Index -
P/E 86.32
EPS (ttm) 0.03
Insider Own 0.45%
Shs Outstand 240.34M
Perf Week -4.68%
Market Cap 636.90M
Forward P/E 7.35
EPS next Y 0.36
Insider Trans 0.00%
Shs Float 239.26M
Perf Month -1.85%
Income 6.12M
PEG -
EPS next Q 0.02
Inst Own 22.60%
Short Float 4.08%
Perf Quarter 63.58%
Sales 205.53M
P/S 3.10
EPS this Y 823.66%
Inst Trans 7.43%
Short Ratio 1.74
Perf Half Y 26.19%
Book/sh 1.78
P/B 1.49
EPS next Y 290.26%
ROA 1.40%
Short Interest 9.76M
Perf Year -35.52%
Cash/sh 0.17
P/C 15.76
EPS next 5Y -
ROE 1.74%
52W Range 1.42 - 4.36
Perf YTD 34.52%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI 1.56%
52W High -39.22%
Beta 1.63
Dividend TTM -
Quick Ratio 1.26
Sales past 5Y 8.04%
Gross Margin 10.03%
52W Low 86.62%
ATR (14) 0.16
Dividend Ex-Date -
Current Ratio 1.73
EPS Y/Y TTM -13.85%
Oper. Margin 4.45%
RSI (14) 54.35
Volatility 4.59% 6.83%
Employees 1330
Debt/Eq 0.02
Sales Y/Y TTM -2.54%
Profit Margin 2.98%
Recom 1.40
Target Price 4.42
Option/Short Yes / Yes
LT Debt/Eq 0.01
EPS Q/Q -64.92%
Payout 0.00%
Rel Volume 0.59
Prev Close 2.66
Sales Surprise 2.02%
EPS Surprise 40.85%
Sales Q/Q -38.82%
Earnings May 09 BMO
Avg Volume 5.62M
Price 2.65
SMA20 -2.30%
SMA50 15.15%
SMA200 14.79%
Trades
Volume 3,343,682
Change -0.38%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-09-24 Upgrade
TD Securities
Hold → Buy
Mar-22-22 Resumed
BMO Capital Markets
Market Perform
Sep-16-20 Upgrade
CIBC
Sector Underperform → Neutral
Jul-21-20 Initiated
B. Riley FBR
Buy
$4.75
Feb-26-20 Downgrade
Noble Capital Markets
Outperform → Market Perform
Nov-22-19 Reiterated
H.C. Wainwright
Buy
$3.25 → $3
May-07-19 Downgrade
Noble Capital Markets
Outperform → Market Perform
Jan-14-19 Upgrade
Noble Capital Markets
Market Perform → Outperform
$3
Nov-01-18 Downgrade
Noble Capital Markets
Outperform → Market Perform
Nov-17-17 Initiated
BMO Capital Markets
Market Perform
Apr-05-17 Upgrade
Raymond James
Mkt Perform → Outperform
Feb-17-17 Initiated
Noble Financial
Buy
$5.50
Sep-08-16 Initiated
National Bank Financial
Sector Perform
Jun-27-16 Upgrade
Raymond James
Underperform → Mkt Perform
Mar-21-16 Upgrade
Euro Pacific Capital
Sell → Neutral
Feb-29-16 Initiated
Rodman & Renshaw
Buy
$2.50
Feb-23-16 Downgrade
CIBC
Sector Perform → Sector Underperform
Aug-13-14 Reiterated
Euro Pacific Capital
Buy
$6.70 → $7.30
Apr-15-13 Reiterated
BMO Capital Markets
Market Perform
$9 → $6.50
Jan-31-13 Reiterated
BMO Capital Markets
Market Perform
$10 → $9
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(Associated Press Finance) +14.81%
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Endeavour Silver Corp. is a mineral company, which engages in the evaluation, acquisition, exploration, development and exploitation of precious metal properties in Mexico and Chile. The firm's projects include the Terronera property in Jalisco, the El Compas property, the Guanacevi Mine in Durango, Bolanitos Mines in Guanajuato, and the Parral project in Chihuahua, Mexico. The company was founded by Bradford James Cooke on March 11, 1981 and is headquartered in Vancouver, Canada.
