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WPM Wheaton Precious Metals Corp

Watchlist
  • 80.500
  • -1.770-2.15%
15min DelayMarket Closed Dec 30 16:00 ET
36.52BMarket Cap44.33P/E (TTM)

Wheaton Precious Metals Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-16.77%694.09M
-34.82%540.22M
-61.72%306.11M
-21.49%546.53M
-21.49%546.53M
68.60%833.92M
84.75%828.84M
112.59%799.7M
207.94%696.09M
207.94%696.09M
-Cash and cash equivalents
-16.77%694.09M
-34.82%540.22M
-61.72%306.11M
-21.49%546.53M
-21.49%546.53M
68.60%833.92M
84.75%828.84M
112.59%799.7M
207.94%696.09M
207.94%696.09M
Receivables
-23.66%11.83M
26.90%14.2M
-8.82%11.37M
57.19%16.01M
57.19%16.01M
34.29%15.49M
-17.43%11.19M
-55.39%12.46M
-17.80%10.19M
-17.80%10.19M
-Accounts receivable
-10.55%8.52M
43.85%8.7M
-41.64%4.81M
1.93%9.34M
1.93%9.34M
5.34%9.52M
-54.02%6.05M
-66.36%8.24M
-18.26%9.16M
-18.26%9.16M
-Taxes receivable
-72.16%1.39M
7.75%4.54M
81.26%5.85M
--5.94M
--5.94M
--5M
--4.22M
--3.23M
--0
--0
-Other receivables
97.43%1.92M
3.26%951K
-29.13%703K
-27.79%743K
-27.79%743K
-61.10%972K
134.35%921K
-71.10%992K
175.87%1.03M
175.87%1.03M
Inventory
--0
--0
--0
-86.97%1.37M
-86.97%1.37M
-78.48%2.43M
-58.53%4.96M
-11.42%6.56M
20.87%10.53M
20.87%10.53M
Prepaid assets
12.42%3.18M
11.04%3.89M
-3.57%2.68M
-7.98%2.63M
-7.98%2.63M
-12.48%2.83M
-11.09%3.51M
14.43%2.78M
13.11%2.86M
13.11%2.86M
Other current assets
-50.16%761K
-47.35%506K
15.56%698K
102.09%871K
102.09%871K
513.25%1.53M
258.58%961K
1,108.00%604K
779.59%431K
779.59%431K
Total current assets
-17.09%709.85M
-34.21%558.81M
-60.97%320.85M
-21.20%567.41M
-21.20%567.41M
64.36%856.19M
77.58%849.45M
98.58%822.1M
188.36%720.09M
188.36%720.09M
Non current assets
Net PPE
12.90%6.55B
14.34%6.58B
14.55%6.59B
7.40%6.19B
7.40%6.19B
-1.05%5.8B
-2.46%5.75B
-3.32%5.75B
-3.17%5.76B
-3.17%5.76B
-Gross PPE
11.57%9.47B
12.49%9.44B
12.65%9.4B
7.63%8.93B
7.63%8.93B
-6.15%8.49B
-6.71%8.39B
-7.13%8.34B
-7.01%8.3B
-7.01%8.3B
-Accumulated depreciation
-8.72%-2.92B
-8.46%-2.86B
-8.42%-2.8B
-8.16%-2.74B
-8.16%-2.74B
15.57%-2.68B
14.80%-2.64B
14.62%-2.59B
14.71%-2.53B
14.71%-2.53B
Investments and advances
-48.70%103.07M
-65.53%88.07M
-20.19%246.65M
-3.68%246.68M
-3.68%246.68M
5.47%200.89M
320.29%255.53M
235.24%309.07M
316.57%256.1M
316.57%256.1M
-Financial asset investment
-48.70%103.07M
-65.53%88.07M
-20.19%246.65M
-3.68%246.68M
-3.68%246.68M
5.47%200.89M
320.29%255.53M
235.24%309.07M
316.57%256.1M
316.57%256.1M
-Including:Available-for-sale securities
-48.70%103.07M
-65.53%88.07M
-20.19%246.65M
-3.68%246.68M
-3.68%246.68M
