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LUN Lundin Mining Corp

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  • 13.680
  • +0.140+1.03%
15min DelayMarket Closed Nov 1 16:00 ET
10.63BMarket Cap47.67P/E (TTM)

Lundin Mining Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
152.39%491.77M
26.27%267.53M
15.93%1.02B
95.09%306.08M
736.23%303.81M
-46.82%194.84M
-33.22%211.88M
-40.95%876.89M
-59.16%156.89M
-93.05%36.33M
Net income from continuing operations
155.67%156.73M
-64.58%58.56M
-31.99%315.25M
-54.06%66.75M
294.60%21.88M
226.07%61.3M
-56.28%165.31M
-47.28%463.53M
-45.39%145.3M
-105.90%-11.25M
Operating gains losses
38.05%-11.87M
231.32%33.62M
44.43%-26.56M
64.90%-25.55M
203.26%43.75M
-18.79%-19.16M
-329.67%-25.6M
-1,835.82%-47.79M
-439.18%-72.79M
160.57%14.43M
Depreciation and amortization
51.46%197.66M
53.43%184.49M
17.82%653.6M
56.30%223.06M
28.27%179.79M
-8.12%130.51M
-7.39%120.25M
6.12%554.75M
-1.83%142.71M
16.18%140.16M
Asset impairment expenditure
--17.19M
----
-84.93%9.85M
----
----
--0
----
0.52%65.36M
----
----
Unrealized gains and losses of investment securities
97.55%-85K
-454.79%-2.43M
66.34%-1.85M
63.07%-1.39M
522.56%3.45M
-313.04%-3.46M
88.75%-438K
---5.48M
---3.77M
--554K
Remuneration paid in stock
-1.08%1.74M
-27.58%1.64M
-6.43%7.3M
-4.81%1.31M
120.31%1.97M
-24.97%1.76M
-29.10%2.27M
-47.42%7.8M
-73.88%1.37M
-69.65%896K
Deferred tax
95.82%-1.96M
130.56%3.3M
505.10%62.18M
746.06%75.03M
115.68%44.78M
-75.69%-46.81M
41.04%-10.81M
-116.68%-15.35M
159.53%8.87M
28.98%20.76M
Other non cashItems
1,589.51%23.67M
782.44%13.26M
114.87%4.44M
-1,082.85%-50.32M
168.38%51.86M
112.77%1.4M
105.51%1.5M
-41.92%-29.88M
155.92%5.12M
737.22%19.32M
Change In working capital
56.81%108.69M
38.66%-24.91M
93.45%-7.61M
105.44%7.35M
70.60%-43.67M
-78.52%69.32M
73.89%-40.61M
-64.10%-116.06M
-19.44%-135.28M
-169.30%-148.54M
-Change in receivables
38.96%99.88M
421.05%45.49M
107.68%4.03M
-35.25%-121.37M
153.82%67.7M
-78.66%71.88M
91.85%-14.17M
80.58%-52.52M
65.19%-89.74M
-173.12%-125.79M
-Change in inventory
11.33%-13.2M
221.88%21.23M
----
----
-776.54%-31.01M
-343.76%-14.89M
---17.42M
----
----
75.83%-3.54M
-Change in payables and accrued expense
78.56%22.02M
-915.46%-91.63M
81.68%-11.64M
254.16%65.41M
-318.15%-80.35M
160.99%12.33M
-149.24%-9.02M
-123.69%-63.54M
-126.44%-42.43M
-133.74%-19.22M
Cash from discontinued investing activities
Operating cash flow
152.39%491.77M
26.27%267.53M
15.93%1.02B
95.09%306.08M
736.23%303.81M
-46.82%194.84M
-33.22%211.88M
-40.95%876.89M
-59.16%156.89M
-93.05%36.33M
Investing cash flow
Cash flow from continuing investing activities
11.03%-252.21M
-12.33%-269.66M
-65.24%-1.67B
13.57%-242.24M
-299.35%-908.76M
14.89%-283.47M
-39.18%-240.07M
-94.87%-1.01B
-119.75%-280.28M
-60.33%-227.56M
Net PPE purchase and sale
7.66%-258.47M
-10.48%-271.91M
-20.19%-1.01B
13.28%-243.88M
