7Baggers

MAG Silver Corp
(NYSE MKT:MAG) 

MAG stock logo

MAG Silver Corp. engages in the exploration and development of silver mining properties. It also explores for gold, lead, and zinc deposits. It primarily holds 44% interest in the Juanicipio project located in the Fresnillo District, Zacatecas State, Mexico. The company was incorporated in 2003 and ...

Full Time Employees: 8
Sector: Basic Materials
Industry: Silver

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• Market Cap:
• Exchange:
• Shs Outstanding:
• Employees:
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At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income Statements:
Quarterly
Annual
    Unit: USD2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-11-14 2022-06-30 2004-04-28 
                
      income from equity accounted investment in juanicipio
    42,091,000 33,864,000 25,552,000 25,123,000 19,244,000 65,099,000 13,692,000 22,419,000 7,919,000 11,781,000 12,347,000  
      general and administrative expenses
     -4,964,000 -3,529,000 -3,622,000  -13,594,000 -4,094,000 -3,233,000   -3,282,000  
      general exploration and business development
     -33,000 -138,000 -95,000  -736,000 -468,000 -40,000   -66,000  
      operating income
    33,690,000 28,867,000 21,885,000 21,406,000 14,778,000 50,769,000 9,130,000 19,146,000 4,545,000 8,758,000 8,999,000  
      yoy
    127.97% -43.14% 139.70% 11.80% 225.15% 479.69% 1.46%      
      qoq
    16.71% 31.90% 2.24% 44.85% -70.89% 456.07% -52.31% 321.25% -48.10% -2.68%   
      interest income
    1,459,000 1,568,000 1,336,000 928,000 827,000 2,594,000 663,000 641,000 564,000 216,000 18,000  
      other income
      533,000 650,000 537,000 1,017,000 269,000 233,000 127,000    
      financing costs
     -129,000 -211,000 -134,000         
      foreign exchange gain
    253,000 13,000  60,000    168,000   -185,000  
      income before income tax
    35,257,000 30,319,000 23,502,000 22,910,000 15,979,000 54,236,000 9,870,000 20,188,000 5,056,000 8,775,000 8,832,000  
      deferred income tax expense
     -1,575,000 -1,210,000 -1,296,000  -5,577,000 -1,008,000      
      net income
    33,444,000 28,744,000 22,292,000 21,614,000 14,895,000 48,659,000 8,862,000 19,390,000 4,713,000    
      yoy
    124.53% -40.93% 151.55% 11.47% 216.04%        
      qoq
    16.35% 28.94% 3.14% 45.11% -69.39% 449.07% -54.30% 311.42%     
      other comprehensive income
              -1,000  
      items that will not be reclassified subsequently to profit or loss:
                
      unrealized gain on equity securities
    8,000 4,000 1,000 2,000         
      total comprehensive income
    33,452,000 28,748,000 22,293,000 21,616,000 14,893,000 48,656,000 8,860,000 19,388,000 4,712,000 8,226,000 7,561,000  
      basic earnings per share
    0.32 0.28 0.22 0.21 0.14 0.47 0.09 0.19 0.05    
      diluted earnings per share
    0.32 0.27 0.22 0.21 0.14 0.47 0.09 0.19 0.05    
      weighted-average number of shares outstanding
                
      basic
    103,487,371 103,411,542 103,184,518 103,147,425 102,979,176 102,486,986 102,945,350 102,906,482 101,117,919 98,732,615 98,238,658  
      diluted
    104,607,814 104,694,148 104,158,011 104,299,804 103,111,227 102,631,964 103,501,006 103,486,246 101,319,086 98,914,359 98,524,121  
      foreign exchange loss
      -41,000   -144,000 -192,000      
      unrealized loss on equity securities
         -3,000 -2,000 -2,000   -1,000  
      exploration and evaluation assets written down
                
      deferred tax benefit
                
      other comprehensive loss
          -2,000 -2,000     
      weighted-average shares outstanding
                
      basic
    103,487,371 103,411,542 103,184,518 103,147,425 102,979,176 102,486,986 102,945,350 102,906,482 101,117,919 98,732,615 98,238,658  
      diluted
    104,607,814 104,694,148 104,158,011 104,299,804 103,111,227 102,631,964 103,501,006 103,486,246 101,319,086 98,914,359 98,524,121  
      deferred income tax (expense) benefit
           -798,000     
      deferred income tax benefit
              -1,270,000  
      income for the period
             8,227,000 7,562,000  
      net of deferred tax benefit
                
      basic and diluted earnings per share
             0.08   
      exploration and evaluation costs written down
                
      basic and diluted income per share
              0.08  
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-06-30 2025-06-10 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-11-14 2022-06-30 2022-05-16 2021-11-15 2021-06-30 2021-05-17 2020-09-30 2020-06-30 2020-05-15 2019-11-08 2019-08-12 2019-05-10 2018-09-30 2018-08-14 2018-03-31 2017-11-13 2017-08-11 2017-03-31 2016-09-30 2016-06-30 2016-05-12 2015-09-30 2015-06-30 2015-03-31 2014-09-30 2014-06-30 2014-03-31 2014-03-30 2013-09-30 2013-06-30 2013-03-31 2012-09-30 2012-06-30 2012-03-31 2011-09-30 2011-06-30 2011-06-15 2011-03-31 2010-09-30 2010-08-16 2010-06-30 2010-05-04 2009-11-13 2009-08-14 2009-05-18 2008-11-17 2007-11-14 2007-08-27 2007-05-07 2007-04-02 2006-12-31 2006-11-25 2006-08-31 2006-05-29 2006-05-19 2005-12-31 2005-11-16 2005-08-30 2005-05-30 2005-05-04 2004-12-31 2004-11-30 2004-09-14 2004-06-30 2004-06-07 2004-04-28 2003-12-31 
                                                                                   
        assets
                                                                                   
        current assets
                                                                                   
        cash
      171,834,000  156,401,000 113,491,000 97,337,000 74,683,000 68,707,000 58,519,000 52,664,000 54,613,000 39,507,000 44,655,000 52,248,000 31,707,000 66,342,000              30,436,000 30,858,000 142,028,000 77,368,632 81,031,463 83,268,077 88,131,958 18,161,425  20,072,036 27,720,686 33,402,419 37,790,974 44,081,885 14,653,919 21,776,226 30,373,116 33,571,781 35,456,632 35,456,632 46,507,043 51,313,141 51,313,141  30,491,397 35,423,333 43,900,160                       
        accounts receivable
      849,000  571,000 1,675,000 998,000 1,032,000 1,559,000 1,014,000 1,294,000 2,444,000 3,122,000 2,620,000 2,332,000 2,138,000 1,620,000 1,265,000 1,852,000 314,000 94,000 174,000 261,000 267,000 392,000 392,000 629,000 207,000 268,000 759,000 585,000 387,000 202,000 330,255 359,542 296,812 1,250,744 1,171,274  1,163,314 989,613 718,879 752,732 1,123,544 1,420,903 1,080,759 2,325,080 2,297,852 2,332,080 2,332,080 2,213,064 2,560,217 2,560,217 2,061,527 2,453,618 3,511,195 3,307,338 2,138,193 718,725 273,035 352,994   279,170 174,525 203,682 105,071 105,071 76,482 409,964 335,455  520,776 489,211 445,451 445,451 350,183   
        prepaid expenses
      1,399,000  1,548,000 2,094,000 1,693,000 2,450,000 1,787,000 1,335,000 1,978,000 1,961,000 1,489,000 2,036,000 2,816,000 925,000 1,134,000 1,707,000 513,000 1,019,000 700,000 558,000 688,000 555,000 254,000 434,000 558,000 539,000 387,000 569,000 280,000 363,000 456,000 333,769 420,131 545,847 229,291 271,975  554,893 444,465 598,574 359,252 259,508 226,241 315,565 156,432 173,423 412,313 412,313 178,054 166,517 166,517 223,079 115,069 148,732 201,318 116,331 55,892 40,965 101,723 40,965  93,075 14,155 21,261 22,237 22,237 30,347 1,836 7,343  12,850 18,357 1,583 1,583 15,622   
        non-current assets
                                                                                   
