CA Stock MarketDetailed Quotes

ERO Ero Copper Corp

Watchlist
  • 30.780
  • -0.280-0.90%
15min DelayMarket Closed Sep 27 16:00 ET
3.18BMarket Cap-118384P/E (TTM)

Ero Copper Corp 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
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-75.18%44.77M
-78.16%51.69M
-64.80%111.74M
-64.80%111.74M
-58.04%180.39M
-49.16%236.65M
143.91%317.4M
143.91%317.4M
202.21%359.8M
212.29%429.88M
-Cash and cash equivalents
-64.00%44.77M
-75.37%51.69M
-37.12%111.74M
-37.12%111.74M
-62.23%124.38M
-42.56%209.91M
36.56%177.7M
36.56%177.7M
126.93%210.24M
139.22%329.29M
-Accounts receivable
28.51%16.42M
-62.00%8.06M
-44.50%5.71M
-44.50%5.71M
-70.48%12.78M
-18.17%21.21M
-66.49%10.29M
-66.49%10.29M
-7.52%26.44M
101.27%43.29M
Total current assets
-55.64%124.55M
-60.77%129.96M
-49.17%199.49M
-49.17%199.49M
-46.33%280.78M
-39.38%331.24M
88.05%392.43M
88.05%392.43M
137.48%444.19M
158.57%523.2M
Non current assets
-Accumulated depreciation
-14.91%-328.73M
-37.39%-343.82M
-45.76%-332.2M
-45.76%-332.2M
-45.56%-286.07M
-24.56%-250.25M
-41.98%-227.9M
-41.98%-227.9M
---205.52M
---196.53M
-Long term equity investment
18.86%493.85M
12.82%458.33M
1.81%414.46M
1.81%414.46M
2.52%415.5M
0.35%406.26M
610.40%407.09M
610.40%407.09M
647.95%404.38M
161.66%405.3M
-Including:Held to maturity investments
--0
-74.60%1.67M
247.67%11.25M
247.67%11.25M
--11.21M
--6.56M
--3.24M
--3.24M
--977K
----
Non current note receivables
--8.04M
--1.06M
--1.32M
--1.32M
----
----
--0
--0
--0
--0
Regulatory assets
-3.03%37.19M
-29.50%32.11M
-13.74%28.28M
-13.74%28.28M
-34.07%38.36M
13.70%45.55M
-28.45%32.78M
-28.45%32.78M
21.25%45.81M
88.14%58.18M
Non current deferred assets
144.29%21.97M
176.43%22.82M
10.62%11.41M
10.62%11.41M
--8.99M
--8.26M
--10.32M
--10.32M
----
----
Total assets
17.69%15.25M
27.54%15.66M
16.11%14.22M
16.11%14.22M
-12.99%12.96M
-13.12%12.28M
-18.95%12.25M
-18.95%12.25M
110.74%19.37M
58.14%14.89M
Liabilities
Current liabilities
Current debt and capital lease obligation
93.18%50.81M
67.53%28.09M
43.10%31.38M
43.10%31.38M
21.70%26.3M
18.07%16.77M
142.14%21.93M
142.14%21.93M
88.73%13.87M
164.96%21.61M
-Current debt
133.20%39.89M
74.16%16.06M
29.79%20.38M
29.79%20.38M
5.46%17.11M
5.50%9.22M
261.49%15.7M
261.49%15.7M
143.71%9.05M
263.57%16.22M
-Current capital lease obligation
18.74%10.92M
59.43%12.03M
76.70%11M
76.70%11M
70.56%9.2M
38.19%7.55M
32.10%6.22M
32.10%6.22M
32.59%4.82M
45.90%5.39M
-accounts payable
15.27%56.83M
92.79%69.65M
56.42%74.88M
56.42%74.88M
79.03%49.3M
-46.53%36.13M
88.43%47.87M
88.43%47.87M
-25.77%31.8M
-35.08%27.54M
-Total tax payable
10.68%590.72M
7.88%562.55M
2.28%528.56M
2.28%528.56M
2.65%533.72M
-1.26%521.47M
201.14%516.79M
201.14%516.79M
207.11%514.79M
174.58%519.95M
-Other payable
12.75%8.2M
71.15%8.71M
112.60%8.47M
112.60%8.47M
--7.28M
--5.09M
207.72%3.99M
207.72%3.99M
----
----
Current accrued expenses
-97.08%1.04M
-96.82%998K
33.52%10.26M
33.52%10.26M
36.38%35.68M
--31.42M
-9.86%7.69M
-9.86%7.69M
--11.45M
--26.16M
Current deferred liabilities
-0.14%16.8M
6.09%17.03M
3.49%17.16M
3.49%17.16M
20.72%16.83M
28.10%16.05M
57.74%16.58M
57.74%16.58M
51.33%15.14M
--13.94M
Current liabilities
30.02%182.14M
41.01%158.57M
34.60%173.8M
34.60%173.8M
32.75%140.09M
9.45%112.45M
