CA Stock MarketDetailed Quotes

EQX Equinox Gold Corp

Watchlist
  • 8.670
  • -0.100-1.14%
15min DelayMarket Closed May 2 16:00 ET
3.95BMarket Cap8.04P/E (TTM)

Equinox Gold Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-13.77%245.47M
-13.77%245.47M
-60.08%174.64M
-41.49%173.8M
-53.06%196.57M
19.79%284.66M
19.79%284.66M
--437.45M
15.40%297.04M
27.48%418.82M
-Cash and cash equivalents
24.65%239.33M
24.65%239.33M
-52.97%167.78M
-3.99%167.48M
-56.03%125.27M
-4.37%192M
-4.37%192M
--356.74M
9.23%174.44M
88.47%284.91M
-Short term investments
-93.37%6.14M
-93.37%6.14M
-91.49%6.87M
-94.84%6.32M
-46.75%71.31M
151.35%92.67M
151.35%92.67M
--80.71M
25.46%122.6M
-24.50%133.91M
Receivables
-14.91%70.04M
-14.91%70.04M
-14.85%64.51M
0.23%63.13M
-16.26%65.49M
8.15%82.31M
8.15%82.31M
--75.76M
-34.92%62.98M
70.12%78.2M
-Accounts receivable
-60.24%3.94M
-60.24%3.94M
-14.85%64.51M
0.23%63.13M
-16.26%65.49M
21.22%9.92M
21.22%9.92M
--75.76M
-34.92%62.98M
70.12%78.2M
-Taxes receivable
-25.06%47.08M
-25.06%47.08M
----
----
----
26.06%62.83M
26.06%62.83M
----
----
----
-Other receivables
98.71%19.01M
98.71%19.01M
----
----
----
-47.11%9.57M
-47.11%9.57M
----
----
----
Inventory
1.34%417.54M
1.34%417.54M
26.72%440.82M
25.44%418.86M
34.16%414.55M
55.41%412.01M
55.41%412.01M
--347.86M
51.77%333.9M
43.78%308.99M
Prepaid assets
26.70%44.53M
26.70%44.53M
----
----
----
--35.14M
--35.14M
----
----
----
Hedging assets-current
--0
--0
-88.39%2.28M
-95.79%1.38M
-99.74%53K
-51.13%17.7M
-51.13%17.7M
--19.67M
-31.51%32.88M
-78.04%20.68M
Other current assets
204.95%6.53M
204.95%6.53M
47.84%44.92M
32.14%54.13M
9.63%35.8M
-94.65%2.14M
-94.65%2.14M
--30.38M
7.13%40.96M
13.36%32.66M
Total current assets
-5.98%784.11M
-5.98%784.11M
-20.19%727.17M
-7.36%711.3M
-17.09%712.47M
27.30%833.96M
27.30%833.96M
--911.11M
13.72%767.77M
-9.52%859.35M
Non current assets
Net PPE
72.54%5.56B
72.54%5.56B
85.69%5.71B
84.39%5.58B
11.38%3.27B
13.54%3.23B
13.54%3.23B
--3.08B
14.01%3.03B
14.06%2.94B
-Gross PPE
62.69%6.49B
62.69%6.49B
75.32%6.62B
76.10%6.42B
16.49%4.07B
19.16%3.99B
19.16%3.99B
--3.77B
19.57%3.65B
19.80%3.5B
-Accumulated depreciation
-21.01%-921.8M
-21.01%-921.8M
-29.49%-901.2M
-35.64%-841.16M
-43.54%-797.58M
-50.75%-761.76M
-50.75%-761.76M
---695.97M
-56.95%-620.12M
-63.18%-555.66M
Investments and advances
10.44%32.32M
10.44%32.32M
--0
--0
-14.96%28.1M
-80.89%29.26M
-80.89%29.26M
--29.67M
-80.16%29.67M
-73.30%33.04M
-Long term equity investment
--0
--0
--0
--0
-8.61%28.1M
-80.60%29.26M
-80.60%29.26M
--29.67M
-80.16%29.67M
-75.15%30.75M
-Financial asset investment
--32.32M
--32.32M
----
----
----
--0
--0
--0
--0
--2.3M
-Including:Financial assets designated as fair value through profit or loss, Total
----
----
----
----
----
----
----
----
--0
--2.3M
-Including:Available-for-sale securities
--32.32M
--32.32M
