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FM First Quantum Minerals Ltd

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  • 19.280
  • +0.210+1.10%
15min DelayMarket Closed Nov 22 16:00 ET
16.08BMarket Cap-6450P/E (TTM)

First Quantum Minerals Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-56.23%260M
-44.78%397M
37.46%411M
-38.81%1.43B
-178.06%-185M
13.14%594M
-20.46%719M
-55.11%299M
-19.17%2.33B
-68.82%237M
Net income from continuing operations
-85.87%53M
-220.00%-120M
-412.16%-231M
-208.18%-1.24B
-1,631.62%-1.79B
234.82%375M
-78.63%100M
-83.63%74M
5.51%1.15B
-60.87%117M
Operating gains losses
1,500.00%32M
204.00%26M
380.00%24M
118.72%41M
490.00%59M
112.50%2M
90.12%-25M
-87.50%5M
15.44%-219M
300.00%10M
Depreciation and amortization
-50.77%159M
-50.83%148M
-42.07%157M
-8.86%1.12B
-30.89%226M
0.94%323M
4.51%301M
-8.14%271M
4.77%1.23B
4.14%327M
Asset impairment expenditure
--2M
--61M
--10M
--900M
--900M
--0
--0
--0
--0
----
Remuneration paid in stock
14.29%16M
80.00%18M
-30.77%9M
6.38%50M
0.00%13M
7.69%14M
25.00%10M
0.00%13M
42.42%47M
62.50%13M
Deferred tax
98.08%103M
887.50%63M
2,400.00%50M
38.82%708M
1,224.00%662M
30.00%52M
-103.29%-8M
-98.87%2M
-38.41%510M
-78.90%50M
Other non cashItems
86.96%129M
54.81%161M
626.88%676M
-3.17%367M
60.32%101M
-6.76%69M
11.83%104M
-37.58%93M
-15.59%379M
-31.52%63M
Change In working capital
6.91%-202M
-70.07%88M
-139.66%-278M
150.00%108M
148.84%147M
-487.50%-217M
4.63%294M
53.97%-116M
-1,100.00%-216M
-118.12%-301M
-Change in receivables
26.39%-106M
-39.71%123M
-987.50%-71M
349.55%277M
170.61%209M
-164.00%-144M
20.71%204M
103.83%8M
-258.06%-111M
---296M
-Change in inventory
-76.47%-30M
-68.75%5M
197.06%33M
-2.08%-147M
-1,300.00%-112M
-112.50%-17M
115.09%16M
-54.55%-34M
-500.00%-144M
---8M
-Change in payables and accrued expense
-17.86%-66M
-154.05%-40M
-166.67%-240M
-156.41%-22M
1,566.67%50M
65.22%-56M
-66.06%74M
-328.57%-90M
5.41%39M
--3M
Tax refund paid
-33.33%-32M
15.79%-48M
86.05%-6M
-14.05%-625M
-1,092.86%-501M
67.57%-24M
74.55%-57M
79.33%-43M
-20.44%-548M
53.85%-42M
Cash from discontinued investing activities
Operating cash flow
-56.23%260M
-44.78%397M
37.46%411M
-38.81%1.43B
-178.06%-185M
13.14%594M
-20.46%719M
-55.11%299M
-19.17%2.33B
-68.82%237M
Investing cash flow
Cash flow from continuing investing activities
30.59%-329M
-16.19%-366M
-3.13%-264M
-17.95%-1.38B
-7.37%-335M
-61.77%-474M
-11.70%-315M
9.54%-256M
-6.56%-1.17B
17.68%-312M
Net PPE purchase and sale
11.08%-329M
-14.64%-368M
0.00%-265M
-11.40%-1.3B
-8.52%-344M
-25.00%-370M
-16.73%-321M
5.02%-265M
-17.29%-1.17B
-14.44%-317M
Net business purchase and sale
--0
----
----
---105M
--0
---105M
----
----
--0
--0
Interest received (cash flow from investment activities)
-500.00%-4M
-66.67%2M
-88.89%1M
933.33%25M
80.00%9M
-66.67%1M
185.71%6M
325.00%9M
25.00%-3M
350.00%5M
Net other investing changes
--4M
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
30.59%-329M
-16.19%-366M
-3.13%-264M
-17.95%-1.38B
-7.37%-335M
-61.77%-474M
-11.70%-315M
9.54%-256M
-6.56%-1.17B
17.68%-312M
Financing cash flow
