CA Stock MarketDetailed Quotes

IVN Ivanhoe Mines Ltd

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  • 19.590
  • +0.070+0.36%
15min DelayMarket Closed Jul 16 16:00 ET
24.87BMarket Cap103.11P/E (TTM)

Ivanhoe Mines Ltd 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
-17.96%397.13M
-4.03%560.29M
-4.03%560.29M
-56.27%290.11M
-25.09%379.89M
-13.87%484.05M
-4.00%583.85M
-4.00%583.85M
14.42%663.35M
-21.31%507.15M
-Cash and cash equivalents
-17.96%397.13M
-4.03%560.29M
-4.03%560.29M
-56.27%290.11M
-25.09%379.89M
-13.87%484.05M
-4.00%583.85M
-4.00%583.85M
14.42%663.35M
-21.31%507.15M
-Accounts receivable
----
----
----
----
----
----
----
----
48.69%2.55M
79.24%1.75M
-Due from related parties current
----
----
----
----
----
----
----
----
-16.21%3.6M
56.83%4.57M
-Other receivables
851.52%10.03M
63.69%6.14M
63.69%6.14M
33.14%2.03M
-7.57%1.27M
2,602.56%1.05M
6,720.00%3.75M
6,720.00%3.75M
-54.75%1.52M
-60.38%1.37M
Total current assets
-15.72%479.07M
-2.09%648.83M
-2.09%648.83M
-47.15%379.74M
-18.40%452.06M
-11.74%568.46M
-3.51%662.66M
-3.51%662.66M
10.18%718.57M
-22.27%554.02M
Non current assets
-Accumulated depreciation
-28.94%-69.86M
-29.16%-66.07M
-29.16%-66.07M
-36.03%-61.37M
-32.84%-57.99M
-28.52%-54.18M
-30.97%-51.16M
-30.97%-51.16M
-20.45%-45.12M
-22.67%-43.65M
Investment properties
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
436.52%9.65M
436.52%9.65M
540.25%10.34M
769.06%14.5M
-Long term equity investment
-87.22%67.11M
8.98%560.04M
8.98%560.04M
9.04%554.13M
6.32%532.53M
6.27%524.9M
5.55%513.87M
5.55%513.87M
5.91%508.19M
4.97%500.9M
-Including:Financial assets designated as fair value through profit or loss, Total
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
436.52%9.65M
436.52%9.65M
540.25%10.34M
769.06%14.5M
Non current note receivables
6.94%231.01M
7.33%223.63M
7.33%223.63M
3.68%223.97M
10.20%221.04M
260.09%216.02M
184.79%208.36M
184.79%208.36M
17,292.75%216.02M
14,583.31%200.57M
-Goodwill
--10.12M
----
----
----
----
----
----
----
----
----
-Other intangible assets
4.62%149.97M
4.47%147.86M
4.47%147.86M
1.60%141.79M
1.20%148.03M
0.02%143.34M
0.31%141.54M
0.31%141.54M
2.40%139.55M
10.93%146.27M
Regulatory assets
-20.44%28.12M
-35.54%23.03M
-35.54%23.03M
-22.41%29.97M
-43.87%21.14M
-52.88%35.34M
-50.79%35.74M
-50.79%35.74M
-43.73%38.63M
-42.20%37.66M
Non current deferred assets
70.36%29.56M
66.07%25.15M
66.07%25.15M
--21.57M
--17.4M
--17.35M
--15.14M
--15.14M
----
----
Total assets
38.79%483K
48.90%542K
48.90%542K
-98.21%278K
-97.71%355K
-85.35%348K
-84.17%364K
-84.17%364K
915.85%15.51M
907.73%15.51M
Liabilities
Current liabilities
Current debt and capital lease obligation
14,434.32%1.04B
2,341.44%87.38M
2,341.44%87.38M