----
----
----
----
----
----
----
----
Financial assets
-83.67%81K
-83.67%81K
----
----
----
-5.52%496K
-5.52%496K
--3.96M
--2.4M
--979K
Non current accounts receivable
-35.89%8.59M
-35.89%8.59M
----
----
----
-66.32%13.39M
-66.32%13.39M
--34.41M
--35.24M
--31.53M
Non current note receivables
15.45%29.09M
15.45%29.09M
----
----
----
--25.2M
--25.2M
----
----
----
Non current deferred assets
--2.34M
--2.34M
--2.97M
--1.52M
--1.86M
--0
--0
----
----
----
Other non current assets
31.19%292.36M
31.19%292.36M
67.26%393.32M
96.62%389.82M
68.14%276.24M
33.14%222.85M
33.14%222.85M
--235.15M
-1.98%198.27M
-6.41%164.29M
Total non current assets
68.62%5.93B
68.62%5.93B
80.76%6.11B
81.41%5.97B
12.96%3.58B
9.84%3.52B
9.84%3.52B
--3.38B
9.18%3.29B
9.87%3.17B
Total assets
54.32%6.71B
54.32%6.71B
59.33%6.84B
64.62%6.68B
6.55%4.29B
12.81%4.35B
12.81%4.35B
--4.29B
10.01%4.06B
5.07%4.03B
Liabilities
Current liabilities
Current debt and capital lease obligation
-2.17%135.59M
-2.17%135.59M
98.85%273.77M
0.90%138.01M
--275.63M
--138.6M
--138.6M
--137.68M
412.89%136.77M
----
-Current debt
-2.17%135.59M
-2.17%135.59M
98.85%273.77M
0.90%138.01M
--275.63M
--138.6M
--138.6M
--137.68M
412.89%136.77M
----
Payables
21.21%155.87M
21.21%155.87M
----
----
----
-5.64%128.6M
-5.64%128.6M
----
----
----
-accounts payable
13.91%128.46M
13.91%128.46M
----
----
----
-7.95%112.77M
-7.95%112.77M
----
----
----
-Total tax payable
73.14%27.41M
73.14%27.41M
----
----
----
14.90%15.83M
14.90%15.83M
----
----
----
Current accrued expenses
-4.54%112.57M
-4.54%112.57M
----
----
----
13.91%117.92M
13.91%117.92M
----
----
----
Current deferred liabilities
193.79%116.33M
193.79%116.33M
--133.7M
--106.31M
--65.51M
--39.6M
--39.6M
----
----
----
Other current liabilities
207.45%168.72M
207.45%168.72M
307.62%177.13M
185.03%136.06M
-1.15%46.6M
71.94%54.88M
71.94%54.88M
--43.45M
36.41%47.74M
-67.59%47.14M
Current liabilities
43.68%689.09M
43.68%689.09M
114.44%860.1M
66.02%646.6M
134.42%611.18M
76.50%479.6M
76.50%479.6M
--401.1M
66.90%389.46M
-22.04%260.72M
Non current liabilities
Long term debt and capital lease obligation
57.76%1.27B
57.76%1.27B
24.87%1.21B
86.57%1.34B
-23.51%653.5M
-4.20%806.76M
-4.20%806.76M
--967.93M
18.53%717.36M
67.65%854.32M
-Long term debt
54.16%1.21B
54.16%1.21B
27.43%1.21B
91.67%1.34B
-21.52%653.5M
-5.03%786.38M
-5.03%786.38M
--948.52M
15.38%698.28M
63.41%832.68M
-Long term capital lease obligation
196.95%60.53M
196.95%60.53M
----
----
----
44.79%20.39M
44.79%20.39M
--19.4M
--19.09M
--21.64M
Derivative product liabilities
318.44%46.37M
318.44%46.37M
173.84%41.04M
368.92%63.32M
30.00%13.32M
25.85%11.08M
25.85%11.08M
--14.99M
74.85%13.5M
35.92%10.25M
Long term provisions
6.80%136.57M
6.80%136.57M
25.03%134.13M
13.55%118.72M
19.13%116.36M
33.88%127.87M
33.88%127.87M
--107.28M
12.02%104.56M
