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EDV Endeavour Mining PLC

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  • 27.570
  • -0.430-1.54%
15min DelayMarket Closed Sep 6 16:00 ET
6.73BMarket Cap-26182P/E (TTM)

Endeavour Mining PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
12.72%286.2M
-43.11%125.5M
-8.15%971.4M
2.93%309.1M
28.01%255M
-8.80%253.9M
-33.99%220.6M
-23.11%1.06B
-22.96%300.3M
-44.67%199.2M
Net profit before non-cash adjustment
-74.90%39M
-53.09%24.3M
-50.01%253.5M
-253.45%-82.4M
-19.26%128.7M
-41.62%155.4M
2.17%51.8M
13.22%507.1M
160.75%53.7M
-9.99%159.4M
Total adjustment of non-cash items
79.41%202.2M
-6.85%183.5M
35.58%844.8M
131.68%471M
63.35%131.5M
636.60%112.7M
-44.30%197M
-32.86%623.1M
-55.86%203.3M
-57.83%80.5M
-Depreciation and amortization
28.44%127.8M
6.67%108.7M
-15.15%542.3M
-24.42%226.5M
-2.80%114.4M
-7.61%99.5M
-32.96%101.9M
-1.48%639.1M
24.82%299.7M
-19.99%117.7M
-Reversal of impairment losses recognized in profit and loss
--0
----
4,278.57%122.6M
3,750.00%107.8M
--0
--14.8M
----
-98.87%2.8M
--2.8M
--0
-Disposal profit
181.79%22.9M
-118.59%-3.7M
1,651.72%50.8M
-25.19%59.4M
74.51%-23.3M
80.66%-28M
-87.54%19.9M
104.63%2.9M
242.55%79.4M
-568.72%-91.4M
-Net exchange gains and losses
1,950.00%8.2M
128.57%11.2M
-64.29%13.5M
181.69%34.8M
-43.86%16M
-98.83%400K
-74.87%4.9M
20.00%37.8M
---42.6M
--28.5M
-Remuneration paid in stock
-40.24%4.9M
-54.76%3.8M
-12.50%28.7M
-61.80%6.8M
26.19%5.3M
164.52%8.2M
9.09%8.4M
0.92%32.8M
140.54%17.8M
-42.47%4.2M
-Other non-cash items
115.73%38.4M
2.58%63.5M
194.15%86.9M
123.21%35.7M
-11.16%19.1M
17.11%17.8M
318.24%61.9M
-404.62%-92.3M
-1,378.85%-153.8M
26.47%21.5M
Changes in working capital
416.90%45M
-191.84%-82.3M
-74.79%-126.9M
-283.60%-79.5M
87.22%-5.2M
-358.06%-14.2M
59.83%-28.2M
-14,420.00%-72.6M
146.02%43.3M
-408.75%-40.7M
-Change in receivables
1,236.36%29.4M
-5.95%-17.8M
-2,072.97%-80.4M
-461.36%-63.6M
50.00%-2.2M
151.16%2.2M
-41.18%-16.8M
13.95%-3.7M
1,366.67%17.6M
-33.33%-4.4M
-Change in inventory
-47.85%-30.9M
-268.67%-30.6M
20.46%-37.7M
17.30%-15.3M
61.90%6.8M
-2,512.50%-20.9M
76.01%-8.3M
-174.41%-47.4M
-117.65%-18.5M
-83.59%4.2M
-Change in prepaid assets
-315.66%-17.9M
117.39%800K
37.50%-2.5M
-40.00%2.4M
-11.69%-8.6M
186.21%8.3M
42.50%-4.6M
-195.24%-4M
-66.10%4M
-92.50%-7.7M
-Change in payables
1,794.74%64.4M
-2,413.33%-34.7M
64.00%-6.3M
-107.46%-3M
96.34%-1.2M
-322.22%-3.8M
109.55%1.5M
72.70%-17.5M
206.87%40.2M
-24.71%-32.8M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-57.63%-163.3M
-110.25%-51.3M
-115.35%-340.9M
-467.20%-70.9M
-96.95%-142M
-86.67%-103.6M
14.98%-24.4M
29.86%-158.3M
70.17%-12.5M
-29.91%-72.1M
Other operating cash inflow (outflow)
1,334.44%129.1M
-303.19%-19.1M
-86.42%16M
-117.83%-4.1M
-92.49%1.9M
-68.86%9M
393.75%9.4M
