7Baggers

SSR Mining Inc
(NASDAQ:SSRM) 

SSRM stock logo

SSR Mining Inc., together with its subsidiaries, engages in the acquisition, exploration, development, and operation of precious metal resource properties in Turkey and the Americas. The company explores for gold, silver, lead, and zinc deposits. Its projects include the pler Gold mine located in Er...

Founded: 1946
Full Time Employees: 1,484
CEO: Rod Antal  
Sector: Basic Materials
Industry: Gold

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Quarterly
Annual
    Unit: USD2026-03-31 2025-12-31 2025-09-30 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 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-11-30 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 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 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2011-12-31 2011-06-30 2011-03-01 2010-12-31 2010-11-04 2010-08-03 2010-05-05 2010-03-23 2010-03-02 2009-10-30 2009-08-10 2009-06-30 2009-03-31 2009-02-10 2008-03-31 2008-03-10 
                                                                           
      revenue
    581,778,000 521,725,000 385,839,000 405,455,000 316,618,000 323,187,000 257,356,000 184,841,000 230,234,000 425,897,000 385,390,000 301,026,000 314,614,000 306,377,000 166,627,000 319,583,000 355,446,000 322,846,000 376,950,000 366,484,000 853,089,000  225,412,000 92,485,000 164,463,000 606,850,000 147,848,000 155,149,000 126,250,000 420,675,000 115,033,000 104,028,000 97,902,000 448,773,000 106,005,000 116,982,000 117,905,000 490,986,000 143,381,000 118,775,000 101,513,000 375,322,000 77,191,000 95,818,000 111,721,000 300,122,000 79,269,000 64,287,000 33,736,000 174,686,000 43,944,000 32,654,000 49,062,000 241,120,000 73,524,000  47,271,000 112,256,000 45,077,000 41,557,000 14,091,000   5,442,000        
      yoy
    83.75% 61.43% 49.92% 119.35% 37.52% -24.12% -33.22% -38.60% -26.82% 39.01% 131.29% -5.81% -11.49% -5.10% -55.80% -12.80% -58.33%  67.23% 296.26% 418.71%  52.46% -40.39% 30.27% 44.26% 28.53% 49.14% 28.96% -6.26% 8.52% -11.07% -16.97% -8.60% -26.07% -1.51% 16.15% 30.82% 85.75% 23.96% -9.14% 25.06% -2.62% 49.05% 231.16% 71.81% 80.39% 96.87% -31.24% -27.55% -40.23%  3.79% 114.79% 63.11%  235.47%   663.63%            
      qoq
    11.51% 35.22% -4.84% 28.06% -2.03% 25.58% 39.23% -19.72% -45.94% 10.51% 28.03% -4.32% 2.69% 83.87% -47.86% -10.09% 10.10% -14.35% 2.86% -57.04%   143.73% -43.77% -72.90% 310.46% -4.71% 22.89% -69.99% 265.70% 10.58% 6.26% -78.18% 323.35% -9.38% -0.78% -75.99% 242.43% 20.72% 17.00% -72.95% 386.23% -19.44% -14.23% -62.77% 278.61% 23.30% 90.56% -80.69% 297.52% 34.57% -33.44% -79.65% 227.95%   -57.89% 149.03% 8.47% 194.92%            
      operating costs and expenses:
                                                                           
      cost of sales
    195,119,000 188,032,000 165,682,000 162,948,000 136,641,000 153,268,000 138,281,000 96,582,000 125,901,000 219,540,000 214,670,000 170,640,000 199,297,000                                             75,971,000 19,904,000 24,940,000 10,607,000   5,926,000        
      depreciation, depletion, and amortization
    30,180,000 31,110,000 28,218,000 26,237,000 30,613,000 38,340,000 30,443,000 23,011,000 38,398,000   44,641,000 47,095,000 47,302,000 21,555,000 53,848,000 58,742,000                                                       
      general and administrative expense
    38,480,000 17,066,000 40,228,000 26,634,000 23,894,000 17,556,000 19,016,000 13,452,000 12,861,000 15,088,000 17,539,000 16,291,000 18,541,000 23,239,000 12,714,000 19,468,000 16,239,000  -9,765,000 -11,867,000 -24,626,000                                                   
      exploration and evaluation
    5,304,000 13,087,000 10,376,000 6,803,000 6,865,000 8,954,000 11,364,000 11,255,000 10,231,000                                                               
      reclamation and remediation costs
    6,498,000 7,619,000 7,135,000 69,850,000 4,320,000 16,725,000 2,414,000 2,414,000 275,318,000                                                               
      other operating expense
    5,816,000 21,522,000 13,576,000 -33,629,000 11,598,000 18,021,000 7,058,000 -3,149,000                                                                
      operating income
    300,381,000 202,333,000 83,333,000 108,885,000 66,892,000 34,382,000 9,037,000 10,720,000 -376,424,000 -297,623,000 77,465,000 52,929,000 36,985,000 39,367,000 -35,064,000 70,095,000 115,870,000  106,412,000 128,013,000 202,713,000  52,725,000 -5,111,000 34,766,000 122,338,000 39,891,000 19,591,000 19,628,000 29,895,000 10,220,000 8,883,000 7,731,000 101,332,000 10,393,000 46,193,000 24,809,000 112,605,000 50,248,000 24,237,000 14,614,000   5,214,000 21,275,000   2,179,000     8,994,000 9,748,000 7,144,000  6,196,000               
      yoy
    349.05% 488.49% 822.13% 915.72% -117.77% -111.55% -88.33% -79.75% -1117.77% -856.02% -320.92% -24.49% -68.08%  -132.95% -45.24% -42.84%  101.82% -2604.66% 483.08%  32.17% -126.09% 77.12% 309.23% 290.32% 120.54% 153.89% -70.50% -1.66% -80.77% -68.84% -10.01% -79.32% 90.59% 69.76%   364.84% -31.31%   139.28%         45.16%                   
      qoq
    48.46% 142.80% -23.47% 62.78% 94.56% 280.46% -15.70% -102.85% 26.48% -484.20% 46.36% 43.11% -6.05% -212.27% -150.02% -39.51%   -16.87% -36.85%   -1131.60% -114.70% -71.58% 206.68% 103.62% -0.19% -34.34% 192.51% 15.05% 14.90% -92.37% 875.00% -77.50% 86.19% -77.97% 124.10% 107.32% 65.85%    -75.49%         -7.73% 36.45%                  
      operating margin %
    51.63% 38.78% 21.60% 26.86% 21.13% 10.64% 3.51% 5.80% -163.50% -69.88% 20.10% 17.58% 11.76% 12.85% -21.04% 21.93% 32.60% 0% 28.23% 34.93% 23.76% NaN% 23.39% -5.53% 21.14% 20.16% 26.98% 12.63% 15.55% 7.11% 8.88% 8.54% 7.90% 22.58% 9.80% 39.49% 21.04% 22.93% 35.05% 20.41% 14.40% 0% 0% 5.44% 19.04% 0% 0% 3.39% 0% 0% 0% 0% 18.33% 4.04% 9.72% NaN% 13.11% 0% 0% 0% 0% NaN% NaN% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      other income:
                                                                           
      interest expense
    -1,270,000 -3,395,000 -3,584,000 -4,227,000 -3,369,000 -3,326,000 -2,942,000 -2,105,000 -4,655,000 -2,517,000 -4,080,000 -4,959,000 -5,060,000 -6,007,000 -4,541,000 -4,273,000 -4,295,000                                                       
      other income
    7,907,000 8,547,000 5,269,000 6,207,000 6,323,000 8,960,000 8,575,000 4,968,000 3,767,000 13,352,000 11,378,000 12,369,000 13,052,000 13,902,000 9,153,000 -2,395,000 -367,000  756,000  2,605,000  2,753,000 969,000     597,000            971,000             4,678,000 1,787,000  10,931,000 2,713,000 -12,996,000 614,000  1,249,000          
      foreign exchange gain
    2,943,000 -983,000 -12,837,000 -10,193,000 -6,052,000 -2,133,000 -7,521,000 876,000 -913,000 -48,341,000 -22,997,000 -21,176,000 -13,185,000 -12,727,000 -11,577,000 -4,869,000 -3,287,000  -970,000 -424,000    -301,000 1,158,000   2,571,000  9,213,000 2,173,000 7,040,000 1,942,000 5,062,000 129,000 3,134,000 560,000   99,000                  1,239,000      4,993,000 -2,932,000       
      total other income
    9,580,000 4,169,000 -11,152,000 -8,213,000 -3,098,000 3,501,000 -1,888,000 3,739,000 -1,801,000 -37,506,000 -15,699,000 -13,766,000 -5,193,000 77,020,000 -6,965,000 -11,537,000 -7,949,000                                                       
      income before income and mining taxes
    309,961,000 206,502,000 72,181,000 100,672,000 63,794,000 37,883,000 7,149,000 14,459,000 -378,225,000 -335,129,000 61,766,000 39,163,000 31,792,000 116,387,000 -42,029,000 58,558,000 107,921,000                                                       
      income and mining tax benefit
    -59,780,000 -35,924,000 -14,950,000 -20,233,000 -9,138,000 -40,943,000 -869,000 -11,727,000 20,237,000 70,827,000 -68,893,000 83,388,000 -2,788,000 -21,293,000 13,808,000 8,979,000 -31,562,000                                                       
      net income from continuing operations
    250,181,000                                                                       
      net income from discontinued operations
    -365,333,000                                                                       
      net income
    -115,152,000 170,517,000 57,092,000 80,362,000 54,446,000 -3,135,000 6,251,000 2,464,000 -358,162,000 -264,360,000 -7,245,000 122,376,000 29,004,000 95,177,000 -28,372,000 67,519,000 76,106,000 62,454,000 51,604,000 59,762,000 140,468,000  25,113,000 -6,276,000 23,976,000 55,757,000 18,132,000 12,414,000 5,732,000  2,228,000 2,607,000  71,466,000 1,821,000 37,747,000                                    
      yoy
    -311.50% -5539.14% 813.33% 3161.44% -115.20% -98.81% -186.28% -97.99% -1334.87% -377.76% -74.46% 81.25% -61.89% 52.40% -154.98% 12.98% -45.82%  105.49% -1052.23% 485.87%  38.50% -150.56% 318.28%  713.82% 376.18%   22.35% -93.09%                                        
      qoq
    -167.53% 198.67% -28.96% 47.60% -1836.71% -150.15% 153.69% -100.69% 35.48% 3548.86% -105.92% 321.93% -69.53% -435.46% -142.02% -11.28% 21.86% 21.03% -13.65% -57.46%   -500.14% -126.18% -57.00% 207.51% 46.06% 116.57%   -14.54%   3824.55% -95.18%                                     
      net income margin %
    -19.79% 32.68% 14.80% 19.82% 17.20% -0.97% 2.43% 1.33% -155.56% -62.07% -1.88% 40.65% 9.22% 31.07% -17.03% 21.13% 21.41% 19.34% 13.69% 16.31% 16.47% NaN% 11.14% -6.79% 14.58% 9.19% 12.26% 8.00% 4.54% 0% 1.94% 2.51% 0% 15.92% 1.72% 32.27% 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% 0% NaN% NaN% NaN% NaN% NaN% NaN% NaN% 
      net loss attributable to non-controlling interest, net of tax:
                                                                           
      continuing operations
    2,295,000                                                                       
      discontinued operations
    6,407,000                                                                       
      net income attributable to ssr mining shareholders
    -106,450,000 181,457,000 65,441,000 90,075,000 58,781,000 5,555,000 10,557,000 9,693,000 -287,082,000 -217,845,000 15,159,000 74,866,000 29,813,000 93,884,000 -25,793,000 58,488,000 67,563,000                                                       
      net income attributable to ssr mining shareholders:
                                                                           
