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AG First Majestic Silver Corp

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  • 8.050
  • +0.140+1.77%
15min DelayMarket Closed Dec 24 13:00 ET
2.43BMarket Cap-22.87P/E (TTM)

First Majestic Silver Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
105.40%41.04M
-17.35%16.84M
366.25%12.43M
192.89%55.61M
235.01%19.93M
-69.72%19.98M
253.77%20.38M
75.40%-4.67M
-72.37%18.99M
-116.43%-14.76M
Net income from continuing operations
2.05%-26.59M
-175.19%-48.25M
86.53%-13.56M
-18.23%-135.11M
160.83%10.23M
-31.21%-27.15M
79.14%-17.53M
-1,481.74%-100.66M
-2,221.27%-114.28M
-323.55%-16.82M
Operating gains losses
----
----
----
170.31%3.02M
--0
--2.22M
---575K
--1.38M
---4.3M
----
Depreciation and amortization
13.71%32.25M
-3.02%31.98M
-24.71%26.21M
-8.18%126.17M
-15.94%30.01M
-21.49%28.36M
-4.76%32.98M
12.48%34.82M
16.17%137.41M
-18.25%35.7M
Asset impairment expenditure
--0
--0
--0
5,095.44%132.43M
--0
--0
195.31%7.23M
--125.2M
-206.00%-2.65M
97.28%4.93M
Unrealized gains and losses of investment securities
364.57%1.18M
-17.98%-1.46M
150.25%1.11M
-162.21%-2.64M
-81.98%564K
67.11%254K
-137.54%-1.24M
5.34%-2.22M
178.90%4.24M
--3.13M
Remuneration paid in stock
-2.97%2.71M
-7.65%3.16M
-8.28%3.9M
-7.77%12.87M
-15.50%2.4M
-15.49%2.79M
14.67%3.42M
-11.80%4.25M
13.57%13.96M
-0.49%2.85M
Deferred tax
587.38%24.41M
710.52%30.51M
71.45%-13.12M
-215.00%-60.8M
8.53%-13.39M
561.27%3.55M
-106.35%-5M
-291.70%-45.96M
75.23%52.87M
-161.27%-14.64M
Other non cashItems
41.46%5.8M
2.92%7.83M
59.97%8.07M
4.89%23.25M
155.20%6.5M
-50.38%4.1M
51.65%7.61M
-20.44%5.04M
31.08%22.17M
167.54%2.55M
Change In working capital
-62.76%2.97M
236.60%3.47M
132.48%3.39M
31.68%-18.92M
47.40%-13.9M
-81.47%7.97M
85.44%-2.54M
61.08%-10.45M
12.12%-27.69M
-217.53%-26.43M
-Change in receivables
-784.59%-5.97M
-83.59%1.23M
267.02%2.36M
-1,174.94%-9.27M
-110.29%-14.67M
-32.09%-675K
91.63%7.49M
-131.75%-1.41M
-86.64%862K
-186.95%-6.98M
-Change in inventory
100.45%11K
-105.04%-534K
49.51%-2.84M
85.35%-505K
-130.81%-3.02M
-235.83%-2.46M
772.53%10.6M
-136.47%-5.62M
61.51%-3.45M
-119.63%-1.31M
-Change in prepaid assets
-13.62%-734K
18.39%1.09M
74.29%-1.11M
-881.96%-3.1M
-80.32%946K
-153.13%-646K
143.74%919K
-2.01%-4.32M
65.01%-316K
2,339.59%4.81M
-Change in payables and accrued expense
73.99%-3.98M
-22.63%-8.04M
-1.87%6.65M
79.16%-5.66M
790.27%9.43M
-26,956.14%-15.31M
67.19%-6.56M
181.66%6.78M
-236.47%-27.17M
-95.67%1.06M
-Change in other working capital
-49.58%13.64M
164.90%9.73M
71.66%-1.66M
-115.91%-380K
72.58%-6.58M
-33.07%27.06M
-742.43%-14.99M
64.14%-5.87M
104.98%2.39M
-42.47%-24.01M
Tax refund paid
20.47%-1.69M
-161.66%-10.39M
77.79%-3.57M
60.69%-24.66M
-44.13%-2.49M
55.02%-2.12M
86.22%-3.97M
41.47%-16.08M
18.01%-62.75M
61.59%-1.73M
Cash from discontinued investing activities
Operating cash flow
105.40%41.04M
-17.35%16.84M
366.25%12.43M
192.89%55.61M
235.01%19.93M
-69.72%19.98M
253.77%20.38M
75.40%-4.67M
-72.37%18.99M
-116.43%-14.76M
Investing cash flow
Cash flow from continuing investing activities
-0.24%-32.72M
