7Baggers

Endeavour Silver Corp
(NYSE:EXK) 

EXK stock logo

Endeavour Silver Corp., a mid-tier precious metals mining company, engages in the acquisition, exploration, development, extraction, processing, refining, and reclamation of mining properties in Mexico and Chile. The company also explores for gold and silver deposits, and precious metals. The compan...

Founded: 1981
Full Time Employees: 1,400
Sector: Basic Materials
Industry: Silver

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Quarterly
Annual
    Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2024-03-11 2023-11-07 2023-09-30 2023-08-08 2023-06-30 2023-05-10 2023-03-31 2023-03-02 2022-12-31 2022-11-08 2022-09-30 2022-08-09 2022-06-30 2022-05-11 2022-03-31 2022-03-10 2021-11-09 2021-09-30 2021-08-10 2021-06-30 2021-05-11 2021-03-31 2021-03-01 2020-11-05 2020-09-30 2020-08-04 2020-06-30 2020-05-08 2020-05-07 2020-02-24 2019-11-05 2019-09-30 2019-08-08 2019-05-06 2019-02-25 2018-10-31 2018-08-02 2018-05-03 2018-03-31 2018-02-26 2017-11-02 2017-09-30 2017-06-30 2017-03-31 2017-03-02 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-11-02 2015-09-30 2015-08-06 2015-06-30 2015-05-06 2015-03-31 2015-03-05 2014-11-10 2014-09-30 2014-08-11 2014-06-30 2014-05-12 2014-03-31 2014-03-10 2013-12-31 2013-11-05 2013-09-30 2013-08-15 2013-08-06 2013-06-30 2013-05-06 2013-03-12 2012-12-31 2012-11-06 2012-09-30 2012-08-07 2012-06-30 2012-05-08 2012-03-31 2012-03-20 2011-12-31 2011-11-02 2011-09-30 2011-07-19 2011-06-30 2011-05-05 2011-03-31 2011-03-22 2010-09-30 2010-08-05 2010-06-30 2010-05-10 2010-03-31 2010-03-23 2009-09-30 2009-08-13 2009-06-30 2009-05-14 2009-04-01 2009-03-31 2008-11-14 2008-09-30 2008-08-13 2008-06-30 2008-05-06 2008-03-31 2007-11-15 2007-09-30 2007-08-15 2007-06-30 2007-05-15 2007-04-11 2007-03-31 
                                                                                                                           
      revenue
    142,831,000 88,597,000 63,498,000 53,443,000 58,260,000 63,725,000 205,463,000 49,432,000 49,432,000 50,071,000 50,071,000 55,461,000 55,461,000 210,160,000 165,320,000 39,649,000 39,649,000 30,782,000 30,782,000 57,740,000 57,740,000 165,320,000 34,562,000,000 34,562,000 47,775,000,000 47,775,000 34,466,000,000 34,466,000 138,461,000 35,586,000 35,586 20,201,000 20,201,000 21,927,000 21,927,000 121,724 28,589,000 28,589,000 29,382,000 29,143,000 150,509,000 37,581,000 38,765,000 40,330,000 38,765,000 150,499,000 39,782,000 39,782,000 32,636,000 36,441,000 156,767,000 156,767,000 42,066,000 44,510,000 41,541,000 183,556,000 42,737,000 42,737,000 47,719,000 47,719,000 51,109,000 51,109,000 196,928,000 40,477,000 40,477,000 54,774,000 54,774,000 53,000,000 53,000,000 276,783,000 276,783,000 67,803,000 67,803,000 26,939,000 71,250,000 71,250,000 69,873,000 208,079,000 208,079,000 51,880,000 51,880,000 40,434,000 40,434,000 49,046,000 49,046,000 127,997,000 127,997,000 38,776,000 38,776,000 36,363,000 36,363,000 35,352,000 35,352,000  20,091,000 19,692,000 19,692,000 18,252,000 18,252,000                     
      yoy
    145.16% 39.03% -69.10% 8.11% 17.86% 27.27% 310.34% -10.87% -10.87% -76.17% -69.71% 39.88% 39.88% 582.74% 437.07% -31.33% -31.33% -81.38% -99.91% 67.06% -99.88% 246.04% 0.28% 0.28% 34404.30% 34.25% 96852594.88% 70.62% 585.42% 62.29% -99.84% 16495.74% -29.34% -23.30% -25.37% -99.58% -81.01% -23.93% -24.20% -27.74% 288.26% -75.03% -2.56% 1.38% 18.78% 312.99% -74.62% -74.62% -22.42% -18.13% 277.38% -14.59% -1.57% 4.15% -12.95% 284.66% -16.38% -16.38% -75.77% 17.89% 26.27% -6.69% 259.53% -23.63% -23.63% -80.21% -80.21% -21.83% -21.83% 927.44% 288.47% -4.84% -2.96% -87.05% -65.76% 37.34% 34.68% 414.61% 414.61% 5.78% 5.78% -68.41% -68.41% 26.49% 26.49% 252.00% 252.00% 9.69% 9.69%  80.99% 79.52% 79.52%  10.08%                         
      qoq
    61.21% 39.53% 18.81% -8.27% -8.58% -68.98% 315.65% 0.00% -1.28% 0.00% -9.72% 0.00% -73.61% 27.12% 316.96% 0.00% 28.81% 0.00% -46.69% 0.00% -65.07% -99.52% 99900.00% -99.93% 99900.00% -99.86% 99900.00% -75.11% 289.09% 99900.00% -99.82% 0.00% -7.87% 0.00% 17913.70% -99.57% 0.00% -2.70% 0.82% -80.64% 300.49% -3.05% -3.88% 4.04% -74.24% 278.31% 0.00% 21.90% -10.44% -76.75% 0.00% 272.67% -5.49% 7.15% -77.37% 329.50% 0.00% -10.44% 0.00% -6.63% 0.00% -74.05% 386.52% 0.00% -26.10% 0.00% 3.35% 0.00% -80.85% 0.00% 308.22% 0.00% 151.69% -62.19% 0.00% 1.97% -66.42% 0.00% 301.08% 0.00% 28.31% 0.00% -17.56% 0.00% -61.68% 0.00% 230.09% 0.00% 6.64% 0.00% 2.86% 0.00%   2.03% 0.00% 7.89% 0.00%                      
      cost of sales:
                                                                                                                           
      direct production costs
    93,913,000 59,249,000 35,173,000 28,704,000 33,703,000 36,705,000 118,831,000 34,020,000 34,020,000 25,478,000 25,478,000 26,516,000 26,516,000 113,880,000 89,603,000 24,510,000 24,510,000 19,828,000 19,828,000 26,721,000 26,721,000 89,603,000 18,639,000,000 18,639,000 26,223,000,000 26,223,000 18,728,000,000 18,728,000 74,101,000       104,785 21,529,000 21,529,000 26,442,000 24,194,000 105,003,000 27,574,000 23,720,000 25,806,000 23,720,000 103,330,000 27,400,000 27,400,000 23,483,000 24,048,000 101,896,000 101,896,000 24,033,000 26,975,000 29,844,000 124,840,000 30,447,000 30,447,000 31,091,000 31,091,000 31,269,000 31,269,000 125,309,000 28,840,000 28,840,000 34,849,000 34,849,000 27,220,000 27,220,000 158,582,000 158,582,000 35,739,000 35,739,000  44,746,000 44,746,000 36,887,000 91,800,000 91,800,000 24,485,000 24,485,000 15,890,000 15,890,000 16,611,000 16,611,000 39,409,000 39,409,000 10,997,000 10,997,000 12,109,000 12,109,000 10,359,000 10,359,000                           
      royalties
    9,262,000 6,458,000 6,243,000 5,151,000 5,648,000 6,408,000 22,210,000 4,821,000 4,821,000 5,749,000 5,749,000 6,535,000 6,535,000 17,811,000 13,783,000 2,821,000 2,821,000 2,194,000 2,194,000 4,317,000 4,317,000 13,783,000 2,698,000,000 2,698,000 4,340,000,000 4,340,000 2,460,000,000 2,460,000 8,154,000 2,029,000 2,029 834,000 834,000 857,000 857,000 2,034 446,000 446,000 336,000 317,000 1,653,000 421,000 177,000 698,000 177,000 1,740,000 457,000 457,000 340,000 440,000 1,948,000 1,948,000 247,000 276,000 209,000 1,032,000 304,000 304,000 243,000 243,000 248,000 248,000 1,146,000 175,000 175,000 278,000 278,000 334,000 334,000 1,328,000 1,328,000 287,000 287,000  356,000 356,000 450,000 1,866,000 1,866,000 454,000 454,000 482,000 482,000 461,000 461,000 2,228,000 2,228,000 636,000 636,000 631,000 631,000 445,000 445,000                           
      share-based compensation
    132,000 136,000  73,000 74,000 79,000                                        202,000 63,000 63,000 92,000  78,000 78,000  230,000 56,000 432,000 109,000 109,000 167,000 167,000 73,000 73,000 537,000 140,000 140,000 219,000 219,000 68,000 68,000 515,000 515,000 131,000 131,000  202,000 202,000 75,000 545,000 545,000                                         
      depreciation
    23,915,000 15,010,000 9,206,000 7,032,000 8,639,000 8,877,000 27,885,000                                                                                                                 
      mine operating earnings
    15,609,000 7,744,000 12,842,000 12,483,000 10,196,000 11,656,000 36,611,000 2,692,000 2,692,000 12,542,000 12,542,000 16,025,000 16,025,000 51,525,000 36,368,000 5,129,000 5,129,000 4,472,000 4,472,000 20,269,000 20,269,000 36,368,000 8,277,000,000 8,277,000 10,205,000,000 10,205,000 5,664,000,000 5,664,000 27,335,000 6,291,000 6,291 3,116,000 3,116,000    -1,714,000    3,508,000  4,616,000 3,275,000 4,616,000 28,479,000 7,302,000 7,302,000 5,450,000 7,840,000 38,893,000 38,893,000 15,233,000 12,885,000 6,278,000 16,740,000 2,109,000 2,109,000 6,836,000 6,836,000 9,065,000 9,065,000 14,369,000 -3,591,000  4,354,000 4,354,000 11,305,000 11,305,000 56,915,000 56,915,000 21,748,000 21,748,000  6,414,000 6,414,000 18,892,000 77,953,000 77,953,000 20,442,000 20,442,000 19,518,000 19,518,000 23,419,000 23,419,000 68,800,000 68,800,000 22,132,000 22,132,000 19,244,000 19,244,000 20,570,000 20,570,000                           
      expenses:
                                                                                                                           
      exploration, evaluation and development
    7,258,000 4,922,000 4,538,000 4,707,000 4,290,000 4,270,000 15,113,000                                                                                                                 
      general and administrative
    6,537,000 7,607,000 4,274,000 3,982,000 4,240,000 4,044,000 12,363,000 2,358,000 2,358,000 2,358,000 2,358,000 4,917,000 4,917,000 10,613,000 10,063,000 2,201,000 2,201,000 1,348,000 1,348,000 4,297,000 4,297,000 10,063,000 -522,000,000  4,293,000,000 4,293,000 3,523,000,000 3,523,000 12,715,000 3,695,000 3,695 3,137,000 3,137,000 2,005,000 2,005,000 9,980 2,341,000 2,341,000 2,009,000 3,042,000 8,626,000 1,316,000 3,211,000 2,318,000 3,211,000 7,914,000 1,605,000 1,605,000 2,431,000 1,955,000 9,284,000 9,284,000 2,827,000 3,155,000 2,028,000 7,721,000 1,812,000 1,812,000 2,574,000 2,574,000 1,829,000 1,829,000 9,692,000 2,165,000 2,165,000 3,517,000 3,517,000 2,438,000 2,438,000 11,605,000 11,605,000 2,464,000 2,464,000  3,787,000 3,787,000 3,130,000 13,136,000 13,136,000 2,850,000 2,850,000 3,977,000 3,977,000 2,737,000 2,737,000 11,050,000 11,050,000 2,964,000 2,964,000 2,900,000 2,900,000 2,245,000 2,245,000 5,485,000 1,126,000 1,178,000 1,178,000 1,210,000 1,210,000 4,356,000 993,000 928,000 928,000 1,090,000  1,090,000 1,242,000 1,242,000 1,449,000 1,449,000 1,378,000 1,378,000 39,000 39,000 1,522,000 1,522,000 1,532,000 2,891 1,532,000 
      operating earnings
    1,814,000  4,030,000 3,794,000 1,666,000 3,342,000 8,700,000   5,390,000 5,390,000 6,944,000 6,944,000 23,464,000 22,230,000     12,566,000 12,566,000 22,230,000 3,038,000,000 3,038,000 832,000,000 832,000 14,281,000,000 14,281,000 -793,000 393,000 393 -4,597,000     -5,779,000    -17,501,000  -3,025,000 -1,066,000  7,667,000 2,265,000 2,265,000  2,549,000 19,231,000 19,231,000 10,045,000 7,822,000 3,051,000  -876,000  1,783,000 1,783,000 6,162,000 6,162,000 -91,502,000 -11,037,000  -1,969,000  6,699,000 6,699,000 -102,918,000  17,430,000 17,430,000  -2,351,000  11,572,000 53,632,000 53,632,000 14,172,000 14,172,000 13,431,000 13,431,000 18,870,000 18,870,000 47,543,000 47,543,000 16,075,000 16,075,000 13,752,000 13,752,000 17,192,000 17,192,000                           
      finance costs
    997,000 1,136,000 417,000 509,000 277,000 314,000 1,398,000 316,000 316,000 374,000 374,000 400,000 400,000 1,300,000 985,000 311,000 311,000 336,000 336,000 298,000 298,000 985,000 195,000,000 195,000 216,000,000 216,000 291,000,000 291,000 1,357,000 359,000 359 356,000 356,000 310,000 310,000 602 177,000 177,000 103,000 92,000 211,000 62,000 49,000 49,000 49,000 715,000 166,000 166,000 208,000 236,000 1,172,000 1,172,000 345,000 294,000 287,000 1,368,000 370,000 370,000 354,000 354,000 313,000 313,000 1,382,000 359,000 359,000 256,000 256,000 446,000 446,000 1,513,000 1,513,000 313,000 313,000 2,844,000 531,000 531,000 247,000 484,000 484,000 181,000 181,000 5,000 5,000 5,000 5,000 34,000 34,000 8,000 8,000 7,000 7,000 12,000 12,000                           
      other income:
                                                                                                                           
      foreign exchange gain
    602,000 673,000    1,179,000 4,709,000   1,855,000 1,855,000 1,889,000 1,889,000 1,853,000 -1,131,000 841,000 841,000                                                         3,929,000            -4,750,000        1,156,000 244,000 -521,000  430,000 430,000 -1,057,000  670,000 670,000 -915,000   -119,000  165,000 165,000 -462,000  908,000 908,000 1,459,000 1,459,000 192,000 560 192,000 
      loss on derivative contracts
                                                                                                                           
