home

CDE.US | summary | financial summary | prediction chart | global stock news | news graph | volatility | components |pairs | earnings | dividends | sales | compare

Assets: cash current-assets inventory receivables investments invested ppe nta assets net-debt working-capital liabilities long-term-debt accounts-payable non-current-liabilities

Income sheet sales operations-income gross-profit | expenses marketing r-and-d income-before-tax tax income net-income interest-income ebit leases interest earnings

Key Financials CDE

Coeur Mining, Inc. operates as a gold and silver producer in the United States, Canada, and Mexico. It operates through Palmarejo, Rochester, Kensington, Wharf, Silvertip, and Las Chispas segments. The company explores for gold, silver, zinc, lead, and other related metals. It markets and sells its concentrates to third-party customers, including refiners and smelters, under off-take agreements. The company was formerly known as Coeur d'Alene Mines Corporation and changed its name to Coeur Mining, Inc. in May 2013. Coeur Mining, Inc. was incorporated in 1928 and is headquartered in Chicago, Illinois.
symbollastchange%chngnamemcapsectorwiki
CDE Coeur Mining Inc 3.483B Basic Materials wiki y

symbolprev.closerangecharttargetpercentperiodmonthsduerating
 B  CDE 7.45 0,-0.126,1.292,0.636,-0.126 7.03,6.08,5.17,5.40,5.66,6.43,6.24,5.52,5.37,6.12,5.81,5.50,6.36,7.51,7.45 5.76-6.68 -16.48% 267,47,267 7.3 Apr 3-Dec 26 55.98%

1 CDE US

The following extracted figures are selected by the AI as the most essential for predicting future price movements. The impact shows the impact of the figure on the share price forecast. Sometimes the impact of an increasing beneficial figure may still be downwards when the increase was smaller than expected. The over figure shows if the actual result was higher or lower than the AI would forecast.

Income statement

. Predection Mar 31,25 Dec 31,24 Sep 30,24 Jun 30,24 Mar 31,24
totalRevenue 358.0 360M 305M 313M 206M 213M
grossProfit 114.0 113M 110M 124M 16M 40M
operatingIncome 76.0 74M 95M 89M 3M -3M
. netInterestIncome -10.0 -10M -12M -13M -13M -13M
incomeBeforeTax 40.0 52M 56M 75M 9M -13M
taxProvision 12.0 18M 18M 26M 7M 16M
netIncome 25.0 33M 38M 49M 1M -29M
otherOperatingExpenses 211M 226M 203M 202M
netIncomeApplicableToCommonShares
reconciledDepreciation 41.0 43M 37M 33M 28M 27M

Balance sheet

. Predection Mar 31,25 Dec 31,24 Sep 30,24 Jun 30,24 Mar 31,24
. itotalAssets 3780.0 4067M 2302M 2228M 2143M 2120M
totalCurrentAssets 484.0 502M 273M 346M 312M 285M
. cashAndShortTermInvestments 55M 77M 74M 67M
. cash 75.0 78M 55M 77M 74M 67M
otherAssets 211M 287M -0M
netWorkingCapital 103.0 241M -58M 28M 52M -2M
netInvestedCapital 2770.0 3149M 1608M 1598M 1596M 1533M
netDebt 344.0 323M 547M 533M 562M 526M

Cash Flow

. Predection Mar 31,25 Dec 31,24 Sep 30,24 Jun 30,24 Mar 31,24
. totalCashFromOperatingActivities 71.0 68M 64M 111M 15M -16M
. . depreciationAndAmortization 37M 33M 32M 31M
. . . changeToAccountReceivables 0M 2M 3M -5M
. . freeCashFlow 9.0 18M 16M 69M -36M -58M
. incomeTaxExpense. . 18M 26M 7M 16M

``` ```