-21.92%-243.21M
-28.83%-279.91M
-69.84%-246.12M
-58.41%-842.9M
-82.72%-281.24M
-49.11%-199.49M
Net business purchase and sale
--0
--0
-486.79%-642.85M
--0
---648.57M
--0
-66.02%5.72M
---109.55M
--0
--0
Dividends received (cash flow from investment activities)
----
----
--0
--0
--0
----
----
-44.02%18M
--0
--0
Interest received (cash flow from investment activities)
417.83%6.68M
118.11%1.92M
154.94%10.59M
192.15%4.88M
228.48%3.54M
9.79%1.29M
281.74%878K
--4.15M
--1.67M
748.82%1.08M
Net other investing changes
91.35%-419K
160.22%327K
64.90%-29.15M
-355.98%-3.24M
29.60%-20.52M
43.49%-4.85M
98.78%-543K
-313.87%-83.06M
-126.55%-711K
-14.66%-29.15M
Cash from discontinued investing activities
Investing cash flow
11.03%-252.21M
-12.33%-269.66M
-65.24%-1.67B
13.57%-242.24M
-299.35%-908.76M
14.89%-283.47M
-39.18%-240.07M
-94.87%-1.01B
-119.75%-280.28M
-60.33%-227.56M
Financing cash flow
Cash flow from continuing financing activities
-256.04%-155.92M
424.24%102.26M
389.55%728.59M
-286.96%-164.03M
1,068.21%773.19M
140.09%99.92M
289.69%19.51M
49.33%-251.63M
206.93%87.74M
66.70%-79.86M
Net issuance payments of debt
-109.31%-17.87M
809.99%119.5M
872.39%991.47M
-129.60%-42.59M
5,332.56%828.9M
465.87%192.04M
378.46%13.13M
156.48%101.96M
2,996.10%143.91M
114.46%15.26M
Net common stock issuance
127.24%12.44M
262.25%7.55M
134.23%11.38M
121.24%1.31M
106.35%2.51M
260.30%5.47M
-80.86%2.09M
-30.66%-33.23M
-36.70%-6.18M
-464.07%-39.47M
Cash dividends paid
1.72%-102.23M
--0
25.02%-206.54M
0.01%-51.19M
3.19%-51.33M
39.25%-104.02M
--0
-21.13%-275.45M
0.60%-51.2M
49.37%-53.02M
Interest paid (cash flow from financing activities)
-403.57%-30.07M
-499.25%-28.14M
-527.82%-61.31M
-887.68%-35.67M
-469.61%-14.98M
-189.06%-5.97M
-221.80%-4.7M
-33.79%-9.77M
-241.95%-3.61M
-0.34%-2.63M
Net other financing activities
-246.48%-18.17M
-62.82%3.34M
81.74%-6.42M
-845.93%-35.89M
--8.09M
149.72%12.41M
159.89%8.98M
37.25%-35.14M
124.06%4.81M
----
Cash from discontinued financing activities
Financing cash flow
-256.04%-155.92M
424.24%102.26M
389.55%728.59M
-286.96%-164.03M
1,068.21%773.19M
140.09%99.92M
289.69%19.51M
49.33%-251.63M
206.93%87.74M
66.70%-79.86M
Net cash flow
Beginning cash position
98.36%365.45M
40.44%268.79M
-67.78%191.39M
57.45%357.34M
-61.83%190.18M
-74.90%184.24M
-67.78%191.39M
319.99%594.07M
-47.01%226.95M
68.95%498.24M
Current changes in cash
640.38%83.65M
1,252.85%100.13M
118.21%70.66M
-181.04%-100.2M
162.06%168.25M
105.23%11.3M
-106.46%-8.69M
-182.88%-388.1M
-120.42%-35.65M
-291.78%-271.09M
Effect of exchange rate changes
169.28%3.71M
-325.57%-3.47M
146.25%6.74M
12,845.56%11.65M
-424.52%-1.09M
72.92%-5.36M
-71.09%1.54M
7.00%-14.58M
101.02%90K
97.39%-208K
End cash Position
138.09%452.81M
98.36%365.45M
40.44%268.79M
40.44%268.79M
57.45%357.34M
-61.83%190.18M
-74.90%184.24M
-67.78%191.39M
-67.78%191.39M
-47.01%226.95M
Free cash from
374.25%233.3M
