CA Stock MarketDetailed Quotes

OGC OceanaGold Corp

Watchlist
  • 4.000
  • -0.140-3.38%
15min DelayMarket Closed Feb 21 16:00 ET
2.81BMarket Cap10.70P/E (TTM)

OceanaGold Corp 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
213.61%193.5M
213.61%193.5M
163.02%158.6M
37.26%157.3M
39.83%81.1M
-25.84%61.7M
-25.84%61.7M
-53.69%60.3M
-23.70%114.6M
-70.21%58M
-Cash and cash equivalents
213.61%193.5M
213.61%193.5M
163.02%158.6M
37.26%157.3M
39.83%81.1M
-25.84%61.7M
-25.84%61.7M
-53.69%60.3M
-23.70%114.6M
-70.21%58M
Receivables
-69.00%13.7M
-69.00%13.7M
-49.01%15.5M
-58.22%12.2M
-2.75%42.4M
2.55%44.2M
2.55%44.2M
10.55%30.4M
-20.00%29.2M
11.51%43.6M
-Accounts receivable
-69.00%13.7M
-69.00%13.7M
-29.55%15.5M
-38.69%12.2M
39.93%42.4M
29.62%44.2M
29.62%44.2M
1.38%22M
-34.11%19.9M
-8.18%30.3M
-Taxes receivable
----
----
----
----
----
----
----
--0
--0
--2.4M
-Other receivables
----
----
----
----
----
----
----
44.83%8.4M
47.62%9.3M
78.69%10.9M
Inventory
16.66%239.5M
16.66%239.5M
14.64%245.9M
-8.30%191.1M
-21.81%163.8M
39.56%205.3M
39.56%205.3M
60.31%214.5M
43.13%208.4M
65.35%209.5M
Prepaid assets
30.07%18.6M
30.07%18.6M
36.60%26.5M
-3.81%22.7M
-41.70%15.1M
-7.74%14.3M
-7.74%14.3M
3.19%19.4M
88.80%23.6M
133.33%25.9M
Hedging assets-current
----
----
----
--200K
--1.1M
----
----
----
----
----
Total current assets
42.95%465.3M
42.95%465.3M
37.55%446.5M
2.05%383.5M
-9.94%303.5M
12.67%325.5M
12.67%325.5M
4.61%324.6M
8.99%375.8M
-9.31%337M
Non current assets
Net PPE
-1.45%1.83B
-1.45%1.83B
8.85%1.89B
10.16%1.88B
10.12%1.86B
11.79%1.86B
11.79%1.86B
11.30%1.74B
6.70%1.7B
3.16%1.69B
-Gross PPE
4.93%4.7B
4.93%4.7B
12.22%4.73B
10.08%4.58B
9.63%4.5B
18.31%4.48B
18.31%4.48B
13.87%4.22B
5.06%4.16B
0.30%4.1B
-Accumulated depreciation
-9.45%-2.87B
-9.45%-2.87B
-14.58%-2.84B
-10.03%-2.7B
-9.30%-2.64B
-23.40%-2.62B
-23.40%-2.62B
-15.75%-2.48B
-3.95%-2.45B
1.61%-2.41B
Investments and advances
----
----
----
----
----
----
----
-45.45%600K
-60.87%900K
-68.18%700K
-Financial asset investment
----
----
----
----
----
----
----
-45.45%600K
-60.87%900K
-68.18%700K
-Including:Available-for-sale securities
----
----
----
----
----
----
----
----
-60.87%900K
-68.18%700K
Non current accounts receivable
-9.26%44.1M
-9.26%44.1M
-51.12%52.5M
-53.69%48.3M
-46.95%53.1M
-49.95%48.6M
-49.95%48.6M
16.36%107.4M
15.63%104.3M
12.98%100.1M
Non current deferred assets
-20.25%39M
-20.25%39M
52.14%60.4M
40.13%63.2M
15.57%52.7M
3.16%48.9M
3.16%48.9M
-22.16%39.7M
-3.22%45.1M
-4.60%45.6M
Other non current assets
-33.41%111M
-33.41%111M
-21.58%120.3M
-7.75%140.5M
9.29%161.2M
-14.86%166.7M
-14.86%166.7M
-15.85%153.4M
-13.07%152.3M
-22.77%147.5M
Total non current assets
-4.57%2.02B
