Franco-Nevada Corporation Stock

Equities

FNV

CA3518581051

Gold

Market Closed - Toronto S.E. 04:15:25 2024-06-12 pm EDT 5-day change 1st Jan Change
163.6 CAD +0.18% Intraday chart for Franco-Nevada Corporation -0.70% +11.48%
Sales 2024 * 1.11B 1.53B Sales 2025 * 1.25B 1.72B Capitalization 22.98B 31.59B
Net income 2024 * 597M 821M Net income 2025 * 651M 895M EV / Sales 2024 * 18.9 x
Net cash position 2024 * 1.94B 2.67B Net cash position 2025 * 1.54B 2.12B EV / Sales 2025 * 17.1 x
P/E ratio 2024 *
39.8 x
P/E ratio 2025 *
36.1 x
Employees 38
Yield 2024 *
1.21%
Yield 2025 *
1.21%
Free-Float 99.3%
More Fundamentals * Assessed data
Dynamic Chart
1 day+0.18%
1 week-0.70%
Current month-2.43%
1 month-6.37%
3 months+7.02%
6 months+15.96%
Current year+11.48%
More quotes
1 week
161.10
Extreme 161.095
166.78
1 month
161.10
Extreme 161.095
176.14
Current year
140.59
Extreme 140.59
176.94
1 year
139.19
Extreme 139.185
198.00
3 years
139.19
Extreme 139.185
217.70
5 years
103.95
Extreme 103.95
222.15
10 years
49.96
Extreme 49.96
222.15
More quotes
Managers TitleAgeSince
Chief Executive Officer 56 07-10-16
Director of Finance/CFO - 10-04-21
Chairman 67 07-11-12
Members of the board TitleAgeSince
Chairman 67 07-11-12
Director/Board Member 76 07-10-16
Director/Board Member 62 21-12-31
More insiders
Date Price Change Volume
24-06-12 163.6 +0.18% 296,585
24-06-11 163.3 -1.13% 204,688
24-06-10 165.2 +2.07% 129,137
24-06-07 161.8 -4.74% 304,084
24-06-06 169.9 +3.11% 229,171

Delayed Quote Toronto S.E., June 12, 2024 at 04:15 pm EDT

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Franco-Nevada Corporation is a Canada-based gold-focused royalty and streaming company with a diversified portfolio of cash-flow producing assets. The Company's business model provides investors with gold price and exploration optionality while limiting exposure to cost inflation. The Company is debt-free and uses its free cash flow to expand its portfolio and pay dividends. Its segments include Mining and Energy. The Company owns a portfolio of royalty, stream and working interests, covering properties at various stages, from production to early exploration located in South America, Central America and Mexico, United States, Canada, Australia, Europe and Africa. It invests in various commodities, including gold, silver, platinum group metals (PGM), iron ore, other mining assets, oil, gas and natural gas liquids (NGL). Its portfolio consists of approximately 419 assets covering 66,000 square kilometers (km2).
Sector
Gold
More about the company
Trading Rating
Investor Rating
ESG Refinitiv
B+
More Ratings
Sell
Consensus
Buy
Mean consensus
OUTPERFORM
Number of Analysts
17
Last Close Price
119.5 USD
Average target price
145.1 USD
Spread / Average Target
+21.43%
Consensus