22.96%-28.93M
46.17%-28.15M
27.97%-154M
40.46%-31.51M
39.60%-32.64M
44.00%-37.55M
-31.47%-52.3M
-18.28%-213.8M
11.40%-52.93M
Capital expenditure reported
-18.03%-27.84M
26.60%-22.81M
46.37%-21.98M
27.84%-113.99M
53.67%-18.36M
36.25%-23.58M
37.00%-31.07M
-27.94%-40.98M
-19.31%-157.98M
-14.25%-39.63M
Net PPE purchase and sale
47.95%-5.19M
34.92%-4.15M
-0.92%-8.55M
46.42%-31.99M
54.50%-7.17M
48.88%-9.97M
64.87%-6.38M
-34.56%-8.47M
-5.56%-59.71M
30.98%-15.77M
Net business purchase and sale
----
----
----
---5.4M
----
----
----
----
--0
----
Net other investing changes
-66.48%304K
-1,909.18%-1.97M
183.36%2.37M
-167.40%-2.62M
-123.38%-578K
-62.95%907K
-123.44%-98K
-95.74%-2.85M
-57.62%3.88M
213.14%2.47M
Cash from discontinued investing activities
Investing cash flow
-0.24%-32.72M
22.96%-28.93M
46.17%-28.15M
27.97%-154M
40.46%-31.51M
39.60%-32.64M
44.00%-37.55M
-31.47%-52.3M
-18.28%-213.8M
11.40%-52.93M
Financing cash flow
Cash flow from continuing financing activities
30.51%-5.74M
-10.40%63.89M
-191.08%-7.68M
-43.23%64.65M
-110.17%-6.82M
-135.50%-8.27M
525.37%71.3M
-30.63%8.43M
1.85%113.89M
357.26%67.05M
Net issuance payments of debt
-500.34%-24.64M
-13.62%-4.01M
-13.69%-3.9M
-333.32%-15.24M
68.81%-4.18M
-115.83%-4.1M
-18.57%-3.53M
-13.44%-3.43M
-79.36%6.53M
-269.33%-13.39M
Net common stock issuance
13,171.84%22.75M
-8.63%71.15M
--0
-18.31%92.09M
--0
82.06%-174K
349.07%77.87M
8.71%14.39M
69.18%112.73M
--83.12M
Cash dividends paid
5.32%-1.39M
32.71%-1.08M
6.82%-1.38M
14.55%-5.87M
19.44%-1.32M
8.20%-1.47M
55.83%-1.61M
---1.48M
-74.73%-6.87M
-29.53%-1.64M
Proceeds from stock option exercised by employees
-98.37%5K
-96.65%31K
--0
-54.25%2.13M
442.59%586K
-75.77%306K
-16.61%924K
-85.45%318K
-78.60%4.66M
-98.67%108K
Interest paid (cash flow from financing activities)
12.73%-2.47M
6.60%-2.21M
-74.96%-2.4M
-167.06%-8.47M
-65.97%-1.91M
-111.76%-2.83M
-441.97%-2.36M
-445.24%-1.37M
26.68%-3.17M
-777.10%-1.15M
Cash from discontinued financing activities
Financing cash flow
30.51%-5.74M
-10.40%63.89M
-191.08%-7.68M
-43.23%64.65M
-110.17%-6.82M
-135.50%-8.27M
525.37%71.3M
-30.63%8.43M
1.85%113.89M
357.26%67.05M
Net cash flow
Beginning cash position
-5.03%152.17M
-2.58%102.07M
-17.07%125.58M
-36.35%151.44M
-7.04%138.34M
36.12%160.24M
-45.66%104.78M
-36.35%151.44M
-0.27%237.93M
-22.82%148.82M
Current changes in cash
112.30%2.58M
-4.30%51.81M
51.80%-23.4M
58.31%-33.74M
-2,812.18%-18.41M
-159.42%-20.93M
178.57%54.13M
-4.13%-48.54M
-37,892.02%-80.92M
-101.41%-632K
Effect of exchange rate changes
98.16%-18K
-228.28%-1.7M
-106.19%-116K
868.79%2.66M
-86.50%432K
72.30%-976K
187.93%1.33M
26.04%1.87M
21.18%-346K
744.59%3.2M
Cash adjustments other than cash changes
----
----
----
200.00%5.22M
----
----
----
----
---5.22M
--50K
End cash Position
11.85%154.73M
-5.03%152.17M
-2.58%102.07M
-17.07%125.58M
-17.07%125.58M
-7.04%138.34M
36.11%160.24M
-45.66%104.77M
-36.35%151.44M
-36.35%151.44M
Free cash from
159.06%8.01M
40.75%-10.11M
66.57%-18.09M
54.52%-90.37M
92.00%-5.61M
-242.96%-13.57M
78.86%-17.07M
5.56%-54.12M
-65.24%-198.69M
-317.33%-70.16M