      net income attributable to ssr mining shareholders: - sum
    -106,450,000                                                                       
      weighted-average common shares
                                                                           
      basic
    205,619,000 202,745,000 202,783,000 202,774,000 202,420,000                                 103,267,000 119,163,000 93,329,000 80,826,000 80,770,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,755,000 80,755,000 80,752,000 80,744,000 80,748,000 80,324,000 80,290,000 77,972,000 77,972,000             
      diluted
    217,651,000 217,026,000 217,464,000 216,989,000 216,546,000                                 104,584,000 134,336,000 94,870,000 81,075,000 80,770,000 80,754,000 80,754,000 94,141,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,755,000 80,755,000 80,752,000 80,761,000 80,748,000 80,660,000 80,809,000 78,356,000 78,356,000             
      net income per share
                                                                           
      basic:
                                                                           
      diluted:
                                                                           
      impairment charges of long-lived and other assets
                                                                           
      care and maintenance
     40,956,000 37,291,000 37,727,000 35,795,000 35,941,000 39,374,000 30,556,000 14,409,000      41,800,000                                                         
      equity income of affiliates
     -61,000 -139,000 -77,000 -210,000 -75,000 -29,000 -268,000 -174,000 -58,000 -118,000 -175,000  -105,500 -151,000 -18,000 -253,000                                                       
      net loss attributable to non-controlling interest
     10,940,000 8,349,000 9,713,000 4,335,000 8,690,000 4,306,000 7,229,000 71,080,000 46,515,000 22,404,000 -47,510,000 809,000 -3,748,750 2,579,000 -9,031,000 -8,543,000                                                       
      net income per share
                                                                           
      basic
     0.89 0.32 0.44 0.29 0.03 0.05 0.05 -1.42 -1.06 0.07 0.37 0.14 0.44 -0.12 0.28 0.32  0.25 0.24 0.88  0.19 -0.05 0.19 0.47 0.17 0.09 0.05 0.05 0.05 0.04 -0.01 0.58 0.01 0.31 0.13                                   
      diluted
     0.85 0.31 0.42 0.28 0.03 0.05 0.05 -1.42 -1.05 0.07 0.35 0.14 0.43 -0.12 0.27 0.31  0.24 0.24 0.87  0.19 -0.05 0.19 0.47 0.17 0.09 0.05 0.05 0.05 0.04 -0.01 0.57 0.01 0.31 0.12                                   
      impairment charges
         28,649,750 369,000  114,230,000                                                               
      other operating expenses
            15,310,000 -1,769,000 2,667,000 377,000 -2,000 -626,000 1,479,000                                                         
      depreciation, depletion and amortization
             36,931,750 55,990,000                                                             
      exploration, evaluation, and reclamation costs
             12,978,000 17,059,000 16,148,000 12,698,000 13,424,000 18,320,000 11,244,000 9,858,000                                                       
      gain on sale of assets
                 -157,250 -629,000                                                         
      production costs
                 106,225,000 106,452,000 164,928,000 153,520,000  -158,865,000 -157,492,000 -418,652,000  -110,846,000 -47,180,000                                                
      impairment of long-lived and other assets
                                                                           
      transaction, integration, and sec conversion expense
                    1,217,000                                                       
      depletion and depreciation
                      -63,230,000 -61,172,000 -125,795,000  -31,340,000 -11,128,000                                                
      income from mine operations
                      154,855,000 147,820,000 308,642,000  83,226,000 34,177,000 44,783,000 170,883,000 51,906,000 29,827,000 30,237,000 76,845,000 21,875,000 21,203,000 17,231,000 113,263,000 22,522,000 29,462,000 40,089,000 154,006,000 59,190,000 44,062,000 23,298,000 18,840,000  16,319,000 30,402,000 36,200,000 6,258,000 11,022,000 5,924,000 5,184,000 5,732,000  14,438,000 46,112,000 16,469,000                 
      share-based compensation (expense) recovery
                                                                           
      exploration, evaluation and reclamation expense
                      -10,401,000 -7,955,000 -22,397,000                                                   
      care and maintenance expense
                        -29,593,000                                                   
      transaction and integration expense
                      -894,000 -4,492,000 -20,813,000                                                   
      impairment loss on non-current assets
                      -22,338,000                                                     
      interest and other finance income
                      495,000 470,000 6,545,000  2,574,000 938,000 2,397,000 11,910,000 3,994,000                                             
      interest expense and other finance costs
                      -8,839,000 -7,945,000 -26,787,000  -7,200,000 -5,044,000                                                
      foreign exchange loss
                        -3,755,000  -1,660,000                                              3,527,000  3,527 
      income before income taxes
                      97,854,000 117,934,000 181,321,000   -8,549,000 29,975,000 86,129,000 32,981,000                                             
      income tax expense
                       -58,172,000 -40,853,000  -24,079,000                                                 
      attributable to:
                                                                           
      equity holders of ssr mining
                     57,176,000 54,014,000 52,980,000 133,494,000  26,754,000 -6,276,000 23,976,000 57,315,000 20,741,000 10,631,000 6,464,000 6,379,000 6,374,000 5,117,000  69,316,000 1,067,000 37,319,000                                    
      non-controlling interest
                      -2,410,000 6,782,000 6,974,000  -1,641,000           2,150,000                                      
      cost of sales - sum
                      -222,095,000 -218,664,000 -544,447,000  -142,186,000 -58,308,000                                                
      share-based compensation expense
                      -5,045,000  -8,500,000                                                   
      income tax (expense) recovery
                      -46,250,000                                                     
      attributable to: - sum
                      51,604,000 59,762,000 140,468,000                                                   
      share-based compensation recovery
                       4,507,000                                                    
      other expense
                       -2,180,000                                                    
      loss on redemption of convertible debt
                                                                           
      general and administrative expenses
                          -2,100,000 -13,151,000                                                
      exploration, evaluation and reclamation expenses
                          -6,087,000 -3,605,000                                                
      care and maintenance expenses
                          -6,640,000 -19,727,000                                                
      transaction and integration expenses
                          -15,674,000 -2,805,000                                                
      income before income tax
                          49,192,000     13,103,000 8,897,000  6,632,000 9,823,000   2,175,000 40,008,000 18,467,000  40,999,000 15,521,000 5,858,000                               
      income tax recovery
                           2,273,000                   3,140,000    90,000       19,742,000                  
      non-controlling interests
                               1,783,000       754,000 428,000                                    
      interest earned and other finance income
                               1,344,000 4,903,000 11,761,000 3,226,000 3,029,000 2,304,000 6,130,000 1,664,000 1,274,000 1,027,000 1,766,000 508,000 458,000 281,000 1,280,000 194,000 294,000 581,000 5,825,000 578,000 624,000 1,565,000 6,180,000 1,936,000 1,368,000 905,000 2,066,000 827,000  711,000               
      other expenses
                                                                           
      impairment reversal
                                     24,357,000  24,357,000                                    
      income before tax
                                 8,090,000    74,587,000    80,985,000       12,501,000         35,084,000 2,201,000  52,335,000               
      business acquisition costs
                                                                           
      gain on sales of exploration and evaluation assets
                                         6,522,000                                  
      interest expense and other finance expenses
                                                                           
      other
                                                                           
      income tax
                                                                           
      net income and net income attributable to shareholders
                                        15,047,000 64,957,000 38,042,000 12,482,000 2,300,000    9,096,000         54,826,000   45,765,000               
      items that will not be reclassified to net income:
                                                                           
      gain on marketable securities at fair value through other comprehensive income, net of tax (5,039) and (905), respectively
                                        35,646,000                                   
      items that will be reclassified to net income:
                                                                           
      unrealized gain on effective portion of derivative, net of tax 63 and (5), respectively
                                                                           
      other comprehensive income
                                        35,531,000                                   
      total comprehensive income
                                        50,578,000                                -40,562   
      foreign exchange
                                                                           
      weighted-average shares outstanding
                                                                           
      basic
    205,619,000 202,745,000 202,783,000 202,774,000 202,420,000                                 103,267,000 119,163,000 93,329,000 80,826,000 80,770,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,755,000 80,755,000 80,752,000 80,744,000 80,748,000 80,324,000 80,290,000 77,972,000 77,972,000             
      diluted
    217,651,000 217,026,000 217,464,000 216,989,000 216,546,000                                 104,584,000 134,336,000 94,870,000 81,075,000 80,770,000 80,754,000 80,754,000 94,141,000 80,754,000 80,754,000 80,754,000 80,754,000 80,754,000 80,755,000 80,755,000 80,752,000 80,761,000 80,748,000 80,660,000 80,809,000 78,356,000 78,356,000             
      earnings per share
                                                                           
      basic
                                         0.63 0.32 0.13 0.03     -1.57    -2.79 -0.18   0.68   0.57 4.44              
      diluted
                                         0.62 0.31 0.13 0.03     -1.57    -2.79 -0.18   0.68   0.57 4.42              
      operating
                                                                           
      gain on sale of mineral property
                                                 15,913,000   9,240,000 64,566,000                31,463      
      (loss) before tax
                                                                           
      net (loss) and net (loss) attributable to shareholders
                                                                           
      (loss) per share
                                                                           
      basic
                                             -1.54 -0.74    -0.18 -0.09 -0.21                       
      diluted
                                             -1.54 -0.74    -0.18 -0.09 -0.21                       
      unrealized gain on derivatives
                                                  694,000 386,000 1,708,000                       
      income per share
                                                                           
      basic
                                               -0.09 0.11                           
      diluted
                                               -0.09 0.11                           
      gain on derecognition of investment in associate
                                                     21,959,000  21,959,000                    
      gain on partial disposal of associate
                                                         49,082,000   39,266,000               
      exploration and evaluation expenses
                                                                           
      (loss) earning per share
                                                                           
      basic
                                                       -2.92                    
      diluted
                                                       -2.92                    
      loss per share
                                                                           
      basic
                                                        -0.06                   
      diluted
                                                        -0.06                   
      interest (expense) and other finance costs
                                                                           
      income / (loss) from mine operations
                                                            15,838,000               
      depletion, depreciation and amortization
                                                             26,327,000 6,886,000 6,594,000 5,059,000   2,039,000        
      earnings from mine operations
                                                             9,958,000  10,023,000            
      general and administration expense
                                                             20,853,000              
      stock-based compensation expense
                                                             8,868,000              
      property examination and exploration expense
                                                             2,400,000              
      reclamation and accretion expense
                                                             1,669,000              
      income from operations
                                                                           
      investment income
                                                             1,400,000 370,000 409,000 311,000 330,000  1,100,000 233,000 3,039 251,000  6,757,000  6,757 
      gain on sale of mineral properties and property, plant and equipment
                                                             402,009,000              
      interest expense and financing fees
                                                                           
      share of loss of equity investee
                                                                           
      earnings before income taxes
                                                             369,536,000              
      current income taxes
                                                                 900,000  2,221,000  14,575      
      future income taxes
                                                              1,432,750  208,000 45,000  2,087,000  3,393   -1,098,000   
      earnings for the year
                                                             346,239,000              
      general and administration
                                                              3,508,500 4,382,000 4,411,000 2,093,000  10,287,000 2,547,000  2,615,000  5,054,000  5,054 
      stock-based compensation
                                                              1,586,750 2,289,000 2,031,000 1,914,000  6,319,000 1,247,000  1,609,000  14,999,000  14,999 
      property examination and exploration
                                                              112,250 169,000 131,000 2,000  459,000 73,000  108,000  78,000   
      reclamation and accretion
                                                              322,500 474,000 417,000 78,000  366,000 86,000  94,000  782,000   
      earnings from operations
                                                               2,709,000            
      loss for the period
                                                                           
      weighted-average shares outstanding
                                                                           
      basic and diluted
                                                               78,767,000 78,733,000 64,715,000 68,845,000    68,641,000     
      loss per common share
                                                                           
