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EDR Endeavour Silver Corp

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  • 6.660
  • -0.280-4.03%
15min DelayMarket Closed Mar 21 16:00 ET
1.75BMarket Cap-35.61P/E (TTM)

Endeavour Silver Corp 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
62.37%19.11M
-172.32%-4.85M
1,281.24%8.47M
154.83%12.37M
1,242.89%4.58M
-78.60%11.77M
-84.89%6.71M
-91.74%613K
126.16%4.85M
-101.85%-401K
Net income from continuing operations
-614.06%-31.48M
-66.38%1.03M
-643.13%-17.3M
-1,228.94%-14.01M
-118.49%-1.19M
-1.26%6.12M
-61.70%3.05M
-55.30%-2.33M
91.16%-1.05M
-44.64%6.46M
Operating gains losses
2,187.79%33.84M
10.73%2.48M
438.63%18.48M
224.04%11.87M
149.18%1.02M
-171.13%-1.62M
22.59%2.24M
-232.74%-5.46M
-52.09%3.66M
62.82%-2.06M
Depreciation and amortization
8.12%31.13M
-6.92%5.71M
-18.91%7.35M
28.11%8.93M
38.01%9.14M
10.35%28.79M
-33.94%6.13M
50.54%9.07M
61.26%6.97M
2.43%6.62M
Asset impairment expenditure
-58.39%181K
--181K
--0
--0
----
-78.30%435K
--0
--0
-13.00%435K
----
Remuneration paid in stock
-10.37%3.24M
-51.47%346K
-34.72%564K
180.00%1.16M
-28.00%1.17M
-6.73%3.62M
15.19%713K
13.68%864K
-57.30%415K
6.42%1.63M
Deferred tax
-534.48%-3.42M
1.45%-2.51M
-174.77%-664K
-114.75%-113K
-107.82%-131K
-93.65%786K
-208.49%-2.54M
-56.75%888K
-56.28%766K
-73.06%1.68M
Other non cashItems
-460.81%-6.25M
-806.28%-1.46M
-1,836.24%-3.98M
-16.15%218K
113.20%239K
-192.68%-1.12M
-19.46%207K
-26.60%229K
-22.62%260K
-707.72%-1.81M
Change In working capital
67.77%-8.14M
-244.08%-10.62M
251.40%4.01M
165.11%4.3M
56.20%-5.65M
-2,710.44%-25.24M
-114.07%-3.09M
-3,217.65%-2.65M
70.18%-6.61M
-1,258.17%-12.9M
-Change in receivables
98.84%-234K
113.78%1.66M
164.28%1.91M
281.81%5.28M
-310.40%-9.08M
-144.17%-20.1M
-105.51%-12.01M
-413.26%-2.98M
7.25%-2.9M
-989.66%-2.21M
-Change in inventory
-14.82%-7.9M
-1,854.81%-10.76M
-116.85%-303K
63.73%-2.25M
274.81%5.41M
-231.69%-6.88M
-95.53%613K
187.75%1.8M
28.88%-6.2M
-234.83%-3.09M
-Change in prepaid assets
1,980.21%3.89M
-73.77%1.33M
142.78%1.35M
223.98%455K
154.56%754K
121.69%187K
-5.34%5.09M
-1,698.48%-3.15M
93.91%-367K
-239.56%-1.38M
-Change in payables and accrued expense
-350.58%-3.89M
-188.22%-2.85M
-37.09%1.06M
-71.39%819K
56.01%-2.73M
-67.90%1.55M
-62.90%3.23M
69.91%1.68M
166.81%2.86M
-1,001.95%-6.22M
Cash from discontinued investing activities
Operating cash flow
62.37%19.11M
-172.32%-4.85M
1,281.24%8.47M
154.83%12.37M
1,242.89%4.58M
-78.60%11.77M
-84.89%6.71M
-91.74%613K
126.16%4.85M
-101.85%-401K
Investing cash flow
Cash flow from continuing investing activities
-71.15%-183.46M
-7.88%-43.84M
-82.38%-44.18M
-148.77%-55.18M
-104.49%-42.23M
3.82%-107.2M
-44.09%-40.64M
