Symbols / CGAU Stock $17.27 -0.86% Centerra Gold Inc.

Basic Materials • Gold • Canada • NYQ
CGAU (Stock) Chart
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Stock Fundamentals
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Index EQUITY
Sector Basic Materials
Industry Gold
CEO Mr. Paul Botond Stilicho Tomory
Exch · Country NYQ · Canada
Market Cap 3.43B
Enterprise Value
Income
Sales
FCF (ttm)
Book/sh 10.31
Cash/sh
Employees
Insider 10d
IPO Jun 24, 2008
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 6.52%
P/E 5.57
Forward P/E 8.41
PEG
P/S
P/B 1.68
P/C
EV/EBITDA
EV/Sales
Quick Ratio
Current Ratio
Debt/Eq
LT Debt/Eq
EPS (ttm) 3.10
EPS next Y 2.05
EPS Growth
Revenue Growth
EPS Gr Q/Q
Rev Gr Q/Q
Earnings (next) 2026-04-29
Earnings (prior) 2026-04-29
ROA
ROE
ROIC
Gross Margin 0.00%
Oper. Margin 0.00%
Profit Margin 0.00%
Shs Outstand 198.60M
Shs Float 199.50M
Insider Own 0.15%
Instit Own 89.60%
Short Float
Short Ratio 2.40
Short Interest 6.00M
52W High 21.17
vs 52W High -18.42%
52W Low 6.35
vs 52W Low 171.97%
Beta 1.52
Impl. Vol. 52.05%
Rel Volume 0.91
Avg Volume 2.04M
Volume 1.85M
Target (mean) $17.75
Tgt Median $17.75
Tgt Low $14.50
Tgt High $21.00
# Analysts 2
Recom Buy
Prev Close $17.42
Price $17.27
Change -0.86%
About

Centerra Gold Inc. engages in the operation, development, exploration, and acquisition of gold and copper properties in North America, Turkey, and internationally. The company also owns and operates a molybdenum business unit, which includes a metallurgical processing facility and two primary molybdenum properties. Its principal assets include the Mount Milligan gold-copper mine located in British Columbia, Canada; the Öksüt gold mine located in Türkiye; the Kemess project in British Columbia, Canada; the Goldfield District project in Nevada, United States; the Thompson Creek Mine in Idaho; and 75% owned the Endako Mine in British Columbia, Canada. The company was incorporated in 2002 and is headquartered in Toronto, Canada.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Fallback: EPS × 15 (assumed fair P/E). No FCF data; use with …
Ratings
Current target
$17.27
Low
$14.50
High
$21.00
Mean
$17.75

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-22 main Scotiabank Sector Outperform → Sector Outperform $21
2026-01-26 main Scotiabank Sector Outperform → Sector Outperform $19
2025-10-23 main Scotiabank Sector Outperform → Sector Outperform $14
2025-09-16 main Scotiabank Sector Outperform → Sector Outperform $10
2025-09-10 down RBC Capital Outperform → Sector Perform $14
2025-07-15 main CIBC Outperformer → Outperformer $15
2025-04-14 main Scotiabank Sector Outperform → Sector Outperform $11
2025-01-15 main Scotiabank Sector Outperform → Sector Outperform $9
2024-07-10 down CIBC Outperformer → Neutral $13
2024-05-23 main Scotiabank Sector Outperform → Sector Outperform $9
2024-04-15 main CIBC Outperformer → Outperformer $11
2021-04-21 down Canaccord Genuity Buy → Speculative Buy $15
2021-03-19 down ScotiaBank Outperform → Sector Perform $22
2018-10-18 up Canaccord Genuity Hold → Buy
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-13 Dell (Eric) Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 315 $17.02 $5,360
2026-04-13 Hendriks (David) Senior Officer of Issuer 776 $17.02 $13,205
2026-04-13 Rehman (Yousef) Senior Officer of Issuer 632 $17.02 $10,754
2026-04-13 Soydemir (Fatih) Director or Senior Officer of Insider or Subsidiary of Issuer (other than in 4,5,6) 451 $17.02 $7,674
2026-04-13 Wilkinson (Lisa) Senior Officer of Issuer 86 $17.02 $1,463