-4.57%2.02B
4.21%2.12B
6.11%2.13B
7.26%2.13B
5.95%2.12B
5.95%2.12B
7.99%2.04B
4.99%2.01B
0.82%1.98B
Total assets
1.75%2.49B
1.75%2.49B
8.79%2.57B
5.47%2.51B
4.76%2.43B
6.80%2.45B
6.80%2.45B
7.51%2.36B
5.60%2.38B
-0.79%2.32B
Liabilities
Current liabilities
Current debt and capital lease obligation
-14.66%29.7M
-14.66%29.7M
20.88%35.9M
20.67%36.2M
36.82%37.9M
20.83%34.8M
20.83%34.8M
2.77%29.7M
6.76%30M
2.21%27.7M
-Current debt
0.00%1.6M
0.00%1.6M
----
----
----
-94.44%1.6M
-94.44%1.6M
----
----
----
-Bank in debtedness
----
----
220.00%3.2M
260.00%3.6M
40.00%1.4M
----
----
-9.09%1M
-9.09%1M
-33.33%1M
-Current capital lease obligation
-15.36%28.1M
-15.36%28.1M
13.94%32.7M
12.41%32.6M
36.70%36.5M
--33.2M
--33.2M
3.24%28.7M
7.41%29M
1.91%26.7M
Payables
-0.84%246.6M
-0.84%246.6M
15.78%248M
16.44%212.5M
28.95%241.4M
38.78%248.7M
38.78%248.7M
54.99%214.2M
25.09%182.5M
30.64%187.2M
-accounts payable
-6.41%198.7M
-6.41%198.7M
8.34%207.9M
9.48%179M
17.08%211.8M
21.52%212.3M
21.52%212.3M
41.52%191.9M
15.79%163.5M
29.03%180.9M
-Total tax payable
31.59%47.9M
31.59%47.9M
79.82%40.1M
76.32%33.5M
369.84%29.6M
708.89%36.4M
708.89%36.4M
757.69%22.3M
304.26%19M
103.23%6.3M
Current provisions
-27.50%2.9M
-27.50%2.9M
257.89%6.8M
190.48%6.1M
59.38%5.1M
11.11%4M
11.11%4M
-47.22%1.9M
-46.15%2.1M
-52.94%3.2M
Pension and other retirement benefit plans
22.13%28.7M
22.13%28.7M
47.14%30.9M
17.35%23M
28.90%22.3M
30.56%23.5M
30.56%23.5M
36.36%21M
24.05%19.6M
-0.57%17.3M
Other current liabilities
--900K
--900K
--2.3M
----
----
----
----
----
----
----
Current liabilities
-0.71%308.8M
-0.71%308.8M
21.40%323.9M
18.62%277.8M
30.29%306.7M
35.45%311M
35.45%311M
43.36%266.8M
20.91%234.2M
20.97%235.4M
Non current liabilities
Long term debt and capital lease obligation
-78.73%41.9M
-78.73%41.9M
-35.66%130.1M
-20.82%174.9M
-2.44%216M
-12.29%197M
-12.29%197M
-26.58%202.2M
-20.57%220.9M
-34.11%221.4M
-Long term debt
----
----
-39.46%83.6M
-19.23%123.9M
5.14%161.5M
-39.18%136.6M
-39.18%136.6M
-32.37%138.1M
-24.95%153.4M
-39.67%153.6M
-Long term capital lease obligation
-30.63%41.9M
-30.63%41.9M
-27.46%46.5M
-24.44%51M
-19.62%54.5M
--60.4M
--60.4M
-9.97%64.1M
-8.41%67.5M
-16.71%67.8M
Long term provisions
-4.17%163.2M
-4.17%163.2M
44.44%167.7M
31.25%164.2M
24.87%162.2M
33.78%170.3M
33.78%170.3M
6.61%116.1M
3.90%125.1M
-6.81%129.9M
Employee benefits
655.00%15.1M
655.00%15.1M
683.33%9.4M
66.67%2M
66.67%2M
66.67%2M
66.67%2M
20.00%1.2M
9.09%1.2M
9.09%1.2M
Non current deferred liabilities
2.13%33.6M
2.13%33.6M
31.65%39.1M
25.73%43M
27.04%40.4M
2.49%32.9M
2.49%32.9M
12.08%29.7M
20.42%34.2M
3.92%31.8M
Other non current liabilities
----
----
----
----
----
----
----
-60.00%1M
-66.67%1M
-66.67%1M