        investment in juanicipio
      378,247,000 1,930,000,000 397,732,000 394,928,000 392,250,000 397,012,000 394,622,000 392,629,000 390,154,000 369,703,000 327,894,000 316,745,000 304,910,000 263,891,000 231,050,000 202,874,000 153,384,000 156,647,000 132,125,000 115,053,000                                                          
        exploration and evaluation assets
      86,699,000  83,338,000 74,519,000 68,722,000 61,820,000 52,637,000 48,119,000 43,141,000 39,947,000 33,179,000 29,207,000 11,211,000 18,158,000 16,384,000 14,375,000 9,990,000 8,459,000 7,911,000 6,281,000 4,976,000 4,002,000 2,973,000 2,169,000 1,720,000 800,000 294,000  53,771,000 53,517,000 53,270,000 51,857,149 51,274,558 50,968,021 56,548,550 56,110,436  55,837,432 64,259,356 63,288,885 70,628,970 71,162,631 68,725,051 64,553,818 62,225,503 54,797,864 53,001,344 53,001,344                              
        property and equipment
      2,512,000  2,581,000 236,000 258,000 279,000 301,000 312,000 296,000 331,000 395,000 419,000 450,000 534,000 582,000 639,000 718,000 755,000 747,000 757,000 544,000 573,000                                                        
        deferred financing fees
      406,000  490,000 653,000 739,000 823,000 909,000                                                                       
        investments
      20,000  12,000 8,000 7,000 6,000 8,000 7,000 8,000 9,000 8,000 9,000 10,000 3,246,000 5,178,000 5,279,000 7,916,000 8,297,000 426,000 1,163,000 1,294,000 1,616,000 2,444,000 2,443,000 1,531,000 2,920,000 1,614,000 722,000                                                  
        total assets
      641,966,000 8,866,000,000 642,673,000 587,604,000 562,004,000 538,105,000 520,530,000 501,935,000 489,535,000 469,008,000 405,594,000 395,691,000 376,380,000 320,599,000 322,290,000 318,983,000 310,418,000 262,599,000 212,330,000 218,585,000 219,014,000 217,202,000 219,237,000 219,030,000 220,865,000 176,836,000 176,741,000 176,926,000 232,664,000 230,967,000 231,841,000 166,393,398 167,895,918 168,713,636 178,096,218 105,282,084 54,638,060 105,460,693 118,315,209 119,020,750 129,428,892 135,242,280 102,728,435 104,803,666 110,593,633 104,647,945 104,547,105 104,547,105 112,771,677 115,894,919 115,894,919 84,035,814 84,742,253 88,772,631 92,798,135 96,664,689 43,284,340 18,930,558 37,824,224 18,930,558 18,930,558 18,780,221 18,614,540 18,746,634 18,075,406 18,075,406 12,032,250 12,240,904 9,524,217  9,774,297 9,904,600 9,575,763 9,575,763 8,499,858 7,261,615 8,534,794 
        liabilities
                                                                                   
        current liabilities
                                                                                   
        trade and other payables
      3,775,000  2,789,000 3,314,000 2,709,000 3,785,000 2,668,000 3,286,000 1,575,000 2,031,000 1,568,000 1,494,000 3,999,000 687,000 617,000 793,000 510,000 677,000 602,000 365,000 386,000 1,351,000 557,000 465,000 1,015,000 421,000 471,000 854,000 422,000 339,000 795,000 576,806 386,473 588,978 370,876 881,022  1,138,153 771,143 1,002,828 1,222,865 2,145,298 3,554,569 3,588,574 2,168,341 1,909,400 1,549,528 1,549,528                              
        lease obligation
      158,000  146,000 40,000 77,000 115,000  31,000 69,000 102,000 170,000 215,000 252,000 302,000 339,000 362,000 389,000 403,000 408,000 477,000 501,000 508,000                                                        
        non-current liabilities
                                                                                   
        deferred income taxes
      16,924,000  15,111,000 12,088,000 10,878,000 9,582,000 8,498,000 5,070,000 4,062,000 3,264,000 2,766,000 2,218,000 948,000 5,735,000 4,498,000 5,917,000 8,066,000 9,165,000 10,676,000 2,139,000 1,545,000 1,794,000 541,000 1,419,000 119,000    6,459,000 5,960,000 5,102,000 3,682,347 3,682,347 3,682,347 4,234,722 4,234,722  4,234,722                                        
        provision for reclamation
      484,000  484,000 484,000 484,000 484,000 484,000 484,000 409,000 409,000 409,000 409,000 409,000 409,000 409,000 409,000 409,000 286,000 286,000 260,000 260,000                                                         
        total liabilities
      23,474,000 2,410,200,000 39,216,000 16,175,000 14,930,000 15,398,000 13,773,000 11,365,000 8,876,000 8,795,000 5,029,000 4,480,000 5,727,000 7,239,000 5,968,000 7,581,000 9,460,000 10,613,000 12,048,000 3,312,000 2,762,000 3,720,000 1,098,000 1,884,000 1,134,000 421,000 471,000 854,000 6,881,000 6,299,000 5,897,000 4,259,153 4,068,820 4,271,325 4,605,598 5,115,744 3,608,167 5,372,875    2,145,298 3,554,569 3,588,574             4,024,192 350,368 551,741 350,368 350,368 470,753 476,630 573,708 393,621 393,621 57,814 153,650 28,246  61,837 103,019 401,546 401,546 61,051 126,832 208,018 
        equity
                                                                                   