      investment and other
    156,000 681,000 1,451,000 5,875,000 570,000 33,000 -830,000     4,082,000 4,082,000  3,733,000     5,820,000 5,820,000 3,733,000 -2,462,000,000  1,802,000,000 1,802,000 2,751,000,000 2,751,000 2,649,000 678,000 678 605,000 605,000 49,000 49,000 579 79,000 79,000 16,000  926,000 99,000 143,000 69,000 143,000 502,000 -170,000  212,000 77,000      553,000     354,000 354,000 -546,000                                                         
      income before income taxes
                                                                                                                           
      income tax expense:
                                                                                                                           
      current income tax expense
    10,663,000 9,094,000 5,279,000 4,523,000 2,878,000 5,667,000 11,344,000 2,250,000 2,250,000 4,442,000 4,442,000 4,445,000 4,445,000 6,376,000 3,481,000 1,186,000 1,186,000 1,325,000 1,325,000 1,015,000 1,015,000 3,481,000 659,000,000 659,000 1,146,000,000 1,146,000 671,000,000 671,000 2,993,000 595,000 595 195,000 195,000 266,000 266,000 2,702 512,000 512,000 184,000 698,000 4,477,000 291,000 1,965,000 688,000 1,965,000 4,650,000 882,000 882,000 545,000 299,000 7,755,000 7,755,000    6,853,000 2,095,000 2,095,000 954,000 954,000 3,176,000 3,176,000 20,886,000 -171,000  3,250,000 3,250,000 2,942,000 2,942,000 13,970,000 13,970,000 2,729,000 2,729,000 31,000 4,363,000 4,363,000 1,836,000 15,834,000 15,834,000       8,778,000 8,778,000 1,557,000 1,557,000 3,930,000 3,930,000 3,331,000 3,331,000                           
      deferred income tax recovery
                                                                                                                           
      net income
                                                                                                                           
      yoy
                                                                                                                           
      qoq
                                                                                                                           
      net income margin %
    0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% 0% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      basic loss per share
                                                                                                                           
      diluted loss per share
                                                                                                                           
      basic and diluted weighted-average number of shares outstanding
    291,373,472 283,534,276                            156,265,280 156,265,280 147,862,393 147,862,393 141,810,208 141,810,208 135,367,129                   104,646,404 101,996,503 101,976,901 101,976,901   101,976,901 101,976,901 101,314,393           60,313,901                                              
      deferred income tax expense
          786,000 888,000 888,000 766,000 766,000 1,676,000 1,676,000 12,372,000 12,252,000 2,053,000 2,053,000 1,752,000 1,752,000 6,222,000 6,222,000 12,252,000 3,017,000,000 3,017,000 1,116,000,000 1,116,000 3,127,000,000 3,127,000 -5,206,000 556,000 556 -514,000  1,864,000 1,864,000 1,360 -567,000    -9,749,000  -2,415,000 -1,786,000       654,000 654,000    1,174,000 3,110,000 3,110,000 1,075,000 1,075,000 1,003,000 1,003,000 -42,827,000 -1,039,000  -4,644,000  -2,274,000  -20,464,000  1,341,000 1,341,000 4,009,000 -1,158,000  2,453,000 2,135,000 2,135,000       8,045,000 8,045,000 4,293,000 4,293,000 1,847,000 1,847,000 1,322,000 1,322,000                           
      share-based payments
      34,000    -74,000 44,000 44,000   132,000 132,000 442,000 421,000 113,000 113,000 113,000 113,000 127,000 127,000 421,000 105,000,000 105,000 111,000,000 111,000 118,000,000 118,000 330,000 87,000 87 92,000 92,000 91,000 91,000 195 50,000 50,000 53,000 55,000 -93,000  -130,000 37,000                                                                            
      loss on derivative liabilities
                                                                                                                           
      earnings before income taxes
         4,240,000 18,253,000 810,000 810,000 4,154,000 4,154,000 12,577,000 12,577,000 24,949,000 29,688,000 1,740,000 1,740,000   18,899,000 18,899,000 29,688,000 -803,000,000  8,918,000,000 8,918,000 16,047,000,000 16,047,000 -1,054,000 1,602,000 1,602 -3,608,000     -6,823,000    -17,711,000  -6,101,000 1,227,000  7,887,000 1,368,000 1,368,000 126,000 4,537,000 12,319,000 12,319,000 7,624,000 5,638,000 3,137,000  -8,874,000  1,055,000 1,055,000 5,536,000 5,536,000 -96,474,000 -12,596,000  -1,683,000  4,705,000 4,705,000 -95,959,000  16,367,000 16,367,000  2,844,000 2,844,000 18,646,000 60,086,000 60,086,000 5,621,000 5,621,000 12,006,000 12,006,000 25,167,000 25,167,000 35,578,000 35,578,000 8,947,000 8,947,000 22,743,000 22,743,000 5,138,000 5,138,000                           
      net income and comprehensive loss
                                                                                                                           
      basic weighted-average number of shares outstanding
      262,323,863 246,000,878 242,899,679 227,503,581 196,018,623  194,249,283  191,446,597 190,274,768 190,274,768 183,009,339 167,289,732 189,241,367 189,241,367 180,974,609 180,974,609 171,557,220 171,557,220 167,289,732 170,432,326 170,432,326 168,383,755 168,383,755 159,670,842 159,670,842 150,901,598        137,739,857 137,739,857 132,158,891 131,395,790 128,600,421 128,805,441 127,570,254 127,488,410 127,570,254 127,340,834 127,456,410 127,456,410  127,095,764 117,505,811 117,505,811 125,277,591 113,236,504     101,976,901 101,976,901    101,527,951 101,527,951 101,336,743  100,494,157 100,494,157 99,720,704 99,720,704 99,741,010 99,741,010  99,710,933  99,660,016 93,266,038 93,266,038 97,666,618 97,666,618 87,999,485 87,999,485 87,728,391  84,326,682  85,159,320  83,593,669  81,251,910 81,251,910 65,646,786                          
      diluted weighted-average number of shares outstanding
      262,323,863 246,000,878 242,899,679 227,503,581 197,764,799  194,249,283  191,446,597 192,295,971 192,295,971 185,349,634 170,663,883 189,241,367  184,569,970 184,569,970 174,438,202 174,438,202 170,663,883 173,689,576 173,689,576 172,195,942 172,195,942 163,742,420 163,742,420 154,039,714        137,739,857 137,739,857 132,158,891 131,395,790 128,600,421 128,805,441 127,570,254 127,827,863 127,570,254 127,957,573 127,851,198 127,851,198     127,414,848 114,661,697     101,976,901 101,976,901 101,976,901   101,527,951 101,527,951 102,048,413 102,048,413 101,435,506  99,720,704 99,720,704 100,637,952   99,710,933 99,710,933  95,728,031 95,728,031 99,322,475  90,775,352 90,775,352 90,926,807 90,926,807 86,364,543 86,364,543 87,599,601 87,599,601 88,777,750 88,777,750 83,491,553  69,122,226                          
      write off of mineral properties
          435,000   435,000 435,000   682,000 715,000                                                                                                         
      gain on asset disposal
          7,072,000 6,992,000 6,992,000 5,000 5,000 62,000 62,000 2,503,000 5,841,000 2,780,000 2,780,000     5,841,000                                                                                                  
      net earnings and comprehensive earnings
          6,123,000                                                                                                                 
      basic earnings per share
          0.03                                                                                       0.11                          
      diluted earnings per share
          0.03                                                                                       0.1                          
      net earnings and comprehensive earnings for the period
               6,456,000 6,456,000       11,662,000 11,662,000  -4,479,000,000  6,656,000,000 6,656,000 12,249,000,000 12,249,000                                                                                            
      write down of inventory to net realizable value
                 1,323,000 1,168,000 1,323,000 1,323,000     1,168,000   272,000,000 272,000   405,000 639,000 639 486,000 486,000 1,042,000 1,042,000 576 1,224,000 1,224,000 1,507,000 3,212,000 2,026,000 1,262,000 2,527,000 755,000 2,527,000  166,000 166,000        234,000       1,255,000 527,000 527,000 365,000 365,000   5,874,000 5,874,000    6,383,000 6,383,000 1,495,000 6,221,000 6,221,000 3,345,000 3,345,000                                       
      care and maintenance costs
                 580,000 1,356,000 203,000 203,000 189,000 189,000 190,000 190,000 1,356,000 364,000,000 364,000 55,000,000 55,000 521,000,000 521,000 5,233,000 533,000 533 2,911,000 2,911,000 1,345,000 1,345,000                                                                                     
      depreciation, depletion and amortization
           7,855,000 7,855,000 6,596,000 6,596,000 6,253,000 6,253,000 25,179,000 23,977,000 5,753,000 5,753,000 4,175,000 4,175,000 6,306,000 6,306,000 23,977,000 4,843,000,000 4,843,000 6,624,000,000 6,624,000 7,496,000,000 7,496,000 28,136,000 8,122,000 8,122 3,951,000 3,951,000 6,023,000 6,023,000 31,495 7,054,000 7,054,000 7,149,000 7,116,000                                                                                
      exploration and evaluation
           4,155,000 4,155,000 4,359,000 4,359,000 4,164,000 4,164,000 16,186,000 17,925,000 4,023,000 4,023,000 3,784,000 3,784,000 3,216,000 3,216,000 17,925,000 4,660,000,000 4,660,000 5,025,000,000 5,025,000 4,130,000,000 4,130,000                                                                                            
      basic earnings per share based on net earnings
               0.03 0.03 0.03 0.08     0.07 0.07 0.08 -0.03  0.04 0.04 0.08 0.08 0.01        -0.05    -0.1  -0.04 0.02  0.08 0.01 0.01  0.05   0.04 0.01     -0.01     -0.11    0.04  -0.9  0.12      0.45 0.45   0.09 0.09 0.23 0.23 0.22 0.22 0.04 0.04 0.2 0.2 0.01 0.01                           
      diluted earnings per share based on net earnings
               0.03 0.03 0.03 0.08     0.07 0.07 0.08 -0.03  0.04 0.04 0.07 0.07 0.01        -0.05    -0.1  -0.04 0.02  0.08 0.01 0.01   0.03 0.03 0.04 0.01 0.02    -0.01  0.01 0.01  -0.11    0.04 0.04 -0.9  0.12 0.12    0.13 0.42 0.42   0.06 0.06 0.22  0.22 0.22 0.04 0.04 0.12 0.12 0.01 0.01                           
      impairment (reversal of impairment) of non-current assets
                  -16,791,000                                                                                                         
      severance costs
                  870,000       870,000 737,000,000 737,000            4,589    1,100,000                                                                                
      net earnings and comprehensive earnings for the year
                 6,201,000 13,955,000       13,955,000       1,159,000                                                                                           
      write off of exploration properties
                     500,000 500,000   715,000                                                                                                  
      impairment (reversal of impairment) of non- current assets
                                                                                                                           
      diluted earnings per share based on net earnings 10
                                                                                                                           
      diluted weighted-average number of shares outstanding 10
                    189,241,367                                                                                                       
      foreign exchange
                       811,000 811,000  -1,184,000,000  659,000,000 659,000 -694,000,000  -1,553,000 890,000 890 740,000 740,000   101 -946,000  646,000  -81,000 1,906,000 -3,170,000 2,273,000  433,000 -561,000  868,000 2,147,000     514,000  -2,964,000  -704,000  -667,000  -1,709,000 -1,353,000  445,000 445,000 -257,000  -2,597,000  -1,191,000   -2,439,000  1,400,000 3,447,000 3,447,000 1,814,000 1,814,000 -3,463,000  4,630,000 4,630,000   -4,821,000  -118,000  1,687,000 1,687,000                           
      income tax expense
                                                                                   5,605,000 5,605,000 4,501,000 4,501,000 5,392,000 5,392,000                                   
      impairment reversal of non-current assets
                              -16,791,000,000                                                                                             
      gain on asset disposals
                            5,841,000,000 5,841,000                                                                                              
      exploration
                                9,756,000 1,670,000 1,670 1,665,000 1,665,000 2,382,000 2,382,000 12,001 1,724,000 1,724,000 3,207,000 2,333,000 12,383,000 3,965,000 4,430,000 2,023,000 4,430,000 12,898,000 3,432,000 3,432,000 3,765,000 3,336,000 10,378,000 10,378,000 2,361,000 1,908,000 1,199,000 6,327,000 1,173,000 1,173,000 2,479,000 2,479,000 1,074,000 1,074,000 12,548,000 4,900,000 4,900,000 2,806,000 2,806,000 2,168,000 2,168,000 13,168,000 13,168,000 1,854,000 1,854,000  4,978,000 4,978,000 4,190,000 11,185,000 11,185,000 3,420,000 3,420,000 2,110,000 2,110,000 1,812,000 1,812,000 10,207,000 10,207,000 3,093,000 3,093,000 2,592,000 2,592,000 1,133,000 1,133,000 4,283,000 1,189,000 1,375,000 1,375,000 821,000 821,000 2,394,000 647,000 426,000 426,000 157,000  157,000 3,148,000 3,148,000 2,661,000 2,661,000 2,083,000 2,083,000 1,112,000 1,112,000 1,331,000 1,331,000 1,770,000  1,770,000 
      impairment of non-current assets
                                424,000                           134,000,000       83,000,000       95,815,000 95,815,000                                                 
      write off of iva receivable
                                            -194,000                                                                               
      direct costs
                                 18,418,000 18,418 11,722,000 11,722,000 16,800,000 16,800,000                                                                                     
      net and comprehensive income for the period
                                 451,000 451                                                                                         
      basic and diluted earnings per share based on net earnings
                                   -0.02                       0.02  -0.14    0.01 0.01 -0.74                                   0.03 0.03                     
      net loss and comprehensive loss for the period
                                   -3,289,000                                                                                        
      net earnings for the year
                                            -12,439,000     9,684,000                 -74,533,000       -89,465,000                        7,079,000                          
      net earnings for the period
                                        -6,768,000      -5,651,000 2,325,000   996,000 996,000     5,586,000 1,699,000 1,829,000  -14,079,000  -974,000  1,357,000 1,357,000  -11,386,000  -289,000  4,037,000 4,037,000   12,297,000 12,297,000  -361,000  14,357,000 42,117,000 42,117,000 16,000 16,000 7,505,000 7,505,000 19,775,000 19,775,000 18,755,000  3,097,000  16,966,000  485,000 485,000  127,000 -412,000  1,720,000 1,720,000                     
      depreciation and depletion
                                            38,412,000 13,104,000 7,855,000 9,759,000 7,855,000 16,582,000 4,394,000 4,394,000 3,271,000 4,113,000 13,952,000 13,952,000 2,761,000 4,144,000 5,154,000 40,278,000 9,768,000 9,768,000 9,382,000 9,382,000 10,454,000 10,454,000 54,312,000 14,386,000 14,386,000 14,709,000 14,709,000 14,073,000 14,073,000 53,569,000 53,569,000      12,074,000 29,694,000 29,694,000 6,353,000 6,353,000             15,447,000 3,977,000 3,028,000 3,028,000 3,301,000 3,301,000 11,264,000 1,997,000 2,414,000 2,414,000 2,290,000  2,290,000       1,621,000 1,621,000 609,000 609,000 959,000 2,992 959,000 
      other comprehensive income, net of tax
                                                                                                                           
