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Salud financiera de hoja de balance de Yamana Gold
Salud financiera controles de criterios 5/6
Información clave
21.5%
Ratio deuda-patrimonio
US$794.50m
Deuda
Ratio de cobertura de intereses | n/a |
Efectivo | US$366.50m |
Patrimonio | US$3.69b |
Total pasivo | US$2.76b |
Activos totales | US$6.45b |
Actualizaciones recientes sobre salud financiera
Recent updates
Evaluating The Proposed Acquisition Of Yamana By Agnico And Pan American
Jan 07Yamana Gold receives 'superior' buyout bid from Pan American, Agnico Eagle
Nov 04Yamana Gold: On The Verge Of Closing A Premium Deal
Oct 29Yamana Gold Could Hedge Against The Headwinds Of This Economy
Aug 13Yamana Gold: Gold Fields Merger Is Likely To Close
Aug 04Yamana Gold GAAP EPS of $0.07, revenue of $485.6M
Jul 28Yamana: Buy Gold At A Discount
Jun 27Yamana Gold: A Top Stock For A High-Inflation Environment
Apr 27Yamana Gold: A Bright Future
Apr 07Yamana Gold: Still Trading At A Discount To Fair Value
Feb 21Yamana Gold: Solid Production
Jan 27Yamana Gold: Trading At A Sustaining Free Cash Flow Yield North Of 10%
Jan 18Yamana Gold: The Recent Decline Isn't Justified
Nov 02Yamana Gold Is The Definition Of Cheap
Sep 13Yamana Gold: A Senior Producer To Buy On Dips
Aug 13Yamana Gold: A Dirt-Cheap Valuation For This Organic Growth Story
Jul 20Yamana Gold: Oversold And Under Book Value Makes For An Attractive Investment
Jul 12Yamana Gold: Abitibi Land Holdings Increased Ahead Of Wasamac Study
Jun 15Yamana Gold (AUY) Investor Presentation - Slideshow
Apr 30Yamana Gold Q1 2021 Earnings Preview
Apr 27Yamana Gold: An Industry-Leading Organic Growth Profile
Jan 11Yamana Gold: Good Fundamentals, But Gold Price Weakness Hurts
Nov 30Análisis de la situación financiera
Pasivos a corto plazo: AUY's short term assets ($697.0M) exceed its short term liabilities ($485.5M).
Pasivo a largo plazo: AUY's short term assets ($697.0M) do not cover its long term liabilities ($2.3B).
Historial y análisis de deuda-patrimonio
Nivel de deuda: AUY's net debt to equity ratio (11.6%) is considered satisfactory.
Reducción de la deuda: AUY's debt to equity ratio has reduced from 43% to 21.5% over the past 5 years.
Hoja de balance
Análisis de cash runway
En el caso de las empresas que de media han sido deficitarias en el pasado, evaluamos si tienen al menos 1 año de cash runway.
Cash runway estable: Whilst unprofitable AUY has sufficient cash runway for more than 3 years if it maintains its current positive free cash flow level.
Pronóstico de cash runway: AUY is unprofitable but has sufficient cash runway for more than 3 years, due to free cash flow being positive and growing by 37.6% per year.