3.31%-6.15B
-3.31%-6.15B
----
----
----
Goodwill and other intangible assets
-8.62%39.82M
-8.62%39.82M
-8.22%40.75M
-8.00%41.5M
-7.67%42.66M
-7.51%43.58M
-7.51%43.58M
-7.62%44.4M
-8.92%45.11M
-8.10%46.2M
-Other intangible assets
-8.62%39.82M
-8.62%39.82M
----
----
----
-7.51%43.58M
-7.51%43.58M
----
----
----
Investments and advances
1.43%3.22B
1.43%3.22B
1,433.12%2.99B
1,762.84%3.03B
1,076.35%3.19B
1,404.08%3.17B
1,404.08%3.17B
-5.10%194.79M
-13.93%162.75M
7.08%271.53M
Non current deferred assets
-5.57%843.13M
-5.57%843.13M
-8.23%834.56M
-8.26%866.37M
-9.10%874.93M
-9.27%892.86M
-9.27%892.86M
-6.81%909.43M
-0.48%944.38M
2.40%962.48M
Other non current assets
-2.91%595.9M
-2.91%595.9M
5.73%602.9M
9.12%595.77M
14.58%600.3M
3.07%613.77M
3.07%613.77M
-4.45%570.24M
-6.61%546M
-11.52%523.93M
Total non current assets
-1.34%7.98B
-1.34%7.98B
54.11%7.77B
54.52%7.83B
53.96%8.03B
52.36%8.09B
52.36%8.09B
-3.71%5.04B
-2.24%5.07B
-1.42%5.22B
Total assets
-0.27%9.91B
-0.27%9.91B
6.50%9.29B
8.31%9.38B
10.45%9.5B
15.07%9.93B
15.07%9.93B
16.76%8.72B
17.26%8.66B
14.94%8.6B
Liabilities
Current liabilities
Payables
6.42%640.26M
6.42%640.26M
37.80%385.19M
-4.66%266.23M
70.75%401.91M
57.82%601.63M
57.82%601.63M
-3.18%279.53M
7.50%279.25M
-32.19%235.39M
-accounts payable
-64.80%129.83M
-64.80%129.83M
40.32%367.37M
-4.46%253.23M
71.20%376.71M
47.56%368.85M
47.56%368.85M
-5.94%261.81M
5.54%265.06M
-35.98%220.04M
-Total tax payable
-11.84%21.23M
-11.84%21.23M
0.53%17.82M
-8.41%13M
64.19%25.2M
270.51%24.08M
270.51%24.08M
70.62%17.73M
64.52%14.19M
349.82%15.35M
-Due to related parties current
268.12%367.56M
268.12%367.56M
----
----
----
67.61%99.85M
67.61%99.85M
----
----
----
-Other payable
11.75%121.64M
11.75%121.64M
----
----
----
67.00%108.86M
67.00%108.86M
----
----
----
Current provisions
-2.91%37.97M
-2.91%37.97M
71.82%79.68M
64.00%70.59M
21.99%59.06M
-19.03%39.11M
-19.03%39.11M
34.12%46.38M
14.14%43.04M
3.54%48.41M
Current debt and capital lease obligation
-42.84%285.71M
-42.84%285.71M
----
----
--499.91M
--499.82M
--499.82M
--499.72M
--499.61M
----
-Current debt
-42.84%285.71M
-42.84%285.71M
----
----
--499.91M
--499.82M
--499.82M
--499.72M
--499.61M
----
Other current liabilities
356.95%221.82M
356.95%221.82M
-51.77%63.06M
-12.77%144.34M
-53.06%72.06M
-63.03%48.54M
-63.03%48.54M
14.67%130.75M
141.32%165.47M
280.39%153.51M
Current liabilities
-0.28%1.19B
-0.28%1.19B
-44.80%527.93M
-51.27%481.16M
136.21%1.03B
112.02%1.19B
112.02%1.19B
118.69%956.37M
169.73%987.38M
0.71%437.3M
Non current liabilities
Long term provisions
-2.45%997.83M
-2.45%997.83M
5.48%955.7M
-3.70%966.32M
-2.10%982.77M
0.01%1.02B
0.01%1.02B
4.22%906.06M
16.03%1B
3.66%1B
Long term debt and capital lease obligation
-22.48%995.58M