2026-03-31 Centerra Gold Inc. Issuer 50,300
2026-03-30 Centerra Gold Inc. Issuer 25,100 $16.68 $418,793
2026-03-27 Centerra Gold Inc. Issuer 25,200 $16.65 $419,479
2026-03-27 Centerra Gold Inc. Issuer 364,900
2026-03-26 Centerra Gold Inc. Issuer 25,300 $16.61 $420,233
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
1,384.56
+14.00%
1,214.50
+10.92%
1,094.90
+28.78%
850.19
Operating Revenue
1,306.62
+9.14%
1,197.15
+8.58%
1,102.56
+26.70%
870.23
Cost Of Revenue
920.77
+10.08%
836.46
+0.67%
830.89
+23.70%
671.67
Reconciled Cost Of Revenue
920.77
+10.08%
836.46
+0.67%
830.89
+23.70%
671.67
Gross Profit
463.79
+22.68%
378.05
+43.20%
264.00
+47.89%
178.52
Operating Expense
149.37
+5.37%
141.76
-35.86%
221.03
+194.60%
75.03
Selling General And Administration
71.56
+47.32%
48.57
-14.93%
57.09
-5.07%
60.14
Selling And Marketing Expense
11.32
+6.00%
10.68
-12.57%
12.22
-5.24%
12.89
General And Administrative Expense
60.23
+58.98%
37.89
-15.57%
44.88
-5.02%
47.25
Salaries And Wages
27.86
+435.54%
5.20
-43.64%
9.23
+911.17%
0.91
Other Gand A
32.37
-0.97%
32.69
-8.30%
35.64
-23.07%
46.33
Other Operating Expenses
58.74
-17.26%
70.99
-47.62%
135.52
+847.78%
-18.12
Total Expenses
1,070.13
+9.40%
978.21
-7.01%
1,051.92
+40.88%
746.70
Operating Income
314.43
+33.07%
236.29
+449.78%
42.98
-58.47%
103.49
Total Operating Income As Reported
669.75
+775.29%
76.52
+328.79%
17.84
+148.50%
-36.79
EBITDA
848.09
+177.33%
305.81
+112.39%
143.98
+141.28%
59.67
Normalized EBITDA
445.25
+13.74%
391.48
+111.13%
185.42
-12.28%
211.38
Reconciled Depreciation
115.64
-11.50%
130.66
+0.75%
129.69
+25.39%
103.43
EBIT
732.45
+318.19%
175.15
+1125.58%
14.29
+132.66%
-43.75
Total Unusual Items
402.84
+570.24%
-85.67
-106.76%
-41.43
+72.69%
-151.71
Total Unusual Items Excluding Goodwill
402.84
+570.24%
-85.67
-106.76%
-41.43
+72.69%
-151.71
Special Income Charges
391.86
+401.72%
-129.87
-264.74%
-35.61
+77.07%
-155.26
Other Special Charges
2.52
10.79
Impairment Of Capital Assets
-341.11
-276.23%
193.56
+467.62%
34.10
-76.63%
145.90
Net Income
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Pretax Income
731.01
+319.98%
174.06
+1176.64%
13.63
+130.68%
-44.43
Net Non Operating Interest Income Expense
16.95
-34.02%
25.68
+95.27%
13.15
+138.61%
5.51
Interest Expense Non Operating
1.45
+32.66%
1.09
+65.91%
0.66
-3.24%
0.68
Net Interest Income
16.95
-34.02%
25.68
+95.27%
13.15
+138.61%
5.51
Interest Expense
1.45
+32.66%
1.09
+65.91%
0.66
-3.24%
0.68
Interest Income Non Operating
20.80
-30.80%
30.05
+53.89%
19.53
+107.35%
9.42
Interest Income
20.80
-30.80%
30.05
+53.89%
19.53
+107.35%
9.42
Other Income Expense
399.63
+554.57%
-87.91
-106.87%
-42.50
+72.30%
-153.44
Other Non Operating Income Expenses
-3.21
-42.57%
-2.25
-111.28%
-1.06
+38.57%
-1.73
Gain On Sale Of Security
10.98
-75.16%
44.21
+858.79%
-5.83
-263.88%
3.56
Gain On Sale Of Business
50.55
-19.88%
63.09
0.00
0.00
Tax Provision
147.02
+56.96%
93.66
-1.32%
94.91
+189.58%
32.78
Tax Effect Of Unusual Items
81.02
+730.49%
-12.85
+22.47%
-16.57
+58.32%
-39.76
Net Income Including Noncontrolling Interests
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Net Income From Continuing Operation Net Minority Interest
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Net Income From Continuing And Discontinued Operation
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Net Income Continuous Operations
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Net Income Discontinuous Operations
0.00
Normalized Income
262.17
+71.12%
153.21
+371.56%
-56.42
-262.42%
34.74
Net Income Common Stockholders
