CA Stock MarketDetailed Quotes

IMG Iamgold Corp

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  • 5.570
  • -0.100-1.76%
15min DelayMarket Closed Jul 18 16:00 ET
3.17BMarket Cap14.70P/E (TTM)

Iamgold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-45.22%291.5M
-9.98%367.1M
-9.98%367.1M
2.39%548.9M
65.09%747.7M
1.47%532.1M
-26.19%407.8M
-26.19%407.8M
-28.36%536.1M
-45.42%452.9M
-Cash and cash equivalents
-45.27%291.2M
-9.98%367.1M
-9.98%367.1M
2.48%548.9M
65.75%747.7M
2.43%532.1M
-25.16%407.8M
-25.16%407.8M
-27.83%535.6M
-45.31%451.1M
Current deferred assets
--0
0.00%1.2M
0.00%1.2M
2,666.67%33.2M
2,666.67%33.2M
--1.2M
0.00%1.2M
0.00%1.2M
0.00%1.2M
0.00%1.2M
Holding assets for sale
-69.99%34.6M
-95.60%34.6M
-95.60%34.6M
--34.5M
--34.7M
--115.3M
--785.6M
--785.6M
----
----
Total current assets
-37.22%636.5M
-50.46%753.7M
-50.46%753.7M
-6.17%939.4M
25.71%1.16B
7.03%1.01B
59.95%1.52B
59.95%1.52B
-14.64%1B
-27.50%923.2M
Non current assets
-Accumulated depreciation
-8.39%-3.36B
-7.95%-3.3B
-7.95%-3.3B
24.76%-3.22B
22.52%-3.16B
---3.1B
21.27%-3.06B
21.27%-3.06B
-18.24%-4.28B
-14.91%-4.08B
Investment properties
113.19%19.4M
100.00%16.2M
100.00%16.2M
-36.32%12.8M
-77.23%7.9M
--9.1M
-82.04%8.1M
-82.04%8.1M
-58.56%20.1M
67.63%34.7M
-Long term equity investment
24.35%923.9M
-5.38%926M
-5.38%926M
4.89%938M
45.96%943.5M
49.32%743M
95.31%978.7M
95.31%978.7M
78.33%894.3M
31.14%646.4M
-Including:Available-for-sale securities
149.30%17.7M
132.79%14.2M
132.79%14.2M
25.58%10.8M
-76.02%5.9M
--7.1M
-84.90%6.1M
-84.90%6.1M
-79.76%8.6M
84.96%24.6M
-Including:Held to maturity investments
-32.05%5.3M
-75.99%7.3M
-75.99%7.3M
1,557.14%11.6M
-70.19%16.9M
--7.8M
-0.98%30.4M
-0.98%30.4M
-97.29%700K
60.17%56.7M
Financial assets
-94.87%400K
-97.08%400K
-97.08%400K
-99.10%200K
-89.79%3.4M
--7.8M
-61.73%13.7M
-61.73%13.7M
-60.95%22.3M
-29.00%33.3M
Due from related parties non current
----
----
----
----
----
----
----
----
26.42%13.4M
--11.9M
Regulatory assets
-62.37%36.5M
-19.76%66.6M
-19.76%66.6M
-21.42%46.6M
-0.16%60.8M
-22.95%97M
75.85%83M
75.85%83M
-3.89%59.3M
-14.47%60.9M
Non current deferred assets
1,986.21%60.5M
37.04%3.7M
37.04%3.7M
-92.73%2.9M
-93.38%2.6M
--2.9M
-92.84%2.7M
-92.84%2.7M
94.63%39.9M
305.15%39.3M
Total assets
----
----
----
----
--0
--500K
----
----
-6.40%54.1M
1.74%52.5M
Liabilities
Current liabilities
Current debt and capital lease obligation
69.87%26.5M
89.13%26.1M
89.13%26.1M
-6.16%27.4M
-19.20%22.3M
-45.07%15.6M