-22.48%995.58M
153.79%1.26B
181.85%1.4B
3.51%1.03B
28.82%1.28B
28.82%1.28B
-50.05%497.87M
-50.05%497.77M
0.08%997.19M
-Long term debt
-22.48%995.58M
-22.48%995.58M
153.79%1.26B
181.85%1.4B
3.51%1.03B
28.82%1.28B
28.82%1.28B
-50.05%497.87M
-50.05%497.77M
0.08%997.19M
Other non current liabilities
5.85%363.5M
5.85%363.5M
32.71%330.48M
68.93%337.79M
64.11%343.26M
58.87%343.42M
58.87%343.42M
-9.72%249.02M
-8.97%199.97M
4.92%209.17M
Total non current liabilities
-11.08%2.36B
-11.08%2.36B
54.25%2.55B
59.13%2.71B
6.69%2.36B
18.55%2.65B
18.55%2.65B
-22.83%1.65B
-18.26%1.7B
2.13%2.21B
Total liabilities
-7.74%3.54B
-7.74%3.54B
17.95%3.08B
18.59%3.19B
28.09%3.39B
37.29%3.84B
37.29%3.84B
1.16%2.61B
9.86%2.69B
1.89%2.65B
Shareholders'equity
Share capital
0.73%2.94B
0.73%2.94B
0.84%2.93B
1.22%2.93B
0.78%2.91B
1.17%2.91B
1.17%2.91B
51.87%2.91B
51.31%2.9B
51.08%2.89B
-common stock
0.73%2.94B
0.73%2.94B
0.84%2.93B
1.22%2.93B
0.78%2.91B
1.17%2.91B
1.17%2.91B
51.87%2.91B
51.31%2.9B
51.08%2.89B
Retained earnings
4.01%3.1B
4.01%3.1B
1.31%3.02B
6.35%3.01B
5.59%2.97B
10.51%2.98B
10.51%2.98B
8.48%2.98B
2.35%2.83B
5.05%2.82B
Paid-in capital
-2.27%210.78M
-2.27%210.78M
-2.99%209.41M
-4.26%207.63M
-3.32%209.73M
-4.01%215.68M
-4.01%215.68M
-3.57%215.87M
-2.76%216.88M
-2.47%216.94M
Other equity interest
877.99%118.89M
877.99%118.89M
442.58%51.39M
47.62%45.4M
-54.05%14.71M
-144.10%-15.28M
-144.10%-15.28M
55.41%9.47M
-20.27%30.75M
-54.34%32.02M
Total stockholders'equity
4.43%6.36B
4.43%6.36B
1.62%6.21B
3.69%6.19B
2.61%6.11B
4.43%6.09B
4.43%6.09B
24.98%6.11B
20.92%5.97B
21.89%5.96B
Noncontrolling interests
550.00%26K
550.00%26K
64.71%28K
366.67%28K
400.00%30K
-63.64%4K
-63.64%4K
-5.56%17K
-71.43%6K
-90.16%6K
Total equity
4.43%6.36B
4.43%6.36B
1.62%6.21B
3.69%6.19B
2.61%6.11B
4.42%6.09B
4.42%6.09B
24.98%6.11B
20.92%5.97B
21.89%5.96B
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 5.94%600.46M5.94%600.46M-93.36%160.54M-90.89%203.08M-92.62%164.8M-75.16%566.81M-75.16%566.81M118.42%2.42B87.00%2.23B79.22%2.23B
-Cash and cash equivalents 5.94%600.46M5.94%600.46M-93.36%160.54M-90.81%203.08M-88.27%164.8M-50.44%566.81M-50.44%566.81M242.86%2.42B166.22%2.21B33.10%1.4B
-Short-term investments ----------------------0--0--0-94.63%19.44M335.79%826.9M
Receivables -19.15%350.47M-19.15%350.47M3.32%312.16M-28.78%215.44M-10.89%232.24M99.59%433.47M99.59%433.47M0.82%302.13M27.86%302.49M17.96%260.62M
-Accounts receivable -25.19%309.57M-25.19%309.57M2.62%305.49M-37.28%172.87M38.72%206.77M146.76%413.79M146.76%413.79M26.90%297.68M53.34%275.63M-16.18%149.05M
-Taxes receivable 303.47%31.25M303.47%31.25M-28.01%1.99M-71.99%1.05M-66.04%1.05M12.07%7.75M12.07%7.75M158.43%2.76M129.21%3.76M11.08%3.09M