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
--
(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 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 105.40%41.04M -17.35%16.84M 366.25%12.43M 192.89%55.61M 235.01%19.93M -69.72%19.98M 253.77%20.38M 75.40%-4.67M -72.37%18.99M -116.43%-14.76M
Net income from continuing operations 2.05%-26.59M -175.19%-48.25M 86.53%-13.56M -18.23%-135.11M 160.83%10.23M -31.21%-27.15M 79.14%-17.53M -1,481.74%-100.66M -2,221.27%-114.28M -323.55%-16.82M
Operating gains losses ---- ---- ---- 170.31%3.02M --0 --2.22M ---575K --1.38M ---4.3M ----
Depreciation and amortization 13.71%32.25M -3.02%31.98M -24.71%26.21M -8.18%126.17M -15.94%30.01M -21.49%28.36M -4.76%32.98M 12.48%34.82M 16.17%137.41M -18.25%35.7M
Asset impairment expenditure --0 --0 --0 5,095.44%132.43M --0 --0 195.31%7.23M --125.2M -206.00%-2.65M 97.28%4.93M
Unrealized gains and losses of investment securities 364.57%1.18M -17.98%-1.46M 150.25%1.11M -162.21%-2.64M -81.98%564K 67.11%254K -137.54%-1.24M 5.34%-2.22M 178.90%4.24M --3.13M
Remuneration paid in stock -2.97%2.71M -7.65%3.16M -8.28%3.9M -7.77%12.87M -15.50%2.4M -15.49%2.79M 14.67%3.42M -11.80%4.25M 13.57%13.96M -0.49%2.85M
Deferred tax 587.38%24.41M 710.52%30.51M 71.45%-13.12M -215.00%-60.8M 8.53%-13.39M 561.27%3.55M -106.35%-5M -291.70%-45.96M 75.23%52.87M -161.27%-14.64M
Other non cashItems 41.46%5.8M 2.92%7.83M 59.97%8.07M 4.89%23.25M 155.20%6.5M -50.38%4.1M 51.65%7.61M -20.44%5.04M 31.08%22.17M 167.54%2.55M
Change In working capital -62.76%2.97M 236.60%3.47M 132.48%3.39M 31.68%-18.92M 47.40%-13.9M -81.47%7.97M 85.44%-2.54M 61.08%-10.45M 12.12%-27.69M -217.53%-26.43M
-Change in receivables -784.59%-5.97M -83.59%1.23M 267.02%2.36M -1,174.94%-9.27M -110.29%-14.67M -32.09%-675K 91.63%7.49M -131.75%-1.41M -86.64%862K -186.95%-6.98M
-Change in inventory 100.45%11K -105.04%-534K 49.51%-2.84M 85.35%-505K -130.81%-3.02M -235.83%-2.46M 772.53%10.6M -136.47%-5.62M 61.51%-3.45M -119.63%-1.31M
-Change in prepaid assets -13.62%-734K 18.39%1.09M 74.29%-1.11M -881.96%-3.1M -80.32%946K -153.13%-646K 143.74%919K -2.01%-4.32M 65.01%-316K 2,339.59%4.81M
-Change in payables and accrued expense 73.99%-3.98M -22.63%-8.04M -1.87%6.65M 79.16%-5.66M 790.27%9.43M -26,956.14%-15.31M 67.19%-6.56M 181.66%6.78M -236.47%-27.17M -95.67%1.06M
-Change in other working capital -49.58%13.64M 164.90%9.73M 71.66%-1.66M -115.91%-380K 72.58%-6.58M -33.07%27.06M -742.43%-14.99M 64.14%-5.87M 104.98%2.39M -42.47%-24.01M
Tax refund paid 20.47%-1.69M -161.66%-10.39M 77.79%-3.57M 60.69%-24.66M -44.13%-2.49M 55.02%-2.12M 86.22%-3.97M 41.47%-16.08M 18.01%-62.75M 61.59%-1.73M
Cash from discontinued investing activities
Operating cash flow 105.40%41.04M -17.35%16.84M 366.25%12.43M 192.89%55.61M 235.01%19.93M -69.72%19.98M 253.77%20.38M 75.40%-4.67M -72.37%18.99M -116.43%-14.76M
Investing cash flow
Cash flow from continuing investing activities -0.24%-32.72M 22.96%-28.93M 46.17%-28.15M 27.97%-154M 40.46%-31.51M 39.60%-32.64M 44.00%-37.55M -31.47%-52.3M -18.28%-213.8M 11.40%-52.93M
