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FNV Franco-Nevada Corp

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  • 171.440
  • -0.770-0.45%
15min DelayMarket Closed Nov 29 16:00 ET
33.00BMarket Cap-40112P/E (TTM)

Franco-Nevada Corp 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
-9.49%213.6M
-25.81%194.3M
-14.87%178.6M
-0.83%991.2M
1.50%283.5M
1.59%236M
1.79%261.9M
-9.02%209.8M
4.62%999.5M
0.11%279.3M
Net income from continuing operations
-12.79%152.7M
-56.91%79.5M
-7.67%144.5M
-166.57%-466.4M
-695.45%-982.5M
11.46%175.1M
-6.11%184.5M
-14.01%156.5M
-4.51%700.6M
-25.31%165M
Operating gains losses
-94.44%100K
578.57%6.7M
113.79%800K
-296.97%-6.5M
-157.89%-1.1M
--1.8M
---1.4M
6.45%-5.8M
120.00%3.3M
72.73%1.9M
Depreciation and amortization
-20.41%54.2M
-29.56%52.9M
-4.59%58.2M
-4.58%273.1M
-6.26%68.9M
-0.58%68.1M
7.90%75.1M
-18.23%61M
-4.47%286.2M
-6.01%73.5M
Asset impairment expenditure
----
----
----
--1.17B
----
----
----
----
--0
----
Unrealized gains and losses of investment securities
----
----
----
-2,725.00%-11.3M
----
----
----
----
---400K
----
Remuneration paid in stock
-13.33%1.3M
-11.76%1.5M
-6.67%1.4M
-32.93%5.5M
-77.78%800K
-6.25%1.5M
21.43%1.7M
-6.25%1.5M
2.50%8.2M
2.86%3.6M
Deferred tax
413.33%7.7M
627.14%50.9M
-33.33%5.4M
-28.88%26.6M
-34.21%10M
-83.33%1.5M
12.90%7M
15.71%8.1M
0.81%37.4M
-43.49%15.2M
Other non cashItems
-2,900.00%-9M
-8.62%-12.6M
-920.00%-24.6M
63.05%-9.2M
-106.25%-300K
40.00%-300K
-8.41%-11.6M
116.22%3M
4.96%-24.9M
196.00%4.8M
Change In working capital
156.41%6.6M
133.33%15.4M
51.03%-7.1M
155.96%6.1M
63.69%25.7M
-143.75%-11.7M
155.46%6.6M
-46.46%-14.5M
64.03%-10.9M
-45.67%15.7M
-Change in receivables
-233.33%-12.8M
-21.62%5.8M
2.48%-15.7M
255.35%24.7M
66.43%23.8M
268.42%9.6M
196.10%7.4M
4.17%-16.1M
39.77%-15.9M
-48.93%14.3M
-Change in prepaid assets
226.15%8.2M
129.51%1.8M
-66.67%700K
-150.00%-8M
400.00%2.5M
-3.17%-6.5M
-125.93%-6.1M
-60.38%2.1M
-33.33%-3.2M
-50.00%500K
-Change in other current liabilities
175.68%11.2M
47.17%7.8M
1,680.00%7.9M
-229.27%-10.6M
-166.67%-600K
-305.56%-14.8M
453.33%5.3M
-131.25%-500K
646.67%8.2M
1,000.00%900K
Cash from discontinued investing activities
Operating cash flow
-9.49%213.6M
-25.81%194.3M
-14.87%178.6M
-0.83%991.2M
1.50%283.5M
1.59%236M
1.79%261.9M
-9.02%209.8M
4.62%999.5M
0.11%279.3M
Investing cash flow
Cash flow from continuing investing activities
-60.62%-279M
77.15%-36.7M
-85.67%-190.5M
-271.89%-541.1M
-6.11%-104.2M
-462.14%-173.7M
-985.14%-160.6M
-6,312.50%-102.6M
80.98%-145.5M
-169.78%-98.2M
Net PPE purchase and sale
-44.68%-239.3M
93.77%-10.1M
-38.99%-142.6M
-263.67%-514.6M
32.32%-84.6M
-5,235.48%-165.4M
-1,472.82%-162M
-3,209.68%-102.6M
81.39%-141.5M
-551.04%-125M
Net investment purchase and sale
-80.72%-15M
-328.57%-3.2M
---6.7M
83.30%-7.8M
-103.36%-900K
70.14%-8.3M
102.97%1.4M
--0
-937.78%-46.7M
255.81%26.8M
Net other investing changes
---24.7M
---23.4M
---41.2M
-143.79%-18.7M
----
----
----
----
--42.7M
--0
Cash from discontinued investing activities
Investing cash flow
-60.62%-279M
77.15%-36.7M
-85.67%-190.5M
-271.89%-541.1M
-6.11%-104.2M
