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B2Gold Corp. (BTG)

Listed on AMEX • Basic Materials / Gold
BTG logo

Overview

B2Gold Corp. operates as a gold producer with three operating mines in Mali, the Philippines, and Namibia. It operates the Fekola Mine in Mali, the Masbate Mine in the Philippines, and the Otjikoto Mine in Namibia. The company also has an 25% interest in the Calibre Mining Corp.; and approximately 19% interest in BeMetals Corp. In addition, it has a portfolio of other evaluation and exploration assets in Mali, Uzbekistan, and Finland. The company was incorporated in 2006 and is headquartered in Vancouver, Canada.

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Key Information

Symbol: BTG
CEO: Clive Thomas Johnson
Exchange: AMEX
CIK: 0001429937
SEC Filings: View SEC →

Stock Snapshot (Updated: Nov 05 04:00 PM EST)

Price
4.03
Change
0.03
Change %
0.75%
Open
4.1
Previous Close
4
High
4.11
Low
4.01
Volume
44,218,728
Market Cap
5,331,634,688
EV/EBITDA
4.75

Capital Structure (Updated: Nov 05 04:00 PM EST)

Shares Outstanding
1,322,986,184
FloatShares
1,312,613,972
Float Ratio
99.22%
Shares Short
57,835,762
Short Percent Of Float
The percent of float shares currently sold short. Reflects market sentiment and risk of a short squeeze.
0.00%
Short Ratio
Days needed to cover all short positions. Indicates short-selling pressure.
1.01 trading days
Held Percent Insiders
0.46%
Held Percent Institutions
67.00%

Calendar Events (Upcoming Earnings & Revenue Forecasts)

Earnings
Earnings Date 2025-11-05
Earnings Call 2025-11-06
Avg EPS Estimate 0.1275
Low EPS Estimate 0.08
High EPS Estimate 0.17
Revenue
Avg Revenue Forecast 861,688,240
Low Revenue Forecast 802,064,710
High Revenue Forecast 954,000,000

BTG Liquidity Indicators Shows key metrics that reflect cash availability and short-term payment ability

Field Value Description
Cash Holdings$310,304,992Cash on hand, which directly shows a company's ability to meet short-term obligations.
Quick Ratio0.366The quick ratio, which excludes inventory, measures short-term solvency; a value above 1 is considered relatively safe.
Current Ratio0.98The current ratio, calculated as current assets divided by current liabilities; the higher the value, the better the liquidity.
Total Debt$442,887,008Total liabilities, used together with cash and liquidity ratios to assess debt burden.

BTG Profitability Indicators Shows key metrics that reflect overall earnings, margins, and core business profitability

Field Value Description
EBITDA$1,046,307,008EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization), which measures the profitability of core operations.
Operating Cash Flow$538,313,984Operating cash flow, which reflects a company's cash-generating ability.
Free Cash Flow$399,196,992Free cash flow, after deducting capital expenditures, which can be used for dividends or reinvestment.
Gross Margin58.56%Gross margin; a higher value indicates stronger product profitability.
Operating Margin42.79%Operating margin; slightly negative, indicating high operating costs.
Profit Margin-19.96%Net profit margin, which reflects overall profitability.

BTG Leverage & Financial Health Indicators Shows key metrics that reflect debt levels, liquidity, and overall financial stability

Field Value Description
Debt/Equity Ratio13.35%Low leverage level, indicating the company has low debt pressure.
Total Debt$442,887,008Used together with cash and EBITDA to assess debt-paying ability.

BTG Growth Indicators Shows key financial metrics that reflect profitability, cash flow, and business expansion

Field Value Description
Revenue Growth (YoY)40.50%Rapid revenue growth, indicating fast business expansion.
Earnings Growth (YoY)0.00%Significant EPS growth, indicating rapid improvement in profitability.

Financial Data for BTG (Key ratios, margins, and cash flow)

Field Value Description
Current Price$4.03Latest stock trading price
Price Target (High)$7Analyst highest expected price
Price Target (Low)$4.45Analyst lowest expected price
Price Target (Average)$5.79Average target price across analysts
Price Target (Median)$6Median of target prices
Average Rating Score2.15Average analyst rating (1=Strong Buy, 5=Sell)
Consensus RecommendationbuyConsensus rating
Analyst Coverage Count5Number of analysts providing estimates
Cash Holdings$310,304,992Total cash held by the company
Cash per Share$0.23Cash value per outstanding share
Total Debt$442,887,008Company's total debt
Quick Ratio0.366Ability to cover short-term liabilities (excludes inventory)
Current Ratio0.98Overall short-term liquidity
Debt/Equity Ratio13.35%Leverage ratio: Debt / Equity
EBITDA$1,046,307,008Earnings before interest, taxes, depreciation & amortization
Total Revenue$2,172,329,984Total company revenue
Revenue per Share$1.65Total revenue divided by shares outstanding
Gross Profit58.56%Revenue minus cost of goods sold
Return on Assets8.03%Net income / Total assets
Return on Equity-11.65%Net income / Shareholder equity
Earnings Growth (YoY)0.00%Year-over-year EPS growth
Revenue Growth (YoY)40.50%Year-over-year revenue growth
Gross Margin58.56%Gross profit / Total revenue
EBITDA Margin48.17%EBITDA / Revenue
Operating Margin42.79%Operating income / Revenue
Profit Margin-19.96%Net income / Revenue
Free Cash Flow$399,196,992Cash left after capital expenditures
Operating Cash Flow$538,313,984Cash from core business operations
CurrencyUSDReported in US dollars
Last Updated2025-11-05Data source from Yahoo