US Stock MarketDetailed Quotes

GATO Gatos Silver

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  • 14.090
  • -0.330-2.29%
Close Dec 27 16:00 ET
  • 14.090
  • 0.0000.00%
Post 20:01 ET
978.83MMarket Cap29.98P/E (TTM)

Gatos Silver 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
Assets
Current assets
Cash, cash equivalents and short term investments
248.78%116.73M
802.46%82.48M
447.14%70.59M
226.30%55.48M
226.30%55.48M
119.20%33.47M
25.59%9.14M
144.15%12.9M
157.01%17M
157.01%17M
-Cash and cash equivalents
248.78%116.73M
802.46%82.48M
447.14%70.59M
226.30%55.48M
226.30%55.48M
119.20%33.47M
25.59%9.14M
144.15%12.9M
157.01%17M
157.01%17M
Receivables
-94.18%939K
-94.94%814K
-89.26%1.56M
36.20%21.25M
36.20%21.25M
1,170.37%16.12M
1,206.09%16.08M
1,060.69%14.56M
620.03%15.6M
620.03%15.6M
-Taxes receivable
-21.67%647K
-19.24%659K
-11.45%696K
-5.34%691K
-5.34%691K
20.94%826K
24.58%816K
25.96%786K
26.96%730K
26.96%730K
-Related party accounts receivable
-73.33%292K
-92.83%155K
-30.64%464K
-68.42%560K
-68.42%560K
86.86%1.1M
275.35%2.16M
6.19%669K
11.37%1.77M
11.37%1.77M
-Other receivables
----
----
-96.92%403K
52.67%20M
52.67%20M
--14.2M
--13.1M
--13.1M
--13.1M
--13.1M
Prepaid assets
-31.62%558K
-43.42%924K
-41.54%1.38M
-33.77%1.91M
-33.77%1.91M
110.85%816K
21.23%1.63M
6.31%2.36M
-2.89%2.89M
-2.89%2.89M
Other current assets
-89.25%10K
-92.25%10K
-93.39%8K
-75.50%37K
-75.50%37K
1,228.57%93K
-41.36%129K
1,628.57%121K
2,057.14%151K
2,057.14%151K
Total current assets
134.14%118.24M
212.18%84.22M
145.64%73.54M
120.73%78.69M
120.73%78.69M
198.25%50.5M
167.78%26.98M
241.58%29.94M
202.97%35.65M
202.97%35.65M
Non current assets
Investments and advances
-13.16%285.45M
-13.84%305.23M
-12.65%308.2M
-7.44%321.91M
-7.44%321.91M
-11.51%328.71M
-5.43%354.27M
-7.10%352.84M
4.30%347.79M
4.30%347.79M
Related parties assets
-73.33%292K
-92.83%155K
-30.64%464K
-68.42%560K
-68.42%560K
86.86%1.1M
275.35%2.16M
6.19%669K
11.37%1.77M
11.37%1.77M
Non current deferred assets
--222K
--200K
--246K
--266K
--266K
----
----
----
--0
--0
Other non current assets
728.57%348K
768.18%382K
730.00%415K
-36.67%38K
-36.67%38K
7.69%42K
-8.33%44K
78.57%50K
71.43%60K
71.43%60K
Total non current assets
-13.00%286.02M
-13.69%305.81M
-12.48%308.86M
-7.37%322.22M
-7.37%322.22M
-11.50%328.75M
-5.43%354.32M
-7.10%352.89M
4.31%347.85M
4.31%347.85M
Total assets
6.60%404.26M
2.29%390.03M
-0.11%382.4M
4.54%400.9M
4.54%400.9M
-2.36%379.25M
-0.90%381.3M
-1.49%382.83M
11.08%383.5M
11.08%383.5M
Liabilities
Current liabilities
Payables
-85.35%3.23M
-96.61%728K
-82.34%3.79M
25.54%27.1M
25.54%27.1M
2,388.73%22.08M
10,750.51%21.48M
6,401.52%21.46M
10,913.27%21.59M
10,913.27%21.59M
-accounts payable
149.86%2.69M
-51.86%233K
-17.58%375K
362.97%2.71M
362.97%2.71M
21.20%1.08M
144.44%484K
37.88%455K
198.98%586K
198.98%586K
-Total tax payable
--548K
--495K
--414K
--387K
--387K
----
----
----
--0
--0
-Other payable
----
----
-85.71%3M
14.29%24M
14.29%24M
--21M
--21M
--21M
--21M
--21M
Current accrued expenses
169.95%6.38M
125.06%6.19M
234.76%4.7M
9.78%3.03M
9.78%3.03M
554.57%2.36M
344.82%2.75M
24.36%1.4M
343.18%2.76M
343.18%2.76M
Current debt and capital lease obligation
----
----
----
----
----
--39K
