Index -
P/E 253.83
EPS (ttm) 0.07
Insider Own 0.02%
Shs Outstand 253.72M
Perf Week -2.88%
Market Cap 4.28B
Forward P/E 16.44
EPS next Y 1.03
Insider Trans 0.00%
Shs Float 253.67M
Perf Month 4.46%
Income 16.88M
PEG 13.77
EPS next Q 0.20
Inst Own 57.29%
Short Float 0.97%
Perf Quarter 10.11%
Sales 885.15M
P/S 4.84
EPS this Y 1046.18%
Inst Trans -4.62%
Short Ratio 1.51
Perf Half Y 106.86%
Book/sh 12.01
P/B 1.41
EPS next Y 11.97%
ROA 0.54%
Short Interest 2.47M
Perf Year 134.44%
Cash/sh 0.69
P/C 24.62
EPS next 5Y 18.43%
ROE 0.80%
52W Range 6.45 - 17.86
Perf YTD 10.76%
Dividend Est. 0.12 (0.73%)
P/FCF 202.40
EPS past 5Y -
ROI 0.45%
52W High -5.49%
Beta 0.86
Dividend TTM -
Quick Ratio 1.14
Sales past 5Y -4.11%
Gross Margin 12.56%
52W Low 161.71%
ATR (14) 0.79
Dividend Ex-Date Apr 17, 2024
Current Ratio 1.32
EPS Y/Y TTM -76.60%
Oper. Margin 3.28%
RSI (14) 55.43
Volatility 6.22% 4.88%
Employees -
Debt/Eq 0.23
Sales Y/Y TTM 16.57%
Profit Margin 1.91%
Recom 3.00
Target Price 15.94
Option/Short Yes / Yes
LT Debt/Eq 0.22
EPS Q/Q -4.61%
Payout 89.03%
Rel Volume 0.37
Prev Close 16.71
Sales Surprise 7.38%
EPS Surprise 151.05%
Sales Q/Q 28.84%
Earnings Apr 30 BMO
Avg Volume 1.63M
Price 16.88
SMA20 3.69%
SMA50 3.78%
SMA200 42.60%
Trades
Volume 602,431
Change 1.02%
Date
Action
Analyst
Rating Change
Price Target Change
Mar-12-24 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Sep-21-23 Upgrade
Morgan Stanley
Equal-Weight → Overweight
$8.60 → $10.30
Mar-24-22 Upgrade
Morgan Stanley
Underweight → Equal-Weight
$7 → $11.10
Dec-15-20 Downgrade
Goldman
Buy → Neutral
Jun-22-20 Upgrade
Goldman
Sell → Buy
Jan-17-20 Downgrade
HSBC Securities
Buy → Hold
Feb-25-19 Downgrade
Morgan Stanley
Overweight → Equal-Weight
Feb-19-19 Initiated
Goldman
Sell
Jan-18-18 Upgrade
Citigroup
Neutral → Buy
Sep-25-17 Upgrade
Morgan Stanley
Equal-Weight → Overweight
Dec-13-16 Upgrade
HSBC Securities
Hold → Buy
Jun-28-16 Upgrade
BofA/Merrill
Neutral → Buy
May-05-16 Upgrade
HSBC Securities
Hold → Buy
Apr-13-16 Downgrade
HSBC Securities
Buy → Hold
Sep-21-15 Downgrade
Credit Suisse
Outperform → Neutral
Mar-02-09 Downgrade
JP Morgan
Overweight → Neutral
Apr-29-08 Upgrade
HSBC Securities
Underweight → Neutral
$62 → $65
Oct-09-07 Downgrade
HSBC Securities
Overweight → Underweight
Aug-02-07 Reiterated
BMO Capital Markets
Market Perform
$36 → $43
Jun-06-07 Upgrade
JP Morgan
Neutral → Overweight
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Apr-14-22 09:33AM
(American City Business Journals)
Apr-07-22 02:26PM
Mar-31-22 04:15PM
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Compania de Minas Buenaventura SAA engages in the development and exploration of mineral properties. It operates through the following segments: Production and Sale of Minerals, Exploration and Development Activitie, Energy Generation and Transmission Services, Insurance Brokerage, Rental of Mining Concessions, Holding of Investments in Shares, and Industrial Activities. The company was founded by Alberto Benavides de la Quintana on September 7, 1953 and is headquartered in Lima, Peru.