Total non current liabilities
-36.90%253.8M
-36.90%253.8M
-1.11%346.3M
0.44%384.1M
9.16%420.6M
3.74%402.2M
3.74%402.2M
-15.47%350.2M
-11.28%382.4M
-24.47%385.3M
Total liabilities
-21.12%562.6M
-21.12%562.6M
8.62%670.2M
7.35%661.9M
17.17%727.3M
15.54%713.2M
15.54%713.2M
2.76%617M
-1.30%616.6M
-11.92%620.7M
Shareholders'equity
Share capital
-1.35%1.22B
-1.35%1.22B
-0.02%1.24B
0.60%1.24B
0.58%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
-common stock
-1.35%1.22B
-1.35%1.22B
-0.02%1.24B
0.60%1.24B
0.58%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
0.46%1.24B
Additional paid-in capital
-11.48%64.8M
-11.48%64.8M
-18.47%57.4M
-0.15%68M
0.16%64.6M
2.95%73.2M
2.95%73.2M
1.44%70.4M
0.15%68.1M
-1.38%64.5M
Retained earnings
39.54%611.6M
39.54%611.6M
11.44%509.5M
-2.79%456.7M
6.18%426M
18.62%438.3M
18.62%438.3M
39.18%457.2M
40.28%469.8M
27.16%401.2M
Gains losses not affecting retained earnings
-419.86%-75.9M
-419.86%-75.9M
18.03%-15M
-270.45%-32.6M
-1,084.62%-30.8M
-763.64%-14.6M
-763.64%-14.6M
41.53%-18.3M
-238.46%-8.8M
-111.61%-2.6M
Total stockholders'equity
5.01%1.82B
5.01%1.82B
2.42%1.79B
-1.68%1.74B
0.23%1.7B
3.57%1.73B
3.57%1.73B
9.29%1.75B
8.24%1.77B
4.01%1.7B
Noncontrolling interests
--106.5M
--106.5M
--112.2M
--114.5M
----
--0
--0
----
----
----
Total equity
11.16%1.93B
11.16%1.93B
8.85%1.9B
4.81%1.85B
0.23%1.7B
3.57%1.73B
3.57%1.73B
9.29%1.75B
8.24%1.77B
4.01%1.7B
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
--
--
--
--
(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 213.61%193.5M213.61%193.5M163.02%158.6M37.26%157.3M39.83%81.1M-25.84%61.7M-25.84%61.7M-53.69%60.3M-23.70%114.6M-70.21%58M
-Cash and cash equivalents 213.61%193.5M213.61%193.5M163.02%158.6M37.26%157.3M39.83%81.1M-25.84%61.7M-25.84%61.7M-53.69%60.3M-23.70%114.6M-70.21%58M
Receivables -69.00%13.7M-69.00%13.7M-49.01%15.5M-58.22%12.2M-2.75%42.4M2.55%44.2M2.55%44.2M10.55%30.4M-20.00%29.2M11.51%43.6M
-Accounts receivable -69.00%13.7M-69.00%13.7M-29.55%15.5M-38.69%12.2M39.93%42.4M29.62%44.2M29.62%44.2M1.38%22M-34.11%19.9M-8.18%30.3M
-Taxes receivable ------------------------------0--0--2.4M
-Other receivables ----------------------------44.83%8.4M47.62%9.3M78.69%10.9M
Inventory 16.66%239.5M16.66%239.5M14.64%245.9M-8.30%191.1M-21.81%163.8M39.56%205.3M39.56%205.3M60.31%214.5M43.13%208.4M65.35%209.5M
Prepaid assets 30.07%18.6M30.07%18.6M36.60%26.5M-3.81%22.7M-41.70%15.1M-7.74%14.3M-7.74%14.3M3.19%19.4M88.80%23.6M133.33%25.9M
Hedging assets-current --------------200K--1.1M--------------------
Total current assets 42.95%465.3M42.95%465.3M37.55%446.5M2.05%383.5M-9.94%303.5M12.67%325.5M12.67%325.5M4.61%324.6M8.99%375.8M-9.31%337M
Non current assets