--67K
--95K
----
----
-Current capital lease obligation
----
----
----
----
----
--39K
--67K
--95K
----
----
Other current liabilities
--132K
--131K
--125K
-90.98%11K
-90.98%11K
----
----
----
--122K
--122K
Current liabilities
-53.62%12.23M
-65.16%8.94M
-56.84%10.38M
26.55%33.36M
26.55%33.36M
1,029.52%26.36M
1,820.36%25.66M
840.20%24.04M
1,774.68%26.36M
1,774.68%26.36M
Non current liabilities
Long term debt and capital lease obligation
--187K
-97.50%218K
-97.07%255K
----
----
----
-31.33%8.72M
-31.35%8.69M
-31.37%8.66M
-31.37%8.66M
-Long term debt
----
----
----
----
----
----
-31.33%8.72M
-31.35%8.69M
-31.37%8.66M
-31.37%8.66M
-Long term capital lease obligation
--187K
--218K
--255K
----
----
----
----
----
----
----
Total non current liabilities
--187K
-97.50%218K
-97.07%255K
--0
--0
--0
-31.33%8.72M
-31.35%8.69M
-31.37%8.66M
-31.37%8.66M
Total liabilities
-52.92%12.41M
-73.36%9.16M
-67.52%10.63M
-4.75%33.36M
-4.75%33.36M
75.01%26.36M
145.00%34.37M
115.13%32.73M
149.67%35.02M
149.67%35.02M
Shareholders'equity
Share capital
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
-common stock
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
0.00%117K
Retained earnings
17.10%-164.32M
13.55%-174.2M
7.36%-183.36M
6.47%-185.89M
6.47%-185.89M
-14.87%-198.22M
-15.50%-201.51M
-15.04%-197.91M
6.81%-198.75M
6.81%-198.75M
Paid-in capital
0.92%556.05M
1.21%554.96M
1.30%555.01M
1.13%553.32M
1.13%553.32M
0.95%550.99M
0.60%548.31M
0.47%547.9M
0.50%547.11M
0.50%547.11M
Total stockholders'equity
11.04%391.85M
9.79%380.88M
6.19%371.77M
5.47%367.55M
5.47%367.55M
-5.48%352.89M
-6.42%346.92M
-6.24%350.1M
5.21%348.48M
5.21%348.48M
Total equity
11.04%391.85M
9.79%380.88M
6.19%371.77M
5.47%367.55M
5.47%367.55M
-5.48%352.89M
-6.42%346.92M
-6.24%350.1M
5.21%348.48M
5.21%348.48M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
(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
Assets
Current assets
Cash, cash equivalents and short term investments 248.78%116.73M802.46%82.48M447.14%70.59M226.30%55.48M226.30%55.48M119.20%33.47M25.59%9.14M144.15%12.9M157.01%17M157.01%17M
-Cash and cash equivalents 248.78%116.73M802.46%82.48M447.14%70.59M226.30%55.48M226.30%55.48M119.20%33.47M25.59%9.14M144.15%12.9M157.01%17M157.01%17M
Receivables -94.18%939K-94.94%814K-89.26%1.56M36.20%21.25M36.20%21.25M1,170.37%16.12M1,206.09%16.08M1,060.69%14.56M620.03%15.6M620.03%15.6M
-Taxes receivable -21.67%647K-19.24%659K-11.45%696K-5.34%691K-5.34%691K20.94%826K24.58%816K25.96%786K26.96%730K26.96%730K
-Related party accounts receivable -73.33%292K-92.83%155K-30.64%464K-68.42%560K-68.42%560K86.86%1.1M275.35%2.16M6.19%669K11.37%1.77M11.37%1.77M
-Other receivables ---------96.92%403K52.67%20M52.67%20M--14.2M--13.1M--13.1M--13.1M--13.1M
Prepaid assets -31.62%558K-43.42%924K-41.54%1.38M-33.77%1.91M-33.77%1.91M110.85%816K21.23%1.63M6.31%2.36M-2.89%2.89M-2.89%2.89M
Other current assets -89.25%10K-92.25%10K-93.39%8K-75.50%37K-75.50%37K1,228.57%93K-41.36%129K1,628.57%121K2,057.14%151K2,057.14%151K
Total current assets 134.14%118.24M212.18%84.22M145.64%73.54M120.73%78.69M120.73%78.69M198.25%50.5M167.78%26.98M241.58%29.94M202.97%35.65M202.97%35.65M
Non current assets