1,684.85%117.8M
1,310.53%23M
241.89%25.3M
Operating cash flow
58.19%252M
-73.20%55.1M
-36.44%646.5M
-24.68%234.1M
-24.61%114.9M
-36.74%159.3M
-31.99%205.6M
-12.04%1.02B
-10.17%310.8M
-51.14%152.4M
Investing cash flow
Net PPE purchase and sale
8.98%-167.3M
1.27%-179M
-78.97%-762.6M
-31.12%-197.6M
-96.56%-199.9M
-67.09%-183.8M
-112.79%-181.3M
17.60%-426.1M
-15.48%-150.7M
23.07%-101.7M
Net business purchase and sale
--0
----
650.00%16.5M
-53.73%3.1M
--17M
---3.6M
----
-90.13%2.2M
--6.7M
--0
Net investment product transactions
--3.2M
--4.8M
-193.46%-10M
---1M
-184.11%-9M
--0
--0
--10.7M
--0
--10.7M
Advance cash and loans provided to other parties
----
----
---5.8M
----
----
----
----
--0
----
----
Net changes in other investments
72.96%-7.3M
30.00%-13.3M
45.56%-58.9M
65.60%-9.7M
83.84%-3.2M
21.97%-27M
-363.41%-19M
-540.24%-108.2M
-1,466.67%-28.2M
-330.43%-19.8M
Investing cash flow
20.06%-171.4M
6.39%-187.5M
-57.42%-820.8M
-22.53%-211M
-76.08%-195.1M
-48.27%-214.4M
-113.54%-200.3M
-1.90%-521.4M
-30.16%-172.2M
19.01%-110.8M
Financing cash flow
Net issuance payments of debt
-144.65%-69.2M
631.00%219.3M
--242.2M
--2.1M
210.20%55.1M
--155M
-40.00%30M
--0
--0
37.50%-50M
Net common stock issuance
80.59%-8.5M
1.73%-17M
-0.49%-102.5M
24.92%-24.7M
52.69%-16.7M
-726.42%-43.8M
39.30%-17.3M
-236.18%-102M
-6.13%-32.9M
-2.02%-35.3M
Increase or decrease of lease financing
-3.77%-5.5M
-35.71%-5.7M
-49.64%-20.5M
-70.73%-7M
-53.85%-4M
-32.50%-5.3M
2.33%-4.2M
54.18%-13.7M
44.59%-4.1M
44.68%-2.6M
Issuance fees
----
----
-50.44%-68.6M
----
----
----
----
10.59%-45.6M
----
----
Cash dividends paid
----
1.38%-100M
-20.29%-200.4M
--0
-1.75%-99M
----
-46.32%-101.4M
-28.25%-166.6M
--0
-39.40%-97.3M
Cash dividends for minorities
---36.8M
26.87%-4.9M
-37.32%-74.7M
---12.7M
-1.65%-55.3M
--0
---6.7M
-81.94%-54.4M
--0
-81.33%-54.4M
Net other fund-raising expenses
-28.45%-29.8M
92.87%-4M
-2,468.18%-52.1M
9.62%31.9M
67.59%-4.7M
-52.63%-23.2M
-1,468.29%-56.1M
102.27%2.2M
-13.13%29.1M
-5.07%-14.5M
Financing cash flow
-281.14%-149.8M
156.33%87.7M
27.23%-276.6M
-47.66%-79M
50.96%-124.6M
437.55%82.7M
-224.38%-155.7M
9.78%-380.1M
12.72%-53.5M
-9.10%-254.1M
Net cash flow
Beginning cash position
-43.07%461M
-45.62%517.2M
4.95%951.1M
-24.91%625.1M
-23.00%844.5M
-22.64%809.7M
4.95%951.1M
26.79%906.2M
9.48%832.5M
31.68%1.1B
Current changes in cash
-350.72%-69.2M
70.28%-44.7M
-490.05%-450.9M
-165.69%-55.9M
3.62%-204.8M
-66.63%27.6M
-193.71%-150.4M
-48.23%115.6M
-44.16%85.1M
-267.65%-212.5M
Effect of exchange rate changes
-168.06%-4.9M
-227.78%-11.5M
124.05%17M
-54.03%15.4M
71.76%-14.6M
122.15%7.2M
145.00%9M
-122.33%-70.7M
607.58%33.5M
-251.70%-51.7M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
----
---100K
End cash Position
-54.19%386.9M
-43.07%461M
-45.62%517.2M
-45.62%517.2M