Cash flow from continuing financing activities
-144.02%-114M
121.37%134M
37.66%-394M
41.70%-776M
961.54%224M
196.64%259M
15.61%-627M
-114.97%-632M
-58.26%-1.33B
94.08%-26M
Net issuance payments of debt
-130.67%-92M
188.42%313M
-174.75%-1.39B
96.89%-17M
111.20%547M
712.24%300M
41.39%-354M
-53.64%-507M
-20.48%-547M
176.63%259M
Net common stock issuance
--0
--0
--1.1B
----
----
--0
--0
--0
----
----
Cash dividends paid
--0
--0
--0
-24.00%-93M
--0
50.00%-36M
-1,800.00%-57M
--0
-1,400.00%-75M
--0
Interest paid (cash flow from financing activities)
-171.43%-76M
-12.10%-176M
22.32%-87M
-17.63%-527M
-180.49%-230M
79.10%-28M
-98.73%-157M
26.80%-112M
14.01%-448M
-15.49%-82M
Net other financing activities
134.78%54M
94.92%-3M
-30.77%-17M
46.74%-139M
54.19%-93M
276.92%23M
-3.51%-59M
-106.88%-13M
-287.77%-261M
-576.67%-203M
Cash from discontinued financing activities
Financing cash flow
-144.02%-114M
121.37%134M
37.66%-394M
41.70%-776M
961.54%224M
196.64%259M
15.61%-627M
-114.97%-632M
-58.26%-1.33B
94.08%-26M
Net cash flow
Beginning cash position
-0.23%876M
-35.25%711M
-43.19%959M
-9.20%1.69B
-29.85%1.26B
-51.89%878M
-43.63%1.1B
-9.20%1.69B
103.39%1.86B
-6.73%1.79B
Current changes in cash
-148.28%-183M
173.99%165M
58.06%-247M
-331.36%-729M
-193.07%-296M
1,152.78%379M
-84.30%-223M
-761.80%-589M
-117.86%-169M
-74.14%-101M
Effect of exchange rate changes
--0
--0
0.00%-1M
--0
--0
---2M
250.00%3M
---1M
-100.00%-2M
--0
End cash Position
-44.78%693M
-0.23%876M
-35.25%711M
-43.19%959M
-43.19%959M
-29.85%1.26B
-51.89%878M
-43.63%1.1B
-9.20%1.69B
-9.20%1.69B
Free cash from
-130.80%-69M
-92.71%29M
329.41%146M
-89.10%127M
-561.25%-529M
-2.18%224M
-36.72%398M
-91.21%34M
-38.36%1.17B
-116.56%-80M
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -56.23%260M-44.78%397M37.46%411M-38.81%1.43B-178.06%-185M13.14%594M-20.46%719M-55.11%299M-19.17%2.33B-68.82%237M
Net income from continuing operations -85.87%53M-220.00%-120M-412.16%-231M-208.18%-1.24B-1,631.62%-1.79B234.82%375M-78.63%100M-83.63%74M5.51%1.15B-60.87%117M
Operating gains losses 1,500.00%32M204.00%26M380.00%24M118.72%41M490.00%59M112.50%2M90.12%-25M-87.50%5M15.44%-219M300.00%10M
Depreciation and amortization -50.77%159M-50.83%148M-42.07%157M-8.86%1.12B-30.89%226M0.94%323M4.51%301M-8.14%271M4.77%1.23B4.14%327M
Asset impairment expenditure --2M--61M--10M--900M--900M--0--0--0--0----
Remuneration paid in stock 14.29%16M80.00%18M-30.77%9M6.38%50M0.00%13M7.69%14M25.00%10M0.00%13M42.42%47M62.50%13M
Deferred tax 98.08%103M887.50%63M2,400.00%50M38.82%708M1,224.00%662M30.00%52M-103.29%-8M-98.87%2M-38.41%510M-78.90%50M
Other non cashItems 86.96%129M54.81%161M626.88%676M-3.17%367M60.32%101M-6.76%69M11.83%104M-37.58%93M-15.59%379M-31.52%63M
Change In working capital 6.91%-202M-70.07%88M-139.66%-278M150.00%108M148.84%147M-487.50%-217M4.63%294M53.97%-116M-1,100.00%-216M-118.12%-301M
-Change in receivables 26.39%-106M-39.71%123M-987.50%-71M349.55%277M170.61%209M-164.00%-144M20.71%204M103.83%8M-258.06%-111M---296M
-Change in inventory -76.47%-30M-68.75%5M197.06%33M-2.08%-147M-1,300.00%-112M-112.50%-17M115.09%16M-54.55%-34M-500.00%-144M---8M