-52.25%13.8M
-52.25%13.8M
7.75%29.2M
6.98%27.6M
-Current debt
-66.29%3M
-42.53%5M
-42.53%5M
-3.75%7.7M
24.29%8.7M
20.27%8.9M
16.00%8.7M
16.00%8.7M
5.26%8M
-9.09%7M
-Current capital lease obligation
250.75%23.5M
313.73%21.1M
313.73%21.1M
-7.08%19.7M
-33.98%13.6M
-68.10%6.7M
-76.17%5.1M
-76.17%5.1M
8.72%21.2M
13.81%20.6M
-accounts payable
24.05%321.3M
7.99%317.6M
7.99%317.6M
-10.32%311.2M
-20.43%257.8M
-25.47%259M
-3.38%294.1M
-3.38%294.1M
1.52%347M
18.77%324M
-Total tax payable
10.61%1.64B
4.51%1.64B
4.51%1.64B
6.32%1.63B
34.13%1.68B
30.41%1.48B
46.54%1.57B
46.54%1.57B
28.52%1.54B
7.62%1.25B
-Other payable
50.25%211.1M
32.19%216M
32.19%216M
11.47%173.9M
-0.75%144.8M
-62.16%140.5M
-11.58%163.4M
-11.58%163.4M
-39.91%156M
-46.73%145.9M
Current provisions
56.41%12.2M
-3.57%5.4M
-3.57%5.4M
55.70%12.3M
-25.42%8.8M
--7.8M
-13.85%5.6M
-13.85%5.6M
-9.20%7.9M
0.85%11.8M
Current deferred liabilities
1,021.03%261.2M
--240.7M
--240.7M
300.00%193.2M
73.13%166.2M
--23.3M
--0
--0
-66.96%48.3M
-1.54%96M
Current liabilities
68.69%699.9M
-2.38%630.8M
-2.38%630.8M
17.32%586M
-6.68%487.5M
-31.43%414.9M
11.09%646.2M
11.09%646.2M
-14.48%499.5M
11.58%522.4M
Non current liabilities
-Long term debt
17.65%106M
45.85%100.2M
45.85%100.2M
90.12%109.7M
177.54%114.9M
117.11%90.1M
55.43%68.7M
55.43%68.7M
36.41%57.7M
-6.12%41.4M
Non current accrued expenses
28.77%3.72B
31.07%3.53B
31.07%3.53B
11.99%3.34B
6.01%3.1B
3.72%2.89B
-0.06%2.69B
-0.06%2.69B
9.02%2.99B
13.44%2.93B
Derivative product liabilities
80.23%358.3M
--345.3M
--345.3M
--310.4M
--281.2M
--198.8M
--0
--0
----
----
Long term provisions
25.27%817.9M
-9.25%825.8M
-9.25%825.8M
-0.99%828.3M
36.96%828.6M
43.15%652.9M
99.17%910M
99.17%910M
82.19%836.6M
34.80%605M
Total non current liabilities
23.31%2.34B
2.50%2.27B
2.50%2.27B
9.02%2.22B
22.13%2.17B
8.93%1.9B
34.08%2.22B
34.08%2.22B
14.40%2.04B
8.75%1.78B
Shareholders'equity
Share capital
1.41%2.77B
0.21%2.73B
0.21%2.73B
0.20%2.73B
0.19%2.73B
0.18%2.73B
0.26%2.73B
0.26%2.73B
0.28%2.73B
0.31%2.73B
-common stock
1.41%2.77B
0.21%2.73B
0.21%2.73B
0.20%2.73B
0.19%2.73B
0.18%2.73B
0.26%2.73B
0.26%2.73B
0.28%2.73B
0.31%2.73B
Additional paid-in capital
2.38%55.9M
1.72%59.2M
1.72%59.2M
3.18%58.4M
1.98%56.6M
-0.55%54.6M
-1.52%58.2M
-1.52%58.2M
-1.74%56.6M
-2.63%55.5M
Gains losses not affecting retained earnings
-23.06%-50.7M
-120.66%-47M
-120.66%-47M
-356.86%-39.3M
-206.70%-39.8M
-213.19%-41.2M
-189.50%-21.3M
-189.50%-21.3M
-62.95%15.3M
14.42%37.3M
Other equity interest