5.47%200.89M
320.29%255.53M
235.24%309.07M
316.57%256.1M
316.57%256.1M
Non current prepaid assets
7.98%9.24M
7.98%9.06M
7.99%8.89M
7.98%8.72M
7.98%8.72M
--8.56M
--8.39M
--8.23M
--8.07M
--8.07M
Goodwill and other intangible assets
-19.32%1.6M
-18.43%1.7M
-17.62%1.79M
181.76%6.4M
181.76%6.4M
-16.19%1.98M
-15.56%2.08M
-14.98%2.17M
-14.40%2.27M
-14.40%2.27M
-Other intangible assets
--1.6M
--1.7M
--1.79M
181.76%6.4M
181.76%6.4M
----
----
----
--2.27M
--2.27M
Non current deferred assets
-5.68%5.45M
-4.29%5.78M
-4.96%5.2M
-4.53%5.5M
-4.53%5.5M
-3.15%5.77M
20.61%6.04M
3.07%5.47M
2.44%5.76M
2.44%5.76M
Other non current assets
9.98%5.8M
7.38%5.73M
37.34%5.77M
58.79%5.86M
58.79%5.86M
45.65%5.27M
38.67%5.34M
5.47%4.2M
-46.81%3.69M
-46.81%3.69M
Total non current assets
10.80%6.68B
10.91%6.69B
12.76%6.86B
7.02%6.46B
7.02%6.46B
-0.68%6.03B
1.01%6.03B
0.45%6.08B
-0.11%6.04B
-0.11%6.04B
Total assets
7.33%7.39B
5.34%7.25B
3.98%7.18B
4.01%7.03B
4.01%7.03B
4.46%6.88B
6.69%6.88B
6.73%6.91B
7.37%6.76B
7.37%6.76B
Liabilities
Current liabilities
Current debt and capital lease obligation
-45.08%324K
-28.57%435K
-37.44%518K
-26.16%604K
-26.16%604K
-26.53%590K
-26.09%609K
-0.24%828K
0.62%818K
0.62%818K
-Current capital lease obligation
-45.08%324K
-28.57%435K
-37.44%518K
-26.16%604K
-26.16%604K
-26.53%590K
-26.09%609K
-0.24%828K
0.62%818K
0.62%818K
Payables
23.06%14.77M
28.13%12.27M
5.36%81.18M
-12.23%13.46M
-12.23%13.46M
-31.19%12M
0.34%9.58M
-3.15%77.05M
8.97%15.33M
8.97%15.33M
-accounts payable
23.06%14.77M
28.13%12.27M
19.51%10.92M
7.06%13.46M
7.06%13.46M
6.43%12M
0.34%9.58M
-22.97%9.14M
-9.82%12.57M
-9.82%12.57M
-Total tax payable
----
----
----
--0
--0
--0
--0
--0
1,993.18%2.76M
1,993.18%2.76M
-Dividends payable
----
----
3.46%70.26M
----
----
----
----
0.33%67.91M
----
----
Pension and other retirement benefit plans
33.16%12.52M
-6.82%8.1M
-18.07%6.26M
-17.53%12.01M
-17.53%12.01M
-9.64%9.4M
-27.50%8.69M
-75.67%7.64M
-1.63%14.57M
-1.63%14.57M
Current liabilities
25.55%27.61M
10.21%20.81M
2.86%87.96M
-15.11%26.08M
-15.11%26.08M
-23.23%21.99M
-15.93%18.88M
-23.61%85.52M
3.46%30.72M
3.46%30.72M
Non current liabilities
Long term debt and capital lease obligation
-5.55%5.34M
-10.53%5.3M
476.30%5.42M
388.28%5.63M
388.28%5.63M
319.44%5.65M
265.97%5.93M
-49.63%941K
-44.08%1.15M
-44.08%1.15M
-Long term capital lease obligation
-5.55%5.34M
-10.53%5.3M
476.30%5.42M
388.28%5.63M
388.28%5.63M
319.44%5.65M
265.97%5.93M
-49.63%941K
-44.08%1.15M
-44.08%1.15M
Long term accounts payable and other payables
--78.36M
--50.51M
----
----
----
----
----