Net PPE -1.45%1.83B-1.45%1.83B8.85%1.89B10.16%1.88B10.12%1.86B11.79%1.86B11.79%1.86B11.30%1.74B6.70%1.7B3.16%1.69B
-Gross PPE 4.93%4.7B4.93%4.7B12.22%4.73B10.08%4.58B9.63%4.5B18.31%4.48B18.31%4.48B13.87%4.22B5.06%4.16B0.30%4.1B
-Accumulated depreciation -9.45%-2.87B-9.45%-2.87B-14.58%-2.84B-10.03%-2.7B-9.30%-2.64B-23.40%-2.62B-23.40%-2.62B-15.75%-2.48B-3.95%-2.45B1.61%-2.41B
Investments and advances -----------------------------45.45%600K-60.87%900K-68.18%700K
-Financial asset investment -----------------------------45.45%600K-60.87%900K-68.18%700K
-Including:Available-for-sale securities ---------------------------------60.87%900K-68.18%700K
Non current accounts receivable -9.26%44.1M-9.26%44.1M-51.12%52.5M-53.69%48.3M-46.95%53.1M-49.95%48.6M-49.95%48.6M16.36%107.4M15.63%104.3M12.98%100.1M
Non current deferred assets -20.25%39M-20.25%39M52.14%60.4M40.13%63.2M15.57%52.7M3.16%48.9M3.16%48.9M-22.16%39.7M-3.22%45.1M-4.60%45.6M
Other non current assets -33.41%111M-33.41%111M-21.58%120.3M-7.75%140.5M9.29%161.2M-14.86%166.7M-14.86%166.7M-15.85%153.4M-13.07%152.3M-22.77%147.5M
Total non current assets -4.57%2.02B-4.57%2.02B4.21%2.12B6.11%2.13B7.26%2.13B5.95%2.12B5.95%2.12B7.99%2.04B4.99%2.01B0.82%1.98B
Total assets 1.75%2.49B1.75%2.49B8.79%2.57B5.47%2.51B4.76%2.43B6.80%2.45B6.80%2.45B7.51%2.36B5.60%2.38B-0.79%2.32B
Liabilities
Current liabilities
Current debt and capital lease obligation -14.66%29.7M-14.66%29.7M20.88%35.9M20.67%36.2M36.82%37.9M20.83%34.8M20.83%34.8M2.77%29.7M6.76%30M2.21%27.7M
-Current debt 0.00%1.6M0.00%1.6M-------------94.44%1.6M-94.44%1.6M------------
-Bank in debtedness --------220.00%3.2M260.00%3.6M40.00%1.4M---------9.09%1M-9.09%1M-33.33%1M
-Current capital lease obligation -15.36%28.1M-15.36%28.1M13.94%32.7M12.41%32.6M36.70%36.5M--33.2M--33.2M3.24%28.7M7.41%29M1.91%26.7M
Payables -0.84%246.6M-0.84%246.6M15.78%248M16.44%212.5M28.95%241.4M38.78%248.7M38.78%248.7M54.99%214.2M25.09%182.5M30.64%187.2M
-accounts payable -6.41%198.7M-6.41%198.7M8.34%207.9M9.48%179M17.08%211.8M21.52%212.3M21.52%212.3M41.52%191.9M15.79%163.5M29.03%180.9M
-Total tax payable 31.59%47.9M31.59%47.9M79.82%40.1M76.32%33.5M369.84%29.6M708.89%36.4M708.89%36.4M757.69%22.3M304.26%19M103.23%6.3M
Current provisions -27.50%2.9M-27.50%2.9M257.89%6.8M190.48%6.1M59.38%5.1M11.11%4M11.11%4M-47.22%1.9M-46.15%2.1M-52.94%3.2M
Pension and other retirement benefit plans 22.13%28.7M22.13%28.7M47.14%30.9M17.35%23M28.90%22.3M30.56%23.5M30.56%23.5M36.36%21M24.05%19.6M-0.57%17.3M
Other current liabilities --900K--900K--2.3M----------------------------
Current liabilities -0.71%308.8M-0.71%308.8M21.40%323.9M18.62%277.8M30.29%306.7M35.45%311M35.45%311M43.36%266.8M20.91%234.2M20.97%235.4M