      basic and diluted loss per share
                                                                           
      loss from mine operations
                                                                           
      earnings (loss) before income taxes
                                                                    -482,000    -34,125,000   
      loss for the year
                                                                           
      weighted average shares outstanding
                                                                           
      basic and diluted
                                                                   68,845,000        
      exploration and mineral property costs
                                                                           
      expenses
                                                                           
      depreciation
                                                                    59,000  64,000  318,000  318 
      gain on sale of marketable securities
                                                                    71,000 2,090 1,753,000     
      gain on sale of mineral properties
                                                                      167,000  493,000  493 
      gain (write-down) on other investments
                                                                    136,000       
      financing fees
                                                                           
      interest expense on convertible notes
                                                                           
      gain on sale of silver bullion
                                                                     23,699      
      write-down of mineral properties
                                                                           
      unrealized gain on financial instruments held-for-trading
                                                                    158,000 114      
      income taxes expense
                                                                           
      current income tax
                                                                           
      future income tax
                                                                    -387,000  365,000     
      earnings (loss) for the period
                                                                    -95,000       
      weighted average shares outstanding
                                                                           
      basic
                                                                    70,143,000    62,148,000   
      diluted
                                                                    70,143,000    63,339,000   
      earnings (loss) per common share
                                                                           
      basic and diluted earnings per share
                                                                        -0.57  0.28 
      comprehensive income
                                                                           
      unrealized gain on sale of marketable securities, net of tax
                                                                    1,943       
      reclassification of realized gain on sale of marketable securities, net of tax
                                                                    -59       
      foreign exchange gain on marketable securities
                                                                    702  1,242     
      translation adjustment on foreign operations
                                                                           
      other comprehensive income for the period
                                                                    2,586       
      comprehensive income for the period
                                                                    2,491       
      interest expense on convertible debt
                                                                           
      write-down of marketable securities
                                                                           
      write-down of other investments
                                                                        -12,000,000  -12,000 
      income taxes
                                                                     2,008      
      total revenues
                                                                           
      earnings for year
                                                                           
      other comprehensive loss for the year
                                                                           
      total assets
                                                                     567,905     471,013 
      long term debt
                                                                     104,046      
      working capital
                                                                     41,486     250,234 
      cash dividends declared
                                                                           
      unrealized gain on
                                                                           
      financial instruments held-for-trading
                                                                           
      comprehensive loss
                                                                           
      other comprehensive loss
                                                                           
      unrealized loss on marketable securities, net of tax
                                                                           
      reclassification of realized gain on
                                                                           
      sale of marketable securities, net of tax
                                                                           
      comprehensive loss for the period
                                                                           
      mineral property costs written-off
                                                                           
      salaries and employee benefits
                                                                        2,808,000  2,808 
      professional fees
                                                                        658,000  658 
      gain
                                                                        650,000   
      unrealized loss on financial instruments held-for-trading
                                                                        -1,801,000  -1,801 
      write-up (down) of marketable securities
                                                                           
      gain on sale of joint venture interest
                                                                           
      earnings (loss) for the year
                                                                        -35,223,000   
      earnings per common share
                                                                           
      unrealized loss on marketable securities
                                                                        -5,339   
      gain (loss) on sale of marketable securities
                                                                          650 
      earnings (loss) for year
                                                                          16,382 
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2026-03-31 2025-12-31 2025-09-30 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 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-04-08 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 2013-06-30 2013-03-31 2012-12-31 2012-09-30 2011-12-31 2011-09-30 2011-06-30 2011-05-10 2011-03-31 2011-03-01 2010-12-31 2010-11-04 2010-09-30 2010-08-03 2010-06-30 2010-05-05 2010-03-31 2010-03-23 2010-03-02 2010-03-01 2009-10-30 2009-09-30 2009-08-10 2009-06-30 2009-03-31 2009-03-23 2009-03-02 2009-02-10 2008-11-03 2008-09-30 2008-08-10 2008-08-07 2008-06-30 2008-05-12 2008-03-31 2008-03-10 2007-11-09 2007-09-30 2007-08-14 2007-06-30 2007-05-15 2007-03-31 2007-03-15 2007-03-10 2007-03-08 2007-02-10 2006-11-14 2006-09-30 2006-08-15 2006-06-30 2006-05-15 2006-04-03 2006-03-31 2006-03-15 2006-03-08 2005-11-15 2005-09-30 2005-08-16 2005-06-30 2005-04-03 2005-04-01 2005-03-31 
                                                                                                                       
        assets
                                                                                                                       
        cash and cash equivalents
      634,086,000 534,834,000 409,332,000 412,104,000 319,612,000 387,882,000 334,341,000 358,307,000 467,010,000 492,393,000 437,675,000 379,243,000 561,783,000 655,453,000 748,476,000 938,599,000 998,986,000 862,786,000 870,359,000 866,029,000 860,637,000 733,571,000 461,716,000 398,439,000 503,647,000 474,479,000 452,160,000 461,351,000 419,212,000 474,511,000 493,642,000 472,901,000 459,864,000 424,025,000 353,530,000 340,585,000 327,127,000 277,544,000 232,619,000  217,634,000 211,862,000 200,017,000 217,228,000 175,595,000 184,643,000 135,174,000 102,162,000 396,413,000 415,657,000 401,384,000 435,805,000 461,846,000 366,947,000 353,439,000 329,055,000 355,903,000 368,759,000 260,733,000 260,733,000 232,311,000 232,311,000 35,839,000 35,839,000 57,719,000 57,719 102,995,000 102,995,000 26,659,000 26,659,000 232,311,000 42,886,000 42,886,000 72,013,000 52,835,000 88,187 26,659,000 26,659,000 80,629,000 144,987,000 144,987,000 72,013,000 185,248,000 185,248,000 229,054,000 80,629,000 80,629,000 108,737,000 108,737 190,163,000 190,163,000 214,068,000 80,629,000 229,616,000 80,629,000 229,616,000 80,629,000 192,194,000 192,194 198,959,000 198,959,000 37,863,000 23,030,000 23,030,000 229,616,000 229,616,000 28,994,000 28,994,000 34,178,000 34,178,000 23,030,000  23,030,000 
        marketable securities
      40,270,000 40,779,000 36,088,000 26,389,000 21,677,000 29,465,000 31,411,000 26,073,000 24,985,000 20,944,000 29,207,000 32,866,000 33,709,000 40,280,000 53,830,000 25,946,000 34,235,000  20,749,000 25,942,000 26,748,000 13,846,000 9,411,000 50,293,000 66,453,000 51,132,000 37,712,000 32,634,000 29,542,000 6,714,000 8,746,000 43,840,000 114,001,000 109,721,000 174,587,000 190,631,000 148,944,000 178,117,000 193,224,000  94,819,000 88,184,000 107,827,000 97,867,000 91,492,000 104,785,000 98,450,000 180,378,000 148,864,000 129,267,000 142,774,000 135,006,000         33,465,000 33,465,000 19,525,000 19,525,000 21,733,000 21,733 24,862,000 24,862,000 17,863,000 17,863,000 33,465,000 11,037,000 11,037,000 10,923,000 8,187,000 13,376 17,863,000 17,863,000 33,209,000 16,064,000 16,064,000 10,923,000 26,839,000 26,839,000 30,038,000 33,209,000 33,209,000 30,469,000 30,469 32,430,000 32,430,000 43,716,000 33,209,000 5,817,000 33,209,000 5,817,000 33,209,000 47,673,000 47,673 44,183,000 44,183,000 4,974,000 4,985,000 4,985,000 5,817,000 5,817,000 5,216,000 5,216,000 4,482,000 4,482,000 4,985,000  4,985,000 
        trade and other receivables
      138,633,000 136,721,000 121,652,000 117,054,000 117,496,000 124,438,000 114,794,000 110,842,000 103,759,000 142,180,000 134,517,000 125,207,000 161,748,000 117,675,000 136,820,000 123,096,000 132,679,000  115,809,000 97,442,000 83,491,000 78,419,000 41,483,000 61,698,000 87,306,000 78,392,000 79,513,000 55,217,000 42,841,000 32,497,000 37,605,000 33,841,000 38,052,000 40,962,000 51,098,000 55,981,000 58,437,000 69,726,000 55,607,000  42,271,000 36,733,000 48,201,000 49,347,000 52,472,000  65,303,000 81,427,000 56,305,000 69,247,000 81,361,000 69,348,000 81,017,000 83,454,000 72,524,000 19,401,000 34,563,000 34,142,000 33,682,000 33,682,000                                                      
        inventories
      522,949,000 516,321,000 586,162,000 568,743,000 544,333,000 464,074,000 494,618,000 507,706,000 465,109,000 515,143,000 532,631,000 561,495,000 519,194,000 501,607,000 468,262,000 437,980,000 419,749,000  420,400,000 429,678,000 437,379,000 391,625,000 233,457,000 232,813,000 237,570,000 237,918,000                                   40,176,000 40,176,000 27,304,000 27,304,000 28,136,000 28,136 17,058,000 17,058,000 20,565,000 20,565,000 40,176,000      20,565,000 20,565,000                                    
        prepaids and other current assets
      49,137,000 34,917,000 28,308,000 23,100,000 21,676,000 23,175,000 21,305,000 18,909,000 20,905,000 25,715,000 23,849,000 23,009,000 31,845,000 27,767,000 23,348,000 18,427,000 28,220,000  18,471,000 19,302,000 16,267,000                                                                                             
        prepaids, related party
      23,856,000 23,549,000 24,532,000                                                                                                               
        assets held for sale
      2,259,953,000               63,443,000 63,670,000                           3,904,000 3,899,000 3,895,000 3,890,000 3,885,000 3,881,000 13,140,000                                                                
        total current assets
      3,668,884,000 1,287,121,000 1,206,074,000 1,147,390,000 1,024,794,000 1,029,034,000 996,469,000 1,021,938,000 1,081,870,000 1,196,476,000 1,157,979,000 1,155,380,000 1,342,308,000 1,376,435,000 1,430,736,000 1,607,491,000 1,677,539,000                       512,709,000                                                                          
        mineral properties, plant and equipment
      1,885,346,000 4,133,254,000 4,116,070,000 4,100,112,000 4,092,492,000 3,782,867,000 3,797,671,000 3,813,637,000 3,824,778,000 3,872,886,000 4,245,016,000 4,249,441,000 3,549,020,000 3,549,446,000 3,190,936,000 3,186,953,000 3,163,731,000  3,494,691,000 3,558,688,000 3,565,905,000 3,612,374,000 810,183,000 788,095,000 769,462,000                                                                                         
        deferred income tax assets
      4,567,000 4,857,000 11,301,000 5,578,000 5,770,000 7,602,000 19,937,000 24,547,000 27,319,000 22,307,000   1,915,000 1,915,000 6,119,000 6,729,000 11,809,000  2,455,000 1,924,000 4,612,000 198,000 60,000 59,000 63,000 63,000 5,819,000 2,623,000 7,523,000 3,303,000 2,721,000     1,173,000 1,096,000 836,000 658,000        18,742,000 15,110,000 13,964,000 12,041,000   12,889,000 18,132,000 17,377,000 21,591,000                                                          
        other non-current assets
      60,862,000 64,824,000 79,333,000 82,848,000 80,427,000 78,271,000 76,659,000 76,478,000 77,816,000 74,169,000 81,118,000 69,232,000 61,646,000 57,681,000 62,996,000 57,178,000 48,460,000                          7,076,000     32,601,000 28,848,000 28,165,000 10,298,000 5,879,000 6,917,000 7,937,000 8,025,000 8,222,000                                                          
        total assets
      5,946,734,000 6,093,898,000 5,907,813,000 5,795,877,000 5,644,508,000 5,189,020,000 5,143,919,000 5,175,554,000 5,251,782,000 5,385,773,000 5,749,660,000 5,739,479,000 5,234,803,000 5,254,657,000 4,995,258,000 5,167,951,000 5,212,663,000 5,193,642,000 5,234,336,000 5,273,127,000 5,244,986,000 5,081,054,000 1,634,694,000 1,612,004,000 1,750,107,000 1,688,443,000 1,650,222,000 1,607,142,000 1,521,138,000 1,503,717,000 1,504,987,000 1,490,123,000 1,537,454,000 1,499,220,000 1,514,567,000 1,484,224,000 1,438,688,000 1,454,618,000 1,432,263,000 1,143,379,000 880,501,000 871,677,000 954,766,000 996,549,000 989,260,000 986,249,000 1,192,994,000 1,252,568,000 1,170,768,000 1,191,241,000 1,169,967,000 1,176,363,000 1,426,245,000 1,316,912,000 1,343,382,000 1,276,102,000 1,249,570,000 1,252,360,000 1,178,644,000 1,178,644,000                                                      
        liabilities
                                                                                                                       
