Sprott financials at a glance

Year Year 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2007 2024
Rev. Revenue
C$161.86M C$107.23M C$323.50M C$158.32M C$146.93M C$101.42M C$113.70M C$109.01M C$168.90M C$118.27M C$101.58M C$97.47M C$121.78M C$164.65M C$145.18M C$169.02M C$227.62M C$0.00M
GM % Gross Margin %
54.70% 55.99% 67.45% 52.99% 61.96% 44.13% 47.56% 34.18% 52.94% 51.26% 59.99% 58.21% 51.98% 47.93% 43.22% 51.41% 27.11% 0.00%
OM Operating Margin
47.55% 42.91% 62.64% 31.42% 30.05% 0.49% 18.59% -3.85% 26.57% 17.98% 27.73% 27.23% 35.05% 33.16% 27.19% 39.40% 23.88% 0.00%
EPS Earnings Per Share
C$3.60 C$2.10 C$8.70 C$2.00 C$1.90 C$0.83 C$0.80 C$0.20 C$0.82 C$1.54 C$1.46 C$1.02 C$1.56 C$2.18 C$1.87 C$2.26 C$0.00
Div. Dividends
C$0.80 C$1.00 C$1.10 C$1.20 C$1.20 C$1.20 C$1.20 C$1.20 C$1.20 C$1.20 C$1.20 C$1.20 C$1.31 C$1.27 C$1.36 C$1.37 C$0.00 C$0.00
PR % Payout Ratio %
22.22% 47.62% 12.64% 60.00% 63.16% 144.58% 150.00% 600.00% 146.34% 77.92% 82.19% 117.65% 83.97% 58.26% 72.73% 60.62% 0 0
Sha. Shares
15m 15m 15m 16.95m 16.9m 24.6m 24.6m 24.56m 24.35m 23.4m 24.06m 24.33m 25.51m 24.79m 25.03m 0m 0m 25.19m
OCF Operating Cash Flow
C$6.50M C$7.19M C$61.09M C$202.59M C$-2.95M C$3.66M C$37.57M C$40.56M C$57.73M C$52.15M C$91.01M C$41.67M C$26.24M C$51.25M C$32.50M C$29.86M C$39.45M C$0.00M
FCF Free Cash Flow
C$5.18M C$6.60M C$60.92M C$45.99M C$60.25M C$30.18M C$37.56M C$41.26M C$14.14M C$38.07M C$38.06M C$29.29M C$25.55M C$50.56M C$32.37M C$28.32M C$38.15M C$0.00M
FCFS Free Cash Flow Per Share
C$0.36 C$0.44 C$3.97 C$11.94 C$-0.46 C$0.11 C$1.38 C$1.60 C$1.63 C$2.15 C$-1.35 C$1.59 C$0.53 C$0.40 C$0.87 C$1.12 C$2.89 C$0.00