-24.91%625.1M
-23.00%844.5M
-22.64%809.7M
4.95%951.1M
4.95%951.1M
9.48%832.5M
Free cash flow
445.71%84.7M
-609.88%-123.9M
-119.64%-116.1M
-77.20%36.5M
-267.65%-85M
-117.28%-24.5M
-88.81%24.3M
-7.54%591M
-25.71%160.1M
-71.79%50.7M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 12.72%286.2M-43.11%125.5M-8.15%971.4M2.93%309.1M28.01%255M-8.80%253.9M-33.99%220.6M-23.11%1.06B-22.96%300.3M-44.67%199.2M
Net profit before non-cash adjustment -74.90%39M-53.09%24.3M-50.01%253.5M-253.45%-82.4M-19.26%128.7M-41.62%155.4M2.17%51.8M13.22%507.1M160.75%53.7M-9.99%159.4M
Total adjustment of non-cash items 79.41%202.2M-6.85%183.5M35.58%844.8M131.68%471M63.35%131.5M636.60%112.7M-44.30%197M-32.86%623.1M-55.86%203.3M-57.83%80.5M
-Depreciation and amortization 28.44%127.8M6.67%108.7M-15.15%542.3M-24.42%226.5M-2.80%114.4M-7.61%99.5M-32.96%101.9M-1.48%639.1M24.82%299.7M-19.99%117.7M
-Reversal of impairment losses recognized in profit and loss --0----4,278.57%122.6M3,750.00%107.8M--0--14.8M-----98.87%2.8M--2.8M--0
-Disposal profit 181.79%22.9M-118.59%-3.7M1,651.72%50.8M-25.19%59.4M74.51%-23.3M80.66%-28M-87.54%19.9M104.63%2.9M242.55%79.4M-568.72%-91.4M
-Net exchange gains and losses 1,950.00%8.2M128.57%11.2M-64.29%13.5M181.69%34.8M-43.86%16M-98.83%400K-74.87%4.9M20.00%37.8M---42.6M--28.5M
-Remuneration paid in stock -40.24%4.9M-54.76%3.8M-12.50%28.7M-61.80%6.8M26.19%5.3M164.52%8.2M9.09%8.4M0.92%32.8M140.54%17.8M-42.47%4.2M
-Other non-cash items 115.73%38.4M2.58%63.5M194.15%86.9M123.21%35.7M-11.16%19.1M17.11%17.8M318.24%61.9M-404.62%-92.3M-1,378.85%-153.8M26.47%21.5M
Changes in working capital 416.90%45M-191.84%-82.3M-74.79%-126.9M-283.60%-79.5M87.22%-5.2M-358.06%-14.2M59.83%-28.2M-14,420.00%-72.6M146.02%43.3M-408.75%-40.7M
-Change in receivables 1,236.36%29.4M-5.95%-17.8M-2,072.97%-80.4M-461.36%-63.6M50.00%-2.2M151.16%2.2M-41.18%-16.8M13.95%-3.7M1,366.67%17.6M-33.33%-4.4M
-Change in inventory -47.85%-30.9M-268.67%-30.6M20.46%-37.7M17.30%-15.3M61.90%6.8M-2,512.50%-20.9M76.01%-8.3M-174.41%-47.4M-117.65%-18.5M-83.59%4.2M
-Change in prepaid assets -315.66%-17.9M117.39%800K37.50%-2.5M-40.00%2.4M-11.69%-8.6M186.21%8.3M42.50%-4.6M-195.24%-4M-66.10%4M-92.50%-7.7M
-Change in payables 1,794.74%64.4M-2,413.33%-34.7M64.00%-6.3M-107.46%-3M96.34%-1.2M-322.22%-3.8M109.55%1.5M72.70%-17.5M206.87%40.2M-24.71%-32.8M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -57.63%-163.3M-110.25%-51.3M-115.35%-340.9M-467.20%-70.9M-96.95%-142M-86.67%-103.6M14.98%-24.4M29.86%-158.3M70.17%-12.5M-29.91%-72.1M
Other operating cash inflow (outflow) 1,334.44%129.1M-303.19%-19.1M-86.42%16M-117.83%-4.1M-92.49%1.9M-68.86%9M393.75%9.4M1,684.85%117.8M1,310.53%23M241.89%25.3M
Operating cash flow 58.19%252M-73.20%55.1M-36.44%646.5M-24.68%234.1M-24.61%114.9M-36.74%159.3M-31.99%205.6M-12.04%1.02B-10.17%310.8M-51.14%152.4M