1,126.52%90.36M
1,053.71%43.56M
-3.25%7.14M
-4.86%3.58M
-4.86%3.58M
-10.78%7.37M
880.78%3.78M
-Current debt
15,670.43%1.04B
2,758.69%86.7M
2,758.69%86.7M
1,259.31%89.93M
0.00%2.99M
0.00%6.58M
0.00%3.03M
0.00%3.03M
-14.73%6.62M
--2.99M
-Bank in debtedness
----
----
----
----
--40.03M
----
----
----
----
----
-Current capital lease obligation
19.68%675K
23.63%675K
23.63%675K
-43.28%426K
-30.52%544K
-29.85%564K
-25.10%546K
-25.10%546K
50.80%751K
103.38%783K
-accounts payable
109.50%89.6M
69.01%96.94M
69.01%96.94M
236.87%74.89M
203.71%53.68M
166.92%42.77M
151.90%57.36M
151.90%57.36M
53.25%22.23M
12.22%17.68M
-Total tax payable
-61.23%423.08M
15.48%1.22B
15.48%1.22B
19.41%1.14B
58.77%1.13B
22.16%1.09B
30.71%1.06B
30.71%1.06B
48.75%956.55M
2.05%709.38M
-Other payable
10.15%4.95M
-2.95%4.24M
-2.95%4.24M
49.72%5.84M
21.15%5.12M
-3.63%4.49M
11.39%4.37M
11.39%4.37M
--3.9M
--4.22M
Current liabilities
1,983.07%1.14B
181.09%197.78M
181.09%197.78M
429.23%173.95M
321.54%103.39M
91.21%54.81M
120.19%70.36M
120.19%70.36M
15.97%32.87M
7.65%24.53M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
--0
--0
--0
-65.28%21.94M
-68.19%19.63M
-68.19%19.63M
-72.62%16.49M
-75.17%14.6M
-Long term debt
-1.85%10.51M
0.04%10.77M
0.04%10.77M
2.78%10.9M
-0.94%10.75M
-3.80%10.71M
-4.27%10.76M
-4.27%10.76M
-7.22%10.61M
-6.76%10.85M
Non current accrued expenses
62.39%1.55B
57.68%1.42B
57.68%1.42B
55.49%1.23B
39.54%1.08B
19.55%952.45M
21.63%902.83M
21.63%902.83M
6.06%788.45M
3.53%775.67M
Derivative product liabilities
----
38.53%306.56M
38.53%306.56M
72.33%266.6M
119.54%278.82M
-18.80%252.2M
-9.38%221.3M
-9.38%221.3M
-0.64%154.7M
-39.70%127M
Long term provisions
-88.99%56.6M
9.18%549.28M
9.18%549.28M
9.17%543.23M
6.48%521.78M
6.50%514.2M
5.78%503.11M
5.78%503.11M
6.23%497.58M
5.26%490.05M
Regulatory liabilities
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----
----
----
----
----
----
----
0.00%-1K
0.00%-1K
Total non current liabilities
36.53%1.56B
25.81%1.42B
25.81%1.42B
33.02%1.32B
67.55%1.23B
24.31%1.15B
34.11%1.13B
34.11%1.13B
47.36%989.42M
2.22%733.9M
Shareholders'equity
Share capital
18.88%2.8B
18.88%2.79B
18.88%2.79B
1.29%2.37B
1.30%2.36B
1.28%2.35B
1.33%2.35B
1.33%2.35B
1.27%2.34B
0.66%2.33B
-common stock
18.88%2.8B
18.88%2.79B
18.88%2.79B
1.29%2.37B
1.30%2.36B
1.28%2.35B
1.33%2.35B
1.33%2.35B
1.27%2.34B
0.66%2.33B
Retained earnings
6.87%14M
2.94%14M
2.94%14M
--13.2M
--13M
--13.1M
--13.6M
--13.6M
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----
Gains losses not affecting retained earnings
12.38%-66.87M
7.93%-58.77M
7.93%-58.77M
-12.76%-84.6M
-53.50%-81.77M
-75.81%-76.31M
-2.11%-63.83M
-2.11%-63.83M
-61.52%-75.02M
-82.97%-53.27M
Noncontrolling interests
20.25%2.62B