Index RUT
P/E -
EPS (ttm) -0.30
Insider Own 1.62%
Shs Outstand 398.58M
Perf Week -1.21%
Market Cap 1.95B
Forward P/E 18.27
EPS next Y 0.27
Insider Trans -0.01%
Shs Float 392.11M
Perf Month 12.44%
Income -108.14M
PEG -
EPS next Q -0.01
Inst Own 69.72%
Short Float 4.89%
Perf Quarter 78.10%
Sales 835.35M
P/S 2.33
EPS this Y 111.24%
Inst Trans 1.66%
Short Ratio 2.43
Perf Half Y 98.37%
Book/sh 2.55
P/B 1.91
EPS next Y 933.72%
ROA -5.39%
Short Interest 19.18M
Perf Year 42.69%
Cash/sh 0.17
P/C 28.82
EPS next 5Y -
ROE -11.01%
52W Range 2.00 - 5.47
Perf YTD 49.69%
Dividend Est. -
P/FCF -
EPS past 5Y -2.67%
ROI -6.84%
52W High -10.79%
Beta 1.72
Dividend TTM -
Quick Ratio 0.43
Sales past 5Y 5.59%
Gross Margin 6.20%
52W Low 144.00%
ATR (14) 0.35
Dividend Ex-Date Apr 03, 1996
Current Ratio 0.99
EPS Y/Y TTM 24.10%
Oper. Margin -1.12%
RSI (14) 61.04
Volatility 7.59% 8.61%
Employees 2074
Debt/Eq 0.58
Sales Y/Y TTM 7.60%
Profit Margin -12.95%
Recom 1.33
Target Price 5.46
Option/Short Yes / Yes
LT Debt/Eq 0.55
EPS Q/Q 7.47%
Payout -
Rel Volume 0.81
Prev Close 4.79
Sales Surprise 4.73%
EPS Surprise 0.00%
Sales Q/Q 10.82%
Earnings May 01 AMC
Avg Volume 7.90M
Price 4.88
SMA20 5.07%
SMA50 28.30%
SMA200 65.36%
Trades
Volume 6,418,125
Change 1.88%
Date
Action
Analyst
Rating Change
Price Target Change
May-03-24 Upgrade
BMO Capital Markets
Market Perform → Outperform
Apr-09-24 Initiated
ROTH MKM
Buy
$5.40
Nov-03-23 Resumed
BMO Capital Markets
Market Perform
$2.75
Sep-22-23 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$4
Jul-24-23 Upgrade
Canaccord Genuity
Hold → Buy
$3.75
Jun-28-23 Initiated
National Bank Financial
Outperform
$4.25
Jan-19-23 Upgrade
Canaccord Genuity
Sell → Hold
$4
Aug-08-22 Downgrade
Noble Capital Markets
Outperform → Market Perform
Aug-05-22 Downgrade
Canaccord Genuity
Buy → Hold
$3.50
Feb-17-22 Downgrade
Canaccord Genuity
Buy → Hold
$4.75
Jan-31-22 Upgrade
Noble Capital Markets
Market Perform → Outperform
$5.25
Jun-02-21 Resumed
RBC Capital Mkts
Sector Perform
Apr-30-21 Upgrade
Canaccord Genuity
Speculative Buy → Buy
$110
Apr-30-21 Downgrade
Noble Capital Markets
Outperform → Market Perform
Feb-19-21 Upgrade
ROTH Capital
Neutral → Buy
$10
Dec-18-20 Downgrade
ROTH Capital
Buy → Neutral
$10
Dec-18-20 Downgrade
Canaccord Genuity
Buy → Hold
Sep-14-20 Upgrade
Noble Capital Markets
Market Perform → Outperform
Jul-31-20 Initiated
Cantor Fitzgerald
Buy
$8.50
Jul-21-20 Upgrade
Canaccord Genuity
Hold → Buy
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(Thomson Reuters StreetEvents)
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Coeur Mining, Inc. engages in the exploration and development of silver and gold mining properties and mines located in United States, Canada, and Mexico. It operates through the following segments: Palmarejo, Rochester, Kensington, and Wharf, and Other. The Palmarejo segment includes a gold-silver complex. The Rochester segment operates an open pit heap leach silver-gold mine in northwestern Nevada. The Kensington segment relates to an underground gold mine located north of Juneau, Alaska. The Wharf segment focuses on an open pit heap leach gold mine located near Lead, South Dakota. The company was founded in 1928 and is headquartered in Chicago, IL.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
McGrath Aoife SVP, Exploration Mar 15 '24 Buy 3.23 6,200 20,020 207,308 Mar 19 05:03 PM Watkinson Kenneth J VP, Corporate Controller & CAO Nov 27 '23 Sale 2.81 7,000 19,684 134,051 Nov 27 07:06 PM McGrath Aoife SVP, Exploration Sep 11 '23 Buy 2.35 6,200 14,558 129,217 Sep 13 04:42 PM Das Paramita Director Aug 14 '23 Buy 2.47 500 1,234 22,711 Aug 16 04:22 PM Das Paramita Director Aug 11 '23 Buy 2.58 3,500 9,048 22,211 Aug 15 06:46 PM MELLOR ROBERT E Chairman (non-executive) May 25 '23 Buy 3.00 5,000 14,995 239,188 May 26 05:26 PM McGrath Aoife SVP, Exploration May 25 '23 Buy 3.00 3,600 10,796 123,017 May 26 05:22 PM Routledge Michael SVP & Chief Operating Officer May 24 '23 Buy 3.16 8,000 25,272 301,782 May 25 04:45 PM