0.32%97.68M
Employee benefits
76.33%5.37M
76.33%5.37M
----
----
----
105.95%3.05M
105.95%3.05M
--2.33M
--2.06M
--2.05M
Non current deferred liabilities
142.85%1.07B
142.85%1.07B
196.35%1.18B
188.18%1.17B
5.26%419.57M
61.95%439.24M
61.95%439.24M
--398.11M
28.86%404.94M
31.29%398.59M
Other non current liabilities
146.01%99.18M
146.01%99.18M
574.63%166.71M
461.60%134.26M
280.38%71.98M
192.72%40.31M
192.72%40.31M
--24.71M
-47.14%23.91M
-64.31%18.92M
Total non current liabilities
83.92%2.63B
83.92%2.63B
80.18%2.73B
122.82%2.82B
-7.75%1.27B
15.85%1.43B
15.85%1.43B
--1.52B
18.82%1.27B
42.29%1.38B
Total liabilities
73.80%3.32B
73.80%3.32B
87.35%3.59B
109.46%3.47B
14.82%1.89B
26.80%1.91B
26.80%1.91B
--1.92B
27.46%1.66B
25.81%1.64B
Shareholders'equity
Share capital
34.20%2.8B
34.20%2.8B
28.45%2.65B
28.43%2.65B
4.06%2.14B
2.44%2.09B
2.44%2.09B
--2.06B
1.65%2.06B
1.64%2.06B
-common stock
34.20%2.8B
34.20%2.8B
28.45%2.65B
28.43%2.65B
4.06%2.14B
2.44%2.09B
2.44%2.09B
--2.06B
1.65%2.06B
1.64%2.06B
Retained earnings
76.06%613.66M
76.06%613.66M
49.74%516.1M
50.63%515.79M
-9.28%305.79M
6.83%348.55M
6.83%348.55M
--344.65M
-5.89%342.43M
-21.03%337.07M
Gains losses not affecting retained earnings
-278.83%-14.93M
-278.83%-14.93M
380.97%84.47M
4,013.48%53.39M
-427.70%-38.98M
179.83%8.35M
179.83%8.35M
---30.07M
193.67%1.3M
-109.40%-7.39M
Total stockholders'equity
39.10%3.4B
39.10%3.4B
36.72%3.25B
33.74%3.22B
0.86%2.41B
3.86%2.44B
3.86%2.44B
--2.38B
0.54%2.4B
-5.64%2.39B
Total equity
39.10%3.4B
39.10%3.4B
36.72%3.25B
33.74%3.22B
0.86%2.41B
3.86%2.44B
3.86%2.44B
--2.38B
0.54%2.4B
-5.64%2.39B
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(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(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -13.77%245.47M-13.77%245.47M-60.08%174.64M-41.49%173.8M-53.06%196.57M19.79%284.66M19.79%284.66M--437.45M15.40%297.04M27.48%418.82M
-Cash and cash equivalents 24.65%239.33M24.65%239.33M-52.97%167.78M-3.99%167.48M-56.03%125.27M-4.37%192M-4.37%192M--356.74M9.23%174.44M88.47%284.91M
-Short term investments -93.37%6.14M-93.37%6.14M-91.49%6.87M-94.84%6.32M-46.75%71.31M151.35%92.67M151.35%92.67M--80.71M25.46%122.6M-24.50%133.91M
Receivables -14.91%70.04M-14.91%70.04M-14.85%64.51M0.23%63.13M-16.26%65.49M8.15%82.31M8.15%82.31M--75.76M-34.92%62.98M70.12%78.2M
-Accounts receivable -60.24%3.94M-60.24%3.94M-14.85%64.51M0.23%63.13M-16.26%65.49M21.22%9.92M21.22%9.92M--75.76M-34.92%62.98M70.12%78.2M
-Taxes receivable -25.06%47.08M-25.06%47.08M------------26.06%62.83M26.06%62.83M------------
-Other receivables 98.71%19.01M98.71%19.01M-------------47.11%9.57M-47.11%9.57M------------
Inventory 1.34%417.54M1.34%417.54M26.72%440.82M25.44%418.86M34.16%414.55M55.41%412.01M55.41%412.01M--347.86M51.77%333.9M43.78%308.99M
Prepaid assets 26.70%44.53M26.70%44.53M--------------35.14M--35.14M------------