      reclassification for realized loss on other investments
                                                                                                                           
      unrealized gain on other investments
                                                                                                  72,000 116,000 116,000 548,000 548,000 -21,000                    
      total other comprehensive income for the year
                                                 83,000          4,640,000                                                                
      comprehensive income for the year
                                            -12,439,000     9,767,000     3,721,000 3,721,000           -75,210,000       -88,215,000                        7,986,000                          
      realized loss on other investments
                                                                                                                           
      total other comprehensive income for the period
                                                     17,000   4,000    5,418,000 5,418,000                                                              
      comprehensive income for the period
                                              -5,651,000 2,325,000   961,000 961,000 75,000 6,052,000   5,590,000 1,744,000 1,991,000  -8,661,000  -718,000  1,761,000 1,761,000  -12,108,000  -221,000  4,045,000 4,045,000   12,814,000 12,814,000  -4,603,000  11,518,000 38,486,000 38,486,000 1,337,000 1,337,000 3,825,000 3,825,000 20,088,000 20,088,000 15,611,000 15,611,000 481,000 481,000 16,729,000 16,729,000 873,000 873,000  32,000 -341,000  2,263,000 2,263,000 -1,389,000    -1,740,000   -7,324,000  -3,615,000  -2,424,000         
      write-down of inventory to net realizable value
                                                 166,000                                                                          
      other comprehensive income, net of tax:
                                                                                                                           
      unrealized gain on available-for-sale financial assets
                                                 155,000 -35,000  163,000 17,000                                                                      
      reclassification for realized loss on available-for-sale financial assets
                                                                                                                           
      available-for-sale financial assets reclassified to net loss
                                                           4,785,000                                                                
      deferred income tax
                                                  -510,000       459,000                                                                  
      reclassification for realized gain on available-for-sale financial assets
                                                                                                                           
      reclassification for realized gain on available- for-sale financial assets
                                                                                                                           
      other comprehensive income (loss), net of tax
                                                                                                                           
      realized (gain) on available-for-sale financial assets included in net income
                                                                                                                           
      net earnings (loss) for the period
                                                     6,035,000                                     18,755,000  3,097,000  16,966,000                             
      diluted earnings (loss) per share based on net earnings
                                                     0.05                                   0.22                                   
      diluted weighted average number of shares outstanding
                                                     128,523,833 119,030,666 119,030,666   105,071,404       101,976,901       101,435,506    100,637,952    101,507,642    99,322,475            83,491,553                           
      write down of available-for-sale financial assets
                                                                                                                           
      net earnings (loss) for the year
                                                      3,910,000 3,910,000                                                                    
      unrealized gain (loss) on available-for-sale financial assets
                                                      80,000 80,000                                                                    
      basic earnings (loss) per share based on net earnings
                                                      0.03 0.03                 0.04    0.12    0.14                                           
      write down of marketable securities
                                                            -4,785,000                                                               
      current income tax
                                                        2,731,000 3,480,000 1,411,000                                                                 
      unrealized gain on available for sale investments
                                                        4,000    633,000 633,000                                                              
      reclassification of gain on available for sale investments, included in the net loss
                                                                                                                           
      net change in fair value of available for sale investments
                                                         45,000 162,000    256,000 256,000 404,000 404,000 -677,000 -722,000  68,000 68,000 8,000 8,000 1,250,000 1,250,000 517,000 517,000  -4,242,000   -3,631,000  1,321,000 1,321,000 -3,680,000  313,000 313,000 -3,144,000  -2,616,000  -237,000  388,000 388,000                           
      mark-to-market loss on derivative liabilities
                                                                  1,434,000     1,434,000 1,434,000 -3,750,000  679,000 679,000     -1,928,000  1,728,000 1,728,000 -1,632,000  -143,000  13,658,000 13,658,000 5,777,000 5,777,000 -6,334,000  13,965,000 13,965,000                           
      mark-to-market loss on contingent liability
                                                                  -99,000 -126,000  -14,000  41,000 41,000 -8,398,000  127,000 127,000     589,000  5,005,000 5,005,000                                       
      write off of exploration property
                                                                  631,000 381,000 381,000                                                       
      investment and other income
                                                            121,000 121,000 330,000 330,000    27,000 27,000 83,000 83,000 184,000 184,000 -1,079,000  1,247,000 1,247,000  371,000 371,000 1,978,000 2,152,000 2,152,000 -106,000  411,000 411,000 1,529,000 1,529,000 6,477,000 6,477,000 3,478,000 3,478,000 2,782,000 2,782,000 236,000 236,000 478,000 117,000 95,000 95,000 74,000 74,000 506,000 43,000 7,000 7,000 189,000  189,000   74,000 74,000 143,000 143,000   251,000 251,000 294,000 1,094 294,000 
      reclassification of gain on available for sale
                                                                                                                           
      investments, included in the net loss
                                                            4,785,000 4,785,000                                                              
      impairment of goodwill
                                                                         39,245,000 39,245,000                                                 
      14
                                                                    44,068,000  50,420,000  41,695,000              20,916,000                                     
      mark-to-market loss/(gain) on derivative liabilities
                                                                              -2,386,000                                             
      mark-to-market loss/(gain) on contingent liability
                                                                              -5,408,000    589,000                                         
      basic weighted average number of shares outstanding
                                                                      101,336,743         99,710,933         87,728,391  84,326,682  85,159,320  83,593,669                             
      amortization and depletion
                                                                           12,566,000 12,566,000 2,526,000 13,149,000 13,149,000      4,328,000 4,328,000 8,496,000 8,496,000 17,094,000 17,094,000 4,841,000 4,841,000 4,247,000 4,247,000 3,943,000 3,943,000                           
      write down (recovery) of inventory to net realizable value
                                                                           -2,668,000                                                
      production costs, excluding amortization and depletion
                                                                             30,892,000                                              
      refining costs
                                                                             211,000                                              
      mine operating loss
                                                                                                                           
      loss on disposal of equipment
                                                                                                                           
      impairment reversal/
                                                                             3,973,000                                              
      net loss and comprehensive loss for the year
                                                                                                                           
      basic and diluted loss per share based on net earnings
                                                                                                   -0.01                        
      19
                                                                                  130,126,000                                         
      stock-based compensation
                                                                                   146,000 146,000 216,000 216,000 59,000 59,000 466,000 466,000 170,000 170,000 132,000 132,000 35,000 35,000 4,679,000 1,353,000 1,693,000 1,693,000 651,000 651,000 1,801,000 264,000 515,000 515,000 83,000  83,000 580,000 580,000 656,000 656,000 1,030,000 1,030,000 617,000 617,000 3,383,000 3,383,000 317,000 3,994 317,000 
      notes
                                                                                                                           
      revenues
                                                                                                 86,510,000                          
      cost of sales
                                                                                                 41,514,000 10,858,000 10,267,000 10,267,000 9,166,000 9,166,000 29,478,000 6,516,000 5,640,000 5,640,000 5,883,000  5,883,000 7,648,000 7,648,000 6,361,000 6,361,000 6,567,000 6,567,000 6,872,000 6,872,000 5,092,000 5,092,000 3,567,000 10,401 3,567,000 
      accretion of convertible debentures
                                                                                                 1,088,000 248,000 404,000 404,000 436,000 436,000 1,466,000 444,000 427,000 427,000 147,000  147,000              
      earnings before other items
                                                                                                 14,014,000                          
      realized gain on marketable securities
                                                                                                 195,000 142,000 47,000 47,000   15,000           743,000 743,000 163,000 163,000 280,000 280,000    
      mark to market gain on redemption call option
                                                                                                 703,000 413,000 115,000 115,000 175,000 175,000 2,693,000                    
      impairment on asset backed commercial paper
                                                                                                                           
      allowance for value added tax
                                                                                                                           
      earnings before taxes
                                                                                                 16,546,000 2,256,000 1,483,000 1,483,000 3,346,000 3,346,000                     
      income tax provision
                                                                                                 9,467,000      4,093,000               1,784,000 1,784,000  1,598  
      unrealized gain on marketable securities
                                                                                                 22,000  126,000 126,000 -100,000  150,000 119,000      -713,000  360,000 360,000 3,000 3,000   29,000 29,000 388,000  388,000 
      unrealized gain on notes receivable
                                                                                                 953,000                          
      unrealized foreign exchange gain on available for sale securities
                                                                                                 127,000                          
      reclassification adjustment for loss included in net income
                                                                                                 -195,000  -47,000    -15,000                    
      other comprehensive income, net of tax - sum
                                                                                                 907,000       386,000        -198,000           
      earnings
                                                                                                  1,340,000 1,747,000 1,747,000 2,667,000 2,667,000 10,000    -1,163,000                
      income tax recovery
                                                                                                   -1,895,000  -1,626,000   258,000 -395,000  149,000  149,000 -474,000  -1,051,000  -601,000         
      unrealized foreign exchange gain on investments
                                                                                                  29,000 -124,000  95,000 95,000 423,000                    
      realized gain on marketable securities included in net income
                                                                                                                           
      basic and diluted earnings per share
                                                                                                                           
      weighted average number of shares outstanding
                                                                                                  65,511,785  62,355,945       50,080,632   49,040,478  49,033,794  48,995,948  47,442,239    43,077,054  43,077,054 
      weighted-average number of shares outstanding
                                                                                                   62,355,945  61,156,943 61,156,943 53,212,960 52,082,469 51,806,160 51,806,160   50,080,632  49,040,478  49,033,794  48,995,948  47,442,239 45,512,687 45,512,687  37,713,913  
      sales
                                                                                                       50,769,000 9,796,000 8,236,000 8,236,000 8,487,000  8,487,000 10,613,000 10,613,000 10,060,000 10,060,000 10,729,000 10,729,000 7,686,000 7,686,000 6,385,000 6,385,000 7,230,000 17,768 7,230,000 
      write off of value added tax
                                                                                                                           
      earnings before taxes and other items
                                                                                                       2,167,000                    
      non-controlling interest
                                                                                                                         1,311  
      net loss for the period
                                                                                                       -1,926,000    -1,740,000                
      basic and diluted loss per share based on net loss
                                                                                                       -0.04    -0.03                
      operating
                                                                                                         -2,114,000                  
      (impairment) on asset backed commercial paper
                                                                                                              -1,394,000             
      loss before taxes
                                                                                                                           
      unrealized foreign exchange gain
                                                                                                        267,000                   
      reclassification adjustment for (gain) included in net income
                                                                                                                           
      comprehensive loss for the period
                                                                                                         -1,832,000                  
      income before taxes
                                                                                                         -1,437,000                  
      net income for the period
                                                                                                         -1,832,000                  
      basic and diluted loss per share based on net income
                                                                                                         -0.04                  
      gain on convertible debentures redeemable option
                                                                                                                           
      loss before taxes and other items
                                                                                                           -1,889,000              1,239  
      comprehensive income (loss) for the period
                                                                                                                           
      depreciation, depletion and accretion
                                                                                                              2,558,000 2,558,000 1,769,000 1,769,000 1,505,000 1,505,000        
      operating profit
                                                                                                              -4,563,000  -2,836,000  -1,834,000         
      yoy
                                                                                                              148.80%             
      qoq
                                                                                                                           
      operating margin %
    0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% 0% NaN% 0% 0% 0% 0% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% -Infinity% NaN% -Infinity% NaN% -Infinity% NaN% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      gain (loss) on marketable securities
                                                                                                              -816,000             
      investment and other expenses
                                                                                                              -61,000             
      income (loss) before taxes and other items
                                                                                                              -6,953,000  -2,366,000  -1,410,000         
      income (loss) for the period
                                                                                                              -7,427,000  -3,417,000  -2,011,000         
      reclassification adjustment for gain included in net income
                                                                                                              816,000 816,000 -558,000  -416,000  291,000 291,000      
      basic and diluted loss per share based on income
                                                                                                              -0.15  -0.07  -0.04         
      gain on marketable securities
                                                                                                                231,000 231,000          
      income before taxes and other items
                                                                                                                           
      income for the period
                                                                                                                           
      income from property option interest
                                                                                                                         138  
      corporate development
                                                                                                                      298,000 298,000 35,000 521 35,000 
      basic and diluted loss per share
                                                                                                                         0.11  
      impairment of mineral properties
                                                                                                                           
      operating income
                                                                                                                         3,031  
      loss for the period
                                                                                                                         4,148  
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2024-03-11 2023-12-31 2023-11-07 2023-09-30 2023-08-08 2023-06-30 2023-05-10 2023-03-31 2023-03-02 2022-12-31 2022-11-08 2022-09-30 2022-08-09 2022-06-30 2022-05-11 2022-03-31 2022-03-10 2021-12-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-05-07 2020-03-31 2020-02-24 2019-12-31 2019-09-30 2019-06-30 2019-05-06 2019-03-31 2018-12-31 2018-10-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2017-03-02 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-08-15 2013-06-30 2013-05-06 2013-03-31 2012-12-31 2012-11-06 2012-09-30 2012-08-07 2012-06-30 2012-05-08 2012-03-31 2011-12-31 2011-11-02 2011-09-30 2011-07-19 2011-06-30 2011-05-05 2011-03-31 2010-12-31 2010-09-30 2010-08-05 2010-06-30 2010-05-10 2010-03-31 2010-03-23 2010-01-01 2009-12-31 2009-09-30 2009-06-30 2009-05-14 2009-03-31 2008-11-14 2008-09-30 2008-08-13 2008-06-30 2008-05-06 2008-03-31 2007-11-15 2007-09-30 2007-08-15 2007-06-30 2007-05-15 2007-03-31 2006-12-31 
                                                                                                                
