CA Stock MarketDetailed Quotes

IVN Ivanhoe Mines Ltd

Watchlist
  • 14.700
  • -0.510-3.35%
15min DelayMarket Closed Mar 21 16:00 ET
19.88BMarket Cap60.00P/E (TTM)

Ivanhoe Mines Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-81.78%102.08M
-81.78%102.08M
-43.56%163.73M
-39.07%231.47M
-17.96%397.13M
-6.22%560.27M
-6.22%560.27M
-56.27%290.11M
-25.09%379.89M
-13.87%484.05M
-Cash and cash equivalents
-81.78%102.08M
-81.78%102.08M
-43.56%163.73M
-39.07%231.47M
-17.96%397.13M
-6.22%560.27M
-6.22%560.27M
-56.27%290.11M
-25.09%379.89M
-13.87%484.05M
Receivables
232.38%76.56M
232.38%76.56M
24.73%37.38M
44.01%30.44M
-20.44%28.12M
-35.54%23.03M
-35.54%23.03M
-22.41%29.97M
-43.87%21.14M
-52.88%35.34M
-Loans receivable
--7.98M
--7.98M
--0
--0
--0
--0
--0
--0
--0
-65.28%21.94M
-Notes receivable
--26.85M
--26.85M
----
----
----
--0
--0
----
----
----
-Taxes receivable
-79.89%109K
-79.89%109K
--0
195.77%1.05M
38.79%483K
48.90%542K
48.90%542K
-98.21%278K
-97.71%355K
-85.35%348K
-Other receivables
85.04%41.62M
85.04%41.62M
25.89%37.38M
41.42%29.39M
111.66%27.63M
42.87%22.49M
42.87%22.49M
6,178.01%29.7M
1,596.49%20.78M
864.18%13.06M
Inventory
5,537.15%85.74M
5,537.15%85.74M
5,142.57%44.82M
2,859.76%25.01M
242.58%3.21M
50.45%1.52M
50.45%1.52M
-6.76%855K
-13.78%845K
-4.97%937K
Prepaid assets
-61.99%19M
-61.99%19M
-44.26%25.42M
-12.11%32.69M
4.49%36.61M
75.60%49.99M
75.60%49.99M
190.92%45.6M
351.71%37.19M
473.25%35.04M
Restricted cash
8.81%15.26M
8.81%15.26M
22.73%16.2M
14.62%14.9M
6.87%14M
--14.02M
--14.02M
--13.2M
--13M
--13.1M
Total current assets
-53.97%298.64M
-53.97%298.64M
-24.28%287.55M
-26.00%334.5M
-15.72%479.07M
-2.09%648.83M
-2.09%648.83M
-47.15%379.74M
-18.40%452.06M
-11.74%568.46M
Non current assets
Net PPE
38.19%1.97B
38.19%1.97B
60.34%1.97B
63.91%1.77B
62.39%1.55B
57.68%1.42B
57.68%1.42B
55.49%1.23B
39.54%1.08B
19.55%952.45M
-Gross PPE
38.01%2.06B
38.01%2.06B
58.97%2.05B
62.15%1.85B
60.59%1.62B
65.00%1.49B
65.00%1.49B
54.43%1.29B
39.18%1.14B
20.00%1.01B
-Accumulated depreciation
-33.94%-88.5M
-33.94%-88.5M
-31.45%-80.67M
-29.20%-74.92M
-28.94%-69.86M
---66.07M
---66.07M
-36.03%-61.37M
-32.84%-57.99M
-28.52%-54.18M
Investments and advances
19.73%3.12B
19.73%3.12B
19.23%2.99B
19.31%2.85B
23.65%2.7B
26.51%2.6B
26.51%2.6B
30.10%2.51B
28.61%2.39B
23.00%2.18B
-Long term equity investment
20.50%3.03B
20.50%3.03B
20.02%2.91B
20.24%2.77B
20.25%2.62B
22.98%2.52B
22.98%2.52B
26.34%2.42B
24.89%2.3B
23.91%2.18B
-Financial asset investment
-3.44%81.56M
-3.44%81.56M
-3.27%82.68M
-5.23%82.6M
1,014.73%83.26M
775.10%84.47M
775.10%84.47M
726.68%85.48M
501.28%87.16M
-60.66%7.47M
-Including:Financial assets designated as fair value through profit or loss, Total