-462.14%-173.7M
-985.14%-160.6M
-6,312.50%-102.6M
80.98%-145.5M
-169.78%-98.2M
Financing cash flow
Cash flow from continuing financing activities
-7.57%-61.1M
-4.04%-59.2M
-2.65%-58.1M
-21.75%-230.1M
-36.84%-59.8M
-15.68%-56.8M
-17.08%-56.9M
-18.91%-56.6M
-4.88%-189M
5.21%-43.7M
Net issuance payments of debt
--0
----
----
----
----
--0
----
----
----
----
Cash dividends paid
-7.57%-61.1M
-2.90%-60.3M
-1.90%-58.9M
-17.91%-233M
-24.58%-59.8M
-17.84%-56.8M
-14.23%-58.6M
-15.37%-57.8M
-10.02%-197.6M
-3.90%-48M
Proceeds from stock option exercised by employees
--0
11.76%1.9M
-33.33%800K
-69.47%2.9M
--0
--0
-37.04%1.7M
-52.00%1.2M
2,275.00%9.5M
4,200.00%4.3M
Net other financing activities
----
----
----
----
----
----
----
----
10.00%-900K
--0
Cash from discontinued financing activities
Financing cash flow
-7.57%-61.1M
-4.04%-59.2M
-2.65%-58.1M
-21.75%-230.1M
-36.84%-59.8M
-15.68%-56.8M
-17.08%-56.9M
-18.91%-56.6M
-4.88%-189M
5.21%-43.7M
Net cash flow
Beginning cash position
11.11%1.44B
8.30%1.35B
18.84%1.42B
121.86%1.2B
22.67%1.3B
42.22%1.3B
72.74%1.25B
121.86%1.2B
0.95%539.3M
204.99%1.06B
Current changes in cash
-2,400.00%-126.5M
121.62%98.4M
-238.34%-70M
-66.92%220M
-13.03%119.5M
-96.39%5.5M
-77.10%44.4M
-72.11%50.6M
6,419.61%665M
-30.08%137.4M
Effect of exchange rate changes
237.14%4.8M
-595.65%-11.4M
-92.31%100K
169.23%5.4M
211.76%5.3M
36.36%-3.5M
138.33%2.3M
-35.00%1.3M
-52.94%-7.8M
143.59%1.7M
End cash Position
1.56%1.32B
11.11%1.44B
8.30%1.35B
18.84%1.42B
18.84%1.42B
22.67%1.3B
42.22%1.3B
72.74%1.25B
121.86%1.2B
121.86%1.2B
Free cash from
-136.40%-25.7M
77.88%177.7M
-68.76%31.3M
-45.27%469.6M
28.90%198.9M
-69.20%70.6M
-59.55%99.9M
-55.96%100.2M
340.23%858M
-40.61%154.3M
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
--
--
--
--
--
--
(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 -9.49%213.6M-25.81%194.3M-14.87%178.6M-0.83%991.2M1.50%283.5M1.59%236M1.79%261.9M-9.02%209.8M4.62%999.5M0.11%279.3M
Net income from continuing operations -12.79%152.7M-56.91%79.5M-7.67%144.5M-166.57%-466.4M-695.45%-982.5M11.46%175.1M-6.11%184.5M-14.01%156.5M-4.51%700.6M-25.31%165M
Operating gains losses -94.44%100K578.57%6.7M113.79%800K-296.97%-6.5M-157.89%-1.1M--1.8M---1.4M6.45%-5.8M120.00%3.3M72.73%1.9M
Depreciation and amortization -20.41%54.2M-29.56%52.9M-4.59%58.2M-4.58%273.1M-6.26%68.9M-0.58%68.1M7.90%75.1M-18.23%61M-4.47%286.2M-6.01%73.5M
Asset impairment expenditure --------------1.17B------------------0----
Unrealized gains and losses of investment securities -------------2,725.00%-11.3M-------------------400K----
Remuneration paid in stock -13.33%1.3M-11.76%1.5M-6.67%1.4M-32.93%5.5M-77.78%800K-6.25%1.5M21.43%1.7M-6.25%1.5M2.50%8.2M2.86%3.6M
Deferred tax 413.33%7.7M627.14%50.9M-33.33%5.4M-28.88%26.6M-34.21%10M-83.33%1.5M12.90%7M15.71%8.1M0.81%37.4M-43.49%15.2M
Other non cashItems -2,900.00%-9M-8.62%-12.6M-920.00%-24.6M63.05%-9.2M-106.25%-300K40.00%-300K-8.41%-11.6M116.22%3M4.96%-24.9M196.00%4.8M
Change In working capital 156.41%6.6M133.33%15.4M51.03%-7.1M155.96%6.1M63.69%25.7M-143.75%-11.7M155.46%6.6M-46.46%-14.5M64.03%-10.9M-45.67%15.7M