Category Global or ExUS Equities - Industry Sector
Asset Type Equities (Stocks)
Tags Global
Return% 1Y -0.25%
Shs Outstand
Perf Week -3.92%
Sponsor Van Eck Associates Corporation
ETF Type
Tags equity
Return% 3Y -5.34%
Total Holdings 96
Perf Month 0.57%
Fund Family
Bond Type
Tags gold-miners
Return% 5Y 8.75%
AUM 4.79B
Perf Quarter 19.79%
Index MVIS Global Junior Gold Miners Index
Average Maturity
Tags gold
Return% 10Y
NAV%
Perf Half Y 21.65%
Index Weighting
Commodity Type
Tags silver
Return% SI
NAV/sh
Perf Year -0.97%
Active/Passive
Quant Type
Tags -
Flows% 1M -0.95%
52W Range 30.46 - 44.70
Perf YTD 7.44%
Dividend TTM 0.27 (0.67%)
ESG Type
Tags -
Flows% 3M 3.30%
52W High -8.88%
Beta 1.30
Dividend Ex-Date Dec 18, 2023
Dividend Type
Sector/Theme
Flows% YTD 1.26%
52W Low 33.71%
ATR (14) 1.29
Expense 0.52%
Structure Type
Region
Flows% 1Y
RSI (14) 51.45
Volatility 2.95% 3.10%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.61
Prev Close 40.91
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 7.32M
Price 40.73
SMA20 -2.15%
SMA50 6.70%
SMA200 13.90%
Trades
Volume 4,490,411
Change -0.44%
Apr-10-24 01:12PM
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VanEck Junior Gold Miners ETF seeks to replicate as closely as possible, before fees and expenses, the price and yield performance of the MVIS Global Junior Gold Miners Index. The fund normally invests at least 80% of its total assets in securities that comprise the index. The index includes companies that generate at least 50% of their revenues from gold and/or silver mining/royalties/streaming or have mining projects with the potential to generate at least 50% of their revenues from gold and/or silver when developed. It is non-diversified.
Category Global or ExUS Equities - Industry Sector
Asset Type Equities (Stocks)
Tags Global
Return% 1Y 2.58%
Shs Outstand
Perf Week -3.10%
Sponsor Global X
ETF Type
Tags equity
Return% 3Y -9.92%
Total Holdings 38
Perf Month 2.93%
Fund Family
Bond Type
Tags silver-miners
Return% 5Y 6.69%
AUM 1.04B
Perf Quarter 20.98%
Index Solactive Global Silver Miners Index
Average Maturity
Tags silver
Return% 10Y
NAV%
Perf Half Y 29.27%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year 1.98%
Active/Passive
Quant Type
Tags -
Flows% 1M 3.90%
52W Range 22.57 - 33.47
Perf YTD 9.13%
Dividend TTM 0.17 (0.54%)
ESG Type
Tags -
Flows% 3M 4.43%
52W High -7.50%
Beta 1.11
Dividend Ex-Date Dec 28, 2023
Dividend Type
Sector/Theme
Flows% YTD 2.72%
52W Low 37.17%
ATR (14) 0.99
Expense 0.65%
Structure Type
Region
Flows% 1Y
RSI (14) 56.09
Volatility 2.87% 3.22%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.62
Prev Close 30.97
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 602.03K
Price 30.96
SMA20 -1.03%
SMA50 10.85%
SMA200 17.96%
Trades
Volume 372,687
Change -0.03%
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Global X Silver Miners ETF seeks to provide investment results that correspond generally to the price and yield performance, before fees and expenses, of the Solactive Global Silver Miners Total Return Index. The fund invests at least 80% of its total assets in the securities of the underlying index and in American Depositary Receipts ("ADRs") and Global Depositary Receipts ("GDRs") based on the securities in the underlying index. The underlying index is designed to measure broad-based equity market performance of global companies involved in the silver mining industry. The fund is non-diversified.
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