87.22%-4.38M
-89.72%3.5M
150.02%62.2M
137.15%60.61M
-157.04%-85.07M
-119.87%-34.24M
-96.43%33.99M
-154.00%-124.35M
-141.91%-163.16M
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
--
--
(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(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 152.39%491.77M26.27%267.53M15.93%1.02B95.09%306.08M736.23%303.81M-46.82%194.84M-33.22%211.88M-40.95%876.89M-59.16%156.89M-93.05%36.33M
Net income from continuing operations 155.67%156.73M-64.58%58.56M-31.99%315.25M-54.06%66.75M294.60%21.88M226.07%61.3M-56.28%165.31M-47.28%463.53M-45.39%145.3M-105.90%-11.25M
Operating gains losses 38.05%-11.87M231.32%33.62M44.43%-26.56M64.90%-25.55M203.26%43.75M-18.79%-19.16M-329.67%-25.6M-1,835.82%-47.79M-439.18%-72.79M160.57%14.43M
Depreciation and amortization 51.46%197.66M53.43%184.49M17.82%653.6M56.30%223.06M28.27%179.79M-8.12%130.51M-7.39%120.25M6.12%554.75M-1.83%142.71M16.18%140.16M
Asset impairment expenditure --17.19M-----84.93%9.85M----------0----0.52%65.36M--------
Unrealized gains and losses of investment securities 97.55%-85K-454.79%-2.43M66.34%-1.85M63.07%-1.39M522.56%3.45M-313.04%-3.46M88.75%-438K---5.48M---3.77M--554K
Remuneration paid in stock -1.08%1.74M-27.58%1.64M-6.43%7.3M-4.81%1.31M120.31%1.97M-24.97%1.76M-29.10%2.27M-47.42%7.8M-73.88%1.37M-69.65%896K
Deferred tax 95.82%-1.96M130.56%3.3M505.10%62.18M746.06%75.03M115.68%44.78M-75.69%-46.81M41.04%-10.81M-116.68%-15.35M159.53%8.87M28.98%20.76M
Other non cashItems 1,589.51%23.67M782.44%13.26M114.87%4.44M-1,082.85%-50.32M168.38%51.86M112.77%1.4M105.51%1.5M-41.92%-29.88M155.92%5.12M737.22%19.32M
Change In working capital 56.81%108.69M38.66%-24.91M93.45%-7.61M105.44%7.35M70.60%-43.67M-78.52%69.32M73.89%-40.61M-64.10%-116.06M-19.44%-135.28M-169.30%-148.54M
-Change in receivables 38.96%99.88M421.05%45.49M107.68%4.03M-35.25%-121.37M153.82%67.7M-78.66%71.88M91.85%-14.17M80.58%-52.52M65.19%-89.74M-173.12%-125.79M
-Change in inventory 11.33%-13.2M221.88%21.23M---------776.54%-31.01M-343.76%-14.89M---17.42M--------75.83%-3.54M
-Change in payables and accrued expense 78.56%22.02M-915.46%-91.63M81.68%-11.64M254.16%65.41M-318.15%-80.35M160.99%12.33M-149.24%-9.02M-123.69%-63.54M-126.44%-42.43M-133.74%-19.22M
Cash from discontinued investing activities
Operating cash flow 152.39%491.77M26.27%267.53M15.93%1.02B95.09%306.08M736.23%303.81M-46.82%194.84M-33.22%211.88M-40.95%876.89M-59.16%156.89M-93.05%36.33M
Investing cash flow
Cash flow from continuing investing activities 11.03%-252.21M-12.33%-269.66M-65.24%-1.67B13.57%-242.24M-299.35%-908.76M14.89%-283.47M-39.18%-240.07M-94.87%-1.01B-119.75%-280.28M-60.33%-227.56M
Net PPE purchase and sale 7.66%-258.47M-10.48%-271.91M-20.19%-1.01B13.28%-243.88M-21.92%-243.21M-28.83%-279.91M-69.84%-246.12M-58.41%-842.9M-82.72%-281.24M-49.11%-199.49M
Net business purchase and sale --0--0-486.79%-642.85M--0---648.57M--0-66.02%5.72M---109.55M--0--0