-Change in receivables -233.33%-12.8M-21.62%5.8M2.48%-15.7M255.35%24.7M66.43%23.8M268.42%9.6M196.10%7.4M4.17%-16.1M39.77%-15.9M-48.93%14.3M
-Change in prepaid assets 226.15%8.2M129.51%1.8M-66.67%700K-150.00%-8M400.00%2.5M-3.17%-6.5M-125.93%-6.1M-60.38%2.1M-33.33%-3.2M-50.00%500K
-Change in other current liabilities 175.68%11.2M47.17%7.8M1,680.00%7.9M-229.27%-10.6M-166.67%-600K-305.56%-14.8M453.33%5.3M-131.25%-500K646.67%8.2M1,000.00%900K
Cash from discontinued investing activities
Operating cash flow -9.49%213.6M-25.81%194.3M-14.87%178.6M-0.83%991.2M1.50%283.5M1.59%236M1.79%261.9M-9.02%209.8M4.62%999.5M0.11%279.3M
Investing cash flow
Cash flow from continuing investing activities -60.62%-279M77.15%-36.7M-85.67%-190.5M-271.89%-541.1M-6.11%-104.2M-462.14%-173.7M-985.14%-160.6M-6,312.50%-102.6M80.98%-145.5M-169.78%-98.2M
Net PPE purchase and sale -44.68%-239.3M93.77%-10.1M-38.99%-142.6M-263.67%-514.6M32.32%-84.6M-5,235.48%-165.4M-1,472.82%-162M-3,209.68%-102.6M81.39%-141.5M-551.04%-125M
Net investment purchase and sale -80.72%-15M-328.57%-3.2M---6.7M83.30%-7.8M-103.36%-900K70.14%-8.3M102.97%1.4M--0-937.78%-46.7M255.81%26.8M
Net other investing changes ---24.7M---23.4M---41.2M-143.79%-18.7M------------------42.7M--0
Cash from discontinued investing activities
Investing cash flow -60.62%-279M77.15%-36.7M-85.67%-190.5M-271.89%-541.1M-6.11%-104.2M-462.14%-173.7M-985.14%-160.6M-6,312.50%-102.6M80.98%-145.5M-169.78%-98.2M
Financing cash flow
Cash flow from continuing financing activities -7.57%-61.1M-4.04%-59.2M-2.65%-58.1M-21.75%-230.1M-36.84%-59.8M-15.68%-56.8M-17.08%-56.9M-18.91%-56.6M-4.88%-189M5.21%-43.7M
Net issuance payments of debt --0------------------0----------------
Cash dividends paid -7.57%-61.1M-2.90%-60.3M-1.90%-58.9M-17.91%-233M-24.58%-59.8M-17.84%-56.8M-14.23%-58.6M-15.37%-57.8M-10.02%-197.6M-3.90%-48M
Proceeds from stock option exercised by employees --011.76%1.9M-33.33%800K-69.47%2.9M--0--0-37.04%1.7M-52.00%1.2M2,275.00%9.5M4,200.00%4.3M
Net other financing activities --------------------------------10.00%-900K--0
Cash from discontinued financing activities
Financing cash flow -7.57%-61.1M-4.04%-59.2M-2.65%-58.1M-21.75%-230.1M-36.84%-59.8M-15.68%-56.8M-17.08%-56.9M-18.91%-56.6M-4.88%-189M5.21%-43.7M
Net cash flow
Beginning cash position 11.11%1.44B8.30%1.35B18.84%1.42B121.86%1.2B22.67%1.3B42.22%1.3B72.74%1.25B121.86%1.2B0.95%539.3M204.99%1.06B
Current changes in cash -2,400.00%-126.5M121.62%98.4M-238.34%-70M-66.92%220M-13.03%119.5M-96.39%5.5M-77.10%44.4M-72.11%50.6M6,419.61%665M-30.08%137.4M
Effect of exchange rate changes 237.14%4.8M-595.65%-11.4M-92.31%100K169.23%5.4M211.76%5.3M36.36%-3.5M138.33%2.3M-35.00%1.3M-52.94%-7.8M143.59%1.7M
End cash Position 1.56%1.32B11.11%1.44B8.30%1.35B18.84%1.42B18.84%1.42B22.67%1.3B42.22%1.3B72.74%1.25B121.86%1.2B121.86%1.2B
Free cash from -136.40%-25.7M77.88%177.7M-68.76%31.3M-45.27%469.6M28.90%198.9M-69.20%70.6M-59.55%99.9M-55.96%100.2M340.23%858M-40.61%154.3M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------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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