22.98%2.52B
22.98%2.52B
26.34%2.42B
24.89%2.3B
23.91%2.18B
24.68%2.05B
24.68%2.05B
24.63%1.92B
27.26%1.84B
Total equity
24.92%5.08B
25.97%5B
25.97%5B
17.57%4.44B
20.72%4.24B
21.28%4.06B
23.34%3.97B
23.34%3.97B
25.41%3.77B
17.62%3.51B
(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 -17.96%397.13M-4.03%560.29M-4.03%560.29M-56.27%290.11M-25.09%379.89M-13.87%484.05M-4.00%583.85M-4.00%583.85M14.42%663.35M-21.31%507.15M
-Cash and cash equivalents -17.96%397.13M-4.03%560.29M-4.03%560.29M-56.27%290.11M-25.09%379.89M-13.87%484.05M-4.00%583.85M-4.00%583.85M14.42%663.35M-21.31%507.15M
-Accounts receivable --------------------------------48.69%2.55M79.24%1.75M
-Due from related parties current ---------------------------------16.21%3.6M56.83%4.57M
-Other receivables 851.52%10.03M63.69%6.14M63.69%6.14M33.14%2.03M-7.57%1.27M2,602.56%1.05M6,720.00%3.75M6,720.00%3.75M-54.75%1.52M-60.38%1.37M
Total current assets -15.72%479.07M-2.09%648.83M-2.09%648.83M-47.15%379.74M-18.40%452.06M-11.74%568.46M-3.51%662.66M-3.51%662.66M10.18%718.57M-22.27%554.02M
Non current assets
-Accumulated depreciation -28.94%-69.86M-29.16%-66.07M-29.16%-66.07M-36.03%-61.37M-32.84%-57.99M-28.52%-54.18M-30.97%-51.16M-30.97%-51.16M-20.45%-45.12M-22.67%-43.65M
Investment properties 1,014.73%83.26M775.10%84.47M775.10%84.47M726.68%85.48M501.28%87.16M-60.66%7.47M436.52%9.65M436.52%9.65M540.25%10.34M769.06%14.5M
-Long term equity investment -87.22%67.11M8.98%560.04M8.98%560.04M9.04%554.13M6.32%532.53M6.27%524.9M5.55%513.87M5.55%513.87M5.91%508.19M4.97%500.9M
-Including:Financial assets designated as fair value through profit or loss, Total 1,014.73%83.26M775.10%84.47M775.10%84.47M726.68%85.48M501.28%87.16M-60.66%7.47M436.52%9.65M436.52%9.65M540.25%10.34M769.06%14.5M
Non current note receivables 6.94%231.01M7.33%223.63M7.33%223.63M3.68%223.97M10.20%221.04M260.09%216.02M184.79%208.36M184.79%208.36M17,292.75%216.02M14,583.31%200.57M
-Goodwill --10.12M------------------------------------
-Other intangible assets 4.62%149.97M4.47%147.86M4.47%147.86M1.60%141.79M1.20%148.03M0.02%143.34M0.31%141.54M0.31%141.54M2.40%139.55M10.93%146.27M
Regulatory assets -20.44%28.12M-35.54%23.03M-35.54%23.03M-22.41%29.97M-43.87%21.14M-52.88%35.34M-50.79%35.74M-50.79%35.74M-43.73%38.63M-42.20%37.66M
Non current deferred assets 70.36%29.56M66.07%25.15M66.07%25.15M--21.57M--17.4M--17.35M--15.14M--15.14M--------
Total assets 38.79%483K48.90%542K48.90%542K-98.21%278K-97.71%355K-85.35%348K-84.17%364K-84.17%364K915.85%15.51M907.73%15.51M
Liabilities
Current liabilities
Current debt and capital lease obligation 14,434.32%1.04B2,341.44%87.38M2,341.44%87.38M1,126.52%90.36M1,053.71%43.56M-3.25%7.14M-4.86%3.58M-4.86%3.58M-10.78%7.37M880.78%3.78M