-3.44%81.56M
-3.44%81.56M
-3.27%82.68M
-5.23%82.6M
1,014.73%83.26M
775.10%84.47M
775.10%84.47M
726.68%85.48M
501.28%87.16M
-60.66%7.47M
Non current accounts receivable
116.24%54.37M
116.24%54.37M
114.57%46.28M
130.49%40.11M
70.36%29.56M
66.07%25.15M
66.07%25.15M
--21.57M
--17.4M
--17.35M
Non current note receivables
-44.61%40.34M
-44.61%40.34M
3.10%74.61M
3.22%74.04M
-38.75%73.41M
-38.93%72.82M
-38.93%72.82M
-39.50%72.36M
-39.85%71.73M
74.22%119.86M
Goodwill and other intangible assets
----
----
--10.96M
--10.4M
--10.12M
----
----
----
----
----
-Other intangible assets
----
----
--10.96M
--10.4M
--10.12M
----
----
----
----
----
Non current deferred assets
8.54%242.72M
8.54%242.72M
-3.44%216.27M
2.54%226.65M
6.94%231.01M
7.33%223.63M
7.33%223.63M
3.68%223.97M
10.20%221.04M
260.09%216.02M
Other non current assets
345.75%18.91M
345.75%18.91M
75.87%10.27M
65.08%8.44M
10.15%4.95M
-2.95%4.24M
-2.95%4.24M
49.72%5.84M
21.15%5.12M
-3.63%4.49M
Total non current assets
24.99%5.44B
24.99%5.44B
30.97%5.31B
31.63%4.98B
31.53%4.6B
31.60%4.35B
31.60%4.35B
32.79%4.06B
28.05%3.79B
29.14%3.49B
Total assets
14.75%5.74B
14.75%5.74B
26.24%5.6B
25.48%5.32B
24.92%5.08B
25.97%5B
25.97%5B
17.57%4.44B
20.72%4.24B
21.28%4.06B
Liabilities
Current liabilities
Current debt and capital lease obligation
-88.93%98.2M
-88.93%98.2M
-38.46%55.61M
253.42%153.96M
14,434.32%1.04B
29.06%886.88M
29.06%886.88M
1,126.52%90.36M
1,053.71%43.56M
-3.25%7.14M
-Current debt
-89.00%97.48M
-89.00%97.48M
-39.00%54.86M
5,020.48%153.26M
15,670.43%1.04B
29.07%886.2M
29.07%886.2M
1,259.31%89.93M
0.00%2.99M
0.00%6.58M
-Bank in debtedness
----
----
----
----
----
----
----
----
--40.03M
----
-Current capital lease obligation
7.41%725K
7.41%725K
75.35%747K
29.78%706K
19.68%675K
23.63%675K
23.63%675K
-43.28%426K
-30.52%544K
-29.85%564K
Payables
26.24%137.52M
26.24%137.52M
88.73%154.28M
128.15%128.91M
124.76%101.95M
76.74%108.94M
76.74%108.94M
228.38%81.75M
179.53%56.5M
122.22%45.36M
-accounts payable
22.66%118.91M
22.66%118.91M
95.85%146.68M
96.75%105.61M
109.50%89.6M
57.27%96.94M
57.27%96.94M
236.87%74.89M
203.71%53.68M
166.92%42.77M
-Total tax payable
41.08%8.27M
41.08%8.27M
-26.29%3.56M
52.93%2.37M
50.88%2.32M
--5.86M
--5.86M
323.03%4.83M
33.25%1.55M
-64.63%1.54M
-Other payable
68.49%10.35M
68.49%10.35M
99.75%4.05M
1,547.56%20.92M
851.52%10.03M
--6.14M
--6.14M
33.14%2.03M
-7.57%1.27M
2,602.56%1.05M
Current deferred liabilities
--995K
--995K
----
----
----
--0
--0
----
----
----
Other current liabilities
25.46%1.84M
25.46%1.84M
5.91%1.95M
-41.23%1.95M
-21.64%1.81M
-27.46%1.47M
-27.46%1.47M
203.79%1.84M
518.81%3.32M
165.06%2.31M
Current liabilities
-76.08%238.56M
-76.08%238.56M
21.79%211.85M