5.27%129.12M
5.27%129.12M
-4.49%100.94M
26.45%105.53M
Non current liabilities
-Long term debt
21.94%6.93M
62.60%7.59M
81.58%8.61M
81.58%8.61M
214.86%5.68M
86.57%4.67M
97.58%4.74M
97.58%4.74M
-12.26%2.1M
-27.55%1.8M
Non current accrued expenses
22.34%1.26B
53.22%1.33B
66.28%1.28B
66.28%1.28B
72.78%1.03B
41.74%869.07M
61.47%770.96M
61.47%770.96M
49.42%653.02M
40.96%597.56M
Derivative product liabilities
--918K
----
----
----
----
----
----
----
----
----
Long term provisions
18.81%486.92M
12.24%450.74M
0.87%405.85M
0.87%405.85M
1.57%409.82M
-0.19%401.6M
632.81%402.35M
632.81%402.35M
678.59%402.28M
164.75%403.49M
Employee benefits
--7M
--4.55M
----
----
----
----
----
----
----
----
Preferred securities outside stock equity
--33.54M
--29.11M
25.77%26.42M
25.77%26.42M
----
----
-8.46%21.01M
-8.46%21.01M
--20.48M
----
Total non current liabilities
14.70%772.86M
13.76%721.11M
8.74%702.36M
8.74%702.36M
7.73%673.81M
0.48%633.92M
119.49%645.91M
119.49%645.91M
125.29%615.74M
129.27%625.48M
Shareholders'equity
Share capital
75.89%281.19M
78.47%271.76M
83.27%271.34M
83.27%271.34M
18.21%159.87M
13.82%152.27M
11.26%148.06M
11.26%148.06M
6.40%137.97M
4.71%135.24M
-common stock
75.89%281.19M
78.47%271.76M
83.27%271.34M
83.27%271.34M
18.21%159.87M
13.82%152.27M
11.26%148.06M
11.26%148.06M
6.40%137.97M
4.71%135.24M
Additional paid-in capital
----
----
----
----
----
--10.64M
----
----
----
----
Gains losses not affecting retained earnings
-788.45%-115.48M
33.40%-39.87M
74.90%-16.62M
74.90%-16.62M
80.79%-13M
-567.50%-59.86M
30.26%-66.19M
30.26%-66.19M
-16.08%-87.46M
-7.83%-67.68M
Other equity interest
-7.40%6.27M
-2.41%8.08M
-29.33%4.72M
-29.33%4.72M
--6.77M
--8.28M
13.78%6.67M
13.78%6.67M
----
----
Total equity
7.21%1.43B
22.81%1.5B
27.24%1.51B
27.24%1.51B
18.51%1.34B
4.79%1.22B
72.24%1.19B
72.24%1.19B
76.64%1.1B
79.33%1.13B
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -75.18%44.77M-78.16%51.69M-64.80%111.74M-64.80%111.74M-58.04%180.39M-49.16%236.65M143.91%317.4M143.91%317.4M202.21%359.8M212.29%429.88M
-Cash and cash equivalents -64.00%44.77M-75.37%51.69M-37.12%111.74M-37.12%111.74M-62.23%124.38M-42.56%209.91M36.56%177.7M36.56%177.7M126.93%210.24M139.22%329.29M
-Accounts receivable 28.51%16.42M-62.00%8.06M-44.50%5.71M-44.50%5.71M-70.48%12.78M-18.17%21.21M-66.49%10.29M-66.49%10.29M-7.52%26.44M101.27%43.29M
Total current assets -55.64%124.55M-60.77%129.96M-49.17%199.49M-49.17%199.49M-46.33%280.78M-39.38%331.24M88.05%392.43M88.05%392.43M137.48%444.19M158.57%523.2M
Non current assets
-Accumulated depreciation -14.91%-328.73M-37.39%-343.82M-45.76%-332.2M-45.76%-332.2M-45.56%-286.07M-24.56%-250.25M-41.98%-227.9M-41.98%-227.9M---205.52M---196.53M
-Long term equity investment 18.86%493.85M12.82%458.33M1.81%414.46M1.81%414.46M2.52%415.5M0.35%406.26M610.40%407.09M610.40%407.09M647.95%404.38M161.66%405.3M
-Including:Held to maturity investments --0-74.60%1.67M247.67%11.25M247.67%11.25M--11.21M--6.56M--3.24M--3.24M--977K----
Non current note receivables --8.04M--1.06M--1.32M--1.32M----------0--0--0--0
Regulatory assets -3.03%37.19M-29.50%32.11M-13.74%28.28M-13.74%28.28M-34.07%38.36M13.70%45.55M-28.45%32.78M-28.45%32.78M21.25%45.81M88.14%58.18M
Non current deferred assets 144.29%21.97M176.43%22.82M10.62%11.41M10.62%11.41M--8.99M--8.26M--10.32M--10.32M--------
Total assets 17.69%15.25M27.54%15.66M16.11%14.22M16.11%14.22M-12.99%12.96M-13.12%12.28M-18.95%12.25M-18.95%12.25M110.74%19.37M58.14%14.89M
Liabilities
Current liabilities
Current debt and capital lease obligation 93.18%50.81M67.53%28.09M43.10%31.38M43.10%31.38M21.70%26.3M18.07%16.77M142.14%21.93M142.14%21.93M88.73%13.87M164.96%21.61M
-Current debt 133.20%39.89M74.16%16.06M29.79%20.38M29.79%20.38M5.46%17.11M5.50%9.22M261.49%15.7M261.49%15.7M143.71%9.05M263.57%16.22M
-Current capital lease obligation 18.74%10.92M59.43%12.03M76.70%11M76.70%11M70.56%9.2M38.19%7.55M32.10%6.22M32.10%6.22M32.59%4.82M45.90%5.39M
-accounts payable 15.27%56.83M92.79%69.65M56.42%74.88M56.42%74.88M79.03%49.3M-46.53%36.13M88.43%47.87M88.43%47.87M-25.77%31.8M-35.08%27.54M
-Total tax payable 10.68%590.72M7.88%562.55M2.28%528.56M2.28%528.56M2.65%533.72M-1.26%521.47M201.14%516.79M201.14%516.79M207.11%514.79M174.58%519.95M
-Other payable 12.75%8.2M71.15%8.71M112.60%8.47M112.60%8.47M--7.28M--5.09M207.72%3.99M207.72%3.99M--------
Current accrued expenses -97.08%1.04M-96.82%998K33.52%10.26M33.52%10.26M36.38%35.68M--31.42M-9.86%7.69M-9.86%7.69M--11.45M--26.16M
Current deferred liabilities -0.14%16.8M6.09%17.03M3.49%17.16M3.49%17.16M20.72%16.83M28.10%16.05M57.74%16.58M57.74%16.58M51.33%15.14M--13.94M
Current liabilities 30.02%182.14M41.01%158.57M34.60%173.8M34.60%173.8M32.75%140.09M9.45%112.45M5.27%129.12M5.27%129.12M-4.49%100.94M26.45%105.53M
Non current liabilities
-Long term debt 21.94%6.93M62.60%7.59M81.58%8.61M81.58%8.61M214.86%5.68M86.57%4.67M97.58%4.74M97.58%4.74M-12.26%2.1M-27.55%1.8M
Non current accrued expenses 22.34%1.26B53.22%1.33B66.28%1.28B66.28%1.28B72.78%1.03B41.74%869.07M61.47%770.96M61.47%770.96M49.42%653.02M40.96%597.56M
Derivative product liabilities --918K------------------------------------
Long term provisions 18.81%486.92M12.24%450.74M0.87%405.85M0.87%405.85M1.57%409.82M-0.19%401.6M632.81%402.35M632.81%402.35M678.59%402.28M164.75%403.49M
Employee benefits --7M--4.55M--------------------------------
Preferred securities outside stock equity --33.54M--29.11M25.77%26.42M25.77%26.42M---------8.46%21.01M-8.46%21.01M--20.48M----
Total non current liabilities 14.70%772.86M13.76%721.11M8.74%702.36M8.74%702.36M7.73%673.81M0.48%633.92M119.49%645.91M119.49%645.91M125.29%615.74M129.27%625.48M
Shareholders'equity
Share capital 75.89%281.19M78.47%271.76M83.27%271.34M83.27%271.34M18.21%159.87M13.82%152.27M11.26%148.06M11.26%148.06M6.40%137.97M4.71%135.24M
-common stock 75.89%281.19M78.47%271.76M83.27%271.34M83.27%271.34M18.21%159.87M13.82%152.27M11.26%148.06M11.26%148.06M6.40%137.97M4.71%135.24M
Additional paid-in capital ----------------------10.64M----------------
Gains losses not affecting retained earnings -788.45%-115.48M33.40%-39.87M74.90%-16.62M74.90%-16.62M80.79%-13M-567.50%-59.86M30.26%-66.19M30.26%-66.19M-16.08%-87.46M-7.83%-67.68M
Other equity interest -7.40%6.27M-2.41%8.08M-29.33%4.72M-29.33%4.72M--6.77M--8.28M13.78%6.67M13.78%6.67M--------
Total equity 7.21%1.43B22.81%1.5B27.24%1.51B27.24%1.51B18.51%1.34B4.79%1.22B72.24%1.19B72.24%1.19B76.64%1.1B79.33%1.13B

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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