Sandstorm Gold Ltd. (SAND)
Oct 20, 2025 - SAND was delisted (reason: acquired by RGLD)
12.12
-0.78 (-6.05%)
Inactive · Last trade price on Oct 17, 2025

Sandstorm Gold Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Quarter Ending
Jun '25 Mar '25 Dec '24 Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21 Jun '21 Mar '21 Dec '20 Sep '20
Cash & Equivalents
6.63.524.44.714.693.0753.479.085.397.037.1318.5431.6116.17-45.81142.54113.7874.53
Short-Term Investments
8.188.187.1211.4613.2312.1428.420.8115.882.533.775.435.2905-00.331.850.8
Cash & Cash Equivalents
14.7711.711.5216.1717.9315.233.424.2824.957.9210.812.5623.8331.6121.17045.81142.87115.6375.33
Cash Growth
-17.58%-23.05%-65.52%-33.39%-28.16%92.01%209.23%93.40%4.74%-74.95%-48.97%--47.99%-77.87%-81.69%-3.57%783.75%550.62%289.37%
Receivables
25.0121.0219.9619.3715.917.5116.0718.0218.0222.7421.3924.3410.8615.2412.14-12.828.758.017.09
Other Current Assets
0.440.260.210.460.632.394.312.31.94.230.532.160.65.750.29-5.50.530.740.97
Total Current Assets
40.2332.9731.693634.4535.0953.7844.5944.8834.8832.7339.0635.2952.633.6-64.14152.14124.3883.39
Property, Plant & Equipment
1,4501,4621,4891,5041,5141,5411,5601,5981,6111,7621,7811,730460.53464.82473.65-454.31346.31356.61453.27
Long-Term Investments
306.25300.78300.84310.86311.54302.04288.03259.3269.63156.88153.38152.08159.3101.53108.65-126.13129.18157.9966.13
Other Long-Term Assets
33.0627.4328.3128.5529.1729.4129.215.1611.268.987.417.367.635.624.96-4.1711.0310.945.96
Total Long-Term Assets
1,7891,7901,8181,8441,8551,8731,8781,8721,8921,9281,9421,889627.45571.96587.25-584.61486.52525.55525.36
Total Assets
1,8291,8231,8501,8801,8891,9081,9311,9171,9371,9631,9751,928662.74624.56620.86-648.74638.66649.92608.75
Accounts Payable
16.7918.6116.2315.7217.3415.5616.1923.4623.3519.5919.0431.5514.197.437.35-5.865.073.434.91
Current Debt
315340355379388415435457.68468.78476.92497.5526.222.322.452.58-2.682.772.873.64
Other Current Liabilities
44.5133.2129.6227.4726.827.7426.25-----24.3722.2518.29-11.677.955.48-
Total Current Liabilities
376.3391.82400.84422.19432.14458.3477.45-----40.8832.1428.22-20.215.7911.78-
Total Liabilities
376.3391.82400.84422.19432.14458.3477.45515.76526.63536.06560.08598.7540.8832.1428.22-20.215.7911.788.55
Total Debt
315340355379388415435457.68468.78476.92497.5526.222.322.452.58-2.682.772.873.64
Debt Growth
-18.81%-18.07%-18.39%-17.19%-17.23%-12.98%-12.56%-13.03%20114.71%19342.28%19190.42%--13.31%-11.44%-10.08%--13.60%-94.80%-94.05%613.33%
Retained Earnings
137.49126.33119.93120.99120.01114.32122.92103.13107.76110.1898.92105.4778.3541.6335.57-24.5615.9210.950.45
Comprehensive Income
-30.01-33.6-30.03-28.78-29.97-32.75-34.98-36.66-29.94-27.43-27.49-27.95-175.16-166.46-156.51--132.83-128.11-111.44-121.96
Shareholders' Equity
1,4281,4081,4261,4331,4331,4251,4291,4011,4111,4271,4151,330621.86592.43592.64-628.54622.87638.14600.2
Net Cash (Debt)
-300.23-328.3-343.48-362.83-370.07-399.8-401.6-433.4-443.83-469-486.7-513.6721.5129.1618.59043.14140.1112.7671.69
Net Cash (Debt) Growth
-------------50.14%-79.19%-83.52%-4.87%--280.60%
Net Cash Per Share
-1.00-1.10-1.14-1.21-1.23-1.34-1.34-1.46-1.48-1.56-2.08-2.100.110.150.10-0.220.700.570.36
Working Capital
-336.07-358.84-369.16-386.18-397.69-423.21-423.67------5.5920.475.38-43.94136.35112.6-
Book Value Per Share
4.874.774.804.824.814.784.824.734.734.786.125.493.233.093.09-3.233.193.293.14