175.49%284.82M
1,983.07%1.14B
32.82%997.28M
32.82%997.28M
429.23%173.95M
321.54%103.39M
91.21%54.81M
Non current liabilities
Long term debt and capital lease obligation
303.83%270.99M
303.83%270.99M
-88.05%66.23M
-87.47%66.73M
-87.22%67.11M
22.66%67.11M
22.66%67.11M
9.04%554.13M
6.32%532.53M
6.27%524.9M
-Long term debt
363.18%260.95M
363.18%260.95M
-89.70%55.95M
-89.21%56.29M
-88.99%56.6M
28.20%56.34M
28.20%56.34M
9.17%543.23M
6.48%521.78M
6.50%514.2M
-Long term capital lease obligation
-6.77%10.04M
-6.77%10.04M
-5.70%10.28M
-2.87%10.44M
-1.85%10.51M
0.04%10.77M
0.04%10.77M
2.78%10.9M
-0.94%10.75M
-3.80%10.71M
Derivative product liabilities
----
----
----
----
----
----
----
72.33%266.6M
119.54%278.82M
-18.80%252.2M
Long term provisions
47.36%21.57M
47.36%21.57M
997.28%20.61M
1,155.50%20.2M
1,027.18%14.77M
1,239.07%14.64M
1,239.07%14.64M
500.00%1.88M
371.85%1.61M
264.90%1.31M
Non current deferred liabilities
8.81%359.72M
8.81%359.72M
24.45%385.2M
16.03%352.33M
9.01%330.12M
5.79%330.59M
5.79%330.59M
9.11%309.51M
319.65%303.65M
286.70%302.84M
Other non current liabilities
14.19%11.08M
14.19%11.08M
1,229.33%134M
25.11%12.12M
10.40%11.09M
7.55%9.7M
7.55%9.7M
4.14%10.08M
10.31%9.69M
-0.69%10.04M
Total non current liabilities
57.18%663.36M
57.18%663.36M
-46.94%606.03M
-59.92%451.38M
-61.23%423.08M
11.85%422.03M
11.85%422.03M
19.41%1.14B
58.77%1.13B
22.16%1.09B
Total liabilities
-36.45%901.91M
-36.45%901.91M
-37.86%817.88M
-40.13%736.2M
36.53%1.56B
25.81%1.42B
25.81%1.42B
33.02%1.32B
67.55%1.23B
24.31%1.15B
Shareholders'equity
Share capital
38.29%3.86B
38.29%3.86B
62.54%3.86B
60.38%3.78B
18.88%2.8B
18.88%2.79B
18.88%2.79B
1.29%2.37B
1.30%2.36B
1.28%2.35B
-common stock
38.29%3.86B
38.29%3.86B
62.54%3.86B
60.38%3.78B
18.88%2.8B
18.88%2.79B
18.88%2.79B
1.29%2.37B
1.30%2.36B
1.28%2.35B
Retained earnings
27.85%1.05B
27.85%1.05B
18.36%948.04M
20.57%830.1M
26.37%753.7M
60.70%819.25M
60.70%819.25M
71.18%800.99M
55.92%688.48M
375.89%596.44M
Gains losses not affecting retained earnings
-18.84%-69.84M
-18.84%-69.84M
62.81%-31.46M
32.68%-55.04M
12.38%-66.87M
7.93%-58.77M
7.93%-58.77M
-12.76%-84.6M
-53.50%-81.77M
-75.81%-76.31M
Other equity interest
3.52%153.06M
3.52%153.06M
5.52%149.62M
5.55%156.25M
4.62%149.97M
4.47%147.86M
4.47%147.86M
1.60%141.79M
1.20%148.03M
0.02%143.34M
Total stockholders'equity
34.90%4.99B
34.90%4.99B
52.37%4.92B
51.41%4.71B
20.47%3.63B
26.03%3.7B
26.03%3.7B
12.39%3.23B
8.75%3.11B
18.37%3.02B
Noncontrolling interests
-30.65%-153.56M
-30.65%-153.56M
-26.28%-138.4M
-25.48%-130.93M
-23.61%-122.26M
-25.72%-117.53M
-25.72%-117.53M
-21.96%-109.6M
-22.49%-104.35M
17.36%-98.91M
Total equity
35.04%4.84B
35.04%4.84B
53.28%4.78B
52.31%4.58B
20.36%3.51B