Investments and advances -13.16%285.45M-13.84%305.23M-12.65%308.2M-7.44%321.91M-7.44%321.91M-11.51%328.71M-5.43%354.27M-7.10%352.84M4.30%347.79M4.30%347.79M
Related parties assets -73.33%292K-92.83%155K-30.64%464K-68.42%560K-68.42%560K86.86%1.1M275.35%2.16M6.19%669K11.37%1.77M11.37%1.77M
Non current deferred assets --222K--200K--246K--266K--266K--------------0--0
Other non current assets 728.57%348K768.18%382K730.00%415K-36.67%38K-36.67%38K7.69%42K-8.33%44K78.57%50K71.43%60K71.43%60K
Total non current assets -13.00%286.02M-13.69%305.81M-12.48%308.86M-7.37%322.22M-7.37%322.22M-11.50%328.75M-5.43%354.32M-7.10%352.89M4.31%347.85M4.31%347.85M
Total assets 6.60%404.26M2.29%390.03M-0.11%382.4M4.54%400.9M4.54%400.9M-2.36%379.25M-0.90%381.3M-1.49%382.83M11.08%383.5M11.08%383.5M
Liabilities
Current liabilities
Payables -85.35%3.23M-96.61%728K-82.34%3.79M25.54%27.1M25.54%27.1M2,388.73%22.08M10,750.51%21.48M6,401.52%21.46M10,913.27%21.59M10,913.27%21.59M
-accounts payable 149.86%2.69M-51.86%233K-17.58%375K362.97%2.71M362.97%2.71M21.20%1.08M144.44%484K37.88%455K198.98%586K198.98%586K
-Total tax payable --548K--495K--414K--387K--387K--------------0--0
-Other payable ---------85.71%3M14.29%24M14.29%24M--21M--21M--21M--21M--21M
Current accrued expenses 169.95%6.38M125.06%6.19M234.76%4.7M9.78%3.03M9.78%3.03M554.57%2.36M344.82%2.75M24.36%1.4M343.18%2.76M343.18%2.76M
Current debt and capital lease obligation ----------------------39K--67K--95K--------
-Current capital lease obligation ----------------------39K--67K--95K--------
Other current liabilities --132K--131K--125K-90.98%11K-90.98%11K--------------122K--122K
Current liabilities -53.62%12.23M-65.16%8.94M-56.84%10.38M26.55%33.36M26.55%33.36M1,029.52%26.36M1,820.36%25.66M840.20%24.04M1,774.68%26.36M1,774.68%26.36M
Non current liabilities
Long term debt and capital lease obligation --187K-97.50%218K-97.07%255K-------------31.33%8.72M-31.35%8.69M-31.37%8.66M-31.37%8.66M
-Long term debt -------------------------31.33%8.72M-31.35%8.69M-31.37%8.66M-31.37%8.66M
-Long term capital lease obligation --187K--218K--255K----------------------------
Total non current liabilities --187K-97.50%218K-97.07%255K--0--0--0-31.33%8.72M-31.35%8.69M-31.37%8.66M-31.37%8.66M
Total liabilities -52.92%12.41M-73.36%9.16M-67.52%10.63M-4.75%33.36M-4.75%33.36M75.01%26.36M145.00%34.37M115.13%32.73M149.67%35.02M149.67%35.02M
Shareholders'equity
Share capital 0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K
-common stock 0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K0.00%117K
Retained earnings 17.10%-164.32M13.55%-174.2M7.36%-183.36M6.47%-185.89M6.47%-185.89M-14.87%-198.22M-15.50%-201.51M-15.04%-197.91M6.81%-198.75M6.81%-198.75M
Paid-in capital 0.92%556.05M1.21%554.96M1.30%555.01M1.13%553.32M1.13%553.32M0.95%550.99M0.60%548.31M0.47%547.9M0.50%547.11M0.50%547.11M
Total stockholders'equity 11.04%391.85M9.79%380.88M6.19%371.77M5.47%367.55M5.47%367.55M-5.48%352.89M-6.42%346.92M-6.24%350.1M5.21%348.48M5.21%348.48M
Total equity 11.04%391.85M9.79%380.88M6.19%371.77M5.47%367.55M5.47%367.55M-5.48%352.89M-6.42%346.92M-6.24%350.1M5.21%348.48M5.21%348.48M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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