Dividends received (cash flow from investment activities) ----------0--0--0---------44.02%18M--0--0
Interest received (cash flow from investment activities) 417.83%6.68M118.11%1.92M154.94%10.59M192.15%4.88M228.48%3.54M9.79%1.29M281.74%878K--4.15M--1.67M748.82%1.08M
Net other investing changes 91.35%-419K160.22%327K64.90%-29.15M-355.98%-3.24M29.60%-20.52M43.49%-4.85M98.78%-543K-313.87%-83.06M-126.55%-711K-14.66%-29.15M
Cash from discontinued investing activities
Investing cash flow 11.03%-252.21M-12.33%-269.66M-65.24%-1.67B13.57%-242.24M-299.35%-908.76M14.89%-283.47M-39.18%-240.07M-94.87%-1.01B-119.75%-280.28M-60.33%-227.56M
Financing cash flow
Cash flow from continuing financing activities -256.04%-155.92M424.24%102.26M389.55%728.59M-286.96%-164.03M1,068.21%773.19M140.09%99.92M289.69%19.51M49.33%-251.63M206.93%87.74M66.70%-79.86M
Net issuance payments of debt -109.31%-17.87M809.99%119.5M872.39%991.47M-129.60%-42.59M5,332.56%828.9M465.87%192.04M378.46%13.13M156.48%101.96M2,996.10%143.91M114.46%15.26M
Net common stock issuance 127.24%12.44M262.25%7.55M134.23%11.38M121.24%1.31M106.35%2.51M260.30%5.47M-80.86%2.09M-30.66%-33.23M-36.70%-6.18M-464.07%-39.47M
Cash dividends paid 1.72%-102.23M--025.02%-206.54M0.01%-51.19M3.19%-51.33M39.25%-104.02M--0-21.13%-275.45M0.60%-51.2M49.37%-53.02M
Interest paid (cash flow from financing activities) -403.57%-30.07M-499.25%-28.14M-527.82%-61.31M-887.68%-35.67M-469.61%-14.98M-189.06%-5.97M-221.80%-4.7M-33.79%-9.77M-241.95%-3.61M-0.34%-2.63M
Net other financing activities -246.48%-18.17M-62.82%3.34M81.74%-6.42M-845.93%-35.89M--8.09M149.72%12.41M159.89%8.98M37.25%-35.14M124.06%4.81M----
Cash from discontinued financing activities
Financing cash flow -256.04%-155.92M424.24%102.26M389.55%728.59M-286.96%-164.03M1,068.21%773.19M140.09%99.92M289.69%19.51M49.33%-251.63M206.93%87.74M66.70%-79.86M
Net cash flow
Beginning cash position 98.36%365.45M40.44%268.79M-67.78%191.39M57.45%357.34M-61.83%190.18M-74.90%184.24M-67.78%191.39M319.99%594.07M-47.01%226.95M68.95%498.24M
Current changes in cash 640.38%83.65M1,252.85%100.13M118.21%70.66M-181.04%-100.2M162.06%168.25M105.23%11.3M-106.46%-8.69M-182.88%-388.1M-120.42%-35.65M-291.78%-271.09M
Effect of exchange rate changes 169.28%3.71M-325.57%-3.47M146.25%6.74M12,845.56%11.65M-424.52%-1.09M72.92%-5.36M-71.09%1.54M7.00%-14.58M101.02%90K97.39%-208K
End cash Position 138.09%452.81M98.36%365.45M40.44%268.79M40.44%268.79M57.45%357.34M-61.83%190.18M-74.90%184.24M-67.78%191.39M-67.78%191.39M-47.01%226.95M
Free cash from 374.25%233.3M87.22%-4.38M-89.72%3.5M150.02%62.2M137.15%60.61M-157.04%-85.07M-119.87%-34.24M-96.43%33.99M-154.00%-124.35M-141.91%-163.16M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------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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