-Current debt 15,670.43%1.04B2,758.69%86.7M2,758.69%86.7M1,259.31%89.93M0.00%2.99M0.00%6.58M0.00%3.03M0.00%3.03M-14.73%6.62M--2.99M
-Bank in debtedness ------------------40.03M--------------------
-Current capital lease obligation 19.68%675K23.63%675K23.63%675K-43.28%426K-30.52%544K-29.85%564K-25.10%546K-25.10%546K50.80%751K103.38%783K
-accounts payable 109.50%89.6M69.01%96.94M69.01%96.94M236.87%74.89M203.71%53.68M166.92%42.77M151.90%57.36M151.90%57.36M53.25%22.23M12.22%17.68M
-Total tax payable -61.23%423.08M15.48%1.22B15.48%1.22B19.41%1.14B58.77%1.13B22.16%1.09B30.71%1.06B30.71%1.06B48.75%956.55M2.05%709.38M
-Other payable 10.15%4.95M-2.95%4.24M-2.95%4.24M49.72%5.84M21.15%5.12M-3.63%4.49M11.39%4.37M11.39%4.37M--3.9M--4.22M
Current liabilities 1,983.07%1.14B181.09%197.78M181.09%197.78M429.23%173.95M321.54%103.39M91.21%54.81M120.19%70.36M120.19%70.36M15.97%32.87M7.65%24.53M
Non current liabilities
Long term debt and capital lease obligation --0--0--0--0--0-65.28%21.94M-68.19%19.63M-68.19%19.63M-72.62%16.49M-75.17%14.6M
-Long term debt -1.85%10.51M0.04%10.77M0.04%10.77M2.78%10.9M-0.94%10.75M-3.80%10.71M-4.27%10.76M-4.27%10.76M-7.22%10.61M-6.76%10.85M
Non current accrued expenses 62.39%1.55B57.68%1.42B57.68%1.42B55.49%1.23B39.54%1.08B19.55%952.45M21.63%902.83M21.63%902.83M6.06%788.45M3.53%775.67M
Derivative product liabilities ----38.53%306.56M38.53%306.56M72.33%266.6M119.54%278.82M-18.80%252.2M-9.38%221.3M-9.38%221.3M-0.64%154.7M-39.70%127M
Long term provisions -88.99%56.6M9.18%549.28M9.18%549.28M9.17%543.23M6.48%521.78M6.50%514.2M5.78%503.11M5.78%503.11M6.23%497.58M5.26%490.05M
Regulatory liabilities --------------------------------0.00%-1K0.00%-1K
Total non current liabilities 36.53%1.56B25.81%1.42B25.81%1.42B33.02%1.32B67.55%1.23B24.31%1.15B34.11%1.13B34.11%1.13B47.36%989.42M2.22%733.9M
Shareholders'equity
Share capital 18.88%2.8B18.88%2.79B18.88%2.79B1.29%2.37B1.30%2.36B1.28%2.35B1.33%2.35B1.33%2.35B1.27%2.34B0.66%2.33B
-common stock 18.88%2.8B18.88%2.79B18.88%2.79B1.29%2.37B1.30%2.36B1.28%2.35B1.33%2.35B1.33%2.35B1.27%2.34B0.66%2.33B
Retained earnings 6.87%14M2.94%14M2.94%14M--13.2M--13M--13.1M--13.6M--13.6M--------
Gains losses not affecting retained earnings 12.38%-66.87M7.93%-58.77M7.93%-58.77M-12.76%-84.6M-53.50%-81.77M-75.81%-76.31M-2.11%-63.83M-2.11%-63.83M-61.52%-75.02M-82.97%-53.27M
Noncontrolling interests 20.25%2.62B22.98%2.52B22.98%2.52B26.34%2.42B24.89%2.3B23.91%2.18B24.68%2.05B24.68%2.05B24.63%1.92B27.26%1.84B
Total equity 24.92%5.08B25.97%5B25.97%5B17.57%4.44B20.72%4.24B21.28%4.06B23.34%3.97B23.34%3.97B25.41%3.77B17.62%3.51B

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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