        share capital
      622,636,000  620,579,000 618,649,000 616,897,000 614,480,000 614,364,000 614,038,000 613,843,000 612,975,000 557,284,000 556,787,000 544,145,000 499,048,000 498,245,000 496,847,000 493,656,000 442,858,000 400,828,000 399,628,000 398,442,000 392,916,000 392,916,000 392,916,000 392,799,000 344,323,000 344,130,000 343,993,000                                                  
        equity reserve
      23,563,000  23,344,000 22,349,000 22,039,000 21,705,000 20,764,000 20,598,000 19,743,000 19,553,000 19,486,000 18,855,000 18,500,000 18,328,000 18,235,000 17,931,000 17,962,000 18,628,000 17,528,000 17,397,000 17,426,000 18,920,000 18,574,000 18,168,000 17,878,000 17,552,000 17,377,000 16,247,000 16,216,000 17,280,000 18,871,000 19,886,021 19,588,729 18,607,269                                            
        accumulated other comprehensive income
      794,000  786,000 782,000 781,000 779,000 781,000 780,000 781,000 783,000 781,000 782,000 783,000 3,587,000 5,258,000 5,345,000 6,402,000 6,071,000     -130,000 -120,000 119,000 1,711,000 1,148,000 895,000 798,000 796,000 2,162,000 783,090 817,486 784,258 702,911 860,541  72,345 1,955,863 1,287,366 2,533,326 3,639,874 2,803,438 3,579,716 638,701 -5,214,432 -4,389,435 -4,389,435        -366,081                      
        deficit
        -41,252,000 -70,351,000 -92,643,000  -129,152,000  -153,708,000   -185,213,000 -192,775,000 -207,603,000 -205,416,000 -208,721,000 -217,062,000 -215,571,000 -216,616,000 -200,492,000 -198,487,000 -197,526,000 -193,221,000 -193,818,000 -191,065,000 -187,171,000  -185,063,000 -134,414,000 -132,429,000 -130,202,000 -118,736,307 -116,748,455 -114,612,656 -102,773,744 -99,093,516  -97,036,441 -79,939,040 -78,450,692 -68,229,999 -60,424,800 -56,815,337 -55,011,975 -55,073,971 -52,067,451 -52,107,066 -52,107,066     -32,765,870 -31,481,554 -27,096,850 -20,324,350 -12,698,187 -7,912,946 -10,165,288 -7,912,946    -5,038,268 -4,046,379 -4,046,379 -3,550,513 -3,230,091 -2,985,618  -2,235,541 -1,726,814 -1,614,705 -1,614,705 -1,366,648   
        total equity
      618,492,000 6,455,800,000 603,457,000 571,429,000 547,074,000 522,707,000 506,757,000 490,570,000 480,659,000 460,213,000 400,565,000 391,211,000 370,653,000 313,360,000 316,322,000 311,402,000 300,958,000 251,986,000 200,282,000 215,273,000 216,252,000 213,482,000 218,139,000 217,146,000 219,731,000 176,415,000 176,270,000 176,072,000 225,783,000 224,668,000 225,944,000 162,134,245 163,827,098 164,442,311 173,490,620 100,166,340  100,087,818 117,544,066 118,017,922 128,206,027                                     
        total liabilities and equity
      641,966,000  642,673,000 587,604,000 562,004,000 538,105,000 520,530,000 501,935,000 489,535,000 469,008,000 405,594,000 395,691,000 376,380,000 320,599,000 322,290,000 318,983,000 310,418,000 262,599,000 212,330,000 218,585,000 219,014,000 217,202,000 219,237,000 219,030,000 220,865,000 176,836,000 176,741,000 176,926,000 232,664,000 230,967,000 231,841,000 166,393,398 167,895,918 168,713,636 178,096,218 105,282,084  105,460,693 118,315,209 119,020,750 129,428,892                                     
        revenue
       773,200,000                                                                            
        cost of sales
       -522,400,000                                                                            
        mine operating earnings
       250,800,000                                                                            
        income from equity accounted investment in juanicipio
       28,900,000                                                                            
        other costs and expenses
       -30,800,000                                                                            
        earnings from operations
       248,900,000                                                                            
        investment income
       6,900,000                                                                            
        interest and finance expense
       -19,700,000                                                                            
        income tax
       -45,900,000                                                                            
        net earnings
       190,200,000                                                                            
        earnings per share
                                                                                   
        pro forma basic earnings per share
       450,000                                                                            
        pro forma diluted earnings per share
       450,000                                                                            
        as at march 31, 2025
                                                                                   
        total current assets
       1,421,200,000           57,396,000 34,770,000 69,096,000 95,816,000 138,410,000 88,441,000 71,121,000 95,331,000 114,782,000 129,429,000 142,422,000 152,230,000 153,879,000 125,304,000 127,280,000 134,492,000 141,325,000 141,630,000 144,291,000 78,258,283 82,067,403 84,326,204 89,942,348 20,418,283 6,780,835 22,287,599 29,388,191 34,877,058 39,140,096 45,830,324 16,593,905 23,832,634 33,388,773 36,807,211 39,238,045 39,238,045 49,264,260 54,082,619 54,082,619 26,557,451 33,082,330 39,103,871 47,444,775 61,595,553 20,997,448 3,936,157 21,388,669 3,936,157  5,089,746 6,187,421 7,259,658 7,713,913 7,713,913 2,246,878 3,144,594 2,004,108  2,422,180 2,814,846 3,825,322 3,825,322 4,613,253   
        mineral properties, plant and equipment
       5,360,600,000                                                                            
        all other assets
       154,200,000                                                                            
        total current liabilities
       633,200,000           4,118,000 793,000 722,000 893,000 596,000 759,000 678,000                                                           
        total long-term debt
       703,400,000                                                                            
        all other liabilities
       1,073,600,000                                                                            
        dividend payable
        18,623,000                                                                           
        flow-through share premium liability
         249,000 782,000 1,432,000 1,969,000 2,357,000 2,625,000                                                                     
        current portion of lease obligation
            154,000 137,000 136,000 130,000 116,000 144,000 119,000 106,000 105,000 100,000 86,000 82,000 76,000 71,000 70,000 67,000                                                        
        commitments and contingencies
                                                                                   
        subsequent events
                                                                                   
        flow-through premium liability
               2,859,000                                                                    
        current
                                                                                   
        convertible note receivable
                  2,403,000                                                                 
        non-current
                                                                                   
        subsequent event
                                                                                   
        cash and cash equivalents
                     92,844,000 136,045,000 87,108,000 70,327,000 94,599,000 113,833,000 128,607,000 141,776,000 151,404,000 152,692,000 121,638,000 125,011,000 77,442,000                        24,251,678    59,195,741 19,737,071 3,506,930 20,824,452 3,506,930  4,611,501 5,907,541 6,978,715 7,560,193 7,560,193 2,124,299 2,727,794 1,636,292  1,866,360 2,293,676 3,365,988 3,365,988 4,172,042   
        accumulated other comprehensive loss
                        -1,458,000 -1,260,000 -1,129,000 -828,000                           -1,516,857 -1,517,141 -1,517,141 -1,540,939 -1,861,871 -1,032,259 -1,012,013                       
        investment in associate
                          97,418,000 81,582,000 71,359,000 62,146,000 63,692,000 50,680,000 49,121,000 42,384,000 37,518,000 35,772,000 34,235,000 32,189,874 30,645,023 29,788,566 27,777,361 24,990,109  24,850,455 24,579,663 20,770,291 19,566,756 18,135,122 17,288,438 16,282,692 14,836,873 12,886,660 12,137,780 12,137,780                              
        equipment
                            39,000 42,000 43,000 52,000 46,000 50,000 50,000 48,000 45,000 41,955 44,682 48,625 63,832 75,458  69,692 87,999 84,516 93,070                                29,218 29,218 31,796   
        term deposits
                                 55,000,000 110,000,000 110,000,000                                                
        commitments
                                                                                   
        marketable securities
                                  24,000 22,000 1,605,000 225,627 256,267 215,468 330,355 487,985  497,356 233,427 157,186 237,138 365,387 292,842 660,084 534,145 764,155 1,037,020 1,037,020 325,118 15,527 15,527 13,078 13,246 9,943 8,245 6,038                      
        authorized - unlimited common shares,
                                                                                   
        without par value
                                                                                   
        issued and outstanding common shares
                                                                                   
        at september 30, 2016 - 80,647,412
                                  343,183,000                                                 
        at june 30, 2016 - 80,208,810
                                   339,021,000                                                
        at march 31, 2016 - 79,796,665
                                    335,113,000                                               
        option to acquire mineral interest
                                     4,046,137 3,864,252 3,582,220 3,764,127 3,687,798  2,415,515                                        
        at september 30, 2015 - 69,253,876
                                     260,201,441                                              
        at june 30, 2015 - 69,248,876
                                      260,169,338                                             
        at march 31, 2015 - 69,173,076
                                       259,663,440                                            
        at september 30, 2014 - 68,784,222
                                        256,408,357                                           
        share option reserve
                                        19,153,096 17,077,573  16,998,587 15,947,365 15,601,370 14,322,822 13,687,378 14,039,489 13,625,968 13,898,119 12,727,650 12,558,709 12,558,709                              
        deferred issue costs
                                         325,624                                          
        at june 30, 2014 - 60,366,222
                                         181,321,742                                          
        cash and short term investments
                                          4,347,871                                         
        iva and other receivables
                                          2,432,964                                         
        minerals, surface rights and exploration expenditures
                                          47,857,225                                         
        payables to peñoles and other vendors
                                          120,055                                         
        deferred income tax liability
                                          3,488,112                                         
        shareholders' equity
                                          51,029,893                                       7,134,783 8,326,776 
        total liabilities & equity
                                          54,638,060                                         
        deferred income tax expense
                                                                                   