-Other receivables -19.12%9.65M-19.12%9.65M177.86%4.68M79.71%41.51M-77.49%24.42M-71.98%11.93M-71.98%11.93M-97.37%1.69M-58.14%23.1M168.96%108.48M
Inventory 15.52%972.25M15.52%972.25M42.27%1.01B18.95%972.68M40.24%915.14M2.31%841.61M2.31%841.61M20.31%709.14M51.54%817.73M32.25%652.53M
Restricted cash ---------85.27%36.6M-35.28%158.54M-34.52%158.42M--------5.04%248.37M4.40%244.98M3.50%241.92M
Total current assets 4.41%1.92B4.41%1.92B-58.73%1.52B-56.88%1.55B-56.58%1.47B-44.55%1.84B-44.55%1.84B64.74%3.68B63.16%3.59B54.41%3.39B
Non current assets
Net PPE -2.44%3.29B-2.44%3.29B-0.53%3.3B-2.18%3.3B-2.71%3.32B-3.01%3.37B-3.01%3.37B-2.56%3.32B-1.24%3.37B-1.25%3.41B
-Gross PPE 2.34%9.74B2.34%9.74B------------0.98%9.52B0.98%9.52B------------
-Accumulated depreciation -4.96%-6.45B-4.96%-6.45B-------------3.31%-6.15B-3.31%-6.15B------------
Goodwill and other intangible assets -8.62%39.82M-8.62%39.82M-8.22%40.75M-8.00%41.5M-7.67%42.66M-7.51%43.58M-7.51%43.58M-7.62%44.4M-8.92%45.11M-8.10%46.2M
-Other intangible assets -8.62%39.82M-8.62%39.82M-------------7.51%43.58M-7.51%43.58M------------
Investments and advances 1.43%3.22B1.43%3.22B1,433.12%2.99B1,762.84%3.03B1,076.35%3.19B1,404.08%3.17B1,404.08%3.17B-5.10%194.79M-13.93%162.75M7.08%271.53M
Non current deferred assets -5.57%843.13M-5.57%843.13M-8.23%834.56M-8.26%866.37M-9.10%874.93M-9.27%892.86M-9.27%892.86M-6.81%909.43M-0.48%944.38M2.40%962.48M
Other non current assets -2.91%595.9M-2.91%595.9M5.73%602.9M9.12%595.77M14.58%600.3M3.07%613.77M3.07%613.77M-4.45%570.24M-6.61%546M-11.52%523.93M
Total non current assets -1.34%7.98B-1.34%7.98B54.11%7.77B54.52%7.83B53.96%8.03B52.36%8.09B52.36%8.09B-3.71%5.04B-2.24%5.07B-1.42%5.22B
Total assets -0.27%9.91B-0.27%9.91B6.50%9.29B8.31%9.38B10.45%9.5B15.07%9.93B15.07%9.93B16.76%8.72B17.26%8.66B14.94%8.6B
Liabilities
Current liabilities
Payables 6.42%640.26M6.42%640.26M37.80%385.19M-4.66%266.23M70.75%401.91M57.82%601.63M57.82%601.63M-3.18%279.53M7.50%279.25M-32.19%235.39M
-accounts payable -64.80%129.83M-64.80%129.83M40.32%367.37M-4.46%253.23M71.20%376.71M47.56%368.85M47.56%368.85M-5.94%261.81M5.54%265.06M-35.98%220.04M
-Total tax payable -11.84%21.23M-11.84%21.23M0.53%17.82M-8.41%13M64.19%25.2M270.51%24.08M270.51%24.08M70.62%17.73M64.52%14.19M349.82%15.35M
-Due to related parties current 268.12%367.56M268.12%367.56M------------67.61%99.85M67.61%99.85M------------
-Other payable 11.75%121.64M11.75%121.64M------------67.00%108.86M67.00%108.86M------------
Current provisions -2.91%37.97M-2.91%37.97M71.82%79.68M64.00%70.59M21.99%59.06M-19.03%39.11M-19.03%39.11M34.12%46.38M14.14%43.04M3.54%48.41M
Current debt and capital lease obligation -42.84%285.71M-42.84%285.71M----------499.91M--499.82M--499.82M--499.72M--499.61M----