----
----
----
Employee benefits
40.03%14.59M
24.06%10.54M
19.55%7.64M
34.72%13.74M
34.72%13.74M
52.44%10.42M
12.07%8.5M
-3.82%6.39M
-28.10%10.2M
-28.10%10.2M
Non current deferred liabilities
39.68%264K
31.58%250K
34.44%242K
40.61%232K
40.61%232K
-90.33%189K
-19.49%190K
48.76%180K
65.00%165K
65.00%165K
Total non current liabilities
506.07%98.55M
355.79%66.6M
77.15%13.3M
70.18%19.59M
70.18%19.59M
60.43%16.26M
54.83%14.61M
-13.00%7.51M
-29.55%11.51M
-29.55%11.51M
Total liabilities
229.81%126.17M
160.99%87.41M
8.85%101.26M
8.14%45.67M
8.14%45.67M
-1.36%38.25M
5.01%33.49M
-22.85%93.03M
-8.26%42.23M
-8.26%42.23M
Shareholders'equity
Share capital
0.62%3.8B
0.61%3.8B
0.50%3.78B
0.66%3.78B
0.66%3.78B
0.89%3.77B
1.18%3.77B
1.47%3.77B
1.45%3.75B
1.45%3.75B
-common stock
0.62%3.8B
0.61%3.8B
0.50%3.78B
0.66%3.78B
0.66%3.78B
0.89%3.77B
1.18%3.77B
1.47%3.77B
1.45%3.75B
1.45%3.75B
Retained earnings
11.41%3.51B
10.53%3.43B
10.52%3.34B
12.07%3.25B
12.07%3.25B
12.42%3.15B
15.85%3.1B
16.58%3.02B
15.75%2.9B
15.75%2.9B
Gains losses not affecting retained earnings
43.59%-44.49M
-137.45%-62.19M
-312.40%-47.72M
-160.24%-40.09M
-160.24%-40.09M
-1,156.70%-78.87M
-313.39%-26.19M
-49.29%22.47M
41.48%66.55M
41.48%66.55M
Total stockholders'equity
6.09%7.26B
4.58%7.16B
3.92%7.08B
3.99%6.99B
3.99%6.99B
4.50%6.84B
6.70%6.85B
7.29%6.81B
7.48%6.72B
7.48%6.72B
Total equity
6.09%7.26B
4.58%7.16B
3.92%7.08B
3.99%6.99B
3.99%6.99B
4.50%6.84B
6.70%6.85B
7.29%6.81B
7.48%6.72B
7.48%6.72B
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
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -16.77%694.09M-34.82%540.22M-61.72%306.11M-21.49%546.53M-21.49%546.53M68.60%833.92M84.75%828.84M112.59%799.7M207.94%696.09M207.94%696.09M
-Cash and cash equivalents -16.77%694.09M-34.82%540.22M-61.72%306.11M-21.49%546.53M-21.49%546.53M68.60%833.92M84.75%828.84M112.59%799.7M207.94%696.09M207.94%696.09M
Receivables -23.66%11.83M26.90%14.2M-8.82%11.37M57.19%16.01M57.19%16.01M34.29%15.49M-17.43%11.19M-55.39%12.46M-17.80%10.19M-17.80%10.19M
-Accounts receivable -10.55%8.52M43.85%8.7M-41.64%4.81M1.93%9.34M1.93%9.34M5.34%9.52M-54.02%6.05M-66.36%8.24M-18.26%9.16M-18.26%9.16M
-Taxes receivable -72.16%1.39M7.75%4.54M81.26%5.85M--5.94M--5.94M--5M--4.22M--3.23M--0--0
-Other receivables 97.43%1.92M3.26%951K-29.13%703K-27.79%743K-27.79%743K-61.10%972K134.35%921K-71.10%992K175.87%1.03M175.87%1.03M
Inventory --0--0--0-86.97%1.37M-86.97%1.37M-78.48%2.43M-58.53%4.96M-11.42%6.56M20.87%10.53M20.87%10.53M
Prepaid assets 12.42%3.18M11.04%3.89M-3.57%2.68M-7.98%2.63M-7.98%2.63M-12.48%2.83M-11.09%3.51M14.43%2.78M13.11%2.86M13.11%2.86M