        notes
                                                                                                                
        assets
                                                                                                                
        current assets
                                                                                                                
        cash and cash equivalents
      57,027,000 52,200,000 64,697,000 54,934,000 68,097,000 34,876,000 35,286,000 35,286,000 40,957,000 40,957,000 43,504,000 43,504,000 61,650,000 61,650,000 83,391,000 83,391,000 69,193,000 69,193,000 116,226,000 116,226,000 151,014,000 151,014,000 103,303,000 103,303,000 101,076,000 125,191,000 85,989,000 61,083,000,000 44,917 30,498,000 14,990,000 14,990,000 23,368 21,986,000 21,986,000 23,106,000 23,106,000 21,776,000 33,376,000,000 38,277,000 28,604,000,000 31,057,000,000 38,277,000 38,277,000,000 43,548,000 52,237,000 70,485,000 72,317,000 72,317,000 83,240,000 56,848,000 20,385,000 20,413,000 22,812,000 31,780,000 26,300,000 31,045,000 29,137,000 44,038,000 44,295,000 35,004,000 25,201,000 6,220,000 22,309,000 28,365,000 28,365,000 18,617,000 17,185,000 17,185,000 115,444,000 115,444,000 101,384,000 101,384,000 75,434,000 92,800,000 92,800,000 77,741,000 77,741,000 67,873,000 67,873,000 68,037,000 19,646,000 21,376,000 21,376,000 23,545,000 23,545,000 26,702,000 26,702 26,702,000 3,304,000 6,916,000 7,783,000 7,783,000 3,117,000 3,117,000 8,352,000 8,352,000 14,861,000 14,861,000 20,327,000 20,327,000 24,130,000 24,130,000 31,167,000 31,167,000 37,137 
        other investments
      1,096,000 595,000 1,213,000 666,000 558,000 1,631,000 5,135,000 5,135,000 6,192,000 6,192,000 8,136,000 8,136,000 13,132,000 13,132,000 8,647,000 8,647,000 8,146,000 8,146,000 8,293,000 8,293,000 13,891,000 13,891,000 11,200,000 11,200,000 7,047,000 10,024,000 3,712,000 4,767,000,000 259 183,000 76,000 76,000 69 64,000 64,000 61,000 61,000 116,000 88,000,000  108,000,000 122,000,000 168,000                                                                
        accounts and other receivables
      19,925,000 18,750,000 10,450,000 19,471,000 26,983,000 44,251,000 22,276,000 22,276,000 16,664,000 16,664,000 17,567,000 17,567,000 15,610,000 15,610,000 13,136,000 13,136,000                                                                                           
        inventories
      58,350,000 60,020,000 39,055,000 24,029,000 23,798,000 21,322,000 27,258,000 27,258,000 27,601,000 27,601,000 30,531,000 30,531,000 23,305,000 23,305,000 19,184,000 19,184,000 36,528,000 36,528,000 35,664,000 35,664,000 25,011,000 25,011,000 27,485,000 27,485,000 30,504,000 23,929,000 21,774,000 16,640,000,000 17,571 13,823,000 13,072,000 13,072,000 13,589 17,865,000 17,865,000 15,053,000 15,053,000 14,888,000 14,894,000,000 13,131,000 12,230,000,000 12,553,000,000 13,131,000 13,131,000,000 14,020,000 15,055,000 12,688,000 13,431,000 13,431,000 11,995,000 12,608,000 16,027,000 17,350,000 18,905,000 19,173,000 19,297,000 21,604,000 27,031,000 24,117,000 27,160,000 23,647,000 32,007,000 9,270,000 27,941,000 39,993,000 39,993,000 40,797,000 42,885,000 42,885,000 33,326,000 33,326,000 32,517,000 32,517,000 34,195,000 20,948,000 20,948,000 17,568,000 17,568,000 15,270,000 15,270,000 12,971,000 11,023,000 8,944,000 8,944,000 7,659,000 7,659,000 6,100,000 6,100 6,100,000 8,660,000 6,365,000 3,768,000 3,768,000 2,949,000 2,949,000 2,908,000 2,908,000 2,187,000 2,187,000 4,093,000 4,093,000 3,980,000 3,980,000 3,056,000 3,056,000 3,797 
        iva receivables
      59,043,000 53,959,000                                                                                                         
        derivative assets
      3,650,000 2,782,000                                                                                                         
        prepaids and other current assets
      8,840,000 9,571,000 5,211,000                                                                                                        
        total current assets
      207,931,000 197,877,000 120,626,000 104,120,000 127,506,000 111,769,000 100,773,000 100,773,000 131,436,000 131,436,000 126,678,000 126,678,000 138,862,000 138,862,000 146,333,000 146,333,000 139,925,000 139,925,000 186,454,000 186,454,000 209,011,000 209,011,000 161,762,000 161,762,000 161,098,000 182,653,000 149,172,000 104,970,000,000 81,937 65,702,000 50,742,000 50,742,000 63,278 71,110,000 71,110,000 67,077,000 67,077,000 67,029,000 78,009,000,000 88,499,000 78,986,000,000 80,837,000,000 88,499,000 88,499,000,000 94,327,000 99,559,000 111,682,000 113,430,000 113,430,000 122,497,000 102,345,000 67,428,000 65,230,000 61,366,000 71,308,000 72,345,000 75,806,000 89,536,000 99,212,000 96,795,000 87,204,000 91,100,000 44,734,000 89,532,000 118,214,000 118,214,000 98,400,000 95,287,000 95,287,000 174,565,000 174,565,000 173,284,000 173,284,000 154,893,000 159,451,000 159,451,000 148,569,000 148,569,000 136,399,000 136,399,000 115,166,000 51,663,000 51,582,000 51,582,000 48,535,000 48,535,000 45,033,000 45,033 45,033,000 19,839,000 20,444,000 20,755,000 20,755,000 17,664,000 17,664,000 24,316,000 24,316,000 27,710,000 27,710,000 38,745,000 38,745,000 39,411,000 39,411,000 41,776,000 41,776,000 48,094 
        non-current income tax receivable
      3,939,000 3,833,000 3,564,000 3,668,000 3,940,000 4,341,000 4,262,000 4,262,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000 3,570,000                                                                                     
        non-current iva receivable
      1,761,000 1,543,000 37,643,000 25,969,000 20,313,000 10,769,000 23,320,000 23,320,000 17,476,000 17,476,000 14,695,000 14,695,000 12,055,000 12,055,000 10,154,000 10,154,000 7,507,000 7,507,000 7,528,000 7,528,000 5,545,000 5,545,000 4,256,000 4,256,000    2,676,000,000 2,983 2,812,000 1,080,000 1,080,000 2,048                                                                          
        non-current derivative assets
      644,000 870,000                                                                                                         
        other non-current assets
      8,677,000 8,655,000 13,838,000 32,231,000 43,122,000 31,210,000 21,670,000 21,670,000                                                                                                   
        mineral properties, plant and equipment
      794,074,000 783,115,000 551,138,000 441,224,000 382,052,000 342,409,000 314,657,000 314,657,000 276,864,000 276,864,000 256,307,000 256,307,000 243,430,000 243,430,000 233,892,000 233,892,000 215,863,000 215,863,000 141,806,000 141,806,000 131,906,000 131,906,000 122,197,000 122,197,000 108,133,000 87,845,000 86,559,000 87,955,000,000 90,008 90,273,000 90,399,000 90,399,000 88,333 87,574,000 87,574,000 83,468,000 83,468,000 84,346,000 88,777,000,000 88,816,000 89,505,000,000 92,155,000,000 88,816,000 88,816,000,000 85,181,000 78,957,000 70,990,000 66,238,000 66,238,000 56,193,000 53,419,000 46,773,000 47,925,000 182,254,000 182,111,000 181,470,000 182,730,000 263,897,000 269,038,000    84,813,000                                            
        total assets
      1,017,026,000 995,893,000 727,988,000 611,396,000 582,829,000 510,188,000 474,807,000 474,807,000 433,155,000 433,155,000 405,010,000 405,010,000 401,945,000 401,945,000 399,437,000 399,437,000 372,704,000 372,704,000 343,510,000 343,510,000 355,331,000 355,331,000 294,024,000 294,024,000 282,613,000 286,874,000 253,384,000 210,592,000,000 182,617 167,160,000 150,264,000 150,264,000 163,713 172,782,000 172,782,000 16,000 16,000 164,697,000 177,047,000,000 178,580,000 176,369,000,000 177,929,000,000 178,580,000 178,580,000,000 181,069,000 179,750,000 184,373,000 180,510,000 180,510,000 179,488,000 156,638,000 115,245,000 114,233,000 248,804,000 261,526,000 261,505,000 265,837,000 354,536,000 369,327,000 370,300,000 366,923,000 510,020,000 129,547,000 503,219,000 513,280,000 513,280,000 477,527,000 424,179,000 424,179,000 281,609,000 281,609,000 273,161,000 273,161,000 249,021,000 244,149,000 244,149,000 229,469,000 229,469,000 210,548,000 210,548,000 188,423,000 123,003,000 118,458,000 118,458,000 111,978,000 111,978,000 105,881,000 105,881 105,881,000 78,080,000 76,588,000 74,916,000 74,916,000 73,652,000 73,652,000 81,286,000 81,286,000 82,014,000 82,014,000 83,892,000 83,892,000 79,807,000 79,807,000 67,694,000 67,694,000 73,340 
        liabilities and shareholders' equity
                                                                                                                
        current liabilities
                                                                                                                
        accounts payable, accrued liabilities and other
      109,565,000 103,411,000                                                                                                         
        income taxes payable
      25,725,000 19,042,000 10,720,000 11,590,000  7,930,000 7,801,000 7,801,000 7,296,000 7,296,000 7,289,000 7,289,000 4,677,000 4,677,000 6,616,000 6,616,000 4,631,000 4,631,000 4,995,000 4,995,000 2,901,000 2,901,000 4,228,000 4,228,000 3,146,000 2,681,000 2,005,000 3,038,000,000 1,107 695,000 1,062,000 1,062,000 1,947 1,701,000 1,701,000 1,801,000 1,801,000 2,118,000 4,050,000,000 3,185,000 2,639,000,000 2,339,000,000 3,185,000 3,185,000,000 1,719,000 1,863,000 3,307,000 4,631,000 4,631,000 4,147,000 4,191,000 3,353,000 5,844,000 2,860,000 2,876,000 1,884,000 8,181,000 3,176,000 2,815,000 2,484,000 3,259,000 1,370,000  1,490,000 4,173,000 4,173,000 3,854,000 6,722,000 6,722,000 3,511,000 3,511,000 6,310,000 6,310,000 3,482,000 5,525,000 5,525,000 4,935,000 4,935,000 6,589,000 6,589,000 3,260,000 1,653,000 521,000 521,000 231,000 231,000 545,000 545 545,000 224,000 753,000 91,000 91,000 708,000 708,000 896,000 896,000 1,105,000 1,105,000 192,000 192,000 786,000 786,000 703,000 703,000 
        precious metal prepayments obligation
      14,630,000 13,501,000                                                                                                         
        loans payable
      44,301,000 39,508,000 10,139,000 3,368,000  3,514,000 3,861,000 3,861,000 4,339,000 4,339,000 5,000,000 5,000,000 5,607,000 5,607,000 6,041,000 6,041,000 5,791,000 5,791,000 5,179,000 5,179,000 4,805,000 4,805,000 4,128,000 4,128,000 3,131,000 3,251,000 3,433,000 3,578,000,000 3,783 3,621,000 3,946,000 3,946,000 2,958 2,646,000 2,646,000 895,000 895,000 331,000                                                                     
        copper stream liability
      6,107,000 5,445,000                                                                                                         
        derivative liabilities
      63,661,000 32,319,000 25,416,000                                                          1,491,000 2,177,000  1,498,000 3,884,000 3,884,000 5,336,000 7,217,000 7,217,000 6,418,000 6,418,000 9,836,000 9,836,000 13,130,000 20,447,000 20,447,000 23,869,000 23,869,000 41,434,000 41,434,000                           
        total current liabilities
      263,989,000 213,226,000 105,827,000 74,744,000  55,357,000 58,244,000 58,244,000 55,487,000 55,487,000 48,439,000 48,439,000 46,049,000 46,049,000 52,749,000 52,749,000 38,307,000 38,307,000 36,733,000 36,733,000 40,658,000 40,658,000 40,554,000 40,554,000 32,427,000 35,820,000 36,094,000 34,553,000,000 28,104 21,123,000 23,560,000 23,560,000 24,844 21,664,000 21,664,000 20,455,000 20,455,000 20,272,000 23,520,000,000 22,253,000 21,566,000,000 21,941,000,000 22,253,000 22,253,000,000 24,041,000 24,406,000 29,986,000 31,860,000 31,860,000 30,561,000 30,199,000 38,137,000 47,973,000 41,009,000 44,594,000 46,542,000 54,589,000 49,696,000 52,466,000 50,416,000 54,971,000 64,261,000 72,956,000 72,636,000 76,228,000 76,228,000 47,485,000 33,482,000 33,482,000 15,532,000 15,532,000 14,744,000 14,744,000 12,566,000 13,756,000 13,756,000 15,012,000 15,012,000 14,882,000 14,882,000 12,955,000 9,202,000 9,198,000 9,198,000 6,377,000 6,377,000 6,260,000 6,260 6,260,000 7,880,000 6,726,000 5,015,000 5,015,000 6,794,000 6,794,000 7,564,000 7,564,000 6,165,000 6,165,000 5,391,000 5,391,000 3,278,000 3,278,000 4,189,000 4,189,000 3,546 
        non-current loans payable
      114,763,000 122,098,000 112,301,000                                                                                                        
        provisions for reclamation and rehabilitation
      23,760,000 23,183,000 12,135,000                                                                                                        
        deferred income tax liability
      21,368,000 27,534,000 10,101,000 12,822,000  13,599,000 13,730,000 13,730,000 16,273,000 16,273,000 15,386,000 15,386,000 14,620,000 14,620,000 12,944,000 12,944,000 10,597,000 10,597,000 8,545,000 8,545,000 6,792,000 6,792,000 1,506,000 1,506,000 1,080,000 1,080,000 1,159,000 1,077,000,000 778 788,000 656,000 656,000 682 498,000 498,000 553,000 553,000 360,000 335,000,000 1,592,000 1,156,000,000 1,037,000,000 1,592,000 1,592,000,000 5,704,000 5,912,000 6,739,000 7,545,000 7,545,000 6,689,000 7,204,000 7,335,000 7,623,000 15,556,000 15,473,000 13,927,000 12,479,000 41,096,000 42,134,000 46,778,000 49,053,000 72,152,000 9,988,000 70,812,000 71,970,000 71,970,000 69,517,000 39,064,000 39,064,000 24,217,000 24,217,000 21,429,000 21,429,000 20,806,000 19,778,000 19,778,000 17,073,000 17,073,000 15,078,000 15,078,000                           
        non-current copper stream liability
      30,538,000 30,370,000                                                                                                         
        non-current derivative liabilities
      42,317,000 38,952,000 33,298,000                                                                                                        
        contingent payment
      8,430,000 8,119,000                                                                                                         
        other non-current liabilities
      3,057,000 3,325,000 2,280,000 2,470,000  2,997,000 2,514,000 2,514,000 1,016,000 1,016,000 1,063,000 1,063,000 1,020,000 1,020,000 968,000 968,000                                                                                           
        total liabilities
      508,222,000 466,807,000 275,942,000 198,356,000  84,961,000 88,466,000 88,466,000 88,536,000 88,536,000 81,633,000 81,633,000 78,570,000 78,570,000 83,543,000 83,543,000 65,418,000 65,418,000 61,001,000 61,001,000 63,298,000 63,298,000 56,617,000 56,617,000 45,589,000 46,740,000 47,766,000 51,521,000,000 45,407 38,834,000 41,248,000 41,248,000 40,920 36,603,000 36,603,000 32,328,000 32,328,000 30,709,000 32,267,000,000  31,041,000,000 31,264,000,000  32,063,000,000 37,904,000 38,207,000 44,592,000 47,251,000 47,251,000 46,575,000 49,207,000 53,255,000 63,358,000 63,140,000 66,616,000 66,991,000 73,564,000 97,473,000 101,398,000 103,996,000 110,775,000 143,664,000 87,572,000 150,563,000 160,710,000 160,710,000 137,331,000 98,215,000 98,215,000 48,906,000 48,906,000 48,743,000 48,743,000 49,231,000 56,527,000 56,527,000 58,493,000 58,493,000 73,926,000 73,926,000 29,410,000 24,878,000 29,396,000 29,396,000 26,012,000 26,012,000 24,500,000 24,500 24,500,000 21,278,000 19,668,000 17,184,000 17,184,000 14,336,000 14,336,000 15,227,000 15,227,000 13,000,000 13,000,000 11,377,000 11,377,000 7,209,000 7,209,000 7,943,000 7,943,000 8,121 
        shareholders' equity
                                                                                                                