Hedging assets-current --0--0-88.39%2.28M-95.79%1.38M-99.74%53K-51.13%17.7M-51.13%17.7M--19.67M-31.51%32.88M-78.04%20.68M
Other current assets 204.95%6.53M204.95%6.53M47.84%44.92M32.14%54.13M9.63%35.8M-94.65%2.14M-94.65%2.14M--30.38M7.13%40.96M13.36%32.66M
Total current assets -5.98%784.11M-5.98%784.11M-20.19%727.17M-7.36%711.3M-17.09%712.47M27.30%833.96M27.30%833.96M--911.11M13.72%767.77M-9.52%859.35M
Non current assets
Net PPE 72.54%5.56B72.54%5.56B85.69%5.71B84.39%5.58B11.38%3.27B13.54%3.23B13.54%3.23B--3.08B14.01%3.03B14.06%2.94B
-Gross PPE 62.69%6.49B62.69%6.49B75.32%6.62B76.10%6.42B16.49%4.07B19.16%3.99B19.16%3.99B--3.77B19.57%3.65B19.80%3.5B
-Accumulated depreciation -21.01%-921.8M-21.01%-921.8M-29.49%-901.2M-35.64%-841.16M-43.54%-797.58M-50.75%-761.76M-50.75%-761.76M---695.97M-56.95%-620.12M-63.18%-555.66M
Investments and advances 10.44%32.32M10.44%32.32M--0--0-14.96%28.1M-80.89%29.26M-80.89%29.26M--29.67M-80.16%29.67M-73.30%33.04M
-Long term equity investment --0--0--0--0-8.61%28.1M-80.60%29.26M-80.60%29.26M--29.67M-80.16%29.67M-75.15%30.75M
-Financial asset investment --32.32M--32.32M--------------0--0--0--0--2.3M
-Including:Financial assets designated as fair value through profit or loss, Total ----------------------------------0--2.3M
-Including:Available-for-sale securities --32.32M--32.32M--------------------------------
Financial assets -83.67%81K-83.67%81K-------------5.52%496K-5.52%496K--3.96M--2.4M--979K
Non current accounts receivable -35.89%8.59M-35.89%8.59M-------------66.32%13.39M-66.32%13.39M--34.41M--35.24M--31.53M
Non current note receivables 15.45%29.09M15.45%29.09M--------------25.2M--25.2M------------
Non current deferred assets --2.34M--2.34M--2.97M--1.52M--1.86M--0--0------------
Other non current assets 31.19%292.36M31.19%292.36M67.26%393.32M96.62%389.82M68.14%276.24M33.14%222.85M33.14%222.85M--235.15M-1.98%198.27M-6.41%164.29M
Total non current assets 68.62%5.93B68.62%5.93B80.76%6.11B81.41%5.97B12.96%3.58B9.84%3.52B9.84%3.52B--3.38B9.18%3.29B9.87%3.17B
Total assets 54.32%6.71B54.32%6.71B59.33%6.84B64.62%6.68B6.55%4.29B12.81%4.35B12.81%4.35B--4.29B10.01%4.06B5.07%4.03B
Liabilities
Current liabilities
Current debt and capital lease obligation -2.17%135.59M-2.17%135.59M98.85%273.77M0.90%138.01M--275.63M--138.6M--138.6M--137.68M412.89%136.77M----
-Current debt -2.17%135.59M-2.17%135.59M98.85%273.77M0.90%138.01M--275.63M--138.6M--138.6M--137.68M412.89%136.77M----
Payables 21.21%155.87M21.21%155.87M-------------5.64%128.6M-5.64%128.6M------------
-accounts payable 13.91%128.46M13.91%128.46M-------------7.95%112.77M-7.95%112.77M------------
-Total tax payable 73.14%27.41M73.14%27.41M------------14.90%15.83M14.90%15.83M------------
Current accrued expenses -4.54%112.57M-4.54%112.57M------------13.91%117.92M13.91%117.92M------------
