Sandstorm Gold Ltd. (SAND)
Overview
Sandstorm Gold Ltd. operates as a gold royalty company. The company focuses on acquiring royalties and gold and other metals purchase agreements (streams) from companies that have advanced stage development projects or operating mines. It offers upfront payments for companies to acquire a stream or royalty and receives the right to purchase a percentage of a mine's production for the life of the mine at a fixed price per unit or at a fixed percentage of the spot price. The company has a portfolio of 230 streams and royalties. It primarily has operations in Canada, Mexico, the United States, Mongolia, Burkina Faso, Ecuador, South Africa, Ghana, Botswana, Cote D'Ivoire, Argentina, Brazil, Chile, Peru, Egypt, Ethiopia, Guyana, Paraguay, French Guiana, Turkey, Sweden, Fiji, and Australia. The company was formerly known as Sandstorm Resources Ltd. and changed its name to Sandstorm Gold Ltd. in February 2011. Sandstorm Gold Ltd. was incorporated in 2007 and is headquartered in Vancouver, Canada.
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Key Information
Stock Snapshot (Updated: Oct 24 09:44 AM EDT)
Capital Structure (Updated: Oct 24 09:44 AM EDT)
Calendar Events (Upcoming Earnings & Revenue Forecasts)
| Earnings | |
| Earnings Date | 2025-11-13 |
| Earnings Call | 2025-08-08 |
| Avg EPS Estimate | 0.0646 |
| Low EPS Estimate | 0.06 |
| High EPS Estimate | 0.0692 |
| Revenue | |
| Avg Revenue Forecast | 0 |
| Low Revenue Forecast | 0 |
| High Revenue Forecast | 0 |
SAND Liquidity Indicators Shows key metrics that reflect cash availability and short-term payment ability
| Field | Value | Description |
|---|---|---|
| Cash Holdings | $14,774,000 | Cash on hand, which directly shows a company's ability to meet short-term obligations. |
| Quick Ratio | 2.37 | The quick ratio, which excludes inventory, measures short-term solvency; a value above 1 is considered relatively safe. |
| Current Ratio | 2.396 | The current ratio, calculated as current assets divided by current liabilities; the higher the value, the better the liquidity. |
| Total Debt | $315,000,000 | Total liabilities, used together with cash and liquidity ratios to assess debt burden. |
SAND Profitability Indicators Shows key metrics that reflect overall earnings, margins, and core business profitability
| Field | Value | Description |
|---|---|---|
| EBITDA | $148,456,992 | EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization), which measures the profitability of core operations. |
| Operating Cash Flow | $147,846,000 | Operating cash flow, which reflects a company's cash-generating ability. |
| Free Cash Flow | $88,605,872 | Free cash flow, after deducting capital expenditures, which can be used for dividends or reinvestment. |
| Gross Margin | 84.30% | Gross margin; a higher value indicates stronger product profitability. |
| Operating Margin | 50.60% | Operating margin; slightly negative, indicating high operating costs. |
| Profit Margin | 17.78% | Net profit margin, which reflects overall profitability. |
SAND Leverage & Financial Health Indicators Shows key metrics that reflect debt levels, liquidity, and overall financial stability
| Field | Value | Description |
|---|---|---|
| Debt/Equity Ratio | 21.68% | Low leverage level, indicating the company has low debt pressure. |
| Total Debt | $315,000,000 | Used together with cash and EBITDA to assess debt-paying ability. |
SAND Growth Indicators Shows key financial metrics that reflect profitability, cash flow, and business expansion
| Field | Value | Description |
|---|---|---|
| Revenue Growth (YoY) | 24.30% | Rapid revenue growth, indicating fast business expansion. |
| Earnings Growth (YoY) | 66.70% | Significant EPS growth, indicating rapid improvement in profitability. |
Financial Data for SAND (Key ratios, margins, and cash flow)
| Field | Value | Description |
|---|---|---|
| Current Price | $12.12 | Latest stock trading price |
| Price Target (High) | $14 | Analyst highest expected price |
| Price Target (Low) | $9.75 | Analyst lowest expected price |
| Price Target (Average) | $11.83 | Average target price across analysts |
| Price Target (Median) | $11.75 | Median of target prices |
| Average Rating Score | 2.5 | Average analyst rating (1=Strong Buy, 5=Sell) |
| Consensus Recommendation | buy | Consensus rating |
| Analyst Coverage Count | 3 | Number of analysts providing estimates |
| Cash Holdings | $14,774,000 | Total cash held by the company |
| Cash per Share | $0.05 | Cash value per outstanding share |
| Total Debt | $315,000,000 | Company's total debt |
| Quick Ratio | 2.37 | Ability to cover short-term liabilities (excludes inventory) |
| Current Ratio | 2.396 | Overall short-term liquidity |
| Debt/Equity Ratio | 21.68% | Leverage ratio: Debt / Equity |
| EBITDA | $148,456,992 | Earnings before interest, taxes, depreciation & amortization |
| Total Revenue | $193,584,992 | Total company revenue |
| Revenue per Share | $0.655 | Total revenue divided by shares outstanding |
| Gross Profit | 84.30% | Revenue minus cost of goods sold |
| Return on Assets | 3.03% | Net income / Total assets |
| Return on Equity | 2.55% | Net income / Shareholder equity |
| Earnings Growth (YoY) | 66.70% | Year-over-year EPS growth |
| Revenue Growth (YoY) | 24.30% | Year-over-year revenue growth |
| Gross Margin | 84.30% | Gross profit / Total revenue |
| EBITDA Margin | 76.69% | EBITDA / Revenue |
| Operating Margin | 50.60% | Operating income / Revenue |
| Profit Margin | 17.78% | Net income / Revenue |
| Free Cash Flow | $88,605,872 | Cash left after capital expenditures |
| Operating Cash Flow | $147,846,000 | Cash from core business operations |
| Currency | USD | Reported in US dollars |
| Last Updated | 2025-11-05 | Data source from Yahoo |