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Sandstorm Gold Ltd. (SAND) Stock Profile & Financial OverviewSandstorm Gold Ltd.

Listed on NYSE • Basic Materials / Gold
SAND logo

SAND Company Overview & Business Description

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.

Key Information

Symbol: SAND
CEO: Nolan Allan Watson BComm, CA, FCPA
Exchange: NYSE
CIK: 0001434614
SEC Filings: View SEC →

Current Trend for SAND

An assessment of the current trend environment for SAND, based on the latest closing price data and intended to describe the market context heading into the next trading session.

As of 2025-10-27, the current trend for SAND is an Indeterminate Transition Phase (Unclear Direction).

Daily and weekly trends are conflicting, reducing directional conviction and making directional trading less favorable at this stage.

  • Weekly trend signals are neutral, offering limited directional guidance for the higher timeframe.
  • Price is currently significantly overextended (stretched), sitting -4.14 ATR away from the adaptive KAMA baseline.
  • Technical Update: Price has failed at a key Fractal Low, signaling a potential structural breakdown.

Explore More Data

Adaptive Trend Model · Daily & Weekly (2025-10-27 ET)

This model uses an adaptive trend algorithm based on daily and weekly price data to identify whether a stock is in an uptrend, downtrend, or consolidation over a multi-week to multi-month horizon. Compared with traditional moving-average systems, it filters short-term noise more effectively, captures trend continuation more reliably, and provides a stronger basis for position sizing and risk-management decisions such as stop-loss and take-profit levels.

As of 2025-10-27, SAND showing momentum fatigue; Long-term trend is bullish.

Trend Strength: SAND last closed at 0.00, trading 2.7 ATR below the adaptive KAMA baseline (7.45). Technical Classification: Late-Cycle / Momentum Divergence.

Trend Score: Technical Score: 55/100. Classification: Late/Exhausted. Alignment: Indeterminate. Logic: Price action is range-bound or lacking sufficient slope for trend confirmation.

Overbought / Oversold Extension: Price deviation is measured at 2.7 ATR from the KAMA baseline, indicating a significant statistical extension from the mean.

SuperTrend Risk: Risk indicators: No active structural constraints identified.

Risk Skew: Multi-timeframe risk skew is currently assessed as Conflicted / Pullback. The daily decline is occurring within a larger weekly uptrend. This suggests a corrective phase, where downside risk meets significant long-term structural support.

Key Levels: Key technical references: Spot 0.00, KAMA 7.45.

SAND Real-Time Stock Price & Market Data (Updated: Oct 24 09:44 AM EDT)

Price
12.12
Change
0
Change %
0.00%
Open
12.78
Previous Close
12.12
High
12.75
Low
12.05
Volume
13,935,863
Market Cap
3,556,414,720
EV/EBITDA
26.13

SAND Shares Outstanding, Float, Short Interest & Ownership (Updated: Oct 24 09:44 AM EDT)

Shares Outstanding
293,157,955
FloatShares
268,441,808
Float Ratio
91.57%
Shares Short
4,807,492
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.
0.78 trading days
Held Percent Insiders
1.48%
Held Percent Institutions
75.21%