        net income after deferred income taxes
                                                                                   
        mag's 44% equity pick up
                                                                                   
        at march 31, 2014 - 60,209,554
                                           180,053,327                                        
        at september 30, 2013 - 60,141,718
                                            179,579,878                                       
        at june 30, 2013 - 60,141,718
                                             179,579,878                                      
        at march 31, 2013 - 60,141,718
                                              179,579,878                                     
        equipment and leasehold improvements
                                               114,203 121,041 134,522 142,484 156,210 169,936 169,936                              
        at sept. 30, 2012 - 59,773,982
                                               176,194,530                                    
        total shareholders' equity
                                               133,096,982 99,173,866 101,215,092 108,425,292 102,738,545 102,997,577 102,997,577 110,622,476 113,759,417 113,759,417 81,697,104 83,567,394 85,606,982 88,701,659 95,823,160 39,260,148 18,580,190 37,272,483 18,580,190  18,309,468 18,137,910 18,172,926 17,681,785 17,681,785 11,974,436 12,087,254 9,495,971  9,712,460 9,801,581 9,174,217 9,174,217 8,438,807   
        total liabilities and shareholders' equity
                                               135,242,280 102,728,435 104,803,666 110,593,633 104,647,945 104,547,105 104,547,105 112,771,677 115,894,919 115,894,919 84,035,814 84,742,253 88,772,631 92,798,135 96,664,689 43,284,340 18,930,558 37,824,224 18,930,558  18,780,221 18,614,540 18,746,634 18,075,406 18,075,406 12,032,250 12,240,904 9,524,217  9,774,297 9,904,600 9,575,763 9,575,763 8,499,858   
        authorized - unlimited common shares, without par value
                                                                                   
        issued and outstanding common shares at june 30, 2012 - 55,683,224
                                                139,146,276                                   
        at march 31, 2012 - 55,667,139
                                                 139,021,383                                  
        at september 30, 2011 - 55,667,139
                                                                                   
        continuing operations
                                                                                   
        at june 30, 2011 - 55,419,886
                                                                                   
        at march 31, 2011 - 55,345,887
                                                                                   
        interest receivable
                                                      40,981 27,217 27,217 8,089 9,000 10,668 27,714 139,250 485,760 115,227 109,500 115,227  106,000 91,200 56,000 26,412 26,412 15,750 5,000 25,018  22,194 13,602 12,300 12,300 75,406   
        equipment and leaseholds
                                                      137,024 142,043 142,043 153,708 55,020 63,606 72,192 66,734 23,152 31,332 29,539 31,332  35,731 37,778 41,104 39,914 39,914            
        investment in minera juanicipio s.a. de c.v.
                                                      11,259,768 10,358,458 10,358,458 9,356,326 8,469,063 9,267,347 8,215,779 7,356,331                      
        mineral rights
                                                      7,108,126 7,732,794 7,732,794 7,553,704 6,929,684 6,409,446 6,328,842 5,930,230  5,504,137 5,814,736 5,504,137  5,211,141 4,898,005 4,868,797 4,858,108 4,858,108 4,734,289 4,534,894 3,289,263         
        deferred exploration costs
                                                      45,002,499 43,579,005 43,579,005 40,414,625 36,206,156 33,928,361 30,736,547 21,715,841 13,843,440 9,458,932 10,591,280 9,458,932  8,443,603 7,491,336 6,577,075 5,463,471 5,463,471 5,006,529 4,512,222 4,179,037 -4,034,164 4,034,164 3,953,705 3,416,376 3,416,376 2,538,593   
        accounts payable and accrued liabilities
                                                      2,149,201 2,135,502 2,135,502 2,338,710 1,174,859 3,165,649 4,096,476 841,529 1,096,192 350,368 551,741 350,368  470,753 476,630 573,708 393,621 393,621 57,814 153,650 28,246  61,837 103,019 401,546 401,546 61,051   
        issued and outstanding at september 30, 2010 - 54,743,895
                                                                                   
        common shares
                                                      143,561,932 142,477,602 142,477,602 108,974,296   107,259,065 107,023,016                      
        contributed surplus
                                                      11,916,931 11,750,358 11,750,358 11,856,383 10,663,280 10,708,401 9,551,457 9,490,575 5,585,715 3,059,194 4,696,318 3,059,194  2,705,232 2,476,456 1,391,885 915,979 915,979 900,641 797,436 797,436  323,436 75,308 75,308 75,308 75,308   
        deficit accumulated during the exploration stage
                                                      -43,339,530 -38,951,402 -38,951,402 -37,592,636                          
        issued and outstanding at june 30, 2010 - 54,538,395
                                                                                   
        on behalf of the board
                                                                                   
        /s/ derek white
                                                                                   
        derek white, director
                                                                                   
        /s/ r. michael jones
                                                                                   
        r. michael jones, director
                                                                                   
        issued and outstanding at march 31, 2010 - 49,888,042
                                                                                   
        /s/ "derek white"
                                                                                   
        /s/ "r. michael jones"
                                                                                   
        contingencies and commitments
                                                                                   
        issued and outstanding at sept. 30, 2009 - 49,273,769
                                                                                   
        common shares sept. 30, 2008 - 49,155,566)
                                                          107,531,855                         
        related party transactions
                                                                                   
        issued and outstanding at jun 30, 2009 - 49,249,269
                                                                                   
        common shares jun 30, 2008 - 49,153,466)
                                                           107,412,394                        
        issued and outstanding at mar. 31, 2009 - 49,210,566
                                                                                   
        issued and outstanding at sept. 30, 2008 - 49,155,566
                                                                                   
        common share purchase warrants
                                                                                   
        "derek white"
                                                                                   
        "r. michael jones"
                                                                                   
        mineral & surface rights
                                                              8,420,300                     
        due to peñoles
                                                              2,928,000                     
        issued and outstanding at sept. 30, 2007
                                                                                   
        - 43,526,396 common shares (december 31, 2006 -
                                                                                   
        (signed) dan macinnis
                                                                                   
        dan macinnis, director
                                                                                   
        (signed) r. michael jones
                                                                                   
        michael jones, director
                                                                                   
        joint venture commitments
                                                                                   
        issued and outstanding at june 30, 2007
                                                                                   
        37,928,610)
                                                               23,433,942 42,741,453                   
        dan macinnis
                                                                                   
        eric carlson
                                                                                   
        eric carlson, director
                                                                                   
        authorized - 1,000,000,000 common shares,
                                                                                   
        issued and outstanding at march 31, 2007
                                                                                   
        - 41,116,394 common shares (december 31, 2006 -
                                                                                   
        amounts receivable
                                                                 273,035                  
        issued and outstanding at december 31, 2006
                                                                                   
        - 37,928,610 common shares (december 31, 2005 -
                                                                                   
        36,191,648)
                                                                 23,433,942  22,698,793 22,185,215 21,819,309              
        “daniel macinnis”
                                                                                   
        director
                                                                                   
        “r. michael jones”
                                                                                   
        total expenses
                                                                  4,075,160               582,383 915,007 
        net loss
                                                                  -3,866,567               -535,066 -837,539 
        basic and diluted loss per share
                                                                  -0.1               -0.05 -0.06 
        weighted-average common shares outstanding
                                                                  37,055,631               11,849,342 14,455,369 
        consolidated balance sheet
                                                                                   
        working capital
                                                                  3,585,789               4,515,741 4,920,182 
        shareholders’ equity
                                                                  18,580,190                 
        issued and outstanding at september 30, 2006
                                                                                   
        - 37,441,410 common shares (december 31, 2005 -
                                                                                   
        issued and outstanding at june 30, 2006
                                                                                   
        - 37,106,196 common shares (december 31, 2005 -
                                                                                   
        issued and outstanding at march 31, 2006
                                                                                   
        - 36,836,864 common shares (december 31, 2005 -
                                                                                   
        issued and outstanding at december 31, 2005
                                                                                   
        - 36,191,648 common shares (december 31, 2004 -
                                                                                   
        25,829,538)
                                                                      20,812,185 20,812,185 14,624,308 14,519,909 11,684,153         
        common shares allotted - not issued
                                                                                   
