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MarketScreener Homepage  >  Equities  >  Toronto Stock Exchange  >  Sandstorm Gold Ltd.    SSL   CA80013R2063

SANDSTORM GOLD LTD.

(SSL)
  Report
SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Income Statement Evolution
Annual Income Statement Data
Actuals in M CAD Estimates in M CAD
Fiscal Period December 2017 2018 2019 2020 (e) 2021 (e) 2022 (e)
Sales 85,5 97,0 119 139 140 126
EBITDA 53,6 62,2 76,1 97,6 103 89,4
Operating profit (EBIT) - 22,4 - - - -
Pre-Tax Profit (EBT) 18,3 11,5 30,5 45,0 50,5 45,9
Net income 13,2 7,78 21,7 28,8 37,8 36,0
P/E ratio 83,6x 159x 81,2x 62,3x 54,6x 54,6x
EPS ( CAD ) 0,08 0,04 0,12 0,16 0,19 0,19
Dividend per Share ( CAD ) - - - - - -
Yield - - - - - -
Reference price ( CAD ) 6,280 6,320 9,690 10,150 10,150 10,150
Announcement Date 02/15/2018
10:27pm
02/19/2019
10:15pm
02/13/2020
09:24pm
- - -
Finances - Leverage
Actuals in  CAD Estimates in  CAD
Fiscal Period December 2017 2018 2019 2020 (e) 2021 (e) 2022 (e)
Debt - - - - - -
Finance 0,00 0,00 0,00 132 214 281
Operating income (EBITDA) 53,6 62,2 76,1 97,6 103 89,4
Leverage
(Debt/EBITDA)
- - - - - -
Capital Expenditure 66,7 61,0 81,3 27,7 37,0 30,2
Free Cash Flow (FCF) 50,5 0,73 -5,24 79,0 82,7 71,9
Book Value Per Share (BVPS) ( CAD ) 4,88 - - - - -
Cash Flow per Share ( CAD ) 0,32 0,32 0,40 0,49 0,50 0,42
Announcement Date 12/31/1969
07:00pm
12/31/1969
07:00pm
12/31/1969
07:00pm
- - -
Balance Sheet Analysis
Assessed data source
© 2020 S&P Global Market Intelligence
Financial Ratios

Size 2020e 2021e
Capitalization 1 814 M CAD -
Entreprise Value (EV) 1 682 M CAD 1 600 M CAD
Valuation 2020e 2021e
P/E ratio (Price / EPS) 62,3x 54,6x
Capitalization / Revenue 13,1x 13,0x
EV / Revenue 12,1x 12,0x
EV / EBITDA 17,2x 16,4x
Yield (DPS / Price) - -
Price to book (Price / BVPS) - -
Profitability 2020e 2021e
Operating Margin (EBIT / Sales) 0 0
Operating Leverage (Delta EBIT / Delta Sales) - -
Net Margin (Net Profit / Revenue) 20,7% 27,0%
ROA (Net Profit / Asset) 3,00% 3,00%
ROE (Net Profit / Equities) 3,50% 3,50%
Rate of Dividend - -
Balance Sheet Analysis 2020e 2021e
CAPEX / Sales   19,9% 26,5%
Cash Flow / Sales 62,9% 64,2%
Capital Intensity (Assets / Sales) 6,91x 9,01x
Financial Leverage (Net Debt / EBITDA) - -
EPS & Dividend