Sandstorm Gold Ltd.

NYSE:SAND

5.69 (USD) • At close January 8, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income 41.71678.4527.62213.81716.3975.87210.53725.254-43.05611.515-74.62921.92712.4892.399-0.333-0.06-0.009
Depreciation & Amortization 77.31960.23932.94639.33931.42930.0910.1080.2310.2120.1890.1760.1025.5660.3470.00100
Deferred Income Tax -4.5034.05814.2027.5954.3711.5423.2094.2258.116-3.321-15.5123.250.984-1.553-0.04800
Stock Based Compensation 7.6166.1016.0025.6525.183.8583.7853.1062.7062.0964.671.7051.5990.589000
Change In Working Capital 1.697-2.89-2.341-2.722-3.365-1.4930.797-1.6240.274-0.162-1.145-0.1820.1530.056-0.0240.0020.009
Accounts Receivables 1.494-5.498-4.213-0.553-2.585-0.506-0.602-1.847-0.54-0.065-0.026-0.06400000
Inventory 0-2.505-1.8562.2840.798000000000000
Accounts Payables 0.2072.5051.856-2.284-0.798-0.9371.4490.22000000000
Other Working Capital -0.0042.6081.872-2.169-0.78-0.9871.3990.2230.814-0.097-1.119-0.11800000
Other Non Cash Items -4.665-39.0422.7081.9353.3276.71226.3377.79962.56724.907118.65710.822-0.129-1.3750.1040.0080
Operating Cash Flow 119.18106.91681.13965.61657.33946.58244.77338.99130.81935.22432.21737.62420.6620.463-0.309-0.05-0
Investing Activities:
Investments In Property Plant And Equipment -20.943-620.79-152.697-3.476-61.288-46.031-4.409-10.806-217.345-27.907-71.092-60.683-33.973-63.51-0.06500
Acquisitions Net 23.986-3.818-0.559-3.312-3-1.979-48.88318.171.288-6.24214.099000000
Purchases Of Investments -30.534-33.432-13.018-15.916-24.07-13.03-4.761-6.731-16.391-40.401-25.738-13.008-7.7680000
Sales Maturities Of Investments 5.7417.25522.36256.38123.32724.7714.3522.99311.03900.3399.39200000
Other Investing Activites -0.43238.1138.78537.153-3.74311.1413.618.391-5.352-40.40115-15.145-0.953-0.0040-0.0390
Investing Cash Flow -22.182-612.672-143.91233.677-65.031-36.27-40.1013.847-221.409-74.55-67.392-79.444-42.694-63.514-0.065-0.0390
Financing Activities:
Debt Repayment -62.5440.750-454500-83.583.50000000.090
Common Stock Issued 086.0310000053.45325.6220006.60958.40500.2040.204
Common Stock Repurchased -15.97-0.421-33.051-23.524-46.613-20.464-17.729-2.28-1.708-1.8460000000
Dividends Paid -17.736-13.097000000000000000
Other Financing Activities -35.72-15.159-1.16976.21810.3622.3212.6055.4550.03933.9529.613157.730.028-4.910.0791.213-0.107
Financing Cash Flow -131.926497.564-34.227.6948.749-17.151-15.124-26.872107.45332.1069.613157.736.63753.4950.0791.3020.097
Other Information:
Effect Of Forex Changes On Cash -0.672-0.945-0.617-0.1820.0220.1921.5570.122-1.741-1.492-2.861-1.624-0.0651.380.00800
Net Change In Cash -2.026-9.137-97.61106.8051.079-6.647-8.89516.088-84.878-8.712-28.423114.286-15.46-8.176-0.2861.2130.097
Cash At End Of Period 5.0037.02916.166113.7766.9715.89212.53921.4345.34690.22498.936127.35913.07328.5330.7911.3220.097