        (signed) michael jones
                                                                                   
        fixed assets and leaseholds
                                                                        44,554 49,194 51,809  41,403       
        issued and outstanding at sept.30, 2005
                                                                                   
        - 29,612,049 common shares (december 31, 2004 -
                                                                                   
        issued and outstanding at march 31, 2005
                                                                                   
        - 25,914,611 common shares (december 31, 2004 -
                                                                                   
        total assets under canadian gaap
                                                                           9,774,297        
        amortization of mineral rights
                                                                                   
        total assets under us gaap
                                                                           5,740,133        
        total liabilities under canadian and us gaap
                                                                           61,837        
        shareholders' equity under canadian gaap
                                                                           9,712,460        
        write-off of deferred exploration costs
                                                                           -4,034,164        
        shareholders' equity under us gaap
                                                                           5,678,296        
        total liabilities and shareholders' equity under
                                                                                   
        us gaap
                                                                           5,740,133        
        mineral right acquisition costs
                                                                            3,276,550 3,094,409 2,304,847 2,304,847 1,316,216   
        issued and outstanding at december 31, 2004
                                                                                   
        - 25,829,538 common shares (december 31, 2003 -
                                                                                   
        23,093,995)
                                                                            11,615,098       
        common shares allotted - not issued (9,191 common
                                                                                   
        shares)
                                                                            9,467       
        equipment & leaseholds
                                                                             41,640      
        issued and outstanding at sept. 30, 2004
                                                                                   
        - 25,565,800 common shares (december 31, 2003
                                                                                   
        - 23,093,995)
                                                                             11,453,087 10,713,614 10,713,614 9,730,147   
        on behalf of the board:
                                                                                   
        "dave pearce"
                                                                                   
        dave pearce, director
                                                                                   
        issued and outstanding at june 30, 2004
                                                                                   
        - 24,429,150 common shares (december 31, 2003
                                                                                   
        "george young"
                                                                                   
        george young, president & director
                                                                                   
        issued and outstanding at march 31, 2004
                                                                                   
        - 23,658,245 common shares (december 31, 2003
                                                                                   
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-06-30 2025-03-31 2024-09-30 2024-06-30 2024-03-31 2023-12-31 2023-09-30 2023-06-30 2023-03-31 2022-11-14 2022-06-30 2022-05-16 2021-11-15 2021-06-30 2021-05-17 2020-09-30 2020-06-30 2020-05-15 2019-11-08 2019-08-12 2019-05-10 2018-09-30 2018-08-14 2018-03-31 2017-11-13 2017-08-11 2017-03-31 2016-09-30 2016-06-30 2016-05-12 2015-09-30 2015-06-30 2015-03-31 2010-09-30 2010-08-16 2010-05-04 2009-11-13 2009-08-14 2009-05-18 2008-11-17 2007-11-14 2007-08-27 2007-05-07 2006-05-29 2005-11-16 2005-08-30 2005-05-30 2004-12-31 2004-06-07 
                                                         
          operating activities
                                                         
          net income
        4,700,000 28,744,000 678,000 6,719,000 14,895,000 48,659,000 -10,528,000                                           
          items not involving cash:
                                                         
          income from equity accounted investment in juanicipio
         -33,864,000 -429,000   -65,099,000 8,727,000    -26,109,000 13,762,000                                      
          deferred income tax expense
        238,000 1,575,000 -86,000 212,000 1,084,000 5,577,000 210,000 455,000 343,000 -722,000 2,872,000 -1,602,000 2,887,000 242,000 -1,647,000 1,287,000 -11,210,000 8,694,000          359,000                      
          share-based compensation expense
        338,000 1,101,000 -62,000 87,000 966,000                                             
          amortization of flow-through premium liability
          117,000   -1,017,000 -36,000                                           
          depreciation and amortization
        5,000 178,000 -49,000 4,000 145,000 352,000 75,000 48,000 10,000                                        
          amortization of deferred financing fees
        5,000 79,000 2,000 -2,000 86,000 84,000                                            
          interest expense on lease obligation
        3,000 37,000                                                
          unrealized foreign exchange loss
        365,000 12,000    71,000 331,000 -377,000 175,000 -104,000 186,000 15,000 353,000   -188,000 129,000 -5,000  -111,000 50,000 -73,000 32,000 17,000   -78,000 150,000 264,000 -281,000 918,299 -1,240,680 1,090,196                 
          movements in non-cash working capital
                                                         
          accounts receivable
         280,000 -550,000   -340,000 128,000    19,000 -62,000 -138,000 67,000 47,000 231,000 -209,000 -11,000  -100,000 105,000 -236,000 707,000 -470,000 -430,000 622,000 -131,000 -13,000 -312,000 126,000 92,017 -349,291 286,561 347,153 -498,690 -28,009 1,057,577 -203,857 -968,134 -381,110 -213,744 -151,987 -79,959 -98,611 333,482 -74,509 185,321 -217,515 -90,682 
          prepaid expenses
        1,128,000 -979,000 -1,158,000   -555,000 660,000   -235,000 3,071,000 -2,290,000 -366,000 1,772,000 -1,198,000 827,000 111,000 -431,000  97,000 -229,000 56,000 394,000 -270,000 -336,000 571,000 -388,000 -9,000 399,000 -306,000 -39,354 315,654 -189,938 -11,537 56,562 -131,779 33,665 52,585 -91,167 -35,725 28,557 17,274 -60,758 976 -28,511 5,507 5,507 12,674 -6,872 
          trade and other payables
        787,000 151,000 1,595,000 -2,067,000 836,000 44,000 1,147,000   3,362,000 -5,551,000 2,355,000 -301,000 424,000 -296,000 -255,000 228,000 -160,000  54,000 -251,000 750,000 -713,000 104,000 153,000 -285,000 -1,000 559,000 -477,000 33,000 215,678 -154,357 3,388                 
          net cash from operating activities
         -2,686,000 342,000   -8,945,000 524,000    -3,366,000 -1,664,000 -376,000 2,024,000 -2,922,000 904,000 120,000 -1,616,000  355,000 -1,099,000 468,000 921,000 -1,639,000 -676,000 1,264,000 -1,680,000 531,000 -116,000 -1,162,000 616,988 -163,418 -946,190                 
          capital expenditures
                               
          free cash flows
         -2,686,000 342,000   -8,945,000 524,000    -3,366,000 -1,664,000 -376,000 2,024,000 -2,922,000 904,000 120,000 -1,616,000  355,000 -1,099,000 468,000 921,000 -1,639,000 -676,000 1,264,000 -1,680,000 531,000 -116,000 -1,162,000 616,988 -163,418 -946,190                 
          investing activities
                                                         
          exploration and evaluation expenditures
         -4,009,000 1,237,000   -15,220,000 -548,000    -1,258,000 -1,291,000 704,000 -621,000 -1,597,000 -855,000 150,000 -624,000  -371,000 -320,000 -471,000 -109,000 -280,000 -155,000   -9,000 386,000 -663,000 -141,213 82,542 -437,030                 
          acquisition of exploration property
                                                         
          receipt of principal on loans to juanicipio
          -6,392,000                                               
          receipt of dividends from juanicipio
                                                         
          receipt of interest on loans to juanicipio
          -778,000 -991,000 2,484,000 7,639,000                                            
          purchase of equipment
         -28,000             -4,000 42,000 -48,000 -5,000   -13,000       -1,000 4,000 -11,000                    
          net cash from investing activities
        62,298,000 -4,037,000 -5,933,000 14,537,000 8,653,000 -7,243,000 7,694,000    -248,000 -2,668,000 -7,264,000 -27,674,000 1,647,000 23,296,000 -22,930,000 -470,000  -15,652,000 -414,000 -8,881,000 5,526,000 -6,047,000 -50,275,000 52,150,000 -4,389,000 108,618,000 -107,326,000 -3,708,000 -1,064,278 1,150,192 -2,737,328                 
          financing activities
                                                         