        common shares
      971,435,000 947,527,000 850,986,000 780,200,000                                                                                                       
        contributed surplus
      4,842,000 7,076,000 6,122,000 6,020,000  5,726,000 4,556,000 4,556,000 4,597,000 4,597,000 3,793,000 3,793,000 3,973,000 3,973,000 6,115,000 6,115,000 5,543,000 5,543,000 5,349,000 5,349,000 5,106,000 5,106,000 6,331,000 6,331,000 5,689,000 5,153,000 7,208,000 9,662,000,000 9,638 11,668,000 12,221,000 12,221,000 11,482 10,900,000 10,900,000 10,358,000 10,358,000 10,675,000 9,676,000,000 8,747,000 9,144,000,000 8,468,000,000 8,747,000 8,747,000,000 8,373,000 7,712,000 7,050,000 6,689,000 6,689,000 6,319,000 8,327,000 9,908,000 9,465,000 8,909,000 8,335,000 8,900,000 8,430,000 16,628,000 15,795,000 14,620,000 14,836,000 14,128,000 6,987,000 13,329,000 12,042,000 12,042,000 12,828,000 11,955,000 11,955,000 11,497,000 11,497,000 9,553,000 9,553,000 8,819,000 7,400,000 7,400,000 6,498,000 6,498,000 6,155,000 6,155,000 13,635,000 13,788,000 14,007,000 14,007,000 12,799,000 12,799,000 12,948,000 12,948 12,948,000 12,258,000 12,003,000 11,755,000 11,755,000 11,137,000 11,137,000 10,556,000 10,556,000 9,926,000 9,926,000 8,694,000 8,694,000 8,105,000 8,105,000 4,763,000 4,763,000 5,868 
        retained deficit
            -340,910,000 -340,910,000                                                                                                   
        total shareholders' equity
      508,804,000 529,086,000 452,046,000 413,040,000  425,227,000 386,341,000 386,341,000 344,619,000 344,619,000 323,377,000 323,377,000 323,375,000 323,375,000  315,894,000 307,286,000 307,286,000 282,509,000 282,509,000 292,033,000 292,033,000   237,024,000 240,134,000 205,618,000 159,071,000,000 137,210 128,326,000 109,016,000 109,016,000 122,793 136,179,000 136,179,000 132,015,000 132,015,000 133,988,000 144,780,000,000  145,328,000,000 146,665,000,000 146,517,000 146,517,000,000 143,165,000 141,543,000 139,781,000 133,259,000 133,259,000 132,913,000 107,431,000 61,990,000 50,875,000 185,664,000 194,910,000 194,514,000 192,273,000 257,063,000 267,929,000 266,304,000 256,148,000 366,356,000 41,975,000 352,656,000 352,570,000 352,570,000 340,196,000 325,964,000 325,964,000 232,703,000 232,703,000 224,418,000 224,418,000 199,790,000 187,622,000 187,622,000 170,976,000 170,976,000 136,622,000 136,622,000 159,013,000 98,125,000 89,062,000 89,062,000 85,966,000 85,966,000 81,381,000 81,381 81,381,000 56,802,000 56,920,000 57,732,000 57,732,000 59,316,000 59,316,000 66,059,000 66,059,000 69,014,000 69,014,000 72,515,000 72,515,000 72,598,000 72,598,000 57,070,000 57,070,000 63,908 
        total liabilities and shareholders' equity
      1,017,026,000 995,893,000 727,988,000 611,396,000  510,188,000 474,807,000 474,807,000 433,155,000 433,155,000 405,010,000 405,010,000 401,945,000 401,945,000  399,437,000 372,704,000 372,704,000 343,510,000 343,510,000 355,331,000 355,331,000   282,613,000 286,874,000 253,384,000 210,592,000,000 182,617 167,160,000 150,264,000 150,264,000 163,713 172,782,000 172,782,000 164,343,000 164,343,000 164,697,000 177,047,000,000 178,580,000 176,369,000,000 177,929,000,000 178,580,000 178,580,000,000 181,069,000 179,750,000 184,373,000 180,510,000 180,510,000 179,488,000 156,638,000 115,245,000 114,233,000 248,804,000 261,526,000 261,505,000 265,837,000 354,536,000 369,327,000 370,300,000 366,923,000 510,020,000 129,547,000 503,219,000 513,280,000 513,280,000 477,527,000 424,179,000 424,179,000 281,609,000 281,609,000 273,161,000 273,161,000 249,021,000 244,149,000 244,149,000 229,469,000 229,469,000 210,548,000 210,548,000                           
        non-current loan receivable
        1,179,000    1,874,000 1,874,000                                                                                                   
        accounts payable, accrued liabilities and other current liabilities
        59,552,000 50,564,000  43,913,000                                                                                                     
        income tax receivable
         26,000 1,729,000 2,893,000 3,268,000 3,268,000 1,264,000 1,264,000 166,000 166,000 1,861,000 1,861,000 4,024,000 4,024,000 2,474,000 2,474,000 1,219,000 1,219,000 171,000 171,000 177,000 177,000 67,000 61,000 27,000 52,000,000 77 3,440,000 3,328,000 3,328,000                                                                           
        prepaids and other assets
         4,994,000 6,341,000 6,796,000                                                                                                     
        non-current loans receivable
         1,080,000 1,758,000 1,449,000   2,273,000 2,273,000 2,186,000 2,186,000 2,722,000 2,722,000 2,729,000 2,729,000 2,718,000 2,718,000                                                                                         
        deferred financing fees
         3,104,000 4,138,000 8,241,000 7,545,000 7,545,000                                                                                                   
        derivative liability
         9,222,000                                                                                                       
        provision for reclamation and rehabilitation
         9,237,000  9,191,000 8,745,000  9,582,000 9,582,000 9,574,000 9,574,000 8,766,000 8,766,000 7,601,000 7,601,000 7,592,000 7,592,000 7,576,000 7,576,000 7,554,000 7,554,000 7,397,000  7,433,000 4,383,000 4,357,000  8,683 8,590,000 8,496,000  8,403  8,351,000  8,299,000      7,982,000  7,910,000 7,889,000 7,867,000 7,846,000 7,846,000 7,825,000 7,804,000 7,783,000 7,762,000 6,575,000 6,549,000 6,522,000   6,672,000 6,662,000  6,526,000 1,936,000 6,516,000 6,506,000   5,539,000 5,539,000 2,739,000 2,739,000 2,734,000 2,734,000 2,729,000 2,546,000 2,546,000 2,539,000 2,539,000 2,532,000 2,532,000                           
        common shares, unlimited shares authorized
           761,605,000                                                                                                     
        prepaids and other asets
            7,550,000 7,550,000                                                                                                   
        non-current other investments
                    1,388,000 1,388,000 1,993,000 1,993,000 2,943,000 2,943,000 4,037,000 4,037,000                                                                                     
        right-of-use leased assets
            706,000 706,000 819,000 819,000 914,000 914,000 809,000 809,000 806,000 806,000 563,000 563,000 614,000 614,000 665,000 665,000 664,000 664,000 711,000 757,000 725,000 861,000,000 1,014 1,152,000 1,243,000 1,243,000 1,337 1,509,000 1,509,000 1,625,000 1,625,000 1,783,000                                                                     
        accounts payable and accrued liabilities
            46,146,000 46,146,000 43,416,000 43,416,000 35,719,000 35,719,000 35,453,000 35,453,000 39,831,000 39,831,000 27,740,000 27,740,000 26,383,000 26,383,000 32,748,000 32,748,000 31,991,000 31,991,000 25,950,000 29,687,000 25,867,000 27,764,000,000 23,048 16,649,000 18,392,000 18,392,000 19,775 17,104,000 17,104,000 17,538,000 17,538,000 17,613,000 19,470,000,000 19,068,000 18,927,000,000 19,602,000,000 19,068,000 19,068,000,000 20,822,000 18,543,000 20,179,000 18,229,000 18,229,000 16,138,000 14,248,000 14,830,000 18,949,000 15,223,000 16,019,000 15,658,000 17,408,000 19,520,000 20,651,000 15,932,000 17,221,000 21,714,000 6,658,000 30,648,000 35,171,000 35,171,000 34,631,000 26,760,000 26,760,000 12,021,000 12,021,000 8,434,000 8,434,000 9,084,000 8,231,000 8,231,000 10,077,000 10,077,000 8,293,000 8,293,000 9,464,000 7,318,000 8,246,000 8,246,000 5,680,000 5,680,000 5,230,000 5,230 5,230,000 7,175,000 5,490,000 4,823,000 4,823,000 6,086,000 6,086,000 6,668,000 6,668,000 5,060,000 5,060,000 5,199,000 5,199,000 2,492,000 2,492,000 3,486,000 3,486,000 3,541 
        lease liabilities
            436,000 436,000 436,000 436,000 431,000 431,000 312,000 312,000 261,000 261,000 145,000 145,000 176,000 176,000 204,000 204,000 207,000 207,000 200,000 201,000 174,000 173,000,000 166 158,000 160,000 160,000 164 213,000 213,000 221,000 221,000 210,000                                                                     
        common shares, unlimited shares authorized, no par value, issued, issuable
                                                                                                                
        and outstanding 217,245,492 shares
            722,695,000 722,695,000                                                                                                   
        benefit from reclamation and rehabilitation
             8,745,000                7,397,000    8,876,000,000    8,496,000  8,351,000  8,299,000  8,247,000 8,195,000,000  8,095,000,000 8,057,000,000  7,982,000,000             6,496,000 6,681,000   6,652,000     6,506,000 6,496,000                     1,740                   
        prepaids
              37,508,000 37,508,000                                                                                                 
        loans receivable
              1,250,000 1,250,000 1,250,000 1,250,000 1,000,000 1,000,000 1,000,000 1,000,000 914,000 914,000                                                                                         
        non-current deposits
              717,000 717,000 660,000 660,000 497,000 497,000 565,000 565,000 565,000 565,000 595,000 595,000 597,000 597,000 599,000 599,000    591,000,000 591 591,000 593,000 593,000 606 606,000 606,000 607,000 607,000 609,000 1,114,000,000 610,000 609,000,000 609,000,000 610,000 610,000,000 665,000 665,000 659,000 659,000 659,000 798,000 874,000 924,000 855,000 855,000 938,000 993,000 1,048,000 1,103,000 1,077,000 1,131,000 1,186,000 1,042,000  1,054,000 1,121,000 1,121,000 1,451,000 1,517,000 1,517,000 776,000 776,000  784,000                                  
        and outstanding 199,700,826 shares
              684,736,000 684,736,000                                                                                                 
        retained earnings
                    -348,087,000             -368,302,000,000           -324,005,000,000  -320,344,000,000 -314,917,000,000  -313,097,000,000             -179,252,000     2,743,000                                             
        prepaid expenses
                25,524,000 25,524,000 22,304,000 22,304,000 16,951,000 16,951,000 11,369,000 11,369,000 11,566,000 11,566,000 5,542,000 5,542,000 5,135,000 5,135,000 5,114,000 7,281,000 3,208,000 2,284,000,000 1,910 1,984,000 5,051,000 5,051,000 3,302 1,973,000 1,973,000 216,000 216,000 2,710,000 2,704,000,000 1,911,000 1,870,000,000 1,923,000,000 1,911,000 1,911,000,000 1,265,000 1,693,000 1,774,000 2,037,000 2,037,000 1,230,000 1,823,000 2,546,000 2,510,000 1,947,000 2,348,000 2,496,000 2,656,000 2,606,000 2,292,000 2,332,000 3,341,000 2,803,000  8,081,000 14,808,000 14,808,000 9,940,000 4,870,000 4,870,000 4,815,000 4,815,000 4,908,000 4,908,000 3,773,000                                 
        and outstanding 191,505,299 shares
                662,029,000                                                                                                
        common shares, unlimited shares authorized, no par value, issued, issuable and outstanding 191,505,299 shares
                 662,029,000                                                                                               
        and outstanding 191,276,399 shares
                  661,029,000 661,029,000                                                                                             
        deferred income tax asset
                            936,000 936,000 5,493,000 8,510,000 9,705,000 12,753,000,000 5,324 5,899,000 5,354,000 5,354,000 7,136 10,887,000 10,887,000 10,321,000 10,321,000 9,497,000 9,147,000,000 655,000 7,269,000,000 4,328,000,000 655,000 655,000,000 896,000 569,000 1,042,000 183,000 183,000   120,000 223,000 4,329,000 7,169,000 6,697,000 6,253,000                                                  
        intangible assets
                            40,000 40,000 138,000 248,000 370,000 492,000,000 614 731,000 853,000 853,000 975 1,096,000 1,096,000 1,245,000 1,245,000 1,433,000                                                                     
        liabilities and shareholders’ equity
                                                                                                                
        shareholders’ equity
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued, issuable and outstanding 189,995,563 shares
                    657,866,000 657,866,000                                                                                           
        total shareholders’ equity
                    315,894,000        237,407,000 237,407,000                                                                                   
        total liabilities and shareholders’ equity
                    399,437,000        294,024,000 294,024,000                                                                                   
        accounts and other receivable
                      11,301,000 11,301,000 13,486,000 13,486,000 13,382,000 13,382,000 14,462,000 14,462,000 17,290,000 16,167,000 16,959,000 20,144,000,000                                                                               
        and outstanding 189,989,563 shares
                      657,833,000 657,833,000                                                                                         
        common shares, unlimited shares authorized, no par value, issued
                                                                                                                
        and outstanding 181,051,354 shares
                        631,751,000 631,751,000                                                                                       
        and outstanding 180,561,327 shares
                          629,595,000 629,595,000                                                                                     
        deferred financing costs
                                 294,000,000 146                                                                              
        and outstanding 170,537,307 shares
                            585,406,000 585,406,000                                                                                   
        deposits
                              591,000 592,000 611,000                                                                                
        income tax recoverable
                              3,570,000 3,570,000 3,570,000                                                                                
        iva receivable
                              2,879,000 2,699,000 2,672,000                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 170,461,307 shares
                              585,211,000                                                                                  
        common shares, unlimited shares authorized, no par value, issued and outstanding 170,300,394 shares
                               584,378,000                                                                                 
        assets held for sale
                                17,503,000                                                                                
        liabilities held for sale
                                4,615,000                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 164,706,112 shares
                                554,463,000                                                                                
        and outstanding 157,924,708 shares
                                 517,711,000,000                                                                               
        account and other receivables
                                  17,203 15,774,000 14,225,000 14,225,000                                                                           
        common shares, unlimited shares authorized, no par value, issued and outstanding 157,412,308 shares
                                  515,797                                                                              
        common shares, unlimited shares authorized, no par value, issued and outstanding 154,926,622 shares
                                   505,334,000                                                                             
        and outstanding 142,614,304 shares
                                    483,580,000 483,580,000                                                                           
        accounts receivable
                                      22,950 29,222,000 29,222,000 26,697,000 26,697,000 27,539,000 26,947,000,000 34,012,000 36,174,000,000 35,182,000,000 34,012,000 34,012,000,000 35,336,000 30,381,000 26,633,000 25,560,000 25,560,000 25,924,000 30,962,000 28,411,000 24,343,000 16,943,000 16,561,000 23,062,000 19,715,000 29,945,000 27,226,000 21,537,000 23,749,000 28,794,000 3,168,000 29,422,000 32,180,000 32,180,000 20,526,000 20,626,000 20,626,000 8,514,000 8,514,000 4,249,000 4,249,000 7,392,000                                 
        deferred lease inducement
                                            217,000,000  224,000,000 229,000,000 236,000 236,000,000 249,000                                                              
        common shares, unlimited shares authorized, no par value, issued and outstanding 141,668,178 shares
                                      482,170                                                                          
        accumulated other comprehensive income
                                                                                                   212,000 212,000 109,000 109,000 307,000 307,000        
        common shares, unlimited shares authorized, no par value, issued and outstanding 139,908,219 shares
                                       478,241,000 478,241,000                                                                        
        and outstanding 135,395,757 shares
                                         467,895,000 467,895,000                                                                      
        common shares, unlimited shares authorized, no par value, issued and outstanding 131,475,520 shares
                                           460,596,000                                                                     
        restricted cash
                                             1,000,000   1,000,000 1,000,000,000                                                               
        common shares, unlimited shares authorized, no par value, issued and outstanding 130,781,052 shares
                                            459,109,000,000                                                                    
        other investm ents
                                             168,000                                                                   
        current liabilit ies
                                                                                                                