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Diluted EPS
2.84
+711.43%
0.35
+192.11%
-0.38
-22.58%
-0.31
Basic EPS
2.85
+650.00%
0.38
+202.70%
-0.37
-27.59%
-0.29
Basic Average Shares
204.66
-4.14%
213.49
-1.73%
217.25
-0.54%
218.43
Diluted Average Shares
205.59
-4.94%
216.28
-0.98%
218.41
-0.01%
218.43
Diluted NI Availto Com Stockholders
583.99
+664.67%
76.37
+190.92%
-84.00
-1.46%
-82.79
Average Dilution Earnings
0.00
+100.00%
-4.02
-48.07%
-2.72
+51.31%
-5.58
Gain On Sale Of PPE
0.20
-66.83%
0.60
+140.04%
-1.51
-205.24%
1.43
Total Other Finance Cost
2.40
-26.72%
3.28
-42.63%
5.72
+77.23%
3.23
Line Item Trend 2023-12-31
Total Assets
2,280.77
Current Assets
966.03
Cash Cash Equivalents And Short Term Investments
615.77
Cash And Cash Equivalents
612.94
Other Short Term Investments
2.83
Receivables
70.76
Accounts Receivable
64.90
Other Receivables
2.54
Taxes Receivable
3.33
Inventory
257.30
Raw Materials
158.67
Finished Goods
98.63
Prepaid Assets
10.19
Assets Held For Sale Current
1.51
Hedging Assets Current
10.30
Other Current Assets
0.18
Total Non Current Assets
1,314.74
Net PPE
1,237.51
Gross PPE
1,939.00
Accumulated Depreciation
-701.50
Buildings And Improvements
1,186.60
Construction In Progress
70.46
Other Properties
79.84
Investments And Advances
0.00
Non Current Accounts Receivable
8.69
Non Current Deferred Assets
57.90
Non Current Deferred Taxes Assets
57.90
Non Current Prepaid Assets
Other Non Current Assets
5.31
Total Liabilities Net Minority Interest
606.52
Current Liabilities
297.44
Payables And Accrued Expenses
236.13
Payables
236.13
Accounts Payable
77.89
Other Payable
117.30
Employee Benefits
1.24
Pensionand Other Post Retirement Benefit Plans Current
6.53
Total Tax Payable
40.95
Income Tax Payable
40.95
Current Debt And Capital Lease Obligation
6.11
Current Capital Lease Obligation
6.11
Current Deferred Liabilities
9.54
Current Deferred Revenue
9.54
Other Current Liabilities
11.05
Total Non Current Liabilities Net Minority Interest
309.09
Long Term Debt And Capital Lease Obligation
18.10
Long Term Capital Lease Obligation
18.10
Long Term Provisions
272.57
Non Current Pension And Other Postretirement Benefit Plans
1.24
Non Current Deferred Liabilities
16.81
Non Current Deferred Revenue
0.00
Non Current Deferred Taxes Liabilities
16.81
Stockholders Equity
1,674.24
Common Stock Equity
1,674.24
Capital Stock
861.54
Common Stock
861.54
Share Issued
215.50
Ordinary Shares Number
215.50
Treasury Shares Number
0.00
Additional Paid In Capital
33.87
Retained Earnings
771.39
Gains Losses Not Affecting Retained Earnings
7.45
Other Equity Adjustments
7.45
Total Equity Gross Minority Interest
1,674.24
Total Capitalization
1,674.24
Working Capital
668.59
Invested Capital
1,674.24
Total Debt
24.21
Capital Lease Obligations
24.21
Net Tangible Assets
1,674.24
Tangible Book Value
1,674.24
Available For Sale Securities
5.33
Current Provisions
28.09
Derivative Product Liabilities
0.37
Duefrom Related Parties Current
Duefrom Related Parties Non Current
Financial Assets
5.33
Investmentin Financial Assets
0.00
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
348.63
+16.83%
298.40
+21.50%
245.60
+12503.89%
-1.98
Cash Flow From Continuing Operating Activities
348.63
+16.83%
298.40
+21.50%
245.60
+12503.89%
-1.98
Cash From Discontinued Operating Activities
0.00
Net Income From Continuing Operations
583.99
+626.41%
80.39
+198.91%
-81.28
-5.27%
-77.21
Depreciation Amortization Depletion
115.64
-11.50%
130.66
+0.75%
129.69
+25.39%
103.43
Other Non Cash Items
0.29
+101.50%
-19.46
-136.55%
53.23
+157.08%
-93.27
Stock Based Compensation