54.09%-24.23M
-37.35%-22.18M
-44.08%-20.65M
Net PPE purchase and sale
-77.21%-195.32M
-10.50%-45.82M
-101.89%-48.8M
-133.95%-55.83M
-116.58%-44.87M
-0.78%-110.22M
-47.04%-41.47M
54.22%-24.17M
-54.93%-23.86M
-59.82%-20.72M
Net investment purchase and sale
47.96%3.29M
--0
--0
-61.44%649K
--2.64M
205.00%2.23M
--379K
--0
325.60%1.68M
--0
Interest received (cash flow from investment activities)
--7.52M
--1.83M
--4.41M
----
----
--0
--0
--0
----
----
Net other investing changes
31.25%1.05M
-66.81%150K
450.88%200K
----
----
2,252.94%800K
--452K
-290.00%-57K
----
3,300.00%68K
Cash from discontinued investing activities
Investing cash flow
-71.15%-183.46M
-7.88%-43.84M
-82.38%-44.18M
-148.77%-55.18M
-104.49%-42.23M
3.82%-107.2M
-44.09%-40.64M
54.09%-24.23M
-37.35%-22.18M
-44.08%-20.65M
Financing cash flow
Cash flow from continuing financing activities
390.39%236M
250.64%101.21M
6.44%22.2M
9,197.00%75.87M
14,535.66%37.24M
30.93%48.13M
1,774.25%28.86M
1,403.31%20.85M
-1,753.33%-834K
-100.64%-258K
Net issuance payments of debt
1,924.02%115.52M
2,539.29%33.83M
1,558.86%24.04M
4,792.70%59.18M
45.67%-835K
-20.10%-6.33M
10.34%-1.39M
-24.57%-1.65M
0.55%-1.26M
-35.42%-1.54M
Net common stock issuance
101.72%122.37M
80.68%68.58M
--0
--14.7M
--38.91M
31.88%60.67M
--37.96M
--22.71M
--0
--0
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
61.31%3.96M
--1.44M
--367K
234.95%2.15M
--0
52.64%2.45M
--0
--0
-55.73%641K
1,293.85%1.81M
Interest paid (cash flow from financing activities)
-407.06%-4.17M
-1,314.72%-2.31M
-682.04%-1.61M
45.79%-116K
43.51%-135K
-4.05%-822K
20.49%-163K
-0.98%-206K
-4.90%-214K
-35.03%-239K
Net other financing activities
78.61%-1.68M
95.44%-344K
---602K
---35K
-136.73%-696K
-63.69%-7.84M
-39,810.53%-7.55M
----
----
89.49%-294K
Cash from discontinued financing activities
Financing cash flow
390.39%236M
250.64%101.21M
6.44%22.2M
9,197.00%75.87M
14,535.66%37.24M
30.93%48.13M
1,774.25%28.86M
1,403.31%20.85M
-1,753.33%-834K
-100.64%-258K
Net cash flow
Beginning cash position
-57.69%35.29M
34.13%54.93M
56.53%68.1M
-43.43%34.88M
-57.69%35.29M
-19.28%83.39M
-40.81%40.96M
-62.57%43.5M
-59.18%61.65M
-19.28%83.39M
Current changes in cash
251.49%71.65M
1,136.02%52.52M
-389.86%-13.52M
282.01%33.06M
98.13%-399K
-140.08%-47.3M
-135.05%-5.07M
94.12%-2.76M
47.72%-18.16M
-144.83%-21.31M
Effect of exchange rate changes
37.34%-505K
-68.77%-1.02M
67.61%357K
931.25%165K
97.46%-11K
-281.99%-806K
-126.32%-602K
353.57%213K
134.78%16K
-334.05%-433K
End cash Position
201.63%106.43M
201.63%106.43M
34.13%54.93M
56.53%68.1M
-43.43%34.88M
-57.69%35.29M
-57.69%35.29M
-40.81%40.96M
-62.57%43.5M
-59.18%61.65M
Free cash from
-66.27%-176.27M
-45.96%-50.74M
-29.58%-40.33M
-128.62%-43.46M
