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CCO Cameco Corp

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  • 66.290
  • +2.180+3.40%
15min DelayMarket Closed May 6 16:00 ET
28.86BMarket Cap116.30P/E (TTM)

Cameco Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
74.47%110.19M
31.56%905.29M
163.17%529.71M
-71.67%52.34M
199.23%260.08M
-70.65%63.16M
125.91%688.14M
159.86%201.28M
496.59%184.79M
-14.42%86.92M
Net income from continuing operations
1,087.85%69.75M
-52.37%171.84M
69.14%135.47M
-94.98%7.43M
162.97%36.01M
-105.94%-7.06M
304.21%360.82M
619.31%80.09M
858.00%148.07M
-83.69%13.69M
Operating gains losses
-73.86%16.93M
141.81%96M
108.07%10.07M
132.37%14.91M
310.09%6.26M
207.51%64.75M
-170.24%-229.62M
-214.44%-124.86M
-384.85%-46.06M
110.03%1.53M
Depreciation and amortization
40.39%60.6M
27.40%280.7M
126.72%104.55M
27.05%71.13M
47.80%61.86M
-43.48%43.17M
24.21%220.32M
64.66%46.11M
17.68%55.99M
-31.61%41.85M
Remuneration paid in stock
60.56%2.07M
83.50%6.78M
101.53%1.98M
88.83%1.79M
88.16%1.72M
51.71%1.29M
11.27%3.69M
9.97%982K
12.17%949K
18.60%912K
Deferred tax
72.50%53.41M
-32.82%84.87M
-108.08%-2.14M
-6.24%38.03M
-22.84%18.02M
-13.77%30.96M
2,926.96%126.34M
687.85%26.51M
261.50%40.56M
-12.12%23.36M
Other non cashItems
-42.15%-34.05M
267.78%108.47M
-53.19%27.66M
87.34%-8.99M
690.19%113.77M
28.40%-23.96M
-178.06%-64.65M
-28.02%59.08M
-330.30%-71M
-37.85%-19.28M
Change In working capital
-98.23%-80.15M
56.47%-11.57M
166.59%251.63M
-413.41%-73.5M
25.80%-149.27M
-171.22%-40.43M
75.93%-26.57M
1,374.00%94.39M
122.37%23.45M
-34.30%-201.18M
-Change in receivables
-21.98%197.32M
132.41%78.56M
68.15%-40.01M
-265.51%-165.89M
129.65%31.57M
621.81%252.9M
-343.39%-242.42M
-608.57%-125.62M
5.52%-45.39M
-2,414.05%-106.45M
-Change in inventory
115.56%10.16M
-338.29%-111.53M
140.58%33.47M
-110.03%-8.5M
50.97%-71.2M
-134.41%-65.29M
120.68%46.8M
38.93%-82.47M
221.89%84.7M
-157.84%-145.21M
-Change in payables and accrued expense
-26.13%-287.63M
-87.34%21.4M
-14.65%258.18M
736.00%100.9M
-317.21%-109.63M
-35.70%-228.04M
930.69%169.04M
193.88%302.48M
-225.13%-15.86M
156.55%50.47M
Dividends received (cash flow from operating activities)
--69.75M
63.19%185.45M
--0
--0
63.19%185.45M
--0
-3.45%113.64M
--0
--0
8.29%113.64M
Interest received (cash flow from operating activities)
-41.66%3.69M
-81.35%21.23M
-83.91%3.07M
-88.37%3.95M
-76.33%7.89M
-76.96%6.32M
221.07%113.8M
-13.66%19.05M
361.39%33.99M
707.81%33.32M
Tax refund paid
-335.83%-51.79M
-154.69%-38.49M
-3,191.03%-2.57M
-109.18%-2.42M
-127.34%-21.62M
-59.29%-11.88M
4,726.69%70.37M
93.93%-78K
-1,039.02%-1.16M
8,110.64%79.07M
Cash from discontinued investing activities
Operating cash flow
74.47%110.19M
31.56%905.29M
163.17%529.71M
-71.67%52.34M
199.23%260.08M
-70.65%63.16M
125.91%688.14M