        accounts payable
      36,604,000 40,854,000 41,203,000 37,249,000 41,820,000 30,538,000 26,749,000 23,892,000 30,567,000 37,095,000 53,407,000 56,268,000 80,209,000 78,929,000 43,840,000 41,755,000 55,635,000                                                         20,438,000  25,029   9,640,000 15,140,000 15,140,000 20,438,000 9,371,000 9,371,000 12,984,000 9,640,000 9,640,000 11,670,000  7,849,000 7,849,000 3,652,000 9,640,000 3,074,000 9,640,000 3,074,000 9,640,000 2,966,000  2,083,000 2,083,000 1,090,000 1,990,000 1,990,000 3,074,000 3,074,000     1,990,000  1,990,000 
        accrued liabilities and other
      228,370,000 209,288,000 186,176,000 166,254,000 158,911,000 139,381,000 118,298,000 116,437,000 130,816,000 128,003,000 107,862,000 107,957,000 113,476,000 124,654,000 110,162,000 103,016,000 141,030,000                                                                                                 
        reclamation and remediation liabilities
      7,895,000 34,193,000 28,307,000 32,336,000 43,024,000 33,166,000 94,110,000 143,537,000 185,797,000                                                                                                         
        finance lease liabilities
      91,000 6,757,000 4,956,000 4,901,000 4,846,000 4,792,000 4,738,000 4,685,000 4,633,000 4,555,000 3,970,000 3,944,000 3,883,000 3,872,000 3,828,000 3,810,000 3,723,000                                                                                                 
        current portion of debt
       229,640,000 229,365,000 229,092,000     955,000 920,000 906,000 35,508,000 53,394,000 71,797,000 89,251,000 70,924,000 71,210,000     70,675,000   114,280,000 112,541,000 113,772,000 109,125,000                                                                                      
        contingent consideration liabilities
       86,625,000 178,306,000 169,626,000 167,175,000                                                                                                             
        liabilities held for sale
      415,713,000               6,923,000 6,903,000                                                                                                 
        total current liabilities
      688,673,000 618,357,000 501,007,000 480,832,000 259,601,000 218,877,000 254,895,000 288,551,000 352,768,000 170,573,000 166,145,000 203,677,000 250,962,000 279,252,000 247,081,000 226,428,000 278,501,000                       146,304,000                                                                          
        debt, related party
      66,119,000 51,419,000 42,089,000 30,689,000 21,389,000 17,789,000 13,919,000                                                                                                           
        deferred income tax liabilities
      206,995,000 287,489,000 320,311,000 325,051,000 333,845,000 327,277,000 329,806,000 339,581,000 346,047,000 363,852,000 444,192,000 385,826,000 340,423,000 342,401,000 260,297,000 289,347,000 319,923,000  537,184,000 522,841,000 483,449,000 455,837,000 121,056,000 118,604,000 127,815,000 121,697,000 120,617,000 120,108,000 107,909,000 108,947,000 105,638,000 106,093,000 114,576,000 113,852,000 119,020,000 123,440,000 116,887,000 121,824,000 125,063,000  30,283,000 29,026,000 27,634,000 32,879,000 30,416,000 29,050,000 26,625,000 31,791,000 26,091,000 24,736,000 23,877,000 23,280,000 26,417,000 13,551,000 52,020,000 41,331,000                                                          
        other non-current liabilities
      52,109,000 42,389,000 39,160,000 29,273,000 27,587,000 55,600,000 53,180,000 64,469,000 60,864,000 63,033,000 55,901,000 49,334,000 21,651,000 23,889,000 23,239,000 22,775,000 20,802,000                                                                                                 
        total liabilities
      1,517,971,000 1,779,644,000 1,763,320,000 1,710,266,000 1,640,900,000 1,242,159,000 1,195,162,000 1,234,412,000 1,312,954,000 1,081,570,000 1,156,545,000 1,127,751,000 1,096,992,000 1,128,458,000 1,000,680,000 1,042,818,000 1,126,572,000  1,296,174,000 1,308,124,000 1,305,083,000 1,276,523,000 478,000,000 474,013,000 616,153,000 588,346,000 568,508,000 544,523,000 515,162,000 507,425,000 511,857,000 504,797,000 513,526,000 510,264,000 520,432,000 530,787,000 536,809,000 534,416,000 540,368,000 503,021,000 424,206,000 424,494,000 428,497,000 419,718,000 411,530,000 406,999,000 382,615,000 380,879,000 333,029,000 348,963,000 317,043,000 316,180,000 307,360,000 259,585,000 307,602,000 292,127,000 261,846,000 245,266,000 223,225,000 223,225,000                                                      
        equity
                                                                                                                       
        common shares – unlimited authorized common shares with no par value; 216,512 and 203,001 shares issued and outstanding as of march 31, 2026 and december 31, 2025, respectively
      3,228,315,000                                                                                                                 
        retained earnings
      402,669,000 509,119,000 327,662,000 262,221,000 172,146,000 113,365,000 107,810,000 97,253,000 87,560,000 368,065,000 597,623,000 596,843,000 537,096,000 521,817,000 442,323,000 490,662,000 450,215,000  131,914,000 100,475,000 58,487,000                          57,740,000 72,405,000 79,667,000 96,525,000 75,917,000 90,223,000 326,168,000 326,410,000 302,562,000 271,584,000 275,293,000 253,458,000 226,701,000 226,701,000 277,666,000 277,666,000         277,666,000                                           
        ssr mining’s shareholders’ equity
      3,630,984,000 3,507,773,000 3,327,072,000 3,259,841,000 3,168,125,000 3,107,043,000 3,100,249,000 3,088,328,000 3,078,785,000 3,373,080,000 3,615,477,000 3,613,687,000 3,592,158,000 3,579,737,000 3,499,247,000 3,623,671,000 3,593,660,000                                                                                                 
        non-controlling interest
      797,779,000 806,481,000 817,421,000 825,770,000 835,483,000 839,818,000 848,508,000 852,814,000 860,043,000 931,123,000 977,638,000 998,041,000 545,653,000 546,462,000 495,331,000 501,462,000 492,431,000  479,912,000 482,322,000 513,626,000 471,951,000     36,590,000 34,807,000 31,829,000 22,087,000 23,795,000 23,802,000 23,043,000 20,921,000 19,000,000                       496,000 496,000 496,000 496,000 496,000 496,000 496,000 496,000 496 496,000 496,000 496,000 496,000 496,000 496,000 496,000 496,000 496,000 608 496,000 496,000 608,000 608,000 608,000 496,000 608,000 608,000 608,000 608,000 608,000 608,000  608,000 608,000  608,000  608,000  608,000                 
        total equity
      4,428,763,000 4,314,254,000 4,144,493,000 4,085,611,000 4,003,608,000 3,946,861,000 3,948,757,000 3,941,142,000 3,938,828,000 4,304,203,000 4,593,115,000 4,611,728,000 4,137,811,000 4,126,199,000 3,994,578,000 4,125,133,000 4,086,091,000  3,938,162,000 3,965,003,000 3,939,903,000 3,804,531,000 1,156,694,000 1,137,991,000 1,133,954,000 1,100,097,000 1,081,714,000 1,062,619,000 1,005,976,000 996,292,000 993,130,000 985,326,000 1,023,928,000       640,358,000                                                                          
        total liabilities and equity
      5,946,734,000 6,093,898,000 5,907,813,000 5,795,877,000 5,644,508,000 5,189,020,000 5,143,919,000 5,175,554,000 5,251,782,000 5,385,773,000 5,749,660,000 5,739,479,000 5,234,803,000 5,254,657,000 4,995,258,000 5,167,951,000 5,212,663,000 5,193,642,000 5,234,336,000 5,273,127,000 5,244,986,000 5,081,054,000 1,634,694,000 1,612,004,000 1,750,107,000 1,688,443,000 1,650,222,000 1,607,142,000 1,521,138,000 1,503,717,000 1,504,987,000 1,490,123,000 1,537,454,000 1,499,220,000 1,514,567,000 1,484,224,000 1,438,688,000 1,454,618,000 1,432,263,000  880,501,000 871,677,000 954,766,000 996,549,000 989,260,000 986,249,000 1,192,994,000 1,252,568,000 1,170,768,000 1,191,241,000 1,169,967,000 1,176,363,000 1,426,245,000 1,316,912,000  1,276,102,000                                                          
        current portion of debt, related party
       11,000,000 11,000,000 11,000,000 11,000,000 11,000,000 11,000,000                                                                                                           
        debt
          228,822,000 228,572,000 228,305,000 228,040,000 227,777,000 227,516,000 227,257,000 227,000,000 226,745,000 226,510,000 226,259,000 261,009,000 278,261,000  72,042,000 71,090,000 71,025,000 334,539,000 173,639,000 171,722,000 169,769,000 167,952,000 166,143,000 164,380,000 247,551,000 243,858,000 240,234,000 236,685,000 233,180,000 229,810,000 226,500,000 223,258,000     2,116,000 4,273,000    197,134,000                                                                    
        common shares – unlimited authorized common shares with no par value; 203,001 and 202,369 shares issued and outstanding as of december 31, 2025 and december 31, 2024, respectively
       2,998,654,000                                                                                                                
        common shares – unlimited authorized common shares with no par value; 202,786 and 202,369 shares issued and outstanding as of september 30, 2025 and december 31, 2024, respectively
        2,999,410,000                                                                                                               
        common shares – unlimited authorized common shares with no par value; 202,780 and 202,369 shares issued and outstanding as of june 30, 2025 and december 31, 2024, respectively
         2,997,620,000                                                                                                              
        common shares – unlimited authorized common shares with no par value; 202,538 and 202,369 shares issued and outstanding as of march 31, 2025 and december 31, 2024, respectively
          2,995,979,000                                                                                                             
        equity method investments
           34,000 110,000  1,045,000 127,000   395,000 395,000 4,496,000 4,647,000 4,665,000                                                                                                 
        common shares – unlimited authorized common shares with no par value; 202,369 and 202,952 shares issued and outstanding as of december 31, 2024 and december 31, 2023, respectively
           2,993,678,000                                                                                                            
        restricted cash
             101,000 102,000 101,000 100,000 33,560,000 34,029,000 33,653,000 35,569,000 35,387,000 35,315,000  35,293,000 35,290,000 35,288,000 35,284,000                                       2,071,000 2,071,000 2,061,000 2,061,000 1,855,000 1,855 1,940,000 1,940,000 1,934,000 1,934,000 2,071,000 1,929,000 1,929,000 1,793,000 1,914,000 2,196 1,934,000 1,934,000 1,809,000 1,868,000 1,868,000 1,793,000 1,870,000 1,870,000 1,881,000 1,809,000 1,809,000 1,824,000  1,936,000 1,936,000 2,091,000 1,809,000 2,104,000 1,809,000 2,104,000 1,809,000 1,826,000  1,826,000 1,826,000 1,912,000   2,104,000 2,104,000        
        common shares – unlimited authorized common shares with no par value; 202,109 and 202,952 shares issued and outstanding as of september 30, 2024 and december 31, 2023, respectively
            2,992,439,000                                                                                                           
        common shares – unlimited authorized common shares with no par value; 202,096 and 202,952 shares issued and outstanding as of june 30, 2024 and december 31, 2023, respectively
             2,991,075,000                                                                                                          
        common shares – unlimited authorized common shares with no par value; 202,090 and 202,952 shares issued and outstanding as of march 31, 2024 and december 31, 2023, respectively
              2,991,225,000                                                                                                         
        goodwill
                49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000  49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000 49,786,000                                                                           
        reclamation liabilities
               170,455,000 163,670,000 161,513,000 155,781,000 153,972,000 140,382,000 138,864,000 124,074,000                                                                                                 
        common shares – unlimited authorized common shares with no par value; 202,952 and 206,653 shares issued and outstanding as of december 31, 2023 and december 31, 2022, respectively
               3,005,015,000                                                                                                        
        common shares – unlimited authorized common shares with no par value; 203,888 and 206,653 shares issued and outstanding as of september 30, 2023 and december 31, 2022, respectively
                3,017,854,000                                                                                                       
        common shares – unlimited authorized common shares with no par value; 203,871 and 206,653 shares issued and outstanding as of june 30, 2023 and december 31, 2022, respectively
                 3,016,844,000                                                                                                      
        common shares – unlimited authorized common shares with no par value; 206,520 and 206,653 shares issued and outstanding as of march 31, 2023 and december 31, 2022, respectively
                  3,055,062,000                                                                                                     
        common shares – unlimited authorized common shares with no par value; 206,653 and 211,879 shares issued and outstanding as of december 31, 2022 and december 31, 2021, respectively
                   3,057,920,000                                                                                                    
        common shares – unlimited authorized common shares with no par value; 206,599 and 211,879 shares issued and outstanding as of september 30, 2022 and december 31, 2021, respectively
                    3,056,924,000                                                                                                   
        common shares – unlimited authorized common shares with no par value; 211,842 and 211,879 shares issued and outstanding as of june 30, 2022 and december 31, 2021, respectively
                     3,133,009,000                                                                                                  
        common shares – unlimited authorized common shares with no par value; 212,557 and 211,879 shares issued and outstanding as of march 31, 2022 and december 31, 2021, respectively
                      3,143,445,000                                                                                                 
        current assets
                                                                                                                       