Index -
P/E -
EPS (ttm) -0.16
Insider Own 1.12%
Shs Outstand 306.59M
Perf Week -3.77%
Market Cap 1.41B
Forward P/E 15.00
EPS next Y 0.31
Insider Trans 0.00%
Shs Float 303.15M
Perf Month 1.32%
Income -50.83M
PEG -
EPS next Q 0.05
Inst Own 44.05%
Short Float 1.77%
Perf Quarter 45.71%
Sales 843.15M
P/S 1.67
EPS this Y 17.88%
Inst Trans -
Short Ratio 0.90
Perf Half Y 63.93%
Book/sh 4.04
P/B 1.14
EPS next Y 18.60%
ROA -2.64%
Short Interest 5.36M
Perf Year 19.84%
Cash/sh 0.42
P/C 10.98
EPS next 5Y -
ROE -4.09%
52W Range 2.58 - 4.94
Perf YTD 18.91%
Dividend Est. -
P/FCF 17.84
EPS past 5Y -
ROI -3.52%
52W High -7.09%
Beta 1.54
Dividend TTM -
Quick Ratio 0.89
Sales past 5Y 31.63%
Gross Margin 21.79%
52W Low 77.91%
ATR (14) 0.22
Dividend Ex-Date -
Current Ratio 1.37
EPS Y/Y TTM 64.02%
Oper. Margin 14.60%
RSI (14) 57.01
Volatility 4.49% 5.19%
Employees 5185
Debt/Eq 0.21
Sales Y/Y TTM 23.46%
Profit Margin -6.03%
Recom 2.20
Target Price 5.28
Option/Short Yes / Yes
LT Debt/Eq 0.17
EPS Q/Q 42.80%
Payout -
Rel Volume 0.92
Prev Close 4.68
Sales Surprise 2.44%
EPS Surprise -21.95%
Sales Q/Q 63.77%
Earnings May 07 AMC
Avg Volume 5.92M
Price 4.59
SMA20 -1.40%
SMA50 18.87%
SMA200 35.74%
Trades
Volume 5,428,777
Change -1.92%
Date
Action
Analyst
Rating Change
Price Target Change
May-30-23 Resumed
Scotiabank
Sector Perform
$4.25
Jan-18-22 Upgrade
Canaccord Genuity
Hold → Buy
Nov-12-21 Downgrade
Canaccord Genuity
Hold → Sell
Nov-12-21 Downgrade
BMO Capital Markets
Outperform → Market Perform
Apr-02-20 Downgrade
Scotiabank
Sector Outperform → Sector Perform
Mar-05-19 Downgrade
CIBC
Sector Outperform → Neutral
Nov-21-17 Downgrade
Raymond James
Strong Buy → Outperform
Nov-17-17 Initiated
BMO Capital Markets
Outperform
Mar-31-17 Upgrade
BMO Capital Markets
Market Perform → Outperform
Mar-14-16 Downgrade
Raymond James
Strong Buy → Outperform
Apr-20-15 Upgrade
Raymond James
Outperform → Strong Buy
Apr-25-13 Initiated
Global Hunter Securities
Buy
$5
Jul-11-12 Downgrade
BMO Capital Markets
Outperform → Market Perform
Mar-29-12 Upgrade
BMO Capital Markets
Market Perform → Outperform
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Fortuna Silver Mines, Inc. engages in the exploration, extraction and processing of precious and base metal in Latin America. It operates through the following segments: Minera Bateas S.A.C (Bateas), Compania Minera Cuzcatlan S.A. de C.V. (Cuzcatian), Mansfield Minera S.A. (Mansfield), and Corporate. The Beates segment operates the Caylloma silver, lead, and zinc mine. The Cuzcatlan segment handles the San Jose silver-gold mine. The Mansfield segment constructs the Lindero mine. The Corporate segment represents the corporate stewardship. The company was founded by Jorge Alberto Ganoza Durant, Simon T. P. Ridgway, and Mario David Szotlender on September 4, 1990 and is headquartered in Vancouver, Canada.