26.04%3.58B
26.04%3.58B
12.08%3.12B
8.33%3.01B
20.13%2.92B
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
--
--
--
--
--
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -81.78%102.08M-81.78%102.08M-43.56%163.73M-39.07%231.47M-17.96%397.13M-6.22%560.27M-6.22%560.27M-56.27%290.11M-25.09%379.89M-13.87%484.05M
-Cash and cash equivalents -81.78%102.08M-81.78%102.08M-43.56%163.73M-39.07%231.47M-17.96%397.13M-6.22%560.27M-6.22%560.27M-56.27%290.11M-25.09%379.89M-13.87%484.05M
Receivables 232.38%76.56M232.38%76.56M24.73%37.38M44.01%30.44M-20.44%28.12M-35.54%23.03M-35.54%23.03M-22.41%29.97M-43.87%21.14M-52.88%35.34M
-Loans receivable --7.98M--7.98M--0--0--0--0--0--0--0-65.28%21.94M
-Notes receivable --26.85M--26.85M--------------0--0------------
-Taxes receivable -79.89%109K-79.89%109K--0195.77%1.05M38.79%483K48.90%542K48.90%542K-98.21%278K-97.71%355K-85.35%348K
-Other receivables 85.04%41.62M85.04%41.62M25.89%37.38M41.42%29.39M111.66%27.63M42.87%22.49M42.87%22.49M6,178.01%29.7M1,596.49%20.78M864.18%13.06M
Inventory 5,537.15%85.74M5,537.15%85.74M5,142.57%44.82M2,859.76%25.01M242.58%3.21M50.45%1.52M50.45%1.52M-6.76%855K-13.78%845K-4.97%937K
Prepaid assets -61.99%19M-61.99%19M-44.26%25.42M-12.11%32.69M4.49%36.61M75.60%49.99M75.60%49.99M190.92%45.6M351.71%37.19M473.25%35.04M
Restricted cash 8.81%15.26M8.81%15.26M22.73%16.2M14.62%14.9M6.87%14M--14.02M--14.02M--13.2M--13M--13.1M
Total current assets -53.97%298.64M-53.97%298.64M-24.28%287.55M-26.00%334.5M-15.72%479.07M-2.09%648.83M-2.09%648.83M-47.15%379.74M-18.40%452.06M-11.74%568.46M
Non current assets
Net PPE 38.19%1.97B38.19%1.97B60.34%1.97B63.91%1.77B62.39%1.55B57.68%1.42B57.68%1.42B55.49%1.23B39.54%1.08B19.55%952.45M
-Gross PPE 38.01%2.06B38.01%2.06B58.97%2.05B62.15%1.85B60.59%1.62B65.00%1.49B65.00%1.49B54.43%1.29B39.18%1.14B20.00%1.01B
-Accumulated depreciation -33.94%-88.5M-33.94%-88.5M-31.45%-80.67M-29.20%-74.92M-28.94%-69.86M---66.07M---66.07M-36.03%-61.37M-32.84%-57.99M-28.52%-54.18M
Investments and advances 19.73%3.12B19.73%3.12B19.23%2.99B19.31%2.85B23.65%2.7B26.51%2.6B26.51%2.6B30.10%2.51B28.61%2.39B23.00%2.18B
-Long term equity investment 20.50%3.03B20.50%3.03B20.02%2.91B20.24%2.77B20.25%2.62B22.98%2.52B22.98%2.52B26.34%2.42B24.89%2.3B23.91%2.18B
-Financial asset investment -3.44%81.56M-3.44%81.56M-3.27%82.68M-5.23%82.6M1,014.73%83.26M775.10%84.47M775.10%84.47M726.68%85.48M501.28%87.16M-60.66%7.47M
-Including:Financial assets designated as fair value through profit or loss, Total -3.44%81.56M-3.44%81.56M-3.27%82.68M-5.23%82.6M1,014.73%83.26M775.10%84.47M775.10%84.47M726.68%85.48M501.28%87.16M-60.66%7.47M
Non current accounts receivable 116.24%54.37M116.24%54.37M114.57%46.28M130.49%40.11M70.36%29.56M66.07%25.15M66.07%25.15M--21.57M--17.4M--17.35M