-Change in payables and accrued expense -17.86%-66M-154.05%-40M-166.67%-240M-156.41%-22M1,566.67%50M65.22%-56M-66.06%74M-328.57%-90M5.41%39M--3M
Tax refund paid -33.33%-32M15.79%-48M86.05%-6M-14.05%-625M-1,092.86%-501M67.57%-24M74.55%-57M79.33%-43M-20.44%-548M53.85%-42M
Cash from discontinued investing activities
Operating cash flow -56.23%260M-44.78%397M37.46%411M-38.81%1.43B-178.06%-185M13.14%594M-20.46%719M-55.11%299M-19.17%2.33B-68.82%237M
Investing cash flow
Cash flow from continuing investing activities 30.59%-329M-16.19%-366M-3.13%-264M-17.95%-1.38B-7.37%-335M-61.77%-474M-11.70%-315M9.54%-256M-6.56%-1.17B17.68%-312M
Net PPE purchase and sale 11.08%-329M-14.64%-368M0.00%-265M-11.40%-1.3B-8.52%-344M-25.00%-370M-16.73%-321M5.02%-265M-17.29%-1.17B-14.44%-317M
Net business purchase and sale --0-----------105M--0---105M----------0--0
Interest received (cash flow from investment activities) -500.00%-4M-66.67%2M-88.89%1M933.33%25M80.00%9M-66.67%1M185.71%6M325.00%9M25.00%-3M350.00%5M
Net other investing changes --4M------------------------------------
Cash from discontinued investing activities
Investing cash flow 30.59%-329M-16.19%-366M-3.13%-264M-17.95%-1.38B-7.37%-335M-61.77%-474M-11.70%-315M9.54%-256M-6.56%-1.17B17.68%-312M
Financing cash flow
Cash flow from continuing financing activities -144.02%-114M121.37%134M37.66%-394M41.70%-776M961.54%224M196.64%259M15.61%-627M-114.97%-632M-58.26%-1.33B94.08%-26M
Net issuance payments of debt -130.67%-92M188.42%313M-174.75%-1.39B96.89%-17M111.20%547M712.24%300M41.39%-354M-53.64%-507M-20.48%-547M176.63%259M
Net common stock issuance --0--0--1.1B----------0--0--0--------
Cash dividends paid --0--0--0-24.00%-93M--050.00%-36M-1,800.00%-57M--0-1,400.00%-75M--0
Interest paid (cash flow from financing activities) -171.43%-76M-12.10%-176M22.32%-87M-17.63%-527M-180.49%-230M79.10%-28M-98.73%-157M26.80%-112M14.01%-448M-15.49%-82M
Net other financing activities 134.78%54M94.92%-3M-30.77%-17M46.74%-139M54.19%-93M276.92%23M-3.51%-59M-106.88%-13M-287.77%-261M-576.67%-203M
Cash from discontinued financing activities
Financing cash flow -144.02%-114M121.37%134M37.66%-394M41.70%-776M961.54%224M196.64%259M15.61%-627M-114.97%-632M-58.26%-1.33B94.08%-26M
Net cash flow
Beginning cash position -0.23%876M-35.25%711M-43.19%959M-9.20%1.69B-29.85%1.26B-51.89%878M-43.63%1.1B-9.20%1.69B103.39%1.86B-6.73%1.79B
Current changes in cash -148.28%-183M173.99%165M58.06%-247M-331.36%-729M-193.07%-296M1,152.78%379M-84.30%-223M-761.80%-589M-117.86%-169M-74.14%-101M
Effect of exchange rate changes --0--00.00%-1M--0--0---2M250.00%3M---1M-100.00%-2M--0
End cash Position -44.78%693M-0.23%876M-35.25%711M-43.19%959M-43.19%959M-29.85%1.26B-51.89%878M-43.63%1.1B-9.20%1.69B-9.20%1.69B
Free cash from -130.80%-69M-92.71%29M329.41%146M-89.10%127M-561.25%-529M-2.18%224M-36.72%398M-91.21%34M-38.36%1.17B-116.56%-80M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------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.

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