----
----
----
----
----
--12.5M
----
----
--43M
----
Total equity
14.23%4.67B
2.55%4.54B
2.55%4.54B
5.87%4.5B
7.74%4.45B
-0.42%4.09B
11.42%4.43B
11.42%4.43B
-1.57%4.25B
-2.50%4.13B
(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(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -45.22%291.5M-9.98%367.1M-9.98%367.1M2.39%548.9M65.09%747.7M1.47%532.1M-26.19%407.8M-26.19%407.8M-28.36%536.1M-45.42%452.9M
-Cash and cash equivalents -45.27%291.2M-9.98%367.1M-9.98%367.1M2.48%548.9M65.75%747.7M2.43%532.1M-25.16%407.8M-25.16%407.8M-27.83%535.6M-45.31%451.1M
Current deferred assets --00.00%1.2M0.00%1.2M2,666.67%33.2M2,666.67%33.2M--1.2M0.00%1.2M0.00%1.2M0.00%1.2M0.00%1.2M
Holding assets for sale -69.99%34.6M-95.60%34.6M-95.60%34.6M--34.5M--34.7M--115.3M--785.6M--785.6M--------
Total current assets -37.22%636.5M-50.46%753.7M-50.46%753.7M-6.17%939.4M25.71%1.16B7.03%1.01B59.95%1.52B59.95%1.52B-14.64%1B-27.50%923.2M
Non current assets
-Accumulated depreciation -8.39%-3.36B-7.95%-3.3B-7.95%-3.3B24.76%-3.22B22.52%-3.16B---3.1B21.27%-3.06B21.27%-3.06B-18.24%-4.28B-14.91%-4.08B
Investment properties 113.19%19.4M100.00%16.2M100.00%16.2M-36.32%12.8M-77.23%7.9M--9.1M-82.04%8.1M-82.04%8.1M-58.56%20.1M67.63%34.7M
-Long term equity investment 24.35%923.9M-5.38%926M-5.38%926M4.89%938M45.96%943.5M49.32%743M95.31%978.7M95.31%978.7M78.33%894.3M31.14%646.4M
-Including:Available-for-sale securities 149.30%17.7M132.79%14.2M132.79%14.2M25.58%10.8M-76.02%5.9M--7.1M-84.90%6.1M-84.90%6.1M-79.76%8.6M84.96%24.6M
-Including:Held to maturity investments -32.05%5.3M-75.99%7.3M-75.99%7.3M1,557.14%11.6M-70.19%16.9M--7.8M-0.98%30.4M-0.98%30.4M-97.29%700K60.17%56.7M
Financial assets -94.87%400K-97.08%400K-97.08%400K-99.10%200K-89.79%3.4M--7.8M-61.73%13.7M-61.73%13.7M-60.95%22.3M-29.00%33.3M
Due from related parties non current --------------------------------26.42%13.4M--11.9M
Regulatory assets -62.37%36.5M-19.76%66.6M-19.76%66.6M-21.42%46.6M-0.16%60.8M-22.95%97M75.85%83M75.85%83M-3.89%59.3M-14.47%60.9M
Non current deferred assets 1,986.21%60.5M37.04%3.7M37.04%3.7M-92.73%2.9M-93.38%2.6M--2.9M-92.84%2.7M-92.84%2.7M94.63%39.9M305.15%39.3M
Total assets ------------------0--500K---------6.40%54.1M1.74%52.5M
Liabilities
Current liabilities
Current debt and capital lease obligation 69.87%26.5M89.13%26.1M89.13%26.1M-6.16%27.4M-19.20%22.3M-45.07%15.6M-52.25%13.8M-52.25%13.8M7.75%29.2M6.98%27.6M
-Current debt -66.29%3M-42.53%5M-42.53%5M-3.75%7.7M24.29%8.7M20.27%8.9M16.00%8.7M16.00%8.7M5.26%8M-9.09%7M