Category Equity - Leveraged / Inverse
Asset Type Equities (Stocks)
Tags Global
Return% 1Y -19.70%
Shs Outstand
Perf Week -6.88%
Sponsor Direxion Shares
ETF Type
Tags equity
Return% 3Y -15.75%
Total Holdings 11
Perf Month 2.58%
Fund Family
Bond Type
Tags gold-miners
Return% 5Y -11.11%
AUM 538.16M
Perf Quarter 35.24%
Index NYSE Arca Gold Miners Index
Average Maturity
Tags leverage
Return% 10Y
NAV%
Perf Half Y 31.02%
Index Weighting
Commodity Type
Tags -
Return% SI
NAV/sh
Perf Year -21.43%
Active/Passive
Quant Type
Tags -
Flows% 1M -14.79%
52W Range 23.15 - 51.89
Perf YTD 8.57%
Dividend TTM 0.72 (1.92%)
ESG Type
Tags -
Flows% 3M -19.96%
52W High -27.23%
Beta 2.51
Dividend Ex-Date Mar 19, 2024
Dividend Type
Sector/Theme
Flows% YTD -12.02%
52W Low 63.15%
ATR (14) 2.20
Expense 0.86%
Structure Type
Region
Flows% 1Y
RSI (14) 52.36
Volatility 5.47% 5.82%
Option/Short Yes / Yes
Growth/Value
Dev/Emerg
Flows% 3Y
Rel Volume 0.61
Prev Close 38.14
Inverse/Leveraged
Market Cap
Currency
Flows% 5Y
Avg Volume 2.87M
Price 37.76
SMA20 -2.30%
SMA50 12.68%
SMA200 20.04%
Trades
Volume 1,763,052
Change -1.00%
Index -
P/E -
EPS (ttm) -0.25
Insider Own 0.23%
Shs Outstand 364.66M
Perf Week -4.05%
Market Cap 6.66B
Forward P/E 29.10
EPS next Y 0.63
Insider Trans 0.00%
Shs Float 363.83M
Perf Month 9.35%
Income -103.70M
PEG -
EPS next Q -0.06
Inst Own 57.72%
Short Float 4.53%
Perf Quarter 33.70%
Sales 2.32B
P/S 2.87
EPS this Y 242.01%
Inst Trans 1.20%
Short Ratio 3.46
Perf Half Y 24.57%
Book/sh 13.06
P/B 1.40
EPS next Y 52.81%
ROA -1.98%
Short Interest 16.49M
Perf Year 1.56%
Cash/sh 1.21
P/C 15.09
EPS next 5Y -
ROE -2.98%
52W Range 12.16 - 20.60
Perf YTD 11.76%
Dividend Est. 0.40 (2.19%)
P/FCF 94.32
EPS past 5Y -
ROI -1.88%
52W High -11.41%
Beta 1.34
Dividend TTM 0.30 (1.64%)
Quick Ratio 1.09
Sales past 5Y 27.95%
Gross Margin 10.71%
52W Low 50.08%
ATR (14) 0.70
Dividend Ex-Date Mar 01, 2024
Current Ratio 2.23
EPS Y/Y TTM 84.49%
Oper. Margin 4.51%
RSI (14) 55.06
Volatility 3.28% 4.15%
Employees 19920
Debt/Eq 0.17
Sales Y/Y TTM 54.95%
Profit Margin -4.48%
Recom 1.22
Target Price 22.62
Option/Short Yes / Yes
LT Debt/Eq 0.16
EPS Q/Q 82.78%
Payout -
Rel Volume 0.80
Prev Close 18.38
Sales Surprise 11.10%
EPS Surprise -147.73%
Sales Q/Q 78.34%
Earnings May 08 AMC
Avg Volume 4.77M
Price 18.25
SMA20 -2.85%
SMA50 14.80%
SMA200 19.94%
Trades
Volume 3,830,852
Change -0.71%
Date
Action
Analyst
Rating Change
Price Target Change
Feb-29-24 Initiated
Jefferies
Hold
$14
Dec-11-23 Resumed
BMO Capital Markets
Outperform
Jan-11-23 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$19 → $22
May-12-22 Upgrade
Canaccord Genuity
Hold → Buy
$30
Feb-25-22 Downgrade
Canaccord Genuity
Buy → Hold
Jun-02-21 Resumed
RBC Capital Mkts
Sector Perform
$36
May-17-21 Upgrade
National Bank Financial
Sector Perform → Outperform
Feb-10-21 Resumed
JP Morgan
Overweight
Jan-13-21 Downgrade
Deutsche Bank
Buy → Hold
$38 → $35
Oct-01-20 Upgrade
Deutsche Bank
Hold → Buy
$34 → $38
Aug-11-20 Downgrade
Deutsche Bank
Buy → Hold
$34
Jul-23-20 Upgrade
BofA Securities
Neutral → Buy
Jul-21-20 Downgrade
Canaccord Genuity
Buy → Hold
May-20-20 Upgrade
Canaccord Genuity
Hold → Buy
May-08-20 Downgrade
Canaccord Genuity
Buy → Hold
$23.50
Apr-23-20 Downgrade
National Bank Financial
Outperform → Sector Perform
Apr-02-20 Upgrade
Scotiabank
Sector Underperform → Sector Perform
Mar-04-20 Upgrade
BofA/Merrill
Underperform → Neutral
$20.50 → $25
Mar-02-20 Upgrade
Deutsche Bank
Hold → Buy
$22
Feb-21-20 Downgrade
Canaccord Genuity
Buy → Hold
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Pan American Silver Corp. engages in the operation, development, and exploration of silver and gold producing properties and assets. It operates through the Silver and Gold segments. The Silver segment includes La Colorada, Huaron, Morococha, San Vicente, and Manantial Espejo mines. The Gold segment refers to the Dolores, Shahuindo, La Arena, Timmins West, and Bell Creek mines. The company was founded by Ross J. Beaty and John H. Wright on March 7, 1979 and is headquartered in Vancouver, Canada.
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