Current deferred liabilities 193.79%116.33M193.79%116.33M--133.7M--106.31M--65.51M--39.6M--39.6M------------
Other current liabilities 207.45%168.72M207.45%168.72M307.62%177.13M185.03%136.06M-1.15%46.6M71.94%54.88M71.94%54.88M--43.45M36.41%47.74M-67.59%47.14M
Current liabilities 43.68%689.09M43.68%689.09M114.44%860.1M66.02%646.6M134.42%611.18M76.50%479.6M76.50%479.6M--401.1M66.90%389.46M-22.04%260.72M
Non current liabilities
Long term debt and capital lease obligation 57.76%1.27B57.76%1.27B24.87%1.21B86.57%1.34B-23.51%653.5M-4.20%806.76M-4.20%806.76M--967.93M18.53%717.36M67.65%854.32M
-Long term debt 54.16%1.21B54.16%1.21B27.43%1.21B91.67%1.34B-21.52%653.5M-5.03%786.38M-5.03%786.38M--948.52M15.38%698.28M63.41%832.68M
-Long term capital lease obligation 196.95%60.53M196.95%60.53M------------44.79%20.39M44.79%20.39M--19.4M--19.09M--21.64M
Derivative product liabilities 318.44%46.37M318.44%46.37M173.84%41.04M368.92%63.32M30.00%13.32M25.85%11.08M25.85%11.08M--14.99M74.85%13.5M35.92%10.25M
Long term provisions 6.80%136.57M6.80%136.57M25.03%134.13M13.55%118.72M19.13%116.36M33.88%127.87M33.88%127.87M--107.28M12.02%104.56M0.32%97.68M
Employee benefits 76.33%5.37M76.33%5.37M------------105.95%3.05M105.95%3.05M--2.33M--2.06M--2.05M
Non current deferred liabilities 142.85%1.07B142.85%1.07B196.35%1.18B188.18%1.17B5.26%419.57M61.95%439.24M61.95%439.24M--398.11M28.86%404.94M31.29%398.59M
Other non current liabilities 146.01%99.18M146.01%99.18M574.63%166.71M461.60%134.26M280.38%71.98M192.72%40.31M192.72%40.31M--24.71M-47.14%23.91M-64.31%18.92M
Total non current liabilities 83.92%2.63B83.92%2.63B80.18%2.73B122.82%2.82B-7.75%1.27B15.85%1.43B15.85%1.43B--1.52B18.82%1.27B42.29%1.38B
Total liabilities 73.80%3.32B73.80%3.32B87.35%3.59B109.46%3.47B14.82%1.89B26.80%1.91B26.80%1.91B--1.92B27.46%1.66B25.81%1.64B
Shareholders'equity
Share capital 34.20%2.8B34.20%2.8B28.45%2.65B28.43%2.65B4.06%2.14B2.44%2.09B2.44%2.09B--2.06B1.65%2.06B1.64%2.06B
-common stock 34.20%2.8B34.20%2.8B28.45%2.65B28.43%2.65B4.06%2.14B2.44%2.09B2.44%2.09B--2.06B1.65%2.06B1.64%2.06B
Retained earnings 76.06%613.66M76.06%613.66M49.74%516.1M50.63%515.79M-9.28%305.79M6.83%348.55M6.83%348.55M--344.65M-5.89%342.43M-21.03%337.07M
Gains losses not affecting retained earnings -278.83%-14.93M-278.83%-14.93M380.97%84.47M4,013.48%53.39M-427.70%-38.98M179.83%8.35M179.83%8.35M---30.07M193.67%1.3M-109.40%-7.39M
Total stockholders'equity 39.10%3.4B39.10%3.4B36.72%3.25B33.74%3.22B0.86%2.41B3.86%2.44B3.86%2.44B--2.38B0.54%2.4B-5.64%2.39B
Total equity 39.10%3.4B39.10%3.4B36.72%3.25B33.74%3.22B0.86%2.41B3.86%2.44B3.86%2.44B--2.38B0.54%2.4B-5.64%2.39B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------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.

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