21.66
+316.24%
5.20
-47.95%
10.00
+1198.31%
0.77
Asset Impairment Charge
-341.11
-276.23%
193.56
+412.40%
37.78
-75.01%
151.19
Deferred Tax
147.02
+56.96%
93.66
-1.32%
94.91
+189.58%
32.78
Deferred Income Tax
147.02
+56.96%
93.66
-1.32%
94.91
+189.58%
32.78
Operating Gains Losses
-46.65
+41.71%
-80.03
-3693.53%
2.23
Unrealized Gain Loss On Investment Securities
-3.00
+87.24%
-23.50
0.00
Net Foreign Currency Exchange Gain Loss
3.90
+123.01%
-16.94
-860.66%
2.23
Change In Working Capital
-40.29
-249.18%
27.01
-37.53%
43.24
+167.52%
-64.03
Change In Receivables
-74.28
-10150.74%
0.74
-89.08%
6.77
+149.58%
-13.65
Change In Inventory
-90.49
-1333.72%
7.33
-81.77%
40.23
+152.65%
-76.40
Change In Prepaid Assets
-0.13
Change In Payables And Accrued Expense
117.20
+334.80%
26.95
+346.59%
-10.93
-141.80%
26.15
Change In Payable
117.20
+334.80%
26.95
+346.59%
-10.93
-141.80%
26.15
Change In Account Payable
117.20
+334.80%
26.95
+414.23%
-8.58
-127.71%
30.95
Change In Other Current Assets
7.27
+190.71%
-8.02
-211.79%
7.17
+5452.99%
-0.13
Investing Cash Flow
-303.92
-57.31%
-193.20
-113.98%
-90.29
+64.68%
-255.64
Cash Flow From Continuing Investing Activities
-303.92
-57.31%
-193.20
-113.98%
-90.29
+64.68%
-255.64
Cash From Discontinued Investing Activities
0.00
Net PPE Purchase And Sale
-296.43
-61.69%
-183.33
-118.80%
-83.79
-6.19%
-78.91
Purchase Of PPE
-296.71
-61.00%
-184.29
-116.04%
-85.31
-5.41%
-80.93
Sale Of PPE
0.29
-70.07%
0.96
-36.74%
1.52
-25.14%
2.02
Capital Expenditure
-296.71
-61.00%
-184.29
-116.04%
-85.31
-5.41%
-80.93
Net Investment Purchase And Sale
-48.53
-560.43%
-7.35
0.00
Purchase Of Investment
-48.53
-560.43%
-7.35
0.00
Sale Of Investment
Purchase Of Business
0.00
+100.00%
-31.50
+82.18%
-176.74
Gain Loss On Sale Of Business
-50.55
+19.88%
-63.09
0.00
0.00
Net Other Investing Changes
-2.52
Financing Cash Flow
-140.46
-50.27%
-93.47
-25.83%
-74.28
+52.89%
-157.69
Cash Flow From Continuing Financing Activities
-140.46
-50.27%
-93.47
-25.83%
-74.28
+52.89%
-157.69
Net Issuance Payments Of Debt
-11.06
-13.01%
-9.79
+11.11%
-11.01
-63.03%
-6.75
Issuance Of Debt
Repayment Of Debt
-11.06
-13.01%
-9.79
+11.11%
-11.01
-63.03%
-6.75
Long Term Debt Issuance
Long Term Debt Payments
-11.06
-13.01%
-9.79
+11.11%
-11.01
-63.03%
-6.75
Net Long Term Debt Issuance
-11.06
-13.01%
-9.79
+11.11%
-11.01
-63.03%
-6.75
Net Common Stock Issuance
-88.28
-119.77%
-40.17
-118.75%
-18.36
+81.82%
-101.02
Common Stock Payments
-93.69
-112.67%
-44.05
-115.73%
-20.42
+80.46%
-104.50
Common Stock Dividend Paid
-41.12
+5.50%
-43.51
+3.11%
-44.91
+5.79%
-47.67
Cash Dividends Paid
-41.12
+5.50%
-43.51
+3.11%
-44.91
+5.79%
-47.67
Repurchase Of Capital Stock
-93.69
-112.67%
-44.05
-115.73%
-20.42
+80.46%
-104.50
Net Other Financing Charges
-4.21
-86.70%
-2.25
Changes In Cash
-95.74
-916.08%
11.73
-85.52%
81.03
+119.51%
-415.31
Beginning Cash Position
624.67
+1.91%
612.94
+15.23%
531.92
-43.85%
947.23
End Cash Position
528.93
-15.33%
624.67
+1.91%
612.94
+15.23%
531.92
Free Cash Flow
51.92
-54.50%
114.11
-28.81%
160.29
+293.33%
-82.91
Change In Income Tax Payable
0.00
+100.00%
-2.35
+51.01%
-4.80
Change In Tax Payable
0.00
+100.00%
-2.35
+51.01%
-4.80
Common Stock Issuance
5.41
+39.27%
3.89
+88.82%
2.06
-40.93%
3.48
Interest Paid CFF
Issuance Of Capital Stock
5.41
+39.27%
3.89
+88.82%
2.06
-40.93%
3.48
Other Cash Adjustment Outside Changein Cash
Sale Of Business
41.04
0.00
-100.00%
25.00
0.00
Taxes Refund Paid
-88.91
+18.51%
-109.11
-146.85%
-44.20
+20.54%
-55.63
SEC Filings

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