Other current assets -50.16%761K-47.35%506K15.56%698K102.09%871K102.09%871K513.25%1.53M258.58%961K1,108.00%604K779.59%431K779.59%431K
Total current assets -17.09%709.85M-34.21%558.81M-60.97%320.85M-21.20%567.41M-21.20%567.41M64.36%856.19M77.58%849.45M98.58%822.1M188.36%720.09M188.36%720.09M
Non current assets
Net PPE 12.90%6.55B14.34%6.58B14.55%6.59B7.40%6.19B7.40%6.19B-1.05%5.8B-2.46%5.75B-3.32%5.75B-3.17%5.76B-3.17%5.76B
-Gross PPE 11.57%9.47B12.49%9.44B12.65%9.4B7.63%8.93B7.63%8.93B-6.15%8.49B-6.71%8.39B-7.13%8.34B-7.01%8.3B-7.01%8.3B
-Accumulated depreciation -8.72%-2.92B-8.46%-2.86B-8.42%-2.8B-8.16%-2.74B-8.16%-2.74B15.57%-2.68B14.80%-2.64B14.62%-2.59B14.71%-2.53B14.71%-2.53B
Investments and advances -48.70%103.07M-65.53%88.07M-20.19%246.65M-3.68%246.68M-3.68%246.68M5.47%200.89M320.29%255.53M235.24%309.07M316.57%256.1M316.57%256.1M
-Financial asset investment -48.70%103.07M-65.53%88.07M-20.19%246.65M-3.68%246.68M-3.68%246.68M5.47%200.89M320.29%255.53M235.24%309.07M316.57%256.1M316.57%256.1M
-Including:Available-for-sale securities -48.70%103.07M-65.53%88.07M-20.19%246.65M-3.68%246.68M-3.68%246.68M5.47%200.89M320.29%255.53M235.24%309.07M316.57%256.1M316.57%256.1M
Non current prepaid assets 7.98%9.24M7.98%9.06M7.99%8.89M7.98%8.72M7.98%8.72M--8.56M--8.39M--8.23M--8.07M--8.07M
Goodwill and other intangible assets -19.32%1.6M-18.43%1.7M-17.62%1.79M181.76%6.4M181.76%6.4M-16.19%1.98M-15.56%2.08M-14.98%2.17M-14.40%2.27M-14.40%2.27M
-Other intangible assets --1.6M--1.7M--1.79M181.76%6.4M181.76%6.4M--------------2.27M--2.27M
Non current deferred assets -5.68%5.45M-4.29%5.78M-4.96%5.2M-4.53%5.5M-4.53%5.5M-3.15%5.77M20.61%6.04M3.07%5.47M2.44%5.76M2.44%5.76M
Other non current assets 9.98%5.8M7.38%5.73M37.34%5.77M58.79%5.86M58.79%5.86M45.65%5.27M38.67%5.34M5.47%4.2M-46.81%3.69M-46.81%3.69M
Total non current assets 10.80%6.68B10.91%6.69B12.76%6.86B7.02%6.46B7.02%6.46B-0.68%6.03B1.01%6.03B0.45%6.08B-0.11%6.04B-0.11%6.04B
Total assets 7.33%7.39B5.34%7.25B3.98%7.18B4.01%7.03B4.01%7.03B4.46%6.88B6.69%6.88B6.73%6.91B7.37%6.76B7.37%6.76B
Liabilities
Current liabilities
Current debt and capital lease obligation -45.08%324K-28.57%435K-37.44%518K-26.16%604K-26.16%604K-26.53%590K-26.09%609K-0.24%828K0.62%818K0.62%818K
-Current capital lease obligation -45.08%324K-28.57%435K-37.44%518K-26.16%604K-26.16%604K-26.53%590K-26.09%609K-0.24%828K0.62%818K0.62%818K
Payables 23.06%14.77M28.13%12.27M5.36%81.18M-12.23%13.46M-12.23%13.46M-31.19%12M0.34%9.58M-3.15%77.05M8.97%15.33M8.97%15.33M