        non-current assets
                                                                                                                       
        inventories - non-current
                        177,505,000 162,427,000 134,612,000 106,281,000                                                                                            
        investments in joint ventures
                        5,991,000 6,776,000 7,782,000                                                                                             
        other
                        22,827,000 19,843,000 22,479,000 21,002,000 61,000  4,686,000 8,038,000 8,034,000 9,993,000 8,776,000 3,163,000 3,557,000 3,899,000 3,681,000 2,211,000 2,146,000 2,334,000 2,720,000 12,372,000 3,989,000  3,984,000 3,979,000                                                                      76,000  
        current liabilities
                                                                                                                       
        accounts payable and accrued liabilities
                       156,883,000 152,645,000 164,567,000 175,984,000 157,800,000 80,745,000 88,812,000 111,125,000                                    32,132,000 32,132,000 36,525,000 36,525,000 28,837,000 28,837 37,738,000 37,738,000 48,265,000 48,265,000 32,132,000 33,927,000 33,927,000  24,384,000  48,265,000 48,265,000                             2,834,000 2,834,000 2,624,000 2,624,000    
        reclamation and closure cost provision
                        3,489,000 2,747,000 1,924,000 2,050,000 2,519,000 7,863,000 8,766,000                                                                                         
        non-current liabilities
                                                                                                                       
        lease liabilities
                        116,314,000 116,517,000 117,029,000 117,643,000    3,141,000 3,204,000 3,263,000                                                                                      
        shareholders' equity
                                                                                              457,016                         
        common shares
                        3,171,841,000 3,226,627,000 3,220,795,000                                                                                             
        other reserves
                        48,070,000 49,154,000 40,570,000 41,372,000 22,688,000  19,762,000 8,823,000       24,998,000 9,156,000 18,287,000 34,684,000  29,920,000 44,344,000         23,903,000   1,626,000  17,336,000 24,016,000 26,317,000 6,515,000 8,167,000 57,475,000 41,131,000 41,131,000                                                      
        equity component of convertible notes
                        106,425,000 106,425,000 106,425,000 106,425,000 106,425,000 106,425,000 106,425,000 106,497,000 106,497,000 106,497,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000  68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000 68,347,000                                                             
        total equity attributable to equity holders of ssr mining
                        3,458,250,000 3,482,681,000 3,426,277,000                                                                                             
        current assets - sum
                        1,445,788,000 1,438,393,000 1,424,522,000 1,238,463,000 746,128,000 743,243,000 899,662,000 849,959,000 798,010,000 800,491,000 733,119,000 731,559,000 759,586,000    755,770,000  704,240,000  669,748,000       491,818,000  527,206,000 670,615,000 688,203,000   656,688,000            120,654,000    75,197,000     86,814,000 66,403,000     171,067,000   215,751,000  263,488,000 132,981,000 132,981,000 158,714,000  242,789,000  278,341,000        261,902,000  83,170,000 43,844,000 43,844,000   49,361,000  53,678,000     
        current liabilities - sum
                        228,176,000 238,404,000 248,933,000 230,525,000 83,264,000 96,675,000 234,171,000 213,649,000 198,325,000 183,733,000 83,254,000 82,111,000 87,619,000    77,959,000  144,306,000  139,552,000       122,870,000    104,124,000   68,510,000            31,225,000    50,682,000     45,328,000 28,513,000     40,823,000   20,850,000  19,357,000 15,713,000 15,713,000 18,309,000  10,737,000  7,680,000        3,401,000  6,069,000 3,500,000 3,500,000   3,173,000  3,191,000     
        the accompanying notes are an integral part of the consolidated financial statements
                                                                                                                       
        commitments
                                                                                                                       
        investments accounted for using the equity method
                           8,789,000                                                                                            
        share capital
                           3,217,403,000 1,086,959,000 1,085,747,000 1,083,766,000 1,080,255,000 1,060,382,000 1,059,591,000 1,055,417,000 1,050,776,000 1,050,758,000 1,047,938,000 1,047,233,000 1,046,108,000 1,045,143,000 1,044,368,000 1,043,555,000 1,043,076,000 1,038,387,000  707,607,000 707,607,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 707,034,000 706,901,000 706,901,000 705,876,000 704,264,000 695,665,000 687,091,000 687,091,000 671,542,000 671,542,000 649,101,000 649,101,000 647,787,000 647,787 647,294,000 647,294,000 538,700,000 538,700,000 671,542,000 533,296,000 533,296,000 389,655,000 485,338,000 463,125 538,700,000 538,700,000 459,888,000 462,212,000 462,212,000 389,655,000 461,903,000 461,903,000 461,903,000 459,888,000 459,888,000 453,322,000  451,664,000 451,664,000 447,550,000 459,888,000 442,265,000 459,888,000 442,265,000 459,888,000 441,288,000  439,176,000 439,176,000 266,654,000   442,265,000 442,265,000        
        deficit
                           -32,620,000 -59,378,000                                        -98,909,000 -98,909,000 -91,409,000 -91,409   -68,573,000 -68,573,000      -67,770 -68,573,000 -68,573,000 -57,281,000 -50,368,000 -50,368,000  -64,603,000 -64,603,000 -59,111,000 -61,267,000 -61,267,000 -46,578,000  -33,679,000 -33,679,000 -28,707,000 -61,267,000 -27,142,000 -61,267,000 -27,142,000 -57,281,000 -25,441,000  -28,136,000 -28,136,000 -44,605,000 -43,524,000 -43,524,000 -27,142,000 -27,142,000 -39,616,000 -39,616,000 -39,637,000 -39,637,000 -43,524,000  -43,524,000 
        total equity attributable to ssr mining shareholders
                           3,332,580,000    1,100,097,000 1,045,124,000 1,027,812,000  974,205,000 969,335,000 961,524,000  968,035,000 975,135,000                                                                               
        total shareholders' equity attributable to ssr mining shareholders
                              1,133,954,000    974,147,000    1,000,885,000                                                                                 
        property, plant and equipment
                               760,269,000 757,676,000 719,807,000 701,175,000 693,047,000 666,539,000 651,769,000 658,629,000 665,267,000 681,425,000 644,508,000 663,828,000 686,290,000 685,729,000  349,110,000 348,712,000 389,641,000 427,877,000 443,419,000 439,074,000 638,415,000 640,385,000 406,636,000 400,409,000 408,764,000 395,770,000 590,071,000 540,077,000 555,673,000 544,111,000 500,508,000 516,016,000 508,096,000 508,096,000                                      1,040,000  738,000 738,000 694,000 2,037,000 2,037,000   2,073,000 2,073,000 2,075,000 2,075,000 2,037,000  2,037,000 
        trade and other payables
                               89,895,000 73,641,000 70,004,000 78,466,000 77,160,000 80,005,000 62,365,000 60,153,000 53,959,000 58,986,000 61,330,000 61,500,000 57,079,000 61,490,000  47,318,000 53,352,000 62,880,000 55,092,000 50,147,000 56,645,000 107,897,000 99,662,000 83,636,000 104,124,000 75,119,000 77,222,000 68,510,000 79,007,000 60,654,000 48,023,000 42,972,000 52,341,000 38,216,000 38,216,000                                                      
        provisions
                               11,213,000 10,912,000 4,604,000 4,788,000 4,951,000 7,614,000 10,583,000 11,313,000 18,695,000 18,973,000 19,507,000 82,806,000 76,864,000 78,062,000  79,194,000 78,226,000 68,079,000 65,003,000 63,511,000                                                                     
        inventory
                                220,591,000 241,296,000 232,748,000 214,674,000 216,036,000 204,198,000 182,581,000 178,396,000 172,984,000 167,443,000 154,915,000 152,447,000 162,599,000  124,919,000 135,976,000 147,788,000 135,367,000 124,176,000 129,228,000 149,464,000 138,931,000 53,444,000 50,892,000 53,964,000 65,008,000 79,315,000 102,293,000 116,158,000 94,681,000 78,771,000 56,462,000 48,449,000 48,449,000                                                      
        events after the reporting date
                                                                                                                       
        held for sale
                                      1,418,000 1,416,000 1,425,000 12,100,000 12,097,000                                                                             
        total shareholders' equity attributable to our shareholders
                                         953,437,000 901,879,000 920,202,000 891,895,000  456,295,000 447,183,000 526,269,000 576,831,000 577,730,000 579,250,000 810,379,000 871,689,000 837,739,000 842,278,000                                                                
        events after the reporting period
                                                                                                                       
        income tax receivable
                                              19,299,000 18,243,000 18,158,000 19,371,000 19,019,000                                                                     
        value added tax receivable
                                          6,531,000 20,765,000 20,183,000  20,156,000 20,792,000 32,149,000 31,176,000 34,455,000 29,473,000 29,513,000 37,266,000 50,705,000 62,423,000 67,621,000 67,078,000 41,436,000 37,363,000 35,776,000 89,160,000 85,015,000 79,814,000 74,699,000 74,699,000                                                      
        income tax receivables
                                            21,710,000                                                                           
        pro forma statement of financial position:
                                                                                                                       
        pro-forma statement of income:
                                                                                                                       
        total revenues
                                             459,516,000                                                                          
        income from mine operations
                                             41,820,000                                                                          
        net
                                             -115,859,000                                                                          
        basic (loss) per share
                                             -990                                                                          
        diluted (loss) per share
                                             -990                                                                          
        retained
                                                                                                                       