          dividends paid
                                                         
          issuance of common shares upon exercise of stock options
        -90,000 853,000 -626,000   307,000   225,000     42,000 75,000 1,216,000 393,000 106,000       -66,000 11,000 86,000 1,705,000 674,000 495,000 -336,288 -1,082,445 1,441,126 705,130 226,265 878,911              
          payment of lease obligation
         -72,000    -107,000 -2,000    3,000 -28,000 -6,000 5,000 -23,000 17,000 -10,000 -16,000  7,000 -22,000                             
          net cash from financing activities
         781,000 -625,000   54,955,000   55,875,000  35,000 -28,000 -123,000 47,000 52,000 7,795,000 41,684,000 90,000  1,985,000 -22,000    -66,000 11,000 86,000 1,750,000 -70,070,000 71,194,000 -336,288 -1,082,445 1,441,126                 
          effect of exchange rate changes on cash
         -4,000 -284,000 86,000 52,000 -15,000 -615,000                                           
          increase in cash during the period
        21,379,000 -5,946,000 -6,500,000 16,678,000 5,976,000  7,804,000 -26,607,000 24,658,000                                         
          cash, beginning of period
        -5,946,000 162,347,000 22,654,000 5,976,000 68,707,000  -1,949,000 24,658,000 29,955,000 -7,593,000 -4,500,000 56,748,000 -26,502,000               -111,170,000 66,604,000 75,424,000 -2,236,614   51,313,141 24,251,678  35,423,333 43,900,160           4,795,822 
          cash, end of period
        15,433,000 156,401,000 16,154,000 22,654,000 74,683,000  5,855,000 -1,949,000 54,613,000 -5,148,000 -7,593,000 52,248,000 -34,635,000               -422,000 -111,170,000 142,028,000 -3,662,831 -2,236,614 83,268,077  51,313,141  30,491,397 35,423,333           4,172,042 
          unrealized foreign exchange gain
          284,000            -50,000                                   
          investment in juanicipio
             -25,376,000 111,000    -19,000 -85,000 -8,075,000 -23,708,000 -101,000 23,111,000 -23,112,000 -172,000                                
          issuance of common shares, net of share issue costs
             39,750,000 203,000 -39,539,000 39,472,000       6,562,000             -70,744,000 70,699,000    -22,294 33,171,016               
          issuance of flow-through shares, net of share issue costs
             15,998,000   16,208,000                                         
          payment of lease obligation principal
                                                         
          acquisition of goldstake property
                                                         
          investment activities
                                                         
          receipt of principal on loans to juanicpio
            14,975,000 25,714,000                                            
          net cash (used in) / from financing activities
                                                         
          exploration and evaluation assets written down
                   10,471,000                                      
          share-based payment expense
             3,279,000 -190,000 249,000 763,000 405,000 211,000 497,000                                      
          acquisition of gatling exploration, net of cash acquired
                                                         
          proceeds from disposition of equity securities
                   1,111,000   3,349,000 998,000                                  
          deferred financing fees
             -993,000                                            
          increase in cash during the year
             38,752,000                                            
          cash, beginning of year
             29,955,000                           86,280,385                 
          cash, end of year
             68,707,000                                            
          receipt of principal and interest on loans to juanicipio
                                                         
          interest payment on juanicipio loans
                                                         
          net cash (used in) from financing activities
                                                         
          net income for the period
                4,713,000                                         
          convertible note receivable
                   -2,403,000                                      
          interest payment from loan to juanicipio entities
                149,000                                         
          income for the period
                 665,000 4,882,000 2,680,000         -442,000   183,000                          
          decrease in cash during the period
                                                         
          expenses
                                                         
          accounting and audit
                   74,000 -25,000 -19,000 96,000 5,000 -21,000 69,000 -37,000 27,000 58,000 -18,000 27,000 68,000 -25,000 -4,000 66,000 -21,000 -3,000 83,000   86,319                 
          amortization
                   34,000 10,000 29,000 1,000 30,000 -1,000 27,000 -1,000 4,000 3,000 4,000 2,000 4,000 354 3,942 14,060 13,090 12,877 8,583 8,586 8,586 8,627 3,586 3,443 3,442 3,975 4,640 4,639 4,438 8,985 2,578 
          filing and transfer agent fees
                   258,000 -7,000 -247,000 257,000 42,000 -226,000 235,000 -1,000 -211,000 214,000 -8,000 -222,000 234,000 -28,000 -179,000 211,000 -1,000 -156,000 163,000   153,379                 
          general exploration and business development
                   25,000                                      
          general office expenses
                   87,000 -233,000 332,000 359,000 -159,000 189,000 205,000 -97,000 140,000 170,000 -112,000 99,000 198,000 -87,000 110,000 155,000 -116,000 128,000 138,000   131,003                 
          insurance
                   423,000                                      
          legal
                   53,000 9,000 -49,000 82,000 -95,000 16,000 141,000 39,000 -35,000 86,000 48,000 -53,000 108,000 41,000 -36,000 77,000 137,000 -19,000 57,000   37,782                 
          management compensation and consulting fees
                   769,000 6,000 -65,000 692,000 98,000 5,000 474,000 1,000 -75,000 576,000 -25,000 -14,000 474,000 9,000 -3,000 430,000 -8,000 10,000 427,000   404,758                 
          shareholder relations
                   63,000 15,000 7,000 60,000 27,000 -73,000 111,000 -20,000 6,000 104,000 -34,000 -8,000 140,000 -25,000 -2,000 142,000 13,000 -3,000 123,000   145,371                 
          travel
                   12,000   5,000 8,000 -45,000 46,000 -15,000 -1,000 68,000 -39,000 10,000 81,000 -43,000 -8,000 90,000 -17,000 -25,000 84,000   74,601                 
          interest income
                   101,000 -17,000 -43,000 85,000 23,000 -164,000 274,000 -193,000 -62,000 844,000 29,000 101,000 682,000 44,000 54,000 362,000 45,000 190,000 113,000   92,132                 
          foreign exchange gain
                   -19,000   -48,000           -41,000 -81,000                       
          exploration and evaluation costs written down
                   -10,471,000                                      
          income for the period before income tax
                   1,078,000                                      
          deferred income tax benefit
                   1,602,000 -2,887,000   -1,287,000 11,210,000 -8,694,000 -844,000 -70,000 319,000                             
          other comprehensive income:
                                                         
          items that will not be reclassified subsequently to profit or loss:
                                                         
          unrealized loss on equity securities
                   -58,000   -3,323,000                                   
          net of deferred tax benefit
                   7,000 232,000 -437,000 451,000                                   
          total comprehensive income
                   2,629,000 -7,076,000              -299,000 1,610,000 -3,622,000 29,000                    
          basic and diluted income per share
                   30         -10                             
          weighted-average number of shares outstanding
                                                         
          basic
                   97,819,441,000         85,539,476,000   85,490,587,000                          
          diluted
                   98,077,137,000         85,539,476,000   86,307,001,000                          
          balance, january 1, 2021
                   94,813,122,000                                      
          stock options exercised
                   75,066,000 418,294,000   87,500,000   45,400,000 691,705,000 426,072,000 -1,172,000   293,750                 
          stock options exercised cashless
                   25,089,000 139,273,000   58,191,000 127,845,000 325,671,000 122,568,000 -1,418,000   7,068                 
          restricted and performance share units converted
                   40,131,000 20,382,000   2,495,000 1,700,000 38,692,000                       
          deferred share units converted
                   159,810,000 60,000,000                                 
          share-based payment
                                                         