-accounts payable 23.06%14.77M28.13%12.27M19.51%10.92M7.06%13.46M7.06%13.46M6.43%12M0.34%9.58M-22.97%9.14M-9.82%12.57M-9.82%12.57M
-Total tax payable --------------0--0--0--0--01,993.18%2.76M1,993.18%2.76M
-Dividends payable --------3.46%70.26M----------------0.33%67.91M--------
Pension and other retirement benefit plans 33.16%12.52M-6.82%8.1M-18.07%6.26M-17.53%12.01M-17.53%12.01M-9.64%9.4M-27.50%8.69M-75.67%7.64M-1.63%14.57M-1.63%14.57M
Current liabilities 25.55%27.61M10.21%20.81M2.86%87.96M-15.11%26.08M-15.11%26.08M-23.23%21.99M-15.93%18.88M-23.61%85.52M3.46%30.72M3.46%30.72M
Non current liabilities
Long term debt and capital lease obligation -5.55%5.34M-10.53%5.3M476.30%5.42M388.28%5.63M388.28%5.63M319.44%5.65M265.97%5.93M-49.63%941K-44.08%1.15M-44.08%1.15M
-Long term capital lease obligation -5.55%5.34M-10.53%5.3M476.30%5.42M388.28%5.63M388.28%5.63M319.44%5.65M265.97%5.93M-49.63%941K-44.08%1.15M-44.08%1.15M
Long term accounts payable and other payables --78.36M--50.51M--------------------------------
Employee benefits 40.03%14.59M24.06%10.54M19.55%7.64M34.72%13.74M34.72%13.74M52.44%10.42M12.07%8.5M-3.82%6.39M-28.10%10.2M-28.10%10.2M
Non current deferred liabilities 39.68%264K31.58%250K34.44%242K40.61%232K40.61%232K-90.33%189K-19.49%190K48.76%180K65.00%165K65.00%165K
Total non current liabilities 506.07%98.55M355.79%66.6M77.15%13.3M70.18%19.59M70.18%19.59M60.43%16.26M54.83%14.61M-13.00%7.51M-29.55%11.51M-29.55%11.51M
Total liabilities 229.81%126.17M160.99%87.41M8.85%101.26M8.14%45.67M8.14%45.67M-1.36%38.25M5.01%33.49M-22.85%93.03M-8.26%42.23M-8.26%42.23M
Shareholders'equity
Share capital 0.62%3.8B0.61%3.8B0.50%3.78B0.66%3.78B0.66%3.78B0.89%3.77B1.18%3.77B1.47%3.77B1.45%3.75B1.45%3.75B
-common stock 0.62%3.8B0.61%3.8B0.50%3.78B0.66%3.78B0.66%3.78B0.89%3.77B1.18%3.77B1.47%3.77B1.45%3.75B1.45%3.75B
Retained earnings 11.41%3.51B10.53%3.43B10.52%3.34B12.07%3.25B12.07%3.25B12.42%3.15B15.85%3.1B16.58%3.02B15.75%2.9B15.75%2.9B
Gains losses not affecting retained earnings 43.59%-44.49M-137.45%-62.19M-312.40%-47.72M-160.24%-40.09M-160.24%-40.09M-1,156.70%-78.87M-313.39%-26.19M-49.29%22.47M41.48%66.55M41.48%66.55M
Total stockholders'equity 6.09%7.26B4.58%7.16B3.92%7.08B3.99%6.99B3.99%6.99B4.50%6.84B6.70%6.85B7.29%6.81B7.48%6.72B7.48%6.72B
Total equity 6.09%7.26B4.58%7.16B3.92%7.08B3.99%6.99B3.99%6.99B4.50%6.84B6.70%6.85B7.29%6.81B7.48%6.72B7.48%6.72B
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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Big Five Big Five

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.