        deferred lease inducem ent
                                             236,000                                                                   
        provision for reclam ation and rehabilitation
                                             7,982,000                                                                   
        tot al liabilit ies
                                             32,063,000                                                                   
        shareholders' equit y
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 129,640,409 shares
                                             450,740,000                                                                   
        accumulated other com prehensive incom e
                                             127,000                                                                   
        total shareholders' equit y
                                             146,517,000                                                                   
        and outstanding 129,640,409 shares
                                              456,528,000,000                                                                  
        accumulated comprehensive income
                                                127,000 127,000,000 117,000 152,000 61,000 44,000 44,000 66,000 62,000 17,000     -4,758,000 -4,727,000        -8,170,000 -5,331,000 -3,746,000  -5,067,000  -1,386,000   -1,021,000  1,595,000 1,595,000 1,832,000 1,832,000 1,656,000 1,277,000 1,363,000 1,363,000 1,292,000 1,292,000 749,000 749 749,000 598,000 212,000 212,000 212,000       667,000 667,000 930,000 930,000 1,112,000 1,112,000  
        this statement should be read in conjunction with the condensed consolidated interim financial statements for the period ended september 30, 2018 and the related notes contained therein.
                                                                                                                
        and outstanding 128,261,027 shares
                                               453,114,000,000                                                                 
        tot al liabilities
                                                32,063,000                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 128,261,027 shares
                                                450,740,000                                                                
        investments
                                                 168,000,000 158,000 193,000 102,000 85,000 85,000 108,000 104,000 59,000 614,000 759,000 1,446,000 1,190,000 786,000 817,000 1,539,000 1,471,000 1,463,000 2,295,000  1,779,000 2,868,000 2,868,000 8,520,000 9,721,000 9,721,000 12,466,000 12,466,000 30,226,000 30,226,000 34,099,000                                 
        credit facility
                                                  1,500,000 4,000,000 6,500,000 9,000,000 9,000,000 10,000,000 10,000,000                                                        
        and outstanding 127,488,410 shares
                                                 450,740,000,000                                                               
        and outstanding 127,456,410 shares
                                                  450,642,000                                                              
        commitments and contingencies
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 127,456,410 shares
                                                   450,642,000                                                             
        common shares, unlimited shares authorized, no par value, issued and outstanding 127,108,264 shares
                                                    449,703,000                                                            
        finance lease obligation
                                                       276,000 388,000 954,000 1,180,000 926,000 699,000                                                    
        common shares, unlimited shares authorized, no par value, issued and outstanding 127,080,264 shares
                                                     449,594,000 449,594,000                                                          
        credit facility - long term
                                                       1,500,000 4,000,000                                                        
        share capital, unlimited common shares authorized, no par value, issued and outstanding 125,882,181 shares
                                                       444,392,000                                                         
        derivative liablitiy
                                                        1,372,000                                                        
        share capital, unlimited common shares authorized, no par value, issued and outstanding 120,983,022 shares
                                                        422,492,000                                                        
        revolving credit facility
                                                         19,000,000 22,000,000 22,000,000 25,000,000 29,000,000 29,000,000 27,000,000 29,000,000 32,000,000 33,000,000 39,000,000  39,000,000 33,000,000 33,000,000 9,000,000                                        
        share capital, unlimited common shares authorized, no par value, issued and outstanding 107,789,776 shares
                                                         377,579,000                                                       
        common shares, unlimited shares authorized, no par value, issued and outstanding 102,776,470 shares
                                                          368,898,000                                                      
        subsequent events
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 101,976,901 shares
                                                           367,853,000 367,853,000 367,853,000                                                   
        contingent liability
                                                                126,000 140,000 99,000 725,000  599,000 6,006,000 6,006,000 8,497,000 12,913,000 12,913,000                                      
        and outstanding 101,976,901 shares
                                                              367,853,000                                                  
        and outstanding 101,535,514 shares
                                                               365,815,000                                                 
        deficit
                                                               -120,653,000        -9,281,000 -24,597,000 -39,418,000  -39,434,000  -46,939,000   -65,632,000  -68,750,000  -85,723,000  -39,574,000  -45,345,000  -44,933,000  -46,653,000  -46,653,000   -46,467,000  -39,578,000  -32,151,000  -28,734,000         
        common shares, unlimited shares authorized, no par value, issued and outstanding 101,456,014 shares
                                                                365,406,000                                                
        mineral property, plant and equipment
                                                                 272,374,000 278,533,000 378,633,000  373,388,000 354,700,000 354,700,000 338,431,000 327,375,000 327,375,000 106,268,000 106,268,000 99,093,000 99,093,000 93,528,000 84,098,000 84,098,000 80,300,000 80,300,000 73,371,000 73,371,000 72,479,000 70,138,000 63,310,000 63,310,000 59,630,000 59,630,000 57,002,000 57,002 57,002,000 54,928,000 53,031,000 51,120,000 51,120,000 52,552,000 52,552,000 52,156,000 52,156,000 49,506,000 49,506,000 44,306,000 44,306,000 39,552,000 39,552,000 25,918,000 25,918,000 25,246 
        common shares, unlimited shares authorized, no par value, issued and outstanding 101,255,314 shares
                                                                 364,735,000                                               
        goodwill
                                                                   39,245,000  39,245,000 39,245,000 39,245,000 39,245,000                                        
        common shares, unlimited shares authorized, no par value, issued and outstanding 99,784,409 shares
                                                                  358,408,000                                              
        business acquisition
                                                                                                                
        commitments
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 99,741,010 shares
                                                                   358,228,000  358,228,000                                           
        due from related parties
                                                                    26,076,000            52,000 52,000 224,000 224,000 253,000 253,000 218,000 390,000 350,000 350,000 314,000 314,000 243,000 243 243,000 218,000 199,000 146,000 146,000 105,000 105,000 116,000 116,000 63,000 63,000   34,000 34,000 34,000 34,000 40 
        current portion of long-term liabilities
                                                                    800,000                                            
        due to related party
                                                                    14,128,000                                            
        loan due to related party
                                                                    51,370,000                                            
        long-term liabilities
                                                                    2,692,000                                            
        common shares, unlimited shares authorized, no par value, issued and outstanding 60,313,901 shares
                                                                    68,823,000                                            
        subsequent event
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 99,688,010 shares
                                                                      357,979,000                                          
        and outstanding 99,688,010 shares
                                                                       357,979,000                                         
        and outstanding 99,541,522 shares
                                                                        357,296,000                                        
        and outstanding 99,519,406 shares
                                                                         357,173,000 357,173,000                                      
        and outstanding 88,065,018 shares
                                                                           265,707,000                                     
        common shares, unlimited shares authorized, no par value, issued and outstanding 88,065,018 shares
                                                                            265,707,000                                    
        long term deposits
                                                                             784,000  600,000 600,000 600,000 600,000 600,000 778,000 778,000 778,000 1,202,000 1,153,000 1,153,000 1,153,000 1,153,000 1,153,000 1,153 1,153,000 943,000 943,000 932,000 932,000 898,000 898,000 882,000 882,000 866,000 866,000 841,000 841,000 844,000 844,000    
        and outstanding 87,378,748 shares
                                                                             263,190,000                                   
        common shares, unlimited shares authorized, no par value, issued and outstanding 87,773,861 shares
                                                                              263,190,000                                  
        current portion of promissory note
                                                                                      231,000 231,000 231,000 231,000 231,000 231,000 231,000 231 231,000 231,000 231,000                
        accrued interest on convertible debentures
                                                                                        200,000 200,000 235,000 235,000 254,000 254 254,000 250,000 252,000 101,000 101,000              
        promissory note
                                                                                      56,000 106,000 156,000 156,000 202,000 202,000 248,000 248 248,000 293,000 335,000                
        liability portion of convertible debentures
                                                                                        6,743,000 6,743,000 7,880,000 7,880,000 8,149,000 8,149 8,149,000 7,859,000 7,905,000 7,267,000 7,267,000              
        common shares, unlimited shares authorized, no par value, issued and outstanding 87,378,748 shares
                                                                               259,396,000                                 
        short term investments
                                                                                14,961,000 14,961,000 31,164,000 31,164,000 33,638,000 33,638,000 20,009,000                   4,569,000 4,569,000      
        available for sale investments
                                                                                15,505,000 15,505,000 10,480,000 10,480,000 4,020,000 4,020,000        4,521                   
        accounts receivable and prepaids
                                                                                15,185,000 15,185,000 11,392,000 11,392,000 15,345,000 15,345,000 10,299,000 17,350,000 15,929,000 15,929,000 10,932,000 10,932,000 7,467,000 7,467 7,467,000 6,782,000 6,927,000 9,024,000 9,024,000 8,962,000 8,962,000 10,578,000 10,578,000 8,198,000 8,198,000 5,809,000 5,809,000 7,732,000 7,732,000 3,547,000 3,547,000 3,614 
        and outstanding 85,942,564 shares
                                                                                246,875,000                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 85,942,564 shares
                                                                                 246,875,000                               
        and outstanding 84,424,000 shares
                                                                                  231,633,000                              
        common shares, unlimited shares authorized, no par value, issued and outstanding 84,424,000 shares
                                                                                   231,633,000                             
        and outstanding 82,295,131 shares
                                                                                    214,358,000 214,358,000                           
        marketable securities
                                                                                      81,000 42,000 1,843,000 1,843,000 2,988,000 2,988,000 2,045,000  2,045,000 875,000 37,000 34,000 34,000 2,531,000 2,531,000 2,362,000 2,362,000 2,401,000 2,401,000 3,947,000 3,947,000 3,535,000 3,535,000 3,972,000 3,972,000 3,506 
        notes receivable
                                                                                      3,551,000 3,212,000 3,140,000 3,140,000 3,097,000 3,097,000 2,476,000  2,476,000                  
        redemption call option on convertible debentures
                                                                                        2,413,000 2,413,000 2,660,000  2,693,000  2,693,000                  
        asset retirement obligations
                                                                                      2,242,000 1,847,000 1,811,000 1,811,000 1,776,000 1,776,000 1,740,000  1,740,000 1,565,000 1,525,000 1,485,000 1,485,000 1,676,000 1,676,000 1,644,000 1,644,000 1,613,000 1,613,000 1,377,000 1,377,000 1,354,000 1,354,000 974,000 974,000 1,112 
        future income tax liability
                                                                                      14,157,000 13,723,000 11,488,000 11,488,000 9,777,000 9,777,000 8,103,000 8,103 8,103,000 3,681,000 3,177,000 3,417,000 3,417,000 5,866,000 5,866,000 6,019,000 6,019,000 5,222,000 5,222,000 4,609,000 4,609,000 2,577,000 2,577,000 2,780,000 2,780,000 3,463 
        and outstanding 80,720,420 shares
                                                                                      183,296,000                          
        equity portion of convertible debentures
                                                                                        1,724,000 1,724,000 1,997,000 1,997,000 2,164,000 2,164 2,164,000 2,197,000 2,393,000 2,416,000 2,416,000              
        common shares, unlimited shares authorized, no par value, issued and outstanding 69,757,153 shares
                                                                                       128,278,000                         
        and outstanding 63,072,408 shares
                                                                                        117,313,000                        
        common shares, unlimited shares authorized, no par value, issued and outstanding 63,072,408 shares
                                                                                         117,313,000                       
        and outstanding 61,705,456 shares
                                                                                          114,811,000                      
        redemption call option on covertible debentures
                                                                                           2,660,000  2,693                   
        common shares, unlimited shares authorized, no par value, issued and outstanding 61,705,456 shares
                                                                                           114,811,000                     
        basis of presentation
                                                                                                                
        long term investments
                                                                                               2,370,000 2,170,000 2,109,000 2,109,000 2,538,000 2,538,000 3,932,000 3,932,000 3,932,000 3,932,000        
        and outstanding 60,626,203 shares
                                                                                            112,173,000  112,173,000                  
        special warrants
                                                                                                                
        convertible debenture derivative liability
                                                                                                                
        warrant derivative liability
                                                                                                                
        common shares, unlimited shares authorized, no par value, issued and outstanding 60,626,203
                                                                                             112,173                   
        and outstanding 52,570,623 shares
                                                                                               91,535,000                 
        and outstanding 51,963,072 shares
                                                                                                90,611,000                
        special warrants,
                                                                                                                
        and outstanding 51,537,018 shares
                                                                                                 89,816,000 89,816,000              
        and outstanding 49,040,478 shares
                                                                                                   87,545,000 87,545,000 87,545,000 87,545,000          
        going concern note 1
                                                                                                                
        subsequent events see note 10
                                                                                                                
        and outstanding 49,026,146 shares
                                                                                                       87,515,000 87,515,000        
        non-controlling interest
                                                                                                             2,681,000 2,681,000 1,311 
        and outstanding 48,323,087 shares
                                                                                                         85,190,000 85,190,000      
        nature of operations
                                                                                                                
        and outstanding 47,171,152 shares
                                                                                                           81,947,000 81,947,000    
        and outstanding 43,835,202 shares
                                                                                                             67,503,000 67,503,000  
        and outstanding 42,373,988 shares
                                                                                                               75,395 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-09-30 2025-06-30 2025-03-31 2024-12-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-05-10 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-05-11 2022-03-31 2021-12-31 2021-09-30 2021-06-30 2021-05-11 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-05-08 2020-05-07 2020-03-31 2019-12-31 2019-09-30 2019-05-06 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-05-03 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-12-31 2015-09-30 2015-06-30 2015-05-06 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-05-12 2014-03-31 2013-12-31 2013-06-30 2013-05-06 2013-03-31 2012-12-31 2012-09-30 2012-06-30 2012-05-08 2012-03-31 2011-12-31 2011-09-30 2011-06-30 2011-05-05 2011-03-31 2010-09-30 2010-06-30 2010-05-10 2010-03-31 2009-12-31 2009-09-30 2009-06-30 2009-05-14 2009-03-31 2008-09-30 2008-06-30 2008-05-06 2008-03-31 2007-09-30 2007-06-30 2007-05-15 2007-03-31 
                                                                                             