-90.85%-40.3M
-93.74%-106.02M
-314.99%-34.76M
31.79%-31.12M
44.08%-19.01M
-341.74%-21.12M
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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 62.37%19.11M-172.32%-4.85M1,281.24%8.47M154.83%12.37M1,242.89%4.58M-78.60%11.77M-84.89%6.71M-91.74%613K126.16%4.85M-101.85%-401K
Net income from continuing operations -614.06%-31.48M-66.38%1.03M-643.13%-17.3M-1,228.94%-14.01M-118.49%-1.19M-1.26%6.12M-61.70%3.05M-55.30%-2.33M91.16%-1.05M-44.64%6.46M
Operating gains losses 2,187.79%33.84M10.73%2.48M438.63%18.48M224.04%11.87M149.18%1.02M-171.13%-1.62M22.59%2.24M-232.74%-5.46M-52.09%3.66M62.82%-2.06M
Depreciation and amortization 8.12%31.13M-6.92%5.71M-18.91%7.35M28.11%8.93M38.01%9.14M10.35%28.79M-33.94%6.13M50.54%9.07M61.26%6.97M2.43%6.62M
Asset impairment expenditure -58.39%181K--181K--0--0-----78.30%435K--0--0-13.00%435K----
Remuneration paid in stock -10.37%3.24M-51.47%346K-34.72%564K180.00%1.16M-28.00%1.17M-6.73%3.62M15.19%713K13.68%864K-57.30%415K6.42%1.63M
Deferred tax -534.48%-3.42M1.45%-2.51M-174.77%-664K-114.75%-113K-107.82%-131K-93.65%786K-208.49%-2.54M-56.75%888K-56.28%766K-73.06%1.68M
Other non cashItems -460.81%-6.25M-806.28%-1.46M-1,836.24%-3.98M-16.15%218K113.20%239K-192.68%-1.12M-19.46%207K-26.60%229K-22.62%260K-707.72%-1.81M
Change In working capital 67.77%-8.14M-244.08%-10.62M251.40%4.01M165.11%4.3M56.20%-5.65M-2,710.44%-25.24M-114.07%-3.09M-3,217.65%-2.65M70.18%-6.61M-1,258.17%-12.9M
-Change in receivables 98.84%-234K113.78%1.66M164.28%1.91M281.81%5.28M-310.40%-9.08M-144.17%-20.1M-105.51%-12.01M-413.26%-2.98M7.25%-2.9M-989.66%-2.21M
-Change in inventory -14.82%-7.9M-1,854.81%-10.76M-116.85%-303K63.73%-2.25M274.81%5.41M-231.69%-6.88M-95.53%613K187.75%1.8M28.88%-6.2M-234.83%-3.09M
-Change in prepaid assets 1,980.21%3.89M-73.77%1.33M142.78%1.35M223.98%455K154.56%754K121.69%187K-5.34%5.09M-1,698.48%-3.15M93.91%-367K-239.56%-1.38M
-Change in payables and accrued expense -350.58%-3.89M-188.22%-2.85M-37.09%1.06M-71.39%819K56.01%-2.73M-67.90%1.55M-62.90%3.23M69.91%1.68M166.81%2.86M-1,001.95%-6.22M
Cash from discontinued investing activities
Operating cash flow 62.37%19.11M-172.32%-4.85M1,281.24%8.47M154.83%12.37M1,242.89%4.58M-78.60%11.77M-84.89%6.71M-91.74%613K126.16%4.85M-101.85%-401K
Investing cash flow
Cash flow from continuing investing activities -71.15%-183.46M-7.88%-43.84M-82.38%-44.18M-148.77%-55.18M-104.49%-42.23M3.82%-107.2M-44.09%-40.64M54.09%-24.23M-37.35%-22.18M-44.08%-20.65M
Net PPE purchase and sale -77.21%-195.32M-10.50%-45.82M-101.89%-48.8M-133.95%-55.83M-116.58%-44.87M-0.78%-110.22M-47.04%-41.47M54.22%-24.17M-54.93%-23.86M-59.82%-20.72M