          issued for cash
                   2,691,000,000 7,621,085,000 3,092,783,000      4,599,641,000 10,240,750,000     8,418,000                 
          issued for property option payment
                   5,223,000 8,241,000                                   
          transfer of gain on disposal of equity securities
                                                         
          at fvoci to deficit, net of tax
                                                         
          deferred tax benefit on unrealized securities loss
                                                         
          balance, december 31, 2021
                   97,809,441,000                                      
          balance, march 31, 2022
                   97,834,441,000                                      
          three months ended march 31, 2021
                                                         
          share based payment
                                     3,105,000                    
          loss for the period
                      -3,662,000   -14,898,000       536,000 -1,010,000 -312,000 242,000 -930,000 -1,297,000 147,947 400,375 -2,536,174        -351,375 -2,181,524 -2,252,342 -991,889 -320,422 -244,473 -750,077 -621,788 -113,132 
          balance, march 31, 2021
                   94,839,944,000   94,839,944,000                                   
          changes in operating assets and liabilities
                                                         
          effects of exchange rate changes on cash
                   -140,000 -370,000               -151,000 -262,000 280,000 -642,639 871,365 -769,916                 
          decrease in cash
                   -4,500,000                110,748,000   -1,426,217 775,694 -3,012,308   -2,551,974 -4,931,936             
          foreign exchange loss
                    134,000   -198,000 131,000 -5,000 60,000 -89,000 46,000 -74,000 17,000 30,000    157,000 246,000 -269,000   1,093,759                 
          mining taxes and other property costs
                    1,000 26,000 7,000 6,000 -1,000 7,000 129,000 -239,000 296,000 320,000 -256,000 369,000                          
          share based payment expense
                    -589,000 292,000 1,193,000 -676,000 752,000 478,000 -777,000 1,060,000 224,000 -1,000 3,000 404,000 -833,000 803,000 367,000 -969,000 614,000 579,000 -806,675 792,636 321,041                 
          income from equity investment in juanicipio
                    -3,363,000                                     
          loss for the period before income tax
                      -2,015,000 -3,617,000 4,985,000 -6,204,000 -200,000 -449,000 -761,000 1,172,000 -438,000 -1,015,000 536,000 -421,000 -901,000 -117,000 -9,000 -1,360,000                    
          unrealized gain on equity securities
                    -1,723,000   -5,706,000                                  
          basic and diluted loss per share
                      -40   -170       10                         
          basic and diluted
                      94,829,854,000   86,558,647,000                                
          balance, january 1, 2020
                    86,545,847,000                                   
          transfer of gain on disposal of equity securities at fvoci to deficit, net of tax
                                                         
          deferred tax expense on unrealized securities gain
                                                         
          balance, december 31, 2020
                    94,813,122,000                                   
          balance, september 30, 2021
                                                         
          nine months ended september 30, 2020
                                                         
          transfer of loss on disposal of equity securities at fvoci to deficit
                                                         
          balance, september 30, 2020
                                                         
          loss from equity investment in juanicipio
                    3,363,000                                     
          increase in cash
                    -8,133,000                 66,604,000    -4,806,098 27,061,463   -8,476,827 -8,362,401 -5,620,225  1,112,268 17,317,522       
          mag silver corp.
                                                         
          condensed interim consolidated statements of changes in equity
                                                         
          note
                                                         
          balance, june 30, 2021
                                                         
          six months ended june 30, 2020
                                                         
          shares to be issued for property option payment
                                                         
          transfer of loss on disposal of equity securities
                                                         
          at fvoci to deficit
                                                         
          balance, june 30, 2020
                                                         
          condensed interim consolidated statements of cash flows
                                                         
          equity pick up from investment in juanicipio
                      632,000 -4,581,000 5,876,000 -4,687,000                                
          other comprehensive loss:
                                                         
          total comprehensive loss
                      -6,534,000   -15,549,000  -673,000 -589,000  -2,080,000 -912,000 846,000        -2,610,506                 
          net loss
                                                         
          three months ended march 31, 2020
                                                         
          balance, march 31, 2020
                      86,594,995,000                                   
          effects of exchange rate changes on
                                                         
          cash and cash equivalents
                      59,000   -37,000  111,000 -38,000 73,000 -32,000 -17,000                          
          decrease in cash and cash equivalents
                      -1,164,000   -2,033,000  -13,201,000 -1,573,000   -7,703,000                          
          cash and cash equivalents, beginning of period
                      94,008,000 16,781,000 -2,033,000 72,360,000  -1,573,000 130,180,000 -1,288,000 -7,703,000 160,395,000 47,570,000 -5,905,000 83,347,000         26,803,652   52,262,561           
          cash and cash equivalents, end of period
                      92,844,000 48,937,000 16,781,000 70,327,000  -14,774,000 128,607,000 -9,628,000 -1,288,000 152,692,000 -3,374,000 47,570,000 77,442,000         24,251,678   43,900,160           
          change in fair value of warrants
                           -3,000 -18,000 62,000 419,000 -470,000 221,000                         
          other comprehensive income
                                                         
          net of deferred tax expense
                       876,000                                  
          balance, january 1, 2019
                                                        
          ifrs 16 transition adjustment on january 1, 2019
                                                         
          balance, december 31, 2019
                                                        
          nine months ended, september 30, 2019
                                                         
          balance, september 30, 2019
                                                         
          equity pick up from associate
                       4,581,000 -5,876,000 4,687,000  198,000 282,000 2,288,000 -2,506,000 883,000 -525,000 -168,000 572,000 224,000 -557,000 -43,000 71,591                   
          increase in cash and cash equivalents
                       32,156,000      -8,340,000   -50,944,000 53,475,000 -5,905,000                       
          six months ended, june 30, 2019
                                                         
          balance, june 30, 2019
                                                         
          effects of exchange rate changes on cash and cash equivalents
                                73,000                         
          other comprehensive loss
                                                         
          unrealized loss on equity securities, net of taxes
                         -651,000                                
          three months ended, march 31, 2019
                                                         
          balance, march 31, 2019
                            85,539,476,000                             
          proceeds from disposition of equity securities held in investments
                         331,000                                
          gain on sale of exploration and evaluation assets,
                                                         
          net of transaction costs
                                                         
          unrealized loss on equity securities,
                                                         
          net of taxes
                          170,000 -154,000 -147,000 229,000                            
          balance, january 1, 2018
                          85,478,790,000                             
          balance, december 31, 2018
                          85,539,476,000                             
          nine months ended, september 30, 2018
                                                         
          balance, september 30, 2018
                                                         
          gain on sale of exploration and evaluation assets, net of transaction costs
                                                         
          disposition costs from sale of exploration and evaluation assets
                                                         
          purchase of property and equipment
                                                         
          six months ended, june 30, 2018
                                                         
          balance, june 30, 2018
                                                         
          investment in associate
                           -15,294,000 -81,000 -8,464,000 5,689,000 -5,767,000 4,776,000 -2,088,000 -4,378,000 -3,000 915,000 -3,034,000 -782,382 1,202,510 -2,191,673                 
          three months ended, march 31, 2018
                                                         
          balance, march 31, 2018
                            85,503,249,000   85,503,249,000                          
          deferred income tax recovery
                               1,198,000   589,000   63,000                    
          unrealized gain on equity securities,
                                                         
          balance, january 1, 2017
                             80,704,204,000                          
          balance, december 31, 2017
                             85,478,790,000                          
          nine month comparative:
                                                         
          balance, september 30, 2017
                                                         
          investment in equity securities
                                                         
          redemption of term deposits
                                                         
          deferred income tax (expense) recovery
                                                         
          six month comparative:
                                                         
          balance, june 30, 2017
                                                         
          unrealized gain on equity securities, net of taxes
                               -1,095,000                          
          three month comparative:
                                                         