-Current capital lease obligation 250.75%23.5M313.73%21.1M313.73%21.1M-7.08%19.7M-33.98%13.6M-68.10%6.7M-76.17%5.1M-76.17%5.1M8.72%21.2M13.81%20.6M
-accounts payable 24.05%321.3M7.99%317.6M7.99%317.6M-10.32%311.2M-20.43%257.8M-25.47%259M-3.38%294.1M-3.38%294.1M1.52%347M18.77%324M
-Total tax payable 10.61%1.64B4.51%1.64B4.51%1.64B6.32%1.63B34.13%1.68B30.41%1.48B46.54%1.57B46.54%1.57B28.52%1.54B7.62%1.25B
-Other payable 50.25%211.1M32.19%216M32.19%216M11.47%173.9M-0.75%144.8M-62.16%140.5M-11.58%163.4M-11.58%163.4M-39.91%156M-46.73%145.9M
Current provisions 56.41%12.2M-3.57%5.4M-3.57%5.4M55.70%12.3M-25.42%8.8M--7.8M-13.85%5.6M-13.85%5.6M-9.20%7.9M0.85%11.8M
Current deferred liabilities 1,021.03%261.2M--240.7M--240.7M300.00%193.2M73.13%166.2M--23.3M--0--0-66.96%48.3M-1.54%96M
Current liabilities 68.69%699.9M-2.38%630.8M-2.38%630.8M17.32%586M-6.68%487.5M-31.43%414.9M11.09%646.2M11.09%646.2M-14.48%499.5M11.58%522.4M
Non current liabilities
-Long term debt 17.65%106M45.85%100.2M45.85%100.2M90.12%109.7M177.54%114.9M117.11%90.1M55.43%68.7M55.43%68.7M36.41%57.7M-6.12%41.4M
Non current accrued expenses 28.77%3.72B31.07%3.53B31.07%3.53B11.99%3.34B6.01%3.1B3.72%2.89B-0.06%2.69B-0.06%2.69B9.02%2.99B13.44%2.93B
Derivative product liabilities 80.23%358.3M--345.3M--345.3M--310.4M--281.2M--198.8M--0--0--------
Long term provisions 25.27%817.9M-9.25%825.8M-9.25%825.8M-0.99%828.3M36.96%828.6M43.15%652.9M99.17%910M99.17%910M82.19%836.6M34.80%605M
Total non current liabilities 23.31%2.34B2.50%2.27B2.50%2.27B9.02%2.22B22.13%2.17B8.93%1.9B34.08%2.22B34.08%2.22B14.40%2.04B8.75%1.78B
Shareholders'equity
Share capital 1.41%2.77B0.21%2.73B0.21%2.73B0.20%2.73B0.19%2.73B0.18%2.73B0.26%2.73B0.26%2.73B0.28%2.73B0.31%2.73B
-common stock 1.41%2.77B0.21%2.73B0.21%2.73B0.20%2.73B0.19%2.73B0.18%2.73B0.26%2.73B0.26%2.73B0.28%2.73B0.31%2.73B
Additional paid-in capital 2.38%55.9M1.72%59.2M1.72%59.2M3.18%58.4M1.98%56.6M-0.55%54.6M-1.52%58.2M-1.52%58.2M-1.74%56.6M-2.63%55.5M
Gains losses not affecting retained earnings -23.06%-50.7M-120.66%-47M-120.66%-47M-356.86%-39.3M-206.70%-39.8M-213.19%-41.2M-189.50%-21.3M-189.50%-21.3M-62.95%15.3M14.42%37.3M
Other equity interest ----------------------12.5M----------43M----
Total equity 14.23%4.67B2.55%4.54B2.55%4.54B5.87%4.5B7.74%4.45B-0.42%4.09B11.42%4.43B11.42%4.43B-1.57%4.25B-2.50%4.13B

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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