-Current debt -42.84%285.71M-42.84%285.71M----------499.91M--499.82M--499.82M--499.72M--499.61M----
Other current liabilities 356.95%221.82M356.95%221.82M-51.77%63.06M-12.77%144.34M-53.06%72.06M-63.03%48.54M-63.03%48.54M14.67%130.75M141.32%165.47M280.39%153.51M
Current liabilities -0.28%1.19B-0.28%1.19B-44.80%527.93M-51.27%481.16M136.21%1.03B112.02%1.19B112.02%1.19B118.69%956.37M169.73%987.38M0.71%437.3M
Non current liabilities
Long term provisions -2.45%997.83M-2.45%997.83M5.48%955.7M-3.70%966.32M-2.10%982.77M0.01%1.02B0.01%1.02B4.22%906.06M16.03%1B3.66%1B
Long term debt and capital lease obligation -22.48%995.58M-22.48%995.58M153.79%1.26B181.85%1.4B3.51%1.03B28.82%1.28B28.82%1.28B-50.05%497.87M-50.05%497.77M0.08%997.19M
-Long term debt -22.48%995.58M-22.48%995.58M153.79%1.26B181.85%1.4B3.51%1.03B28.82%1.28B28.82%1.28B-50.05%497.87M-50.05%497.77M0.08%997.19M
Other non current liabilities 5.85%363.5M5.85%363.5M32.71%330.48M68.93%337.79M64.11%343.26M58.87%343.42M58.87%343.42M-9.72%249.02M-8.97%199.97M4.92%209.17M
Total non current liabilities -11.08%2.36B-11.08%2.36B54.25%2.55B59.13%2.71B6.69%2.36B18.55%2.65B18.55%2.65B-22.83%1.65B-18.26%1.7B2.13%2.21B
Total liabilities -7.74%3.54B-7.74%3.54B17.95%3.08B18.59%3.19B28.09%3.39B37.29%3.84B37.29%3.84B1.16%2.61B9.86%2.69B1.89%2.65B
Shareholders'equity
Share capital 0.73%2.94B0.73%2.94B0.84%2.93B1.22%2.93B0.78%2.91B1.17%2.91B1.17%2.91B51.87%2.91B51.31%2.9B51.08%2.89B
-common stock 0.73%2.94B0.73%2.94B0.84%2.93B1.22%2.93B0.78%2.91B1.17%2.91B1.17%2.91B51.87%2.91B51.31%2.9B51.08%2.89B
Retained earnings 4.01%3.1B4.01%3.1B1.31%3.02B6.35%3.01B5.59%2.97B10.51%2.98B10.51%2.98B8.48%2.98B2.35%2.83B5.05%2.82B
Paid-in capital -2.27%210.78M-2.27%210.78M-2.99%209.41M-4.26%207.63M-3.32%209.73M-4.01%215.68M-4.01%215.68M-3.57%215.87M-2.76%216.88M-2.47%216.94M
Other equity interest 877.99%118.89M877.99%118.89M442.58%51.39M47.62%45.4M-54.05%14.71M-144.10%-15.28M-144.10%-15.28M55.41%9.47M-20.27%30.75M-54.34%32.02M
Total stockholders'equity 4.43%6.36B4.43%6.36B1.62%6.21B3.69%6.19B2.61%6.11B4.43%6.09B4.43%6.09B24.98%6.11B20.92%5.97B21.89%5.96B
Noncontrolling interests 550.00%26K550.00%26K64.71%28K366.67%28K400.00%30K-63.64%4K-63.64%4K-5.56%17K-71.43%6K-90.16%6K
Total equity 4.43%6.36B4.43%6.36B1.62%6.21B3.69%6.19B2.61%6.11B4.42%6.09B4.42%6.09B24.98%6.11B20.92%5.97B21.89%5.96B
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

Market Insights

Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.

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FOMC holds rates amid heightened uncertainty: Where will US stocks head next?
🎙️Discussion 1. With the Fed highlighting "elevated uncertainty", are you prioritizing rate projections or near-term economic data for ma Show More