          operating activities
                                                                                             
          net loss for the period
                                                                                   -1,740,000          
          items not affecting cash:
                                                                                             
          share-based compensation
        -739,000 1,165,000 516,000  -598,000 -8,000 1,170,000   -1,210,000 1,625,000 1,625,000   -555,000 1,527,000 1,527,000  -303,000 -137,000 1,165,000 1,165,000 3,002,207,000 -847,207 103,000 745,000 745,000 745,000  -88,000 -148,000 999,000 2,425,299,000 700,223,000 361,000 416,000 2,860,327,000 -558,000 894,000 337,000 2,707,000 -629,000 947,000 457,000 2,150,000 -379,000 634,000 480,000 480,000 3,599,063,000 -536,000 1,014,000 459,000 459,000 2,658,000 813,000 563,000 563,000                            
          depreciation
        8,908,000 5,616,000 9,561,000  -1,581,000 -202,000 9,135,000                                                                               
          deferred income tax recovery
                                                                                             
          unrealized foreign exchange loss
          275,000  -751,000 2,060,000 136,000   -576,000 1,095,000 1,095,000       283,000  90,000 90,000    654,000 654,000   -64,000           -261,000 615,000   261,000 40,000 -132,000 140,000 140,000    -3,000        4,559,000 -2,730,000  -1,939,000   -1,120,000    590,000 590,000    -70,000   55,000 148,000 148,000     
          finance costs
        -139,000 719,000 417,000  232,000 -37,000 314,000 -152,000  -26,000 400,000 400,000   38,000 298,000 298,000 -173,000 -21,000 -75,000 291,000 291,000 1,356,623,000 -336,623 26,000 311,000 311,000 311,000  74,000 11,000 92,000 149,962,000 37,963,000 -1,000 38,000 714,834,000 -42,000 -28,000 236,000 827,000 -173,000 455,000 63,000 855,000 32,000 306,000 306,000 1,239,683,000 51,000 -170,000 436,000 436,000 1,036,000 -82,000 117,000 117,000 478,000 1,000 5,000 5,000 26,000 1,000 -1,000 8,000 8,000                  
          interest income
                                                                                             
          accretion of loans receivable
                                                                                             
          loss on remeasurement of contingent consideration
                                                                                             
          loss on copper stream revaluation
        898,000                                                                                     
          unrealized loss on derivatives
                                                                                             
          unrealized loss on other investments
                                           20,000                                                  
          change in precious metal prepayments
        -12,372,000                                                                                     
          net changes in working capital
        6,251,000    -289,000                                                                                 
          cash from operating activities
        5,488,000 18,201,000 3,363,000  -3,900,000 7,784,000 4,583,000         21,733,000 21,733,000   13,390,000 -3,923,000  38,948,428,000          26,643,634,000 4,361,701,000 -3,720,000 8,019,000 15,585,402,000   9,667,000 6,661,000 6,122,000   28,608,000 -15,025,000  4,285,000  38,765,516,000  -3,697,000 17,107,000 17,107,000 54,514,000 10,140,000 9,538,000 9,538,000 60,677,000 3,115,000 -16,531,000 28,760,000 28,760,000 34,502,000                      
          capital expenditures
                                                         
          free cash flows
        5,488,000 18,201,000 3,363,000  -3,900,000 7,784,000 4,583,000         21,733,000 21,733,000   13,390,000 -3,923,000  38,948,428,000          26,643,634,000 4,361,701,000 -3,720,000 8,019,000 15,585,402,000   9,667,000 6,661,000 6,122,000   28,608,000 -15,025,000  4,285,000  38,765,516,000  -3,697,000 17,107,000 17,107,000 54,514,000 10,140,000 9,538,000 9,538,000 60,677,000 3,115,000 -16,531,000 28,760,000 28,760,000 34,502,000                      
          investing activities
                                                                                             
          payment for mineral properties, plant and equipment
                                                                                             
          net cash paid on business acquisition
                                                                                             
          proceeds from disposal of other investments
             -1,994,000 2,643,000                                                                               
          proceeds from loans receivable
            -50,000 -200,000 450,000   300,000 100,000 100,000                                                                          
          interest received
        -302,000 -415,000 990,000                                                                                   
          cash from investing activities
                           6,928,000 -3,183,000             -10,008,229,000              -8,665,000  -41,819,871,000   -9,234,000      -29,070,000  7,004,000 -4,863,000     -20,993,000    -6,799,000               
          financing activities
                                                                                             
          repayment of loans payable
                            -969,000                                                                 
          repayment of lease liabilities
                            -42,000                                                                 
          interest paid
                            -193,000                           -225,000  -980,748,000   -311,000                  -324,000               
          net proceeds from public equity offerings
        -31,785,000                                                                                     
          proceeds from exercise of options
        5,076,000    -1,780,000                                                                                 
          proceeds from loans payable
            -35,000,000                                                                                 
          proceeds from copper stream prepayment
                                                                                             
          repayment of copper stream
                                                                                             
          payment of deferred financing fees
                                                                                             
          cash from financing activities
        -79,067,000    -53,673,000 38,625,000 37,244,000         40,125,000 40,125,000   -6,246,000 32,092,000 32,092,000 27,534,475,000 -20,895,475 20,512,000 390,000        3,019,757,000 1,243,000 1,000,000                 1,416,000                  559,000    -9,917,000 10,158,000          
          effect of exchange rate change on cash and cash equivalents
        -178,000    192,000           185,000 185,000   224,000 -80,000  1,023,167,000 -313,167       20,000 45,000 -41,179,000 179,274,000  229,000 402,850,000   462,000    160,000    -140,000  -347,691,000  18,000 2,000 2,000   85,000 85,000 595,000 1,591,000  1,443,000 1,443,000    1,554,000 1,554,000                  
          increase in cash and cash equivalents
                       47,526,000 47,526,000   14,072,000 24,986,000 24,986,000 36,677,414,000 -15,180,414          -2,626,771,000       25,390,000 -9,652,000     10,093,000 -4,605,000  -3,596,408,000   9,289,000 9,289,000 13,512,000  9,663,000 9,663,000 40,847,000  -9,469,000 24,507,000 24,507,000 -9,732,000 8,640,000 11,673,000 -1,718,000    -3,157,000      4,201,000         
          cash and cash equivalents, beginning of the period
        -12,497,000 -41,737,000 106,434,000  33,221,000 -410,000 35,286,000   -21,741,000 83,391,000 83,391,000   47,711,000 103,303,000 103,303,000  39,202,000 24,906,000 61,083,000 61,083,000        1,330,000 -11,600,000 33,376,000  31,020,440,000                                                    
          cash and cash equivalents, end of the period
        4,827,000 -12,497,000 64,697,000  -13,163,000 33,221,000 34,876,000   -18,146,000 61,650,000 61,650,000   -34,788,000 151,014,000 151,014,000  -24,115,000 39,202,000 85,989,000 85,989,000  -30,453,083 15,508,000 14,990,000 14,990,000 14,990,000  -1,120,000 1,330,000 21,776,000  28,572,943,000                                                    
          supplemental cash flow information
                                                                                             
          loss on derivatives
            7,856,000                                                                                 
          loss on other investments
                            -2,546,000                                                                 
          deferred income tax expense
               -3,432,000  -910,000 1,676,000 1,676,000   -4,470,000 6,222,000 6,222,000 1,975,000 1,901,000 -2,011,000 3,127,000 3,127,000 -5,206,556,000   1,864,000 1,864,000 1,864,000      -2,938,585,000           -1,936,000 2,035,000                                        
          unrealized loss on derivative liabilities
          31,855,000                                                                                   
          net changes in non-cash working capital
                       1,114,000 1,114,000   9,972,000 -9,166,000  10,132,712,000   2,622,000 2,622,000 2,622,000      -2,540,661,000      771,000  7,243,000     17,597,000 -9,519,000  9,479,908,000  2,675,000 -1,178,000      -2,928,000   2,394,000 2,394,000    -4,765,000    -4,790,000    5,108,000 -3,629,000  2,550,000  684,000 684,000 3,792,000  901,000 901,000 
          proceeds from loan receivable
                                                                                             
          decrease in cash and cash equivalents
                                                                                       -1,716,000      
          cash from operating activities per financial statements
                                                                                             
          net changes in non-cash working capital per financial statements
                                                                                             
          operating cash flow before working capital changes
                                                                                             
          basic weighted-average shares outstanding
                                                                                             
          operating cash flow before working capital changes per share
                                                                                             
          expressed in thousands of us dollars
                                                                                             
          net earnings for the period per financial statements
                                                                                             
          depreciation – cost of sales
                                                                                             
          depreciation – exploration, evaluation and development
                                                                                             
          depreciation – general & administration
                                                                                             
          current income tax expense
                                                                                             
          ebitda
                                                                                             
          share based compensation
                                                                                             
          gain on sale of cozamin royalty
                                                                                             
          unrealized foreign exchange
                                                                                             
          gain on derivatives
                                                                                             
          change in fair value of investments
                                                                                             
          change in fair value of cash settled dsus
                                                                                             
          adjusted ebitda
                                                                                             
          adjusted ebitda per share
                                                                                             
          net earnings for the period
                  6,456,000 6,456,000    11,662,000 11,662,000   -5,593,000 12,249,000 12,249,000                  6,035,000  3,887,000 -130,000 1,829,000    1,357,000 1,357,000    4,037,000 4,037,000   14,357,000 14,357,000 42,101,000 -7,489,000 -12,270,000 19,775,000 19,775,000 15,658,000 -13,869,000 16,481,000 485,000 485,000 539,000  1,720,000 1,720,000              
          write off of exploration properties
                                                                                             
          loss on asset disposal
                            34,000 34,000 85,973,000 -56,973 -21,000 78,000 78,000 78,000                                                          
          performance and deferred share units settled in cash
                                                                                             
          proceeds on disposal of property, plant and equipment
                      14,000 34,000 34,000   6,429,000 556,000 556,000 189,950,000 -72,950 46,000 27,000 27,000 27,000                                                          
          redemption of non-current deposits
                                                                                             
          performance and deferred share units withholding tax settlement
                                                                                             
          performance and deferred share units witholding tax settlement
                                                                                             
          gain on asset disposal
              18,000                                                                               
          gain on other investments
              861,000                                                                               
          proceeds from disposal of property, plant and equipment
              18,000                                                                               
          proceeds from public equity offerings
              38,910,000                                                                               
          assets
                                                                                             
          current assets
                                                                                             
          cash and cash equivalents
                  61,650,000     151,014,000                                                            7,783,000    14,861,000      
          other investments
                  13,132,000     13,891,000                                                                      
          accounts and other receivables
                  15,610,000                                                                           
          income tax receivable
                  1,861,000     171,000                                                                      
          inventories
                  23,305,000     25,011,000                                                            3,768,000    2,187,000      
          prepaids and other asets
                                                                                             
          total current assets
                  138,862,000     209,011,000                                                            20,755,000    27,710,000      
          non-current income tax receivable
                  3,570,000     3,570,000                                                                      
          non-current other investments
                       4,037,000                                                                      
          non-current iva receivable
                  12,055,000     5,545,000                                                                      
          non-current loan receivable
                                                                                             
          right-of-use leased assets
                  809,000     665,000                                                                      
          deferred financing fees
                                                                                             
          other non-current assets
                                                                                             
          mineral properties, plant and equipment
                  243,430,000  -325,578,000   131,906,000                                                                      
          total assets
                  401,945,000     355,331,000                                                            74,916,000    82,014,000      
          liabilities and shareholders' equity
                                                                                             
          current liabilities
                                                                                             
          accounts payable and accrued liabilities
                  35,453,000     32,748,000                                                            4,823,000    5,060,000      
          income taxes payable
                  4,677,000     2,901,000                                                            91,000    1,105,000      
          loans payable
                  5,607,000     4,805,000                                                                      
          lease liabilities
                  312,000     204,000                                                                      
          total current liabilities
                  46,049,000     40,658,000                                                            5,015,000    6,165,000      
          provision for reclamation and rehabilitation
                  8,766,000     7,554,000                                                                      
          deferred income tax liability
                  14,620,000     6,792,000                                                                      
          other non-current liabilities
                  1,020,000                                                                           
          total liabilities
                  78,570,000     63,298,000                                                            17,184,000    13,000,000      
          shareholders' equity
                                                                                             
          common shares, unlimited shares authorized, no par value, issued, issuable
                                                                                             
          and outstanding 217,245,492 shares
                                                                                             
          contributed surplus
                  3,973,000     5,106,000                                                            11,755,000    9,926,000      
          retained deficit
                                                                                             
          total shareholders' equity
                  323,375,000     292,033,000                                                            57,732,000    69,014,000      
          total liabilities and shareholders' equity
                  401,945,000     355,331,000                                                                      
          net earnings for the year
                                         -5,446,349,000  2,325,000                                                  
          long term employee benefits
                                                                                             
          write down of warehouse inventory to net realizable value
                                                                                             
          purchase of other investments
                                                                                             
          redemption of (investment in) non-current deposits
                  68,000 68,000   2,000 2,000   39,000 -20,000                                                                 
          payment of share issuance costs
                                                                                             
          cash and cash equivalents, beginning of the year
                                -8,378,000 23,368,000 23,368,000 23,368,000                                                          
          cash and cash equivalents, end of the year
                                                                                             
          expressed in thousands us dollars
                                                                                             
          depreciation – exploration
                                                                                             
          gain on disposal of el compas mine and equipment, net of tax
                                                                                             
          prepaids
                                                                                             
          loans receivable
                  1,000,000                                                                           
          non-current deposits
                  497,000     597,000                                                                      
          non-current loans receivable
                  2,722,000                                                                           
          and outstanding 199,700,826 shares
                                                                                             
          retained earnings
                                                                                             
          depreciation, depletion and amortization
                 354,000 6,619,000 6,619,000   -2,138,000 6,462,000 6,462,000  -1,743,000 -901,000 7,624,000 7,624,000 28,854,704,000 -4,204,704 -2,055,000 6,268,000 6,268,000 6,268,000  -120,000 87,000 7,227,000                                                      
          writte off of exploration properties
                                                                                             
          write down of inventory to net realizable value
                              404,361,000 -485,361 -556,000 1,042,000 1,042,000 1,042,000  -283,000 -1,705,000 3,212,000 2,674,738,000 1,259,473,000 1,772,000 755,000              1,254,473,000         2,876,000                           
          public equity offerings
                       46,001,000 46,001,000  -28,170,000 -1,066,000 30,100,000 30,100,000 26,364,821,000 -22,700,821 21,218,000 1,485,000 1,485,000 1,485,000  2,636,000 6,047,000 1,572,000 8,269,471,000 3,526,929,000       41,124,000 -17,797,000 22,928,000 9,098,000                                          
          exercise of options
                 -1,171,000 1,812,000 1,812,000   1,318,000 130,000 130,000   -3,013,000 3,798,000 3,798,000 6,904,431,000 -2,431 -4,000 12,000 12,000 12,000            74,000                                              
          share issuance costs
                            -602,000             -506,916,000                                                   
          prepaid expenses
                  22,304,000     5,542,000                                                                      
          and outstanding 191,505,299 shares
                                                                                             