Net investment purchase and sale 47.96%3.29M--0--0-61.44%649K--2.64M205.00%2.23M--379K--0325.60%1.68M--0
Interest received (cash flow from investment activities) --7.52M--1.83M--4.41M----------0--0--0--------
Net other investing changes 31.25%1.05M-66.81%150K450.88%200K--------2,252.94%800K--452K-290.00%-57K----3,300.00%68K
Cash from discontinued investing activities
Investing cash flow -71.15%-183.46M-7.88%-43.84M-82.38%-44.18M-148.77%-55.18M-104.49%-42.23M3.82%-107.2M-44.09%-40.64M54.09%-24.23M-37.35%-22.18M-44.08%-20.65M
Financing cash flow
Cash flow from continuing financing activities 390.39%236M250.64%101.21M6.44%22.2M9,197.00%75.87M14,535.66%37.24M30.93%48.13M1,774.25%28.86M1,403.31%20.85M-1,753.33%-834K-100.64%-258K
Net issuance payments of debt 1,924.02%115.52M2,539.29%33.83M1,558.86%24.04M4,792.70%59.18M45.67%-835K-20.10%-6.33M10.34%-1.39M-24.57%-1.65M0.55%-1.26M-35.42%-1.54M
Net common stock issuance 101.72%122.37M80.68%68.58M--0--14.7M--38.91M31.88%60.67M--37.96M--22.71M--0--0
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees 61.31%3.96M--1.44M--367K234.95%2.15M--052.64%2.45M--0--0-55.73%641K1,293.85%1.81M
Interest paid (cash flow from financing activities) -407.06%-4.17M-1,314.72%-2.31M-682.04%-1.61M45.79%-116K43.51%-135K-4.05%-822K20.49%-163K-0.98%-206K-4.90%-214K-35.03%-239K
Net other financing activities 78.61%-1.68M95.44%-344K---602K---35K-136.73%-696K-63.69%-7.84M-39,810.53%-7.55M--------89.49%-294K
Cash from discontinued financing activities
Financing cash flow 390.39%236M250.64%101.21M6.44%22.2M9,197.00%75.87M14,535.66%37.24M30.93%48.13M1,774.25%28.86M1,403.31%20.85M-1,753.33%-834K-100.64%-258K
Net cash flow
Beginning cash position -57.69%35.29M34.13%54.93M56.53%68.1M-43.43%34.88M-57.69%35.29M-19.28%83.39M-40.81%40.96M-62.57%43.5M-59.18%61.65M-19.28%83.39M
Current changes in cash 251.49%71.65M1,136.02%52.52M-389.86%-13.52M282.01%33.06M98.13%-399K-140.08%-47.3M-135.05%-5.07M94.12%-2.76M47.72%-18.16M-144.83%-21.31M
Effect of exchange rate changes 37.34%-505K-68.77%-1.02M67.61%357K931.25%165K97.46%-11K-281.99%-806K-126.32%-602K353.57%213K134.78%16K-334.05%-433K
End cash Position 201.63%106.43M201.63%106.43M34.13%54.93M56.53%68.1M-43.43%34.88M-57.69%35.29M-57.69%35.29M-40.81%40.96M-62.57%43.5M-59.18%61.65M
Free cash from -66.27%-176.27M-45.96%-50.74M-29.58%-40.33M-128.62%-43.46M-90.85%-40.3M-93.74%-106.02M-314.99%-34.76M31.79%-31.12M44.08%-19.01M-341.74%-21.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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.

Market Insights
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The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector. The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector.