CA Stock MarketDetailed Quotes

FM First Quantum Minerals Ltd

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  • 15.630
  • +1.130+7.79%
15min DelayMarket Closed Aug 8 16:00 ET
13.04BMarket Cap-6076P/E (TTM)

First Quantum Minerals 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
-18.73%885M
-31.86%772M
-31.46%1.16B
-31.46%1.16B
-29.29%1.27B
-40.33%1.09B
-41.84%1.13B
-9.20%1.69B
-9.20%1.69B
-6.73%1.79B
-Cash and cash equivalents
-18.73%885M
-31.86%772M
-31.46%1.16B
-31.46%1.16B
-29.29%1.27B
-40.33%1.09B
-41.84%1.13B
-9.20%1.69B
-9.20%1.69B
-6.73%1.79B
-Accounts receivable
-10.16%221M
-39.09%296M
-44.60%272M
-44.60%272M
110.00%357M
50.92%246M
-25.23%486M
5.36%491M
5.36%491M
-33.07%170M
Total current assets
-5.43%3.14B
-12.97%3.09B
-17.03%3.46B
-17.03%3.46B
-6.67%3.61B
-18.65%3.32B
-17.60%3.55B
6.00%4.17B
6.00%4.17B
-0.72%3.87B
Non current assets
-Accumulated depreciation
-5.99%-10.91B
-7.47%-10.75B
-8.59%-10.61B
-8.59%-10.61B
-13.67%-10.78B
-11.99%-10.29B
-12.20%-10.01B
-12.84%-9.77B
-12.84%-9.77B
-13.32%-9.49B
-Long term equity investment
-0.02%5.86B
-8.86%5.74B
-2.87%6.61B
-2.87%6.61B
-7.06%6.08B
-10.24%5.87B
-13.37%6.3B
-10.45%6.81B
-10.45%6.81B
-12.42%6.55B
Non current note receivables
-68.59%60M
-71.26%50M
-69.33%50M
-69.33%50M
22.02%205M
16.46%191M
2.35%174M
-10.44%163M
-10.44%163M
-1.18%168M
-Goodwill
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
0.00%237M
Regulatory assets
-2.71%538M
-21.20%606M
-34.16%586M
-34.16%586M
53.48%683M
50.27%553M
-18.45%769M
43.09%890M
43.09%890M
3.25%445M
Non current deferred assets
-6.22%513M
-0.38%520M
0.39%521M
0.39%521M
-5.37%546M
-7.91%547M
-12.71%522M
-19.41%519M
-19.41%519M
-3.99%577M
Total assets
3.50%207M
37.24%199M
13.33%153M
13.33%153M
29.17%186M
32.45%200M
752.94%145M
694.12%135M
694.12%135M
860.00%144M
Liabilities
Current liabilities
Current debt and capital lease obligation
-47.60%458M
-49.92%307M
68.17%967M
68.17%967M
43.01%818M
38.73%874M
24.85%613M
83.71%575M
83.71%575M
-23.32%572M
-Current debt
-47.60%458M
-49.92%307M
68.17%967M
68.17%967M
43.01%818M
38.73%874M
24.85%613M
83.71%575M
83.71%575M
-23.32%572M
-accounts payable
-26.49%569M
-4.62%661M
7.78%831M
7.78%831M
14.95%838M
-14.85%774M
2.82%693M
7.23%771M
7.23%771M
-8.88%729M
-Total tax payable
6.43%10.79B
0.48%10.67B
-1.19%10.97B
-1.19%10.97B
-6.49%10.32B
-8.12%10.13B
-9.93%10.62B
-8.21%11.11B
-8.21%11.11B
-7.76%11.04B
-Other payable
8.07%308M
5.65%299M
-4.71%263M
-4.71%263M
-2.59%263M
0.71%285M
-13.19%283M
-25.81%276M
-25.81%276M
-27.81%270M
Current liabilities
-31.76%1.33B
-30.69%1.15B
15.48%2.01B
15.48%2.01B
22.70%1.95B
4.83%1.95B
-9.48%1.66B
3.58%1.74B
3.58%1.74B
-22.78%1.59B
Non current liabilities
Non current accrued expenses
-0.83%18.87B
-2.09%18.66B
-2.47%18.58B
-2.47%18.58B
-1.66%18.87B
-1.01%19.02B
-1.08%19.06B
-1.19%19.05B
-1.19%19.05B
-0.69%19.19B
Long term provisions
-0.02%5.86B
-8.86%5.74B
-2.87%6.61B
-2.87%6.61B
-7.06%6.08B
-10.24%5.87B
-13.37%6.3B
-10.45%6.81B
-10.45%6.81B
-12.42%6.55B
Total non current liabilities
0.26%12.12B
-3.74%11.82B
1.07%12.98B
1.07%12.98B
-2.81%12.27B
-6.25%12.09B
-9.87%12.28B
-6.77%12.84B
-6.77%12.84B
-9.96%12.63B
Shareholders'equity
Share capital
20.01%6.54B
19.29%6.52B
-1.47%5.41B
-1.47%5.41B
-1.90%5.41B
-1.57%5.45B
-1.66%5.46B
-1.36%5.49B
-1.36%5.49B
-1.18%5.52B
-common stock
20.01%6.54B
19.29%6.52B
-1.47%5.41B
-1.47%5.41B
-1.90%5.41B
-1.57%5.45B
-1.66%5.46B
-1.36%5.49B
-1.36%5.49B
-1.18%5.52B
Gains losses not affecting retained earnings
67.80%-19M
0.00%-59M
0.00%-59M
0.00%-59M
-1.72%-59M
-5.36%-59M
10.61%-59M
18.06%-59M
18.06%-59M
56.39%-58M
Other equity interest
-5.14%203M
-11.98%147M
-7.52%123M
-7.52%123M
8.84%197M
-50.92%214M
77.66%167M
-3.62%133M
-3.62%133M
3.43%181M
Noncontrolling interests
-12.31%591M
-7.81%614M
-2.71%645M
-2.71%645M
6.68%703M
3.22%674M
5.21%666M
7.11%663M
7.11%663M
9.65%659M
Total equity
-2.32%23.71B
-4.17%23.47B
-5.27%23.76B
-5.27%23.76B
-0.50%24.84B
-3.77%24.27B
-4.11%24.5B
-0.75%25.08B
-0.75%25.08B
-0.93%24.97B
(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 -18.73%885M-31.86%772M-31.46%1.16B-31.46%1.16B-29.29%1.27B-40.33%1.09B-41.84%1.13B-9.20%1.69B-9.20%1.69B-6.73%1.79B
-Cash and cash equivalents -18.73%885M-31.86%772M-31.46%1.16B-31.46%1.16B-29.29%1.27B-40.33%1.09B-41.84%1.13B-9.20%1.69B-9.20%1.69B-6.73%1.79B
-Accounts receivable -10.16%221M-39.09%296M-44.60%272M-44.60%272M110.00%357M50.92%246M-25.23%486M5.36%491M5.36%491M-33.07%170M
Total current assets -5.43%3.14B-12.97%3.09B-17.03%3.46B-17.03%3.46B-6.67%3.61B-18.65%3.32B-17.60%3.55B6.00%4.17B6.00%4.17B-0.72%3.87B
Non current assets
-Accumulated depreciation -5.99%-10.91B-7.47%-10.75B-8.59%-10.61B-8.59%-10.61B-13.67%-10.78B-11.99%-10.29B-12.20%-10.01B-12.84%-9.77B-12.84%-9.77B-13.32%-9.49B
-Long term equity investment -0.02%5.86B-8.86%5.74B-2.87%6.61B-2.87%6.61B-7.06%6.08B-10.24%5.87B-13.37%6.3B-10.45%6.81B-10.45%6.81B-12.42%6.55B
Non current note receivables -68.59%60M-71.26%50M-69.33%50M-69.33%50M22.02%205M16.46%191M2.35%174M-10.44%163M-10.44%163M-1.18%168M
-Goodwill 0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M0.00%237M
Regulatory assets -2.71%538M-21.20%606M-34.16%586M-34.16%586M53.48%683M50.27%553M-18.45%769M43.09%890M43.09%890M3.25%445M
Non current deferred assets -6.22%513M-0.38%520M0.39%521M0.39%521M-5.37%546M-7.91%547M-12.71%522M-19.41%519M-19.41%519M-3.99%577M
Total assets 3.50%207M37.24%199M13.33%153M13.33%153M29.17%186M32.45%200M752.94%145M694.12%135M694.12%135M860.00%144M
Liabilities
Current liabilities
Current debt and capital lease obligation -47.60%458M-49.92%307M68.17%967M68.17%967M43.01%818M38.73%874M24.85%613M83.71%575M83.71%575M-23.32%572M
-Current debt -47.60%458M-49.92%307M68.17%967M68.17%967M43.01%818M38.73%874M24.85%613M83.71%575M83.71%575M-23.32%572M
-accounts payable -26.49%569M-4.62%661M7.78%831M7.78%831M14.95%838M-14.85%774M2.82%693M7.23%771M7.23%771M-8.88%729M
-Total tax payable 6.43%10.79B0.48%10.67B-1.19%10.97B-1.19%10.97B-6.49%10.32B-8.12%10.13B-9.93%10.62B-8.21%11.11B-8.21%11.11B-7.76%11.04B
-Other payable 8.07%308M5.65%299M-4.71%263M-4.71%263M-2.59%263M0.71%285M-13.19%283M-25.81%276M-25.81%276M-27.81%270M
Current liabilities -31.76%1.33B-30.69%1.15B15.48%2.01B15.48%2.01B22.70%1.95B4.83%1.95B-9.48%1.66B3.58%1.74B3.58%1.74B-22.78%1.59B
Non current liabilities
Non current accrued expenses -0.83%18.87B-2.09%18.66B-2.47%18.58B-2.47%18.58B-1.66%18.87B-1.01%19.02B-1.08%19.06B-1.19%19.05B-1.19%19.05B-0.69%19.19B
Long term provisions -0.02%5.86B-8.86%5.74B-2.87%6.61B-2.87%6.61B-7.06%6.08B-10.24%5.87B-13.37%6.3B-10.45%6.81B-10.45%6.81B-12.42%6.55B
Total non current liabilities 0.26%12.12B-3.74%11.82B1.07%12.98B1.07%12.98B-2.81%12.27B-6.25%12.09B-9.87%12.28B-6.77%12.84B-6.77%12.84B-9.96%12.63B
Shareholders'equity
Share capital 20.01%6.54B19.29%6.52B-1.47%5.41B-1.47%5.41B-1.90%5.41B-1.57%5.45B-1.66%5.46B-1.36%5.49B-1.36%5.49B-1.18%5.52B
-common stock 20.01%6.54B19.29%6.52B-1.47%5.41B-1.47%5.41B-1.90%5.41B-1.57%5.45B-1.66%5.46B-1.36%5.49B-1.36%5.49B-1.18%5.52B
Gains losses not affecting retained earnings 67.80%-19M0.00%-59M0.00%-59M0.00%-59M-1.72%-59M-5.36%-59M10.61%-59M18.06%-59M18.06%-59M56.39%-58M
Other equity interest -5.14%203M-11.98%147M-7.52%123M-7.52%123M8.84%197M-50.92%214M77.66%167M-3.62%133M-3.62%133M3.43%181M
Noncontrolling interests -12.31%591M-7.81%614M-2.71%645M-2.71%645M6.68%703M3.22%674M5.21%666M7.11%663M7.11%663M9.65%659M
Total equity -2.32%23.71B-4.17%23.47B-5.27%23.76B-5.27%23.76B-0.50%24.84B-3.77%24.27B-4.11%24.5B-0.75%25.08B-0.75%25.08B-0.93%24.97B

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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