159.86%201.28M
496.59%184.79M
-14.42%86.91M
Investing cash flow
Cash flow from continuing investing activities
-43.40%-57.39M
89.90%-206.44M
97.84%-66.34M
-154.92%-60.25M
-105.17%-39.83M
-114.24%-40.02M
-58.41%-2.04B
-303.50%-3.07B
71.48%-23.64M
346.95%770.28M
Net PPE purchase and sale
-41.02%-56.44M
-37.57%-211.26M
-47.28%-64.16M
-39.66%-60.25M
-17.23%-46.83M
-48.72%-40.02M
-7.64%-153.56M
-27.78%-43.56M
-0.83%-43.14M
-10.67%-39.95M
Net business purchase and sale
----
--0
----
----
----
----
-2,878.90%-3.03B
----
----
----
Net investment purchase and sale
----
--0
--0
--0
--0
--0
208.83%1.14B
--0
148.65%19.51M
570.06%809.23M
Net other investing changes
---954K
381.60%4.82M
---2.19M
----
600.30%7M
----
150.00%1M
--0
----
150.00%1M
Cash from discontinued investing activities
Investing cash flow
-43.40%-57.39M
89.90%-206.44M
97.84%-66.34M
-154.92%-60.25M
-105.17%-39.83M
-114.24%-40.02M
-58.41%-2.04B
-303.50%-3.07B
71.48%-23.64M
346.95%770.28M
Financing cash flow
Cash flow from continuing financing activities
-7.72%-291.64M
-191.94%-688.42M
-112.62%-94.48M
-2,319.85%-149.31M
-1,067.82%-173.89M
-3,385.33%-270.74M
-13.86%748.81M
-15.10%748.74M
624.65%6.73M
22.43%-14.89M
Net issuance payments of debt
-6.37%-285.84M
-167.14%-546.62M
-100.06%-489K
-18,995.01%-137.68M
-43,706.58%-139.74M
-45,833.68%-268.71M
28,096.97%814.15M
100,565.15%815.78M
22.56%-721K
41.25%-319K
Net common stock issuance
-85.13%73K
-39.51%16.66M
-58.37%1.91M
-99.50%45K
220.37%14.22M
-94.89%491K
-97.14%27.54M
-99.52%4.58M
11,181.01%8.91M
830.19%4.44M
Cash dividends paid
--0
-33.72%-69.64M
-33.72%-69.64M
--0
--0
--0
-0.35%-52.08M
-0.35%-52.08M
--0
--0
Interest paid (cash flow from financing activities)
-133.17%-5.88M
-117.70%-88.82M
-34.42%-26.26M
-697.06%-11.68M
-154.42%-48.36M
-219.37%-2.52M
-5.00%-40.8M
-2.52%-19.54M
-240.70%-1.47M
0.64%-19.01M
Net other financing activities
--8K
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-7.72%-291.64M
-191.94%-688.42M
-112.62%-94.48M
-2,319.85%-149.31M
-1,067.82%-173.89M
-3,385.33%-270.74M
-13.86%748.81M
-15.10%748.74M
624.65%6.73M
22.43%-14.89M
Net cash flow
Beginning cash position
5.94%600.46M
-50.44%566.81M
-92.61%197.14M
-85.26%361.62M
-80.37%323.22M
-50.44%566.81M
-8.32%1.14B
183.16%2.67B
130.55%2.45B
27.73%1.65B
Current changes in cash
3.54%-238.84M
101.71%10.42M
117.38%368.89M
-193.65%-157.22M
-94.50%46.36M
-149.09%-247.61M
-419.77%-607.9M
-1,172.77%-2.12B
228.39%167.88M
466.92%842.3M
Effect of exchange rate changes
-103.79%-152K
-25.16%23.23M
59.29%34.44M
-115.83%-7.26M
77.41%-7.96M
426.08%4.01M
135.43%31.04M
482.38%21.62M
442.41%45.88M
-855.41%-35.23M
End cash Position
11.83%361.47M
5.94%600.46M
5.94%600.46M
-92.61%197.14M
-85.26%361.62M
-80.37%323.22M
-50.44%566.81M
-50.44%566.81M
183.16%2.67B
130.55%2.45B