          and outstanding 191,276,399 shares
                  661,029,000                                                                           
          impairment (reversal of impairment) of non-current assets
                                                                                             
          write off of mineral properties
                                                                                             
          write down of warehouse inventory
                                                                                             
          performance and deferred share unit settlement
                                                                                             
          accounts and other receivable
                       13,382,000                                                                      
          deferred income tax asset
                                                                                             
          intangible assets
                                                                                             
          and outstanding 189,989,563 shares
                                                                                             
          mineral property, plant and equipment
                                                                                   51,120,000    49,506,000      
          reclamation and rehabilitation change in estimate
                                                                                             
          purchase of investments
                                                                                             
          proceeds from disposal of marketable securities
                           522,000 4,383,000 4,383,000                                                                
          cash from (used) in investing activities
                                                                                             
          deferred share unit redemption
                                                                                             
          performance share unit redemption
                                                                                             
          cash from (used) financing activities
                                                                                             
          common shares, unlimited shares authorized, no par value, issued
                                                                                             
          and outstanding 181,051,354 shares
                                                                                             
          and outstanding 180,561,327 shares
                       629,595,000                                                                      
          deferred financing costs
                                                                                             
          liabilities and shareholders’ equity
                                                                                             
          shareholders’ equity
                                                                                             
          and outstanding 170,537,307 shares
                                                                                             
          total shareholders’ equity
                                                                                             
          total liabilities and shareholders’ equity
                                                                                             
          notes
                                                                                           2,007,000  
          purchase of short term investments
                                                                                             
          net income for the period per financial statements
                                                                                             
          depreciation and depletion – cost of sales
                                                                                             
          depreciation and depletion – exploration
                                                                                             
          depreciation and depletion – general & administration
                                                                                             
          depreciation and depletion – care & maintenance
                                                                                             
          depreciation and depletion – inventory write down
                                                                                             
          impairment (reversal) of non-current assets, net of tax
                                                                                             
          gain on disposal of el cubo mine and equipment, net of tax
                                                                                             
          impairment reversal of non-current assets
                            -16,791,000                                                                 
          mineral property, plant and equipment expenditures
                            -7,270,000                                                                 
          purchase of marketable securities
                            -832,000                                                                 
          investing activites
                                                                                             
          impairment of non-current assets
                                                                                             
          write off of iva receivable
                                                                                             
          intangible asset expenditures
                                                                                             
          unrealized foreign exchange gain
                                   654,000                                                          
          repayment of lease liabities
                                                                                             
          cash from financing activitites
                                  390,000 390,000                                                          
          unrealized gain on other investments
                                                                                             
          restricted cash
                                           1,000,000                                                  
          net changes in non-cash working capital:
                                                                                             
          accounts receivable
                                                                                             
          non-cash financing and investing activities:
                                                                                             
          reclamation included in mineral property, plant and equipment
                                                                                             
          fair value of exercised options allocated to share capital
                                                                                             
          other cash disbursements:
                                                                                             
          income taxes paid
                                                                                             
          special mining duty paid
                                                                                             
          endeavour silver corp. | consolidated financial statements
                                                                                             
          property, plant and equipment expenditures
                                         -10,008,228,000              -8,665,000  -41,737,953,000   -9,234,000      -47,987,000   -9,349,000     -7,364,000    -5,778,000    -1,534,000 -2,467,000    -3,897,000      
          cash from financing activites
                                     2,572,000 5,827,000 1,315,000         32,287,000 -14,388,000      -225,000  -542,053,000    1,416,000 23,750,000 -18,180,000 24,251,000 24,251,000  366,000 58,000 610,000 610,000 14,387,000 631,000 202,000 4,635,000 4,635,000 389,000   559,000     10,158,000  -28,000 32,000 32,000  -615,000 2,892,000 2,892,000 
          cash used in investing activities
                                                                                   -2,485,000    -2,384,000      
          depreciation and depletion
                                        38,763,800,000 13,192,061,000 -1,898,000 9,837,000 16,985,460,000 1,207,000 -849,000 4,182,000 11,427,000 -1,377,000 -1,011,000 5,222,000 30,750,000 392,000 -1,061,000 10,518,000 10,518,000 54,644,529,000 -305,000 621,000 14,155,000 14,155,000   12,148,000 12,148,000 23,525,000 2,041,000 -4,155,000 8,541,000 8,541,000 12,387,000 605,000 299,000 3,981,000 3,981,000 949,000 -273,000 3,301,000 3,301,000 9,267,000 -417,000 124,000 2,290,000 2,290,000   1,505,000 1,505,000 1,012,000 -350,000 959,000 959,000 
          loss on available for sale assets
                                                   269,000                                          
          proceeds from disposition of other investments
                                                                                             
          repayment of credit facility
                                                                                             
          (gain) loss on available for sale assets
                                                                                             
          this statement should be read in conjunction with the condensed consolidated interim financial statements for the period ended september 30, 2018 and the related notes contained therein.
                                                                                             
          cash and cash equivalents, beginning of year
                                           38,277,000                                                  
          cash and cash equivalents, end of year
                                           36,560,000                                                  
          proceeds from disposition of available for sale assets
                                                                                             
          repayment of obligation under finance lease
                                                                                             
          debt issuance costs
                                                                                             
          settlement of derivative liability
                                                                                             
          write off of exploration property
                                               233,000          630,619,000                                    
          investment in long term deposits
                                                   133,000               551,000  192,000 -184,000                        
          repayment of revolving credit facility
                                                                                             
          cash and cash equivalents, beginning of period
                                             -18,248,000 -1,832,000 72,317,000  36,463,000 -28,000 20,413,000  5,480,000 -4,745,000 31,045,000 31,045,000  -257,000 9,291,000 35,004,000 35,004,000  9,748,000 18,617,000 18,617,000  14,060,000 25,950,000 75,434,000 75,434,000 -9,704,000 9,868,000 -164,000 68,037,000 68,037,000 -2,169,000 -3,157,000 26,702,000 26,702,000 -3,334,000 -867,000 4,201,000 3,582,000 3,582,000 -6,509,000 -1,716,000 16,577,000 16,577,000  -703,000 31,870,000 31,870,000 
          cash and cash equivalents, end of period
                                             -8,689,000 -18,248,000 70,485,000  26,392,000 36,463,000 20,385,000  -8,968,000 5,480,000 26,300,000 26,300,000  -14,901,000 -257,000 44,295,000 44,295,000  -6,056,000 28,365,000 28,365,000  -98,259,000 14,060,000 101,384,000 101,384,000 -17,366,000 15,059,000 9,868,000 67,873,000 67,873,000 -1,730,000 -2,169,000 23,545,000 23,545,000 23,398,000 -3,612,000 -867,000 7,783,000 7,783,000 -5,235,000 -6,509,000 14,861,000 14,861,000  -7,037,000 31,167,000 31,167,000 
          supplementary cash flow information
                                                                                             
          loss on derivative liability
                                                                                             
          redemption of long term deposits
                                                                                             
          write down of available-for-sale financial assets
                                                                                             
          write down of marketable securities
                                                                                             
          exercise of options and warrants
                                                 9,000 5,223,000 31,000      4,446,695,000 -68,000   2,727,000                                
          cash from (used in) operating activities
                                                        4,285,000                                     
          proceeds from sale of available for sale assets
                                                   448,000                                          
          cash from (used in) financing activites
                                                   5,147,000                                          
          mark-to-market loss on derivative liability
                                                            1,434,000 1,434,000                                
          mark-to-market loss on contingent liability
                                                            41,000 41,000                                
          allowance for iva receivable
                                                                                             
          proceeds from revolving credit facility
                                                               -18,000,000 24,000,000 24,000,000                            
          change in long term deposits
                                                                                             
          deferred income tax provision
                                                       1,003,000 1,003,000    -2,274,000    2,453,000 2,453,000 -49,000 -604,000 2,165,000 623,000 623,000 5,341,000 276,000 1,106,000 1,322,000 1,322,000                  
          impairment of goodwill
                                                                                             
          loss on marketable securities
                                                                                             
          investment in short term investments
                                                                     -27,242,000     -13,629,000                   
          proceeds from sale of short term investments
                                                                4,720,000 4,720,000 46,633,000 -10,981,000 -17,191,000 31,912,000 31,912,000 4,077,000                      
          mark-to-market gain on derivative liability
                                                                                             
          mark-to-market gain on contingent liability
                                                                                             
          gain on marketable securities
                                                                     -483,000                  -743,000      
          gain on sale of investments
                                                                                             
          proceeds from (repayments of) revolving credit facility
                                                                                             
          write down of inventory to net realizable vallue
                                                                1,495,000 1,495,000                            
          proceeds from (repayments to) revolving credit facility
                                                            -1,000,000                                 
          common shares issued on exercise of options and warrants
                                                            2,727,000   -132,000 293,000 293,000 1,353,000 570,000 58,000 610,000 610,000                       
          acquisition of mexgold resources inc.
                                                                                            
          the accompanying notes are an integral part of the consolidated financial statements
                                                                                             
          amortization and depletion
                                                                                             
          mark to market loss on derivative liability
                                                                   3,360,000  -143,000  7,881,000 12,111,000  13,965,000 13,965,000                  
          mark to market loss on contingent liability
                                                                  -4,416,000                           
          write down (recovery) of inventory to net realizable value
                                                                                             
          net loss for the year
                                                                                             
          impairment reversal
                                                                                             
          loss on disposal of equipment
                                                                                             
          loan/advances from related parties
                                                                                             
          long term liabilities
                                                                                             
          cash from (used in) investing activities
                                                                                             
          allowance for related party receivable
                                                                                             
          mark to market gain on derivative liability
                                                                                             
          stock-based compensation
                                                                   -989,000 1,229,000 778,000 778,000 3,359,000 -60,000 1,215,000 343,000 343,000 -340,000 1,042,000 651,000 651,000 1,536,000 -249,000 431,000 83,000 83,000 -76,000 -374,000 1,030,000 1,030,000 -2,766,000 3,066,000 317,000 317,000 
          loss on conversion of convertible debentures
                                                                                             
          proceeds from long term deposits
                                                                                             
          common shares issued on public offering
                                                                                             
          see note 18 for supplementary cash flow information.
                                                                                             
          allowance for related party recievable
                                                                                             
          common shares issued, net of issuance costs
                                                                        631,000 202,000 4,635,000 4,635,000 452,000 136,000 883,000 883,000  -312,000 295,000 35,000 35,000         
          taxes paid
                                                                         3,681,000 421,000 421,000                  
          cash from (used for) operations
                                                                         6,615,000 14,640,000 14,640,000 2,152,000 -103,000 3,083,000 3,083,000 9,989,000 -647,000 6,376,000 -3,472,000    636,000 636,000   986,000 986,000 
          proceeds from sale of marketable securities
                                                                            778,000         -1,076,000 -1,123,000 2,471,000 2,471,000     
          (gain) loss on marketable securities
                                                                                             
          short term investments
                                                                                             
          marketable securities
                                                                                   34,000    2,401,000      
          notes receivable
                                                                                             
          accounts receivable and prepaids
                                                                                   9,024,000    8,198,000      
          due from related parties
                                                                                   146,000    63,000      
          long term deposits
                                                                                  -943,000 932,000    866,000 11,000     
          redemption call option on convertible debentures
                                                                                             
          current portion of promissory note
                                                                                             
          accrued interest on convertible debentures
                                                                                   101,000          
          promissory note
                                                                                             
          asset retirement obligations
                                                                                   1,485,000    1,613,000      
          future income tax liability
                                                                                   3,417,000    5,222,000      
          liability portion of convertible debentures
                                                                                   7,267,000          
          and outstanding 80,720,420 shares
                                                                                             
          equity portion of convertible debentures
                                                                                   2,416,000          
          accumulated comprehensive income
                                                                                   212,000          
          deficit
                                                                                   -46,467,000    -28,734,000      
          future income tax expense
                                                                                             
          accretion of convertible debentures
                                                                            -156,000 -32,000 436,000 436,000 1,021,000 324,000 75,000 46,000 46,000         
          (gain) on redemption call option
                                                                                             
          realized (gain) on marketable securities
                                                                                             
          investment in marketable securities
                                                                              -1,021,000         -969,000      
          issuance of convertible debentures
                                                                                   11,225,000 11,225,000         
          debenture issuance costs
                                                                                  1,013,000 -1,102,000          
          future income tax loss
                                                                                3,562,000 1,085,000 -127,000 -452,000  -381,000 549,000 23,000 23,000     
          loss on redemption call option
                                                                              -175,000               
          future income tax provision
                                                                              1,350,000 1,350,000              
          non-controlling interest
                                                                                           1,483,000 1,483,000 
          impairment of asset backed commercial paper
                                                                                             
          allowance for doubtful iva
                                                                                             
          mark to market gain on redemption call option
                                                                                             
          investment in asset backed commercial paper
                                                                                             
          equity instruments issued
                                                                                             
          equity issued on short form prospectus
                                                                                             
          equity issued on private placement
                                                                                             
          net income for the period
                                                                                             
          long term investments
                                                                                   2,109,000    3,932,000      
          and outstanding 51,537,018 shares
                                                                                   89,816,000          
          special warrants,
                                                                                             
          endeavour silver corp.
                                                                                             
          consolidated statements of cash flow
                                                                                             
          increase (decrease) in cash and cash equivalents
                                                                                   4,201,000          
          and outstanding 49,040,478 shares
                                                                                             
          accumulated other comprehensive income
                                                                                       307,000      
          going concern note 1
                                                                                             
          subsequent events see note 10
                                                                                             
          (loss) for the period
                                                                                             
          depreciation, depletion and accretion
                                                                                     789,000        
          loss (gain) on marketable securities
                                                                                             
          common shares issued
                                                                                      -28,000 32,000 32,000  -615,000 2,892,000 2,892,000 
          and outstanding 49,026,146 shares
                                                                                       87,515,000      
          loss for the period
                                                                                       2,011,000 2,011,000     
          sales
                                                                                           7,230,000  
          cost of sales
                                                                                           3,567,000  
          exploration
                                                                                           1,770,000  
          general and administrative
                                                                                           1,532,000  
          operating profit
                                                                                             
          foreign exchange gain
                                                                                           192,000  
          income from property option interest
                                                                                             
          realized gain on marketable securities
                                                                                             
          (impairment) on asset backed commercial paper
                                                                                             
          investment and other income
                                                                                           294,000  
          income before taxes and other items
                                                                                             
          income tax recovery
                                                                                             
          income for the period
                                                                                             
          other comprehensive income, net of tax
                                                                                             
          unrealized gain on marketable securities
                                                                                           388,000  
          reclassification adjustment for gain included in net income
                                                                                             
          comprehensive income for the period
                                                                                             
          basic and diluted loss per share based on income
                                                                                             
          weighted average number of shares outstanding
                                                                                           43,077,054,000  
          income from option interest in mineral properties
                                                                                             
          acquisition of subsidiary, net of cash acquired
                                                                                             
          corporate development
                                                                                           35,000  
          income tax provision
                                                                                             
          basic and diluted loss per share
                                                                                             
          weighted-average number of shares outstanding
                                                                                             
          due from related party