          balance, march 31, 2017
                               80,755,843,000   80,755,843,000                       
          effects of exchange rate changes
                                                         
          mining concession taxes and other property costs
                                274,000 -189,000 354,000                       
          gain on sale of available-for-sale securities
                                                         
          items that may be reclassified subsequently to profit or loss:
                                                         
          unrealized gain on available-for-sale securities, net of taxes
                                                         
          reclassification to gain on sale of available-for-sale securities
                                                         
          weighted-average number of shares outstanding - basic and diluted
                                31,037,000                         
          balance, january 1, 2016
                                69,407,386,000                       
          unrealized gain on available-for-sale securities
                                                         
          balance, december 31, 2016
                                80,704,204,000                       
          restricted share units converted
                                                        
          gain on available-for-sale securities
                                                         
          balance, september 30, 2016
                                                         
          investment in securities
                                117,000 -504,000 -11,000                       
          net proceeds from sale of available-for-sale securities
                                                         
          redemption (purchase) of term deposits
                                                         
          unrealized gainon available-for-sale securities, net of taxes
                                                         
          balance, june 30, 2016
                                                         
          loss on warrants
                                  -20,000                       
          unrealized gain on available-for-sale
                                                         
          securities, net of taxes
                                  13,000                       
          weighted-average number
                                                         
          of shares outstanding - basic and diluted
                                  80,715,744,000 506,888,000 7,139,027,000 72,772,656,000   69,039,998                 
          unrealized gain on marketable securities
                                                         
          balance, march 31, 2016
                                  79,796,665,000   18,871,000                    
          term deposits
                                  55,000,000                       
          property investigation costs
                                   57,000 2,000 41,000                    
          gain on sale of marketable securities
                                                         
          impairment of investment
                                                         
          in marketable securities
                                                         
          unrealized gain on
                                                         
          marketable securities, net of taxes
                                   216,000 -1,540,000 1,326,000   -74,332                 
          reclassification to gain on sale
                                                         
          of marketable securities
                                                         
          loss per share
                                   10 -10 -20   -0.04                 
          balance, january 1, 2015
                                   68,841,050,000 19,486,000                    
          unrealized loss on marketable securities
                                                         
          balance, december 31, 2015
                                   69,387,393,000 19,993,000                    
          balance, september 30, 2015
                                                         
          impairment of investment in marketable securities
                                                         
          expenditures under option to acquire mineral interest
                                      -125,797 -127,289 -108,625                 
          purchase of marketable securities
                                      -13,316   -150,000                
          net proceeds from sale of marketable securities
                                                         
          purchase of term deposits
                                                         
          balance, june 30, 2015
                                                         
          purchase of term deposit
                                                         
          in available-for-sale securities
                                        -74,794                 
          balance, march 31, 2015
                                     18,607,000   69,173,076                 
          impairment of investment in available-for-sale securities
                                        74,794                 
          purchase of equipment and leasehold improvements
                                         -9,041 -1,425 -17,515   -14,239 -7,051 -642  -1,649 -5,165  -2,025 -14,843   
          deferred issue costs
                                                         
          property investigation
                                        101,557                 
          currency translation adjustment
                                                         
          balance, january 1, 2014
                                        60,141,718                 
          balance, december 31, 2014
                                        68,860,536                 
          balance, march 31, 2014
                                        60,209,554                 
          net loss for the period
                                          -1,358,766 -2,167,333 -1,284,316 -4,384,704 -5,161,757 -381,128          
          gain on warrant mark-to-market
                                         -32,200                
          mineral property costs written off
                                         2,046,937   46,357 491,316 3,150,255           
          non-cash stock compensation expense
                                         568,067  1,159,401  1,211,099 49,846           
          interest receivable
                                         -13,764 -19,128 1,027 1,668 17,046 54,220 15,654 -192,772 -183,488 5,727 -29,588 -10,750 20,019 -2,825 43,235 -11,279 
          accounts payable and accrued liabilities
                                         297,428 -62,537 -32,896 -1,390,790 1,469,173 -406,941 1,114 -383,925 53,376 201,373 180,087 -95,836 125,404 -33,591 152,346 -146,967 
          investment in juanicipio joint venture
                                         -1,028,417 -980,783 -496,462              
          mineral rights
                                         -96,153 -179,090 -44,490 -558,438 -140,015 -839,490 -322,567 -280,765 -180,860 -310,599 -10,689 -99,286 -30,631  -193,564 -1,538 
          deferred exploration costs
                                         -3,033,339 -3,305,051 -1,685,706 -2,885,951 -6,023,719 -4,259,896 -4,476,847 -1,084,264 -1,259,112 -1,132,348 -1,113,604 -494,307 -333,185 -144,873 -1,439,293 -481,051 
          cash and cash equivalents were comprised of:
                                                         
          cash
                                           24,251,678 35,423,333 35,423,333 43,900,160 59,195,741          
          short-term deposits
                                                         
          interest paid
                                                         
          non-cash investing and financing activities:
                                                         
          issue of shares in connection with acquisitions
                                                         
          issue of shares in exchange for mineral property
                                                         
          option rights
                                                    100,109 1,215,000 12,713 969,279  
          investment in juanicipio jv
                                            -34,631 -1,073,512 -37,484 -95,781          
          investing activities - sum
                                            -3,479,020 -7,237,246 -5,151,109 -4,902,246 -1,365,671   -1,129,458 -593,593     
          issuance of common shares
                                            74,340 99,175 153,800           
          financing activities - sum
                                            74,340 99,175 153,800 8,484 275,695         
          cash and equivalents were comprised of:
                                                         
          cash and equivalents were comprised of: - sum
                                            35,423,333 35,423,333 43,900,160 59,195,741          
          stock compensation expense
                                               46,105          
          issue of share capital
                                               8,484 275,695 3,227,348 19,214,601 855,403 2,750 1,620,756 46,875 401,362 225,163 
          cash and equivalents, beginning of period
                                               64,815,966 21,936,720 20,824,452 3,506,930 7,560,193 2,727,794 1,636,292 1,866,360   
          cash and equivalents, end of period
                                                         
          mineral property costs written-off
                                                 750,277        
          (decrease) increase in cash
                                                -2,199,649    -603,495 1,091,502 -230,068   
          non cash investing and financing activities
                                                         
          exploration expenditures financed by amount
                                                         
          due to peñoles
                                                2,155,500         
          non-cash compensation expense
                                                 1,017,521 1,730,034 627,627 104,745  474,000   
          issue of special warrants
                                                         
          increase (decrease) in cash
                                                   -581,478     -623,780 
          issue of shares in connection with acquisition of minera
                                                         
          los lagartos, s.a. de c.v.
                                                         
          write-off of computer software
                                                         
          write-off of advances
                                                         
          advances to minera los lagartos, s.a. de c.v.
                                                         
          acquisition of minera los lagartos, s.a. de c.v.
                                                         
          acquisition of lexington capital group inc.
                                                         
          other advances
                                                         
          cash and equivalents, beginning of
                                                         
          issue of shares in connection with acquisition of
                                                         
          lexington capital group inc.
                                                         
          deferred financing costs
                                                         
          advances to advance disc manufacturing corporation
                                                         
          write-off of investment
                                                         
          purchase of equipment & leasehold improvements
                                                         
          proceeds on short-term loan
                                                         
          repayment of short-term loan
                                                         
          income taxes paid
                                                         
          term deposit
                                                         
          short-term loan
                                                         
          advances to advance disc manufacturing corporation -
                                                         
          purchase of computer software and hardware -
                                                         
          advances to minera los lagartos,
                                                         
          s.a. de c.v.
                                                         
          acquisition of minera los lagartos,
                                                         
          supplemental cash flow information:
                                                         
          non-cash investing and financing activity
                                                         
          issuance of shares in connection with
                                                         
          issuance of shares in exchange for
                                                         
          mineral property option rights