Free cash from
132.23%53.73M
29.77%693.65M
195.09%465.31M
-105.64%-7.99M
354.30%213.2M
-87.71%23.14M
231.66%534.51M
264.06%157.69M
257.69%141.65M
-28.31%46.93M
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
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 74.47%110.19M31.56%905.29M163.17%529.71M-71.67%52.34M199.23%260.08M-70.65%63.16M125.91%688.14M159.86%201.28M496.59%184.79M-14.42%86.92M
Net income from continuing operations 1,087.85%69.75M-52.37%171.84M69.14%135.47M-94.98%7.43M162.97%36.01M-105.94%-7.06M304.21%360.82M619.31%80.09M858.00%148.07M-83.69%13.69M
Operating gains losses -73.86%16.93M141.81%96M108.07%10.07M132.37%14.91M310.09%6.26M207.51%64.75M-170.24%-229.62M-214.44%-124.86M-384.85%-46.06M110.03%1.53M
Depreciation and amortization 40.39%60.6M27.40%280.7M126.72%104.55M27.05%71.13M47.80%61.86M-43.48%43.17M24.21%220.32M64.66%46.11M17.68%55.99M-31.61%41.85M
Remuneration paid in stock 60.56%2.07M83.50%6.78M101.53%1.98M88.83%1.79M88.16%1.72M51.71%1.29M11.27%3.69M9.97%982K12.17%949K18.60%912K
Deferred tax 72.50%53.41M-32.82%84.87M-108.08%-2.14M-6.24%38.03M-22.84%18.02M-13.77%30.96M2,926.96%126.34M687.85%26.51M261.50%40.56M-12.12%23.36M
Other non cashItems -42.15%-34.05M267.78%108.47M-53.19%27.66M87.34%-8.99M690.19%113.77M28.40%-23.96M-178.06%-64.65M-28.02%59.08M-330.30%-71M-37.85%-19.28M
Change In working capital -98.23%-80.15M56.47%-11.57M166.59%251.63M-413.41%-73.5M25.80%-149.27M-171.22%-40.43M75.93%-26.57M1,374.00%94.39M122.37%23.45M-34.30%-201.18M
-Change in receivables -21.98%197.32M132.41%78.56M68.15%-40.01M-265.51%-165.89M129.65%31.57M621.81%252.9M-343.39%-242.42M-608.57%-125.62M5.52%-45.39M-2,414.05%-106.45M
-Change in inventory 115.56%10.16M-338.29%-111.53M140.58%33.47M-110.03%-8.5M50.97%-71.2M-134.41%-65.29M120.68%46.8M38.93%-82.47M221.89%84.7M-157.84%-145.21M
-Change in payables and accrued expense -26.13%-287.63M-87.34%21.4M-14.65%258.18M736.00%100.9M-317.21%-109.63M-35.70%-228.04M930.69%169.04M193.88%302.48M-225.13%-15.86M156.55%50.47M
Dividends received (cash flow from operating activities) --69.75M63.19%185.45M--0--063.19%185.45M--0-3.45%113.64M--0--08.29%113.64M
Interest received (cash flow from operating activities) -41.66%3.69M-81.35%21.23M-83.91%3.07M-88.37%3.95M-76.33%7.89M-76.96%6.32M221.07%113.8M-13.66%19.05M361.39%33.99M707.81%33.32M
Tax refund paid -335.83%-51.79M-154.69%-38.49M-3,191.03%-2.57M-109.18%-2.42M-127.34%-21.62M-59.29%-11.88M4,726.69%70.37M93.93%-78K-1,039.02%-1.16M8,110.64%79.07M
Cash from discontinued investing activities
Operating cash flow 74.47%110.19M31.56%905.29M163.17%529.71M-71.67%52.34M199.23%260.08M-70.65%63.16M125.91%688.14M159.86%201.28M496.59%184.79M-14.42%86.91M
Investing cash flow