Capital expenditure reported -18.03%-27.84M 26.60%-22.81M 46.37%-21.98M 27.84%-113.99M 53.67%-18.36M 36.25%-23.58M 37.00%-31.07M -27.94%-40.98M -19.31%-157.98M -14.25%-39.63M
Net PPE purchase and sale 47.95%-5.19M 34.92%-4.15M -0.92%-8.55M 46.42%-31.99M 54.50%-7.17M 48.88%-9.97M 64.87%-6.38M -34.56%-8.47M -5.56%-59.71M 30.98%-15.77M
Net business purchase and sale ---- ---- ---- ---5.4M ---- ---- ---- ---- --0 ----
Net other investing changes -66.48%304K -1,909.18%-1.97M 183.36%2.37M -167.40%-2.62M -123.38%-578K -62.95%907K -123.44%-98K -95.74%-2.85M -57.62%3.88M 213.14%2.47M
Cash from discontinued investing activities
Investing cash flow -0.24%-32.72M 22.96%-28.93M 46.17%-28.15M 27.97%-154M 40.46%-31.51M 39.60%-32.64M 44.00%-37.55M -31.47%-52.3M -18.28%-213.8M 11.40%-52.93M
Financing cash flow
Cash flow from continuing financing activities 30.51%-5.74M -10.40%63.89M -191.08%-7.68M -43.23%64.65M -110.17%-6.82M -135.50%-8.27M 525.37%71.3M -30.63%8.43M 1.85%113.89M 357.26%67.05M
Net issuance payments of debt -500.34%-24.64M -13.62%-4.01M -13.69%-3.9M -333.32%-15.24M 68.81%-4.18M -115.83%-4.1M -18.57%-3.53M -13.44%-3.43M -79.36%6.53M -269.33%-13.39M
Net common stock issuance 13,171.84%22.75M -8.63%71.15M --0 -18.31%92.09M --0 82.06%-174K 349.07%77.87M 8.71%14.39M 69.18%112.73M --83.12M
Cash dividends paid 5.32%-1.39M 32.71%-1.08M 6.82%-1.38M 14.55%-5.87M 19.44%-1.32M 8.20%-1.47M 55.83%-1.61M ---1.48M -74.73%-6.87M -29.53%-1.64M
Proceeds from stock option exercised by employees -98.37%5K -96.65%31K --0 -54.25%2.13M 442.59%586K -75.77%306K -16.61%924K -85.45%318K -78.60%4.66M -98.67%108K
Interest paid (cash flow from financing activities) 12.73%-2.47M 6.60%-2.21M -74.96%-2.4M -167.06%-8.47M -65.97%-1.91M -111.76%-2.83M -441.97%-2.36M -445.24%-1.37M 26.68%-3.17M -777.10%-1.15M
Cash from discontinued financing activities
Financing cash flow 30.51%-5.74M -10.40%63.89M -191.08%-7.68M -43.23%64.65M -110.17%-6.82M -135.50%-8.27M 525.37%71.3M -30.63%8.43M 1.85%113.89M 357.26%67.05M
Net cash flow
Beginning cash position -5.03%152.17M -2.58%102.07M -17.07%125.58M -36.35%151.44M -7.04%138.34M 36.12%160.24M -45.66%104.78M -36.35%151.44M -0.27%237.93M -22.82%148.82M
Current changes in cash 112.30%2.58M -4.30%51.81M 51.80%-23.4M 58.31%-33.74M -2,812.18%-18.41M -159.42%-20.93M 178.57%54.13M -4.13%-48.54M -37,892.02%-80.92M -101.41%-632K
Effect of exchange rate changes 98.16%-18K -228.28%-1.7M -106.19%-116K 868.79%2.66M -86.50%432K 72.30%-976K 187.93%1.33M 26.04%1.87M 21.18%-346K 744.59%3.2M
Cash adjustments other than cash changes ---- ---- ---- 200.00%5.22M ---- ---- ---- ---- ---5.22M --50K
End cash Position 11.85%154.73M -5.03%152.17M -2.58%102.07M -17.07%125.58M -17.07%125.58M -7.04%138.34M 36.11%160.24M -45.66%104.77M -36.35%151.44M -36.35%151.44M
Free cash from 159.06%8.01M 40.75%-10.11M 66.57%-18.09M 54.52%-90.37M 92.00%-5.61M -242.96%-13.57M 78.86%-17.07M 5.56%-54.12M -65.24%-198.69M -317.33%-70.16M
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: 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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