Non current liabilities
Long term debt and capital lease obligation -78.73%41.9M-78.73%41.9M-35.66%130.1M-20.82%174.9M-2.44%216M-12.29%197M-12.29%197M-26.58%202.2M-20.57%220.9M-34.11%221.4M
-Long term debt ---------39.46%83.6M-19.23%123.9M5.14%161.5M-39.18%136.6M-39.18%136.6M-32.37%138.1M-24.95%153.4M-39.67%153.6M
-Long term capital lease obligation -30.63%41.9M-30.63%41.9M-27.46%46.5M-24.44%51M-19.62%54.5M--60.4M--60.4M-9.97%64.1M-8.41%67.5M-16.71%67.8M
Long term provisions -4.17%163.2M-4.17%163.2M44.44%167.7M31.25%164.2M24.87%162.2M33.78%170.3M33.78%170.3M6.61%116.1M3.90%125.1M-6.81%129.9M
Employee benefits 655.00%15.1M655.00%15.1M683.33%9.4M66.67%2M66.67%2M66.67%2M66.67%2M20.00%1.2M9.09%1.2M9.09%1.2M
Non current deferred liabilities 2.13%33.6M2.13%33.6M31.65%39.1M25.73%43M27.04%40.4M2.49%32.9M2.49%32.9M12.08%29.7M20.42%34.2M3.92%31.8M
Other non current liabilities -----------------------------60.00%1M-66.67%1M-66.67%1M
Total non current liabilities -36.90%253.8M-36.90%253.8M-1.11%346.3M0.44%384.1M9.16%420.6M3.74%402.2M3.74%402.2M-15.47%350.2M-11.28%382.4M-24.47%385.3M
Total liabilities -21.12%562.6M-21.12%562.6M8.62%670.2M7.35%661.9M17.17%727.3M15.54%713.2M15.54%713.2M2.76%617M-1.30%616.6M-11.92%620.7M
Shareholders'equity
Share capital -1.35%1.22B-1.35%1.22B-0.02%1.24B0.60%1.24B0.58%1.24B0.46%1.24B0.46%1.24B0.46%1.24B0.46%1.24B0.46%1.24B
-common stock -1.35%1.22B-1.35%1.22B-0.02%1.24B0.60%1.24B0.58%1.24B0.46%1.24B0.46%1.24B0.46%1.24B0.46%1.24B0.46%1.24B
Additional paid-in capital -11.48%64.8M-11.48%64.8M-18.47%57.4M-0.15%68M0.16%64.6M2.95%73.2M2.95%73.2M1.44%70.4M0.15%68.1M-1.38%64.5M
Retained earnings 39.54%611.6M39.54%611.6M11.44%509.5M-2.79%456.7M6.18%426M18.62%438.3M18.62%438.3M39.18%457.2M40.28%469.8M27.16%401.2M
Gains losses not affecting retained earnings -419.86%-75.9M-419.86%-75.9M18.03%-15M-270.45%-32.6M-1,084.62%-30.8M-763.64%-14.6M-763.64%-14.6M41.53%-18.3M-238.46%-8.8M-111.61%-2.6M
Total stockholders'equity 5.01%1.82B5.01%1.82B2.42%1.79B-1.68%1.74B0.23%1.7B3.57%1.73B3.57%1.73B9.29%1.75B8.24%1.77B4.01%1.7B
Noncontrolling interests --106.5M--106.5M--112.2M--114.5M------0--0------------
Total equity 11.16%1.93B11.16%1.93B8.85%1.9B4.81%1.85B0.23%1.7B3.57%1.73B3.57%1.73B9.29%1.75B8.24%1.77B4.01%1.7B
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.

Trending Stocks

Dividend Kings of Canada Dividend Kings of Canada

Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility. Dividend Kings In Canada are companies that have increased their Dividend per share for the most consecutive years, reflecting a strong business model and robust financials, and are likely to outperform the market with less volatility.

Unlock Now