Cash flow from continuing investing activities -43.40%-57.39M89.90%-206.44M97.84%-66.34M-154.92%-60.25M-105.17%-39.83M-114.24%-40.02M-58.41%-2.04B-303.50%-3.07B71.48%-23.64M346.95%770.28M
Net PPE purchase and sale -41.02%-56.44M-37.57%-211.26M-47.28%-64.16M-39.66%-60.25M-17.23%-46.83M-48.72%-40.02M-7.64%-153.56M-27.78%-43.56M-0.83%-43.14M-10.67%-39.95M
Net business purchase and sale ------0-----------------2,878.90%-3.03B------------
Net investment purchase and sale ------0--0--0--0--0208.83%1.14B--0148.65%19.51M570.06%809.23M
Net other investing changes ---954K381.60%4.82M---2.19M----600.30%7M----150.00%1M--0----150.00%1M
Cash from discontinued investing activities
Investing cash flow -43.40%-57.39M89.90%-206.44M97.84%-66.34M-154.92%-60.25M-105.17%-39.83M-114.24%-40.02M-58.41%-2.04B-303.50%-3.07B71.48%-23.64M346.95%770.28M
Financing cash flow
Cash flow from continuing financing activities -7.72%-291.64M-191.94%-688.42M-112.62%-94.48M-2,319.85%-149.31M-1,067.82%-173.89M-3,385.33%-270.74M-13.86%748.81M-15.10%748.74M624.65%6.73M22.43%-14.89M
Net issuance payments of debt -6.37%-285.84M-167.14%-546.62M-100.06%-489K-18,995.01%-137.68M-43,706.58%-139.74M-45,833.68%-268.71M28,096.97%814.15M100,565.15%815.78M22.56%-721K41.25%-319K
Net common stock issuance -85.13%73K-39.51%16.66M-58.37%1.91M-99.50%45K220.37%14.22M-94.89%491K-97.14%27.54M-99.52%4.58M11,181.01%8.91M830.19%4.44M
Cash dividends paid --0-33.72%-69.64M-33.72%-69.64M--0--0--0-0.35%-52.08M-0.35%-52.08M--0--0
Interest paid (cash flow from financing activities) -133.17%-5.88M-117.70%-88.82M-34.42%-26.26M-697.06%-11.68M-154.42%-48.36M-219.37%-2.52M-5.00%-40.8M-2.52%-19.54M-240.70%-1.47M0.64%-19.01M
Net other financing activities --8K------------------------------------
Cash from discontinued financing activities
Financing cash flow -7.72%-291.64M-191.94%-688.42M-112.62%-94.48M-2,319.85%-149.31M-1,067.82%-173.89M-3,385.33%-270.74M-13.86%748.81M-15.10%748.74M624.65%6.73M22.43%-14.89M
Net cash flow
Beginning cash position 5.94%600.46M-50.44%566.81M-92.61%197.14M-85.26%361.62M-80.37%323.22M-50.44%566.81M-8.32%1.14B183.16%2.67B130.55%2.45B27.73%1.65B
Current changes in cash 3.54%-238.84M101.71%10.42M117.38%368.89M-193.65%-157.22M-94.50%46.36M-149.09%-247.61M-419.77%-607.9M-1,172.77%-2.12B228.39%167.88M466.92%842.3M
Effect of exchange rate changes -103.79%-152K-25.16%23.23M59.29%34.44M-115.83%-7.26M77.41%-7.96M426.08%4.01M135.43%31.04M482.38%21.62M442.41%45.88M-855.41%-35.23M
End cash Position 11.83%361.47M5.94%600.46M5.94%600.46M-92.61%197.14M-85.26%361.62M-80.37%323.22M-50.44%566.81M-50.44%566.81M183.16%2.67B130.55%2.45B
Free cash from 132.23%53.73M29.77%693.65M195.09%465.31M-105.64%-7.99M354.30%213.2M-87.71%23.14M231.66%534.51M264.06%157.69M257.69%141.65M-28.31%46.93M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --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.