Non current note receivables -44.61%40.34M-44.61%40.34M3.10%74.61M3.22%74.04M-38.75%73.41M-38.93%72.82M-38.93%72.82M-39.50%72.36M-39.85%71.73M74.22%119.86M
Goodwill and other intangible assets ----------10.96M--10.4M--10.12M--------------------
-Other intangible assets ----------10.96M--10.4M--10.12M--------------------
Non current deferred assets 8.54%242.72M8.54%242.72M-3.44%216.27M2.54%226.65M6.94%231.01M7.33%223.63M7.33%223.63M3.68%223.97M10.20%221.04M260.09%216.02M
Other non current assets 345.75%18.91M345.75%18.91M75.87%10.27M65.08%8.44M10.15%4.95M-2.95%4.24M-2.95%4.24M49.72%5.84M21.15%5.12M-3.63%4.49M
Total non current assets 24.99%5.44B24.99%5.44B30.97%5.31B31.63%4.98B31.53%4.6B31.60%4.35B31.60%4.35B32.79%4.06B28.05%3.79B29.14%3.49B
Total assets 14.75%5.74B14.75%5.74B26.24%5.6B25.48%5.32B24.92%5.08B25.97%5B25.97%5B17.57%4.44B20.72%4.24B21.28%4.06B
Liabilities
Current liabilities
Current debt and capital lease obligation -88.93%98.2M-88.93%98.2M-38.46%55.61M253.42%153.96M14,434.32%1.04B29.06%886.88M29.06%886.88M1,126.52%90.36M1,053.71%43.56M-3.25%7.14M
-Current debt -89.00%97.48M-89.00%97.48M-39.00%54.86M5,020.48%153.26M15,670.43%1.04B29.07%886.2M29.07%886.2M1,259.31%89.93M0.00%2.99M0.00%6.58M
-Bank in debtedness ----------------------------------40.03M----
-Current capital lease obligation 7.41%725K7.41%725K75.35%747K29.78%706K19.68%675K23.63%675K23.63%675K-43.28%426K-30.52%544K-29.85%564K
Payables 26.24%137.52M26.24%137.52M88.73%154.28M128.15%128.91M124.76%101.95M76.74%108.94M76.74%108.94M228.38%81.75M179.53%56.5M122.22%45.36M
-accounts payable 22.66%118.91M22.66%118.91M95.85%146.68M96.75%105.61M109.50%89.6M57.27%96.94M57.27%96.94M236.87%74.89M203.71%53.68M166.92%42.77M
-Total tax payable 41.08%8.27M41.08%8.27M-26.29%3.56M52.93%2.37M50.88%2.32M--5.86M--5.86M323.03%4.83M33.25%1.55M-64.63%1.54M
-Other payable 68.49%10.35M68.49%10.35M99.75%4.05M1,547.56%20.92M851.52%10.03M--6.14M--6.14M33.14%2.03M-7.57%1.27M2,602.56%1.05M
Current deferred liabilities --995K--995K--------------0--0------------
Other current liabilities 25.46%1.84M25.46%1.84M5.91%1.95M-41.23%1.95M-21.64%1.81M-27.46%1.47M-27.46%1.47M203.79%1.84M518.81%3.32M165.06%2.31M
Current liabilities -76.08%238.56M-76.08%238.56M21.79%211.85M175.49%284.82M1,983.07%1.14B32.82%997.28M32.82%997.28M429.23%173.95M321.54%103.39M91.21%54.81M
Non current liabilities
Long term debt and capital lease obligation 303.83%270.99M303.83%270.99M-88.05%66.23M-87.47%66.73M-87.22%67.11M22.66%67.11M22.66%67.11M9.04%554.13M6.32%532.53M6.27%524.9M
-Long term debt 363.18%260.95M363.18%260.95M-89.70%55.95M-89.21%56.29M-88.99%56.6M28.20%56.34M28.20%56.34M9.17%543.23M6.48%521.78M6.50%514.2M