        other current assets
                                                3,909,000     20,423,000 11,708,000 10,000,000 3,801,000 2,469,000 34,510,000 41,077,000 62,220,000 33,539,000                                                          
        current debt
                                                3,715,000 3,851,000 5,669,000 5,922,000                                                                    
        non-current provisions
                                                60,912,000 60,376,000 61,974,000                                                                     
        convertible notes
                                                205,277,000 202,517,000 199,813,000  194,570,000 192,050,000 189,580,000     135,805,000 133,073,000 125,313,000 122,908,000 120,562,000 118,422,000 118,422,000                                                      
        retained deficit
                                                                                                                       
        other current financial assets
                                                  29,981,000 19,443,000 19,036,000                                                                   
        non-current inventory
                                                 3,057,000 3,318,000 4,326,000 13,464,000                                                                   
        other non-current financial assets
                                                 11,355,000 11,434,000 21,558,000 21,543,000          1,767,000 2,903,000 3,496,000 3,496,000                                                      
        trade receivables and other assets
                                                   49,824,000                                                                    
        investment in associate
                                                          118,244,000 119,632,000 122,190,000 136,342,000 136,499,000 145,301,000 207,861,000 207,861,000                                                      
        current provisions
                                                   60,303,000                                                                    
        close down and restoration provision
                                                   57,945,000 53,523,000 57,376,000 33,722,000 32,973,000 33,256,000 33,192,000 32,209,000 31,222,000 47,492,000 46,653,000 12,521,000 12,635,000 12,984,000 12,984,000                                                      
        retained (deficit) earnings
                                                                                                                       
        total shareholders' equity attributable to shareholders of the company
                                                        852,924,000 860,183,000 1,118,885,000 1,057,327,000  983,975,000 987,724,000 1,006,598,000                                                        
        taxes payable
                                                            14,289,000 22,498,000 28,902,000 16,357,000 10,512,000 10,512,000 3,672,000 3,672,000 3,370,000 3,370,000 3,370,000 3,370 3,370,000 3,370,000 3,370,000 3,370,000 3,672,000 3,370,000 3,370,000 3,370,000 3,370,000 4,127 3,370,000 3,370,000  3,370,000 3,370,000 3,370,000                                
        warrant liability
                                                             7,067,000 7,954,000 5,365,000                                                        
        derivative liability
                                                            74,000 1,242,000                                                          
        total shareholders' equity
                                                            1,035,780,000  1,249,570,000 1,252,360,000 1,178,644,000 1,178,644,000 1,031,772,000 1,031,772,000 624,460,000 624,460,000 623,914,000 623,914     1,031,772,000                                           
        total liabilities and shareholders' equity
                                                            1,343,382,000                                                           
        non-current taxes payable
                                                                                                                       
        other financial assets
                                                              39,218,000 33,512,000 41,628,000 41,628,000                                                      
        deferred income tax asset
                                                              17,326,000 15,451,000                                                        
        deferred tax liabilities
                                                              36,995,000 20,339,000 15,372,000 15,372,000                                                      
        derivative liabilities
                                                              6,817,000 15,401,000 26,179,000 26,179,000                                                      
        total shareholders' equity attributable to shareholders of the
                                                                                                                       
        company
                                                                954,923,000 954,923,000                                                      
        accounts receivable
                                                                  30,323,000 30,323,000 16,482,000 16,482,000 9,651,000 9,651 8,515,000 8,515,000 6,238,000 6,238,000 30,323,000 3,307,000 3,307,000 2,772,000 2,482,000 3,394 6,238,000 6,238,000 2,903,000 2,923,000 2,923,000 2,772,000 1,587,000 1,587,000 3,837,000 2,903,000 2,903,000 2,999,000  3,708,000 3,708,000 3,944,000 2,903,000 3,746,000 2,903,000 3,746,000 2,903,000 3,195,000  2,609,000 2,609,000 1,545,000 1,238,000 1,238,000 3,746,000 3,746,000 883,000 883,000 914,000 914,000 1,238,000  1,238,000 
        prepaid expenses and deposits
                                                                  5,779,000 5,779,000   3,415,000 3,415 2,601,000 2,601,000 2,013,000 2,013,000 5,779,000 1,915,000 1,915,000 1,106,000 1,627,000 1,355 2,013,000 2,013,000 453,000 7,093,000 7,093,000 1,106,000 2,077,000 2,077,000 559,000 453,000 453,000 722,000  701,000 701,000 826,000 453,000 630,000 453,000 630,000 453,000 521,000  364,000 364,000 446,000 496,000 496,000 630,000 630,000 463,000 463,000 419,000 419,000 496,000  496,000 
        asset held for sale
                                                                          1,859,000 1,859,000       1,859,000 1,859,000                        22,555,000            
        convertible debenture receivable
                                                                  7,180,000 7,180,000         7,180,000                                           
        value added tax recoverable
                                                                  70,782,000 70,782,000 66,912,000 66,912,000 62,431,000 62,431 58,041,000 58,041,000 54,095,000 54,095,000 70,782,000      54,095,000 54,095,000            2,747,000 2,747,000 2,208,000  1,327,000  1,327,000         1,327,000 1,327,000        
        investment accounted for under the equity method
                                                                  226,271,000 226,271,000         226,271,000                                           
        mineral properties and property, plant, and equipment
                                                                  613,659,000 613,659,000 650,921,000 650,921,000 625,482,000 625,482 615,210,000 615,210,000 612,618,000 612,618,000 613,659,000 573,248,000 573,248,000  515,266,000  612,618,000 612,618,000                                    
        liabilities and shareholders' equity
                                                                                                                       
        accrued interest on convertible notes
                                                                  2,076,000 2,076,000 510,000 510,000 2,050,000 2,050 501,000 501,000 2,076,000 2,076,000 2,076,000 536,000 536,000 2,066,000 2,076,000 2,530 2,076,000 2,076,000  549,000 549,000 2,066,000 2,149,000 2,149,000 577,000                             
        current portion of future income tax liability
                                                                  3,047,000 3,047,000         3,047,000                                           
        current portion of asset retirement obligations
                                                                  955,000 955,000 347,000 347,000 338,000 338 351,000 351,000 341,000 341,000 955,000 266,000 266,000 234,000 246,000 287 341,000 341,000 1,029,000 527,000 527,000 234,000 1,000,000 1,000,000 1,029,000 1,029,000 1,029,000 663,000  1,063,000 1,063,000 1,073,000 1,029,000 1,073,000 1,029,000 1,073,000 1,029,000 373,000  535,000 535,000 722,000 722,000 722,000 1,073,000 1,073,000 332,000 332,000 560,000 560,000 722,000  722,000 
        asset retirement obligations
                                                                  12,768,000 12,768,000 12,053,000 12,053,000 11,569,000 11,569 11,410,000 11,410,000 11,150,000 11,150,000 12,768,000 3,771,000 3,771,000 3,229,000 3,493,000 3,954 11,150,000 11,150,000 2,827,000 2,937,000 2,937,000 3,229,000 2,909,000 2,909,000 2,870,000 2,827,000 2,827,000 2,524,000  2,463,000 2,463,000 2,402,000 2,827,000 2,336,000 2,827,000 2,336,000 2,827,000 2,764,000  2,533,000 2,533,000 773,000 759,000 759,000 2,336,000 2,336,000 739,000 739,000 727,000 727,000 759,000  759,000 
        future income tax liability
                                                                  57,392,000 57,392,000 35,272,000 35,272,000 31,956,000 31,956 32,029,000 32,029,000 36,798,000 36,798,000 57,392,000 30,145,000 30,145,000 22,335,000 27,403,000 27,351 36,798,000 36,798,000 25,253,000 27,032,000 27,032,000 22,335,000 27,348,000 27,348,000 27,250,000 25,253,000 25,253,000 23,534,000  24,941,000 24,941,000 26,906,000 25,253,000 26,745,000 25,253,000 26,745,000 25,253,000 24,039,000  23,235,000 23,235,000 24,595,000 21,839,000 21,839,000 26,745,000 26,745,000 13,693,000 13,693,000 14,454,000 14,454,000 21,839,000  21,839,000 
        long-term convertible notes
                                                                  118,203,000 118,203,000 116,275,000 116,275,000 114,387,000 114,387 112,553,000 112,553,000 110,739,000 110,739,000 118,203,000 109,027,000 109,027,000 104,046,000 107,320,000 127,415 110,739,000 110,739,000  108,670,000 108,670,000 104,046,000 102,888,000 102,888,000 102,339,000                             
        value assigned to stock options
                                                                  42,660,000 42,660,000 46,222,000 46,222,000 44,268,000 44,268 42,323,000 42,323,000 40,417,000 40,417,000 42,660,000 40,625,000 40,625,000 36,502,000 39,340,000 41,164 40,417,000 40,417,000 31,810,000 38,769,000 38,769,000 36,502,000 36,102,000 36,102,000 33,625,000 31,810,000 31,810,000   24,886,000 24,886,000 21,766,000 31,810,000 20,798,000 31,810,000 20,798,000 31,810,000 10,426,000  9,413,000 9,413,000 9,118,000 9,778,000 9,778,000 20,798,000 20,798,000 6,977,000 6,977,000 6,711,000 6,711,000 9,778,000  9,778,000 
        value assigned to convertible notes
                                                                  37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 37,383 37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 37,383,000 36,553 37,383,000 37,383,000  36,553,000 36,553,000 37,383,000 36,553,000 36,553,000 36,553,000                             
        contributed surplus
                                                                  510,000 510,000 510,000 510,000 510,000 510 510,000 510,000 510,000 510,000 510,000 510,000 510,000 510,000 510,000 649 510,000 510,000 649,000 649,000 649,000 510,000 649,000 649,000 649,000 649,000 649,000 649,000  649,000 649,000 649,000 649,000 649,000 649,000 649,000 649,000 636,000  618,000 618,000 618,000   649,000 649,000        
        accumulated other comprehensive income
                                                                  1,515,000 1,515,000         1,515,000     2,772   19,377,000 34,000 34,000  17,716,000 17,716,000 20,531,000 23,363,000 23,363,000 20,320,000  23,000,000 23,000,000 34,071,000 23,363,000  23,363,000  19,377,000                 
        equity attributable to silver standard shareholders
                                                                  1,031,276,000 1,031,276,000 623,964,000 623,964,000 623,418,000 623,418     1,031,276,000                                           
        prepaid expenses and other assets
                                                                    3,433,000 3,433,000                                                  
        convertible debenture
                                                                    6,335,000 6,335,000 5,999,000 5,999 6,230,000 6,230,000 6,081,000 6,081,000  5,487,000 5,487,000 5,973,000 4,784,000 7,315 6,081,000 6,081,000  7,557,000 7,557,000 5,973,000                                
        accumulated other comprehensive loss
                                                                    -10,343,000 -10,343,000 -15,121,000 -15,121   -11,747,000 -11,747,000       -11,747,000 -11,747,000                                    
        other investments
                                                                             24,902,000 24,902,000 21,803,000 22,968,000 26,700   45,102,000 26,700,000 26,700,000 21,803,000 26,700,000 26,700,000 26,700,000 45,102,000 45,102,000 53,102,000     45,102,000  45,102,000  45,102,000                 
        current portion of taxes payable
                                                                             1,960,000 1,960,000 11,715,000 1,807,000 14,346    10,000,000 10,000,000 11,715,000                                
        shareholders' equity - sum
                                                                          536,690,000           487,849,000   488,320,000   454,443,000 454,443,000               231,869,000            
        supplies inventories
                                                                             4,580,000 4,580,000  1,272,000                                       
        valued added tax recoverable
                                                                             48,968,000 48,968,000 30,332,000 42,287,000 37,145   9,527,000 20,190,000 20,190,000 30,332,000 14,941,000 14,941,000 10,790,000 9,527,000 9,527,000 6,013,000     9,527,000  9,527,000  9,527,000                 
        silver bullion
                                                                                    15,787,000       15,787,000 15,787,000 15,787,000 15,787 15,787,000 15,787,000 15,787,000 15,787,000 15,787,000 15,787,000 15,787,000 15,787,000 15,787,000 15,787 15,787,000 15,787,000 15,787,000 14,095,000 14,095,000 15,787,000 15,787,000   13,685,000 13,685,000 14,095,000  14,095,000 
        mineral property costs and property, plant, and equipment
                                                                               421,190,000  515,790   309,425,000 443,907,000 443,907,000 421,190,000 376,699,000 376,699,000 336,748,000 309,425,000 309,425,000 282,338,000     309,425,000  309,425,000  309,425,000                 
        mineral property held-for-sale
                                                                                        6,962,000 6,962,000 6,967,000                             
        accrued liabilities
                                                                               10,875,000  13,318   3,632,000 14,607,000 14,607,000 10,875,000 8,330,000 8,330,000 4,767,000 3,632,000 3,632,000 4,047,000  1,825,000 1,825,000 2,955,000 3,632,000 1,215,000 3,632,000 1,215,000 3,632,000 1,090,000  783,000 783,000 1,368,000 788,000 788,000 1,215,000 1,215,000     788,000  788,000 
        foreign exchange derivatives
                                                                                    1,412,000       1,412,000 1,412,000 1,929,000     1,412,000  1,412,000  1,412,000                 
        shareholder's equity
                                                                                                                       