Investing cash flow
Net PPE purchase and sale 8.98%-167.3M1.27%-179M-78.97%-762.6M-31.12%-197.6M-96.56%-199.9M-67.09%-183.8M-112.79%-181.3M17.60%-426.1M-15.48%-150.7M23.07%-101.7M
Net business purchase and sale --0----650.00%16.5M-53.73%3.1M--17M---3.6M-----90.13%2.2M--6.7M--0
Net investment product transactions --3.2M--4.8M-193.46%-10M---1M-184.11%-9M--0--0--10.7M--0--10.7M
Advance cash and loans provided to other parties -----------5.8M------------------0--------
Net changes in other investments 72.96%-7.3M30.00%-13.3M45.56%-58.9M65.60%-9.7M83.84%-3.2M21.97%-27M-363.41%-19M-540.24%-108.2M-1,466.67%-28.2M-330.43%-19.8M
Investing cash flow 20.06%-171.4M6.39%-187.5M-57.42%-820.8M-22.53%-211M-76.08%-195.1M-48.27%-214.4M-113.54%-200.3M-1.90%-521.4M-30.16%-172.2M19.01%-110.8M
Financing cash flow
Net issuance payments of debt -144.65%-69.2M631.00%219.3M--242.2M--2.1M210.20%55.1M--155M-40.00%30M--0--037.50%-50M
Net common stock issuance 80.59%-8.5M1.73%-17M-0.49%-102.5M24.92%-24.7M52.69%-16.7M-726.42%-43.8M39.30%-17.3M-236.18%-102M-6.13%-32.9M-2.02%-35.3M
Increase or decrease of lease financing -3.77%-5.5M-35.71%-5.7M-49.64%-20.5M-70.73%-7M-53.85%-4M-32.50%-5.3M2.33%-4.2M54.18%-13.7M44.59%-4.1M44.68%-2.6M
Issuance fees ---------50.44%-68.6M----------------10.59%-45.6M--------
Cash dividends paid ----1.38%-100M-20.29%-200.4M--0-1.75%-99M-----46.32%-101.4M-28.25%-166.6M--0-39.40%-97.3M
Cash dividends for minorities ---36.8M26.87%-4.9M-37.32%-74.7M---12.7M-1.65%-55.3M--0---6.7M-81.94%-54.4M--0-81.33%-54.4M
Net other fund-raising expenses -28.45%-29.8M92.87%-4M-2,468.18%-52.1M9.62%31.9M67.59%-4.7M-52.63%-23.2M-1,468.29%-56.1M102.27%2.2M-13.13%29.1M-5.07%-14.5M
Financing cash flow -281.14%-149.8M156.33%87.7M27.23%-276.6M-47.66%-79M50.96%-124.6M437.55%82.7M-224.38%-155.7M9.78%-380.1M12.72%-53.5M-9.10%-254.1M
Net cash flow
Beginning cash position -43.07%461M-45.62%517.2M4.95%951.1M-24.91%625.1M-23.00%844.5M-22.64%809.7M4.95%951.1M26.79%906.2M9.48%832.5M31.68%1.1B
Current changes in cash -350.72%-69.2M70.28%-44.7M-490.05%-450.9M-165.69%-55.9M3.62%-204.8M-66.63%27.6M-193.71%-150.4M-48.23%115.6M-44.16%85.1M-267.65%-212.5M
Effect of exchange rate changes -168.06%-4.9M-227.78%-11.5M124.05%17M-54.03%15.4M71.76%-14.6M122.15%7.2M145.00%9M-122.33%-70.7M607.58%33.5M-251.70%-51.7M
Cash adjustments other than cash changes ---------------------------------------100K
End cash Position -54.19%386.9M-43.07%461M-45.62%517.2M-45.62%517.2M-24.91%625.1M-23.00%844.5M-22.64%809.7M4.95%951.1M4.95%951.1M9.48%832.5M
Free cash flow 445.71%84.7M-609.88%-123.9M-119.64%-116.1M-77.20%36.5M-267.65%-85M-117.28%-24.5M-88.81%24.3M-7.54%591M-25.71%160.1M-71.79%50.7M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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