-Long term capital lease obligation -6.77%10.04M-6.77%10.04M-5.70%10.28M-2.87%10.44M-1.85%10.51M0.04%10.77M0.04%10.77M2.78%10.9M-0.94%10.75M-3.80%10.71M
Derivative product liabilities ----------------------------72.33%266.6M119.54%278.82M-18.80%252.2M
Long term provisions 47.36%21.57M47.36%21.57M997.28%20.61M1,155.50%20.2M1,027.18%14.77M1,239.07%14.64M1,239.07%14.64M500.00%1.88M371.85%1.61M264.90%1.31M
Non current deferred liabilities 8.81%359.72M8.81%359.72M24.45%385.2M16.03%352.33M9.01%330.12M5.79%330.59M5.79%330.59M9.11%309.51M319.65%303.65M286.70%302.84M
Other non current liabilities 14.19%11.08M14.19%11.08M1,229.33%134M25.11%12.12M10.40%11.09M7.55%9.7M7.55%9.7M4.14%10.08M10.31%9.69M-0.69%10.04M
Total non current liabilities 57.18%663.36M57.18%663.36M-46.94%606.03M-59.92%451.38M-61.23%423.08M11.85%422.03M11.85%422.03M19.41%1.14B58.77%1.13B22.16%1.09B
Total liabilities -36.45%901.91M-36.45%901.91M-37.86%817.88M-40.13%736.2M36.53%1.56B25.81%1.42B25.81%1.42B33.02%1.32B67.55%1.23B24.31%1.15B
Shareholders'equity
Share capital 38.29%3.86B38.29%3.86B62.54%3.86B60.38%3.78B18.88%2.8B18.88%2.79B18.88%2.79B1.29%2.37B1.30%2.36B1.28%2.35B
-common stock 38.29%3.86B38.29%3.86B62.54%3.86B60.38%3.78B18.88%2.8B18.88%2.79B18.88%2.79B1.29%2.37B1.30%2.36B1.28%2.35B
Retained earnings 27.85%1.05B27.85%1.05B18.36%948.04M20.57%830.1M26.37%753.7M60.70%819.25M60.70%819.25M71.18%800.99M55.92%688.48M375.89%596.44M
Gains losses not affecting retained earnings -18.84%-69.84M-18.84%-69.84M62.81%-31.46M32.68%-55.04M12.38%-66.87M7.93%-58.77M7.93%-58.77M-12.76%-84.6M-53.50%-81.77M-75.81%-76.31M
Other equity interest 3.52%153.06M3.52%153.06M5.52%149.62M5.55%156.25M4.62%149.97M4.47%147.86M4.47%147.86M1.60%141.79M1.20%148.03M0.02%143.34M
Total stockholders'equity 34.90%4.99B34.90%4.99B52.37%4.92B51.41%4.71B20.47%3.63B26.03%3.7B26.03%3.7B12.39%3.23B8.75%3.11B18.37%3.02B
Noncontrolling interests -30.65%-153.56M-30.65%-153.56M-26.28%-138.4M-25.48%-130.93M-23.61%-122.26M-25.72%-117.53M-25.72%-117.53M-21.96%-109.6M-22.49%-104.35M17.36%-98.91M
Total equity 35.04%4.84B35.04%4.84B53.28%4.78B52.31%4.58B20.36%3.51B26.04%3.58B26.04%3.58B12.08%3.12B8.33%3.01B20.13%2.92B
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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The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector. The "Big Five" refers to Canada's five largest banks—Royal Bank of Canada, Toronto-Dominion Bank, Bank of Nova Scotia, Bank of Montreal, and Canadian Imperial Bank of Commerce—which dominate and significantly influence the country's financial sector.

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