        shareholder's equity - sum
                                                                                          494,150,000   457,016,000                          
        valued assigned to stock options
                                                                                             29,303,000                          
        earnings
                                                                                              -12,899                         
        cash generated by (used in) operating activities
                                                                                              -3,931                         
        cash generated by financing activities
                                                                                              1,008                         
        cash from mineral property costs, property, plant and equipment
                                                                                              -20,415                         
        financial position
                                                                                                                       
        current assets – total
                                                                                              158,714                         
        other investments - abcp
                                                                                              53,102                         
        current assets and abcp - total
                                                                                              211,816                         
        current liabilities - total
                                                                                              18,309          4,429               
        working capital
                                                                                              140,405          254,941               
        mineral property costs and property, plant and equipment
                                                                                               257,797,000 257,797,000 229,677,000  211,986,000  211,986,000         211,986,000 211,986,000        
        liabilities and shareholders’ equity
                                                                                                                       
        shareholders’ equity
                                                                                                        426,909               
        shareholders’ equity - sum
                                                                                               466,520,000  475,329,000        421,071,000              
        restricted silver bullion
                                                                                                            1,692,000 1,692,000   1,982,000 1,982,000 2,102,000 2,102,000 1,692,000  1,692,000 
        common shares - unlimited shares authorized, no par value
                                                                                                                       
        issued and outstanding 61,646,120 common shares
                                                                                                                       
        value assigned to warrants
                                                                                                            6,965,000 6,965,000   7,011,000 7,011,000 7,011,000 7,011,000 6,965,000  6,965,000 
        reclamation deposits
                                                                                                       188,000  188,000 188,000 188,000 190,000 190,000   193,000 193,000 198,000 198,000 190,000  190,000 
        mineral property costs
                                                                                                       195,717,000  185,586,000 185,586,000 177,342,000 171,525,000 171,525,000   157,056,000 157,056,000 152,564,000 152,564,000 171,525,000  171,525,000 
        current assets - total
                                                                                                        259,370               
        liabilities relating to asset held for sale
                                                                                                           2,889,000            
        share subscription
                                                                                                           84,000            
        issued and outstanding 51,849,241 common shares
                                                                                                            219,971,000 219,971,000       219,971,000  219,971,000 
        common shares - unlimited shares authorized, no par value - sum
                                                                                                            193,190,000 193,190,000          
        subsequent events
                                                                                                                       
        silver bullion –
                                                                                                                13,805,000 13,805,000      
        mineral property payable
                                                                                                                       
        current portion of long-term debt
                                                                                                                7,000 7,000 7,000 7,000    
        long-term debt
                                                                                                                38,000 38,000 40,000 40,000    
        capital stock
                                                                                                                       
        authorized
                                                                                                                       
        unlimited common shares without par value
                                                                                                                       
        issued
                                                                                                                       
        51,744,072 common shares
                                                                                                                218,650,000 218,650,000      
        issued - sum
                                                                                                                193,022,000  192,205,000     
        51,661,402 common shares
                                                                                                                  218,120,000 218,120,000    
        v)
                                                                                                                       
        vi)
                                                                                                                       
        other assets
                                                                                                                       
        other liabilities
                                                                                                                       
        share subscriptions
                                                                                                                       
        stock options
                                                                                                                       
        warrants
                                                                                                                       
        other comprehensive gain
                                                                                                                       
        loss in accordance with canadian gaap
                                                                                                                     1,518,000  
        mineral property costs for the year
                                                                                                                     76,684,000  
        mineral property costs written off during
                                                                                                                       
        the year
                                                                                                                       
        stock-based compensation
                                                                                                                     -2,398,000  
        loss in accordance with u.s. gaap
                                                                                                                     75,880,000  
        unrealized loss on available-for-sale
                                                                                                                       
        securities
                                                                                                                     5,480,000  
        comprehensive loss
                                                                                                                     81,360,000  
        basic and diluted loss per share
                                                                                                                     1,570  
      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 2023-03-31 2022-12-31 2022-09-30 2022-06-30 2022-03-31 2021-09-30 2021-06-30 2021-03-31 2020-12-31 2020-09-30 2020-06-30 2020-03-31 2019-12-31 2019-09-30 2019-06-30 2019-03-31 2018-12-31 2018-09-30 2018-06-30 2018-03-31 2017-12-31 2017-09-30 2017-06-30 2017-03-31 2016-12-31 2016-09-30 2016-06-30 2016-03-31 2015-09-30 2015-06-30 2015-03-31 2014-12-31 2014-09-30 2014-06-30 2014-03-31 2013-12-31 2013-09-30 2013-06-30 2013-03-31 2012-12-31 2011-12-31 2011-09-30 2011-06-30 2011-05-10 2011-03-31 2011-03-01 2010-12-31 2010-09-30 2010-06-30 2010-05-05 2010-03-31 2010-03-02 2009-08-10 2009-02-10 2008-06-30 2008-05-12 2008-03-10 2007-11-09 2007-06-30 2007-05-15 2007-03-08 2006-09-30 2006-06-30 2006-05-15 2006-04-03 2005-11-15 2005-08-16 2005-05-18 2005-04-01 2004-05-21 2003-11-26 2003-09-04 2003-05-20 
                                                                                           
          operating activities
                                                                                           
          net income
        57,092,000 80,362,000 54,446,000 -3,135,000 6,251,000 2,464,000 -358,162,000 -264,360,000 -7,245,000 122,376,000 29,004,000 95,177,000 -28,374,000 67,519,000 76,106,000                                                                     
          adjustments for:
                                                                                           
          depreciation, depletion, and amortization
        28,218,000 26,237,000 30,613,000 38,340,000 30,443,000 23,011,000 38,398,000   44,641,000 47,095,000  21,555,000 53,848,000 58,742,000                                                                     
          reclamation and remediation costs
        7,135,000 69,850,000 4,320,000 16,725,000 79,624,000 -52,329,000 252,851,000                                                                             
          payments for reclamation and remediation liabilities
        -4,641,000 -6,920,000 -5,764,000                                                                                 
          deferred income taxes
        -10,463,000 -8,602,000 -11,300,000 9,806,000 -5,165,000 -3,694,000 -22,817,000 -102,610,000 58,366,000 -88,622,000 -1,977,000 2,408,000 -28,441,000 -25,495,000 -16,404,000                                                                     
          stock-based compensation
        23,596,000 7,099,000 9,963,000 4,162,000 3,536,000 968,000 -3,942,000 -1,117,000 2,766,000 1,474,000 2,047,000 3,119,000 -2,804,000 1,309,000 4,849,000                                         8,868,000 6,579,000 258,000 4,000 2,027,000 2,027,000 6,319,000 9,601,000 14,999,000 2,000 2,434,000 14,999,000 527,000 1,792,000 2,212,000 12,935,000 721,000 -254,000 845,000 4,035,000 376,000 439,000 234,000 2,451,000     
          change in fair value of marketable securities
        -3,021,000 -2,065,000 -1,656,000 -927,000 -330,000 -3,602,000 -2,817,000 -3,656,000 555,000 746,000 -1,866,000 -4,438,000 37,000 2,876,000 923,000                                                                     
          non-cash fair value adjustment on acquired inventories
           2,830,000 5,286,000 2,250,000 7,113,000 3,623,000 5,570,000 780,000 2,963,000 4,540,000                                                                     
          loss on sale and disposal of assets
        778,000   1,888,000 466,000                                                                               
          impairment charges of long-lived and other assets
                                                                                           
          change in fair value of deferred consideration
           -584,000 -672,000 -906,000 -630,000 2,058,000 -352,000 -60,000 2,085,000                                                                         
          other taxes
          1,250,000 2,774,000                                                                                
          loss on foreign exchange
        11,115,000 10,670,000 4,620,000 7,006,000 3,949,000 2,971,000 3,528,000 98,713,000 18,808,000 12,824,000 8,210,000                                                                         
          non-cash care and maintenance
        14,930,000 15,692,000 15,238,000 14,129,000 15,154,000 13,272,000 6,731,000                                                                            
          other operating activities
        -1,508,000 4,188,000 3,224,000 1,069,000 2,682,000 740,000 1,226,000                    6,883,000    3,610,000                                                     
          net change in operating assets and liabilities
        -74,894,000 -38,175,000 -20,149,000 5,356,000 -14,956,000 -55,039,000 -7,626,000 -15,229,000 -7,094,000 -23,922,000 -87,902,000 22,634,000 -28,560,000 -72,764,000 -68,580,000  23,363,000 -39,423,000 63,059,000                                                                 
          net cash from operating activities
        57,156,000 157,841,000 84,805,000 94,979,000 -1,348,000 -78,132,000 24,631,000 203,159,000 135,256,000 80,343,000 2,967,000 118,097,000 -52,226,000 32,838,000 62,187,000                                                                     
          capital expenditures
                                                                            
          free cash flows
        57,156,000 157,841,000 84,805,000 94,979,000 -1,348,000 -78,132,000 24,631,000 203,159,000 135,256,000 80,343,000 2,967,000 118,097,000 -52,226,000 32,838,000 62,187,000                                                                     
          investing activities
                                                                                           
          additions to mineral properties, plant and equipment
        -59,557,000 -59,455,000 -45,507,000 -38,573,000 -32,750,000 -38,176,000 -34,035,000 -58,789,000 -47,456,000 -57,935,000 -59,242,000 -21,360,000 -39,825,000 -41,838,000 -34,492,000                                                                     
          acquisitions
        2,776,000 -108,736,000                                                                               
          purchases of marketable securities
        -32,762,000 -36,709,000 -14,972,000 -9,040,000 -12,636,000 -3,288,000 -6,338,000 -11,669,000 -1,344,000 -2,000,000 -484,000 -1,015,000 -5,386,000      -29,550,000                                                                 
          net proceeds from sale of marketable securities
        25,940,000 26,753,000 15,218,000  10,521,000 5,030,000 3,717,000  413,000 7,845,000         -82,666,000 71,787,000 12,055,000 3,308,000 1,453,000 -656,000 947,000 63,445,000  7,318,000 28,063,000                                                      
          proceeds from sale of mineral properties, plant and equipment
                                                                                        
          other investing activities
        1,000                         526,000                                                         
          net cash from investing activities
        -63,602,000 -68,503,000 -154,250,000 -39,560,000 -35,094,000 -31,684,000 -36,778,000 -59,050,000 -48,470,000 -179,860,000 -51,881,000 -166,299,000 -12,238,000 -29,860,000 -27,885,000                                                                     
          financing activities
                                                                                           
          repayment of debt, principal
             -35,817,000 -17,534,000 -17,802,000 -17,796,000 -17,791,000 -17,787,000 -17,781,000  -17,500,000 -35,000,000                                                                 
          proceeds from the issuance of debt, related party
        11,400,000 9,300,000 3,600,000 3,869,000                                                                                
          repurchase of common shares
           -9,825,000 -11,010,000 -40,108,000 -5,197,000  -85,373,000                                                                       
          principal payments on finance leases
        -1,204,000 -1,191,000 -1,178,000 -1,561,000 -1,018,000 -1,007,000 -995,000 -981,000 -976,000 -963,000 -950,000 -965,000 -923,000 -910,000 -7,293,000                                                                     
          net cash from financing activities
        10,196,000 7,856,000 2,675,000 2,308,000 13,942,000 1,488,000 -10,820,000 -24,450,000 -46,672,000 -72,945,000 -38,189,000 -33,148,000 -121,951,000 -63,234,000 -53,449,000                                                                     
          effect of foreign exchange rate changes on cash and cash equivalents
        -6,522,000 -4,702,000 -1,500,000 -4,186,000 -1,567,000 -376,000 -2,415,000 -64,940,000 -15,142,000 -10,547,000 -6,191,000 -13,589,000 -3,526,000 -59,000 583,000   12,000 789,000 -2,056,000   12,000          -506,000 598,000                                                  
          net increase in cash, cash equivalents, and restricted cash
        -2,772,000 92,492,000 -68,270,000 53,541,000 -24,067,000 -108,704,000 -25,382,000 54,719,000 24,972,000 -183,009,000 -93,294,000 -94,939,000 -189,941,000 -60,315,000 -18,564,000                                                                     
          cash, cash equivalents, and restricted cash beginning of period
        387,882,000  492,494,000  689,106,000                                                                        
          cash, cash equivalents, and restricted cash end of period
        -2,772,000 92,492,000 319,612,000  -24,067,000 -108,704,000 467,112,000  24,972,000 -183,009,000 595,812,000  -189,941,000                                                                       
          reconciliation of cash, cash equivalents, and restricted cash:
                                                                                           
          cash and cash equivalents
        -2,772,000 92,492,000 319,612,000   -108,703,000 467,010,000                                                                             
          restricted cash
             -1,000 102,000                                                                   -1,912,000          
          total cash, cash equivalents, and restricted cash
        -2,772,000 92,492,000 319,612,000   -108,704,000 467,112,000                                                                             
          contributions to equity method investments
          -253,000  -229,000 -103,000 -122,000                                                                             
          other financing activities
          253,000         1,000                                                                        
          payments for reclamation and remediation costs
                                                                                           
          write-down of leach pad inventory
               6,290,000                                                                            
          gain on acquisition of kartaltepe
                                                                                           
          impairment charges of goodwill
                                                                                           
          proceeds from sales of marketable securities
                                                                                           
          proceeds from repayment of note receivable
                                                                                         
          proceeds from exercise of stock options
               208,000 230,000 2,398,000  -1,898,000 2,749,000 6,728,000 1,372,000 -586,000 1,387,000 7,237,000 1,571,000 -1,827,000 3,048,000 5,320,000 -1,734,000 1,284,000 461,000 2,281,000 58,000 215,000 335,000 6,700,000 -1,166,000          77,000   77,000 618,000 883,000 5,762,000 6,711,000 6,729,000 6,729,000                             
          non-controlling interest dividend
                   -3,747,000 -30,773,000                                                                     
          dividends paid
               -14,503,000 -14,379,000 -14,340,000 -14,448,000 -14,388,000 -14,311,000                                                                       
          cash, cash equivalents, and restricted cash, beginning of year
                                                                                           
          cash, cash equivalents, and restricted cash, end of year
                                                                                           
          write-down (recovery) of leach pad inventory
                                                                                           
          impairment charges
            369,000 114,230,000                                                                             
          equity loss of affiliates
             268,000 174,000 58,000 118,000   -83,000                                                                        
          advance from non-controlling interest
               2,044,000                                                                            
          loss on sale of mineral properties, plant and equipment
              657,000 -241,000 560,000 810,000 240,000 288,000 -128,000 757,000 584,000                                                                     
          amortization of debt discount
               259,000 257,000 255,000 235,000 251,000 250,000 248,000 227,000                                                                     
          reclamation accretion expense
               2,179,000 2,173,000 2,173,000 2,173,000                                                                         
          unrealized loss on derivative instruments
               483,000 -839,000   337,000 761,000                                                                       
          proceeds on royalty portfolio sale
                                                                                           
          depreciation, depletion and amortization
                               -7,582,000 3,557,000 25,798,000 100,479,000 5,823,000 -2,097,000 25,400,000 102,482,000 -481,000 669,000 24,018,000 76,169,000 6,460,000 -7,388,000 20,031,000 -852,000 4,272,000 16,537,000 42,311,000 2,640,000 1,668,000 5,166,000 42,183,000 -1,764,000 2,277,000 9,117,000 44,841,000                                  
          impairment of other assets
                                                                                           
          depletion, depreciation, and amortization
                                                                                           
          impairment of long-lived and other assets
                                                                                           
          redemption of convertible notes
                          -114,994,000                                                                 
          proceeds from issuance of debt
                          3,088,000                                                                 
          purchase of common shares
                                                                                           
          settlement of restricted and performance share units
                                                                                           
          reclamation costs
                    1,814,000 1,311,000 1,311,000                                                                     
          proceeds from sale of marketable securities
                    -2,094,000                  68,641,000    4,969,000  3,396,000 513,000     18,787,000                 2,437,000 2,437,000  2,780,000 812,000 200,000 1,300,000 812,000      -428,000 441,000  1,790,000 148,000 57,000      
          equity pickup on investments in joint ventures
                     18,000 253,000                                                                     
          unrealized gain on derivative instruments
                      -364,000                                                                     
          net proceeds from sales of marketable securities
                      6,607,000    97,098,000                                                                 
          cash, cash equivalents, and restricted cash, beginning of period
                      1,052,865,000                                                                     
          cash, cash equivalents, and restricted cash, end of period
                      1,034,301,000                                                                     
          cash flows from operating activities
                                                                                           
          net income for the period
                       10,850,000 -8,158,000 59,762,000  31,389,000 -30,252,000 23,976,000  5,718,000 6,682,000 5,732,000  -379,000    -35,926,000 22,700,000 15,047,000  25,560,000 10,182,000 2,300,000   9,096,000           21,835,000 45,767,000 9,943,000 9,943,000                             
          depletion and depreciation
                        2,082,000 61,375,000 126,429,000                                                                 
          interest and other finance income
                        -25,000 -470,000 -6,545,000 -1,636,000                                                                
          interest expense
                        846,000 7,444,000 25,420,000 2,347,000 -1,726,000 6,439,000 30,010,000                                                             
          impairment loss on non-current assets
                                                                                           
          income tax expense
                        -11,922,000 58,172,000 40,853,000   5,999,000 30,372,000 14,160,000   8,121,000 -2,812,000 5,700,000 1,516,000 3,121,000 -1,907,000 -1,159,000 3,420,000 16,028,000  -519,000 3,558,000    30,578,000  -968,000 1,005,000 15,433,000                                      
          non-cash foreign exchange gain
                                                                                           
          other
                        -9,417,000 9,697,000 2,834,000 927,000 -10,974,000 13,659,000 11,541,000 1,758,000       1,747,000 -635,000 872,000 300,000       232,000                                           
          cash generated from operating activities before taxes
                        24,240,000 155,560,000 392,359,000                                                                 
          income taxes paid
                        -20,860,000 -10,339,000 -43,744,000 -10,578,000                                                                
          cash generated by operating activities
                        3,380,000 145,221,000 348,615,000 22,331,000   134,198,000 19,135,000   59,769,000 18,242,000 6,125,000 11,007,000 144,725,000 -8,322,000 7,971,000 30,643,000 170,684,000 22,904,000 17,438,000 12,724,000                            2,684,000                  
          cash flows from investing activities
                                                                                           
          expenditures on mineral properties, plant and equipment
                        20,352,000 -68,579,000 -169,340,000 -684,000                                                                
          interest received
                        12,000 551,000 3,665,000 -457,000 -822,000 1,783,000 9,697,000 -1,120,000 260,000 2,712,000 9,219,000 188,000 750,000 1,643,000 3,944,000 307,000 78,000 696,000 1,670,000 517,000 174,000 237,000 -73,000 -10,000 164,000 1,458,000 -28,000 -1,344,000 1,565,000 6,180,000                                      
          cash and cash equivalents acquired in alacer acquisition
                          270,445,000                                                                 
          cash (used in) generated by investing activities
                                                                                           
          cash flows from financing activities
                                                                                           
          interest paid
                        2,672,000 -4,665,000 -13,679,000                                                                 
          lease payments
                        275,000 -2,874,000 -4,883,000 -889,000                                                                
          dividends paid to equity holders of ssr mining
                        18,000 -10,992,000                                                                  
          dividends paid to non-controlling interest
                         -38,086,000                                                                  
          cash from financing activities
                         -71,788,000                                                                  
          increase in cash and cash equivalents
                        -1,062,000 5,392,000 356,990,000 208,578,000   84,435,000   42,139,000   7,704,000 13,037,000 132,737,000 57,550,000 -513,000 13,458,000 115,265,000 29,940,000 9,213,000 5,772,000        48,710,000   94,899,000 37,892,000 -26,848,000 -12,856,000 108,026,000 28,422,000 28,422,000 205,652,000    76,336,000 76,336,000            146,263,000 14,833,000 -22,673,000 -5,184,000 -6,583,000 -4,942,000 29,275,000 -914,000    
          cash and cash equivalents, beginning of period
                           63,277,000 -105,208,000 503,647,000  -9,191,000 42,139,000 419,212,000  20,741,000 13,037,000 459,864,000  12,945,000 13,458,000 327,127,000  14,985,000 5,772,000 211,862,000 41,633,000 -9,048,000 184,643,000 415,657,000 -294,251,000 -19,244,000 415,657,000 366,947,000 -26,041,000 94,899,000 366,947,000 329,055,000 232,311,000 232,311,000                             
          cash and cash equivalents, end of period
                       -7,573,000 4,330,000 866,029,000  271,855,000 63,277,000 398,439,000  22,319,000 -9,191,000 461,351,000  -19,131,000 20,741,000 472,901,000  70,495,000 12,945,000 340,585,000  44,925,000 14,985,000 217,634,000 -17,211,000 41,633,000 175,595,000 184,643,000 33,012,000 -294,251,000 396,413,000 415,657,000 -34,421,000 -26,041,000 461,846,000 366,947,000 -26,848,000 -12,856,000 108,026,000 260,733,000 260,733,000                             
          non-cash foreign exchange loss
                          -159,000 -494,000   2,162,000         -667,000   2,069,000 1,968,000   2,170,000 -2,222,000 2,419,000 19,744,000   12,906,000 25,170,000 3,347,000                                     
          cash (used in) generated by financing activities
                          -173,204,000                                                                 
          effect of foreign exchange rate changes on cash and cash
                                                                                           
          equivalents
                                                                                           
          non-cash foreign exchange
                         -997,000                                                                  
          cash from investing activities
                         -68,053,000                                          -15,823,000 -15,823,000   -156,250,000   -156,250,000    7,146,000  3,391,000 -13,020,000 -21,517,000         
          cash and cash equivalents, beginning of year
                         860,637,000 503,647,000    419,212,000    459,864,000    327,127,000    211,862,000                                                 
          net income for the year
                          140,468,000    55,757,000        71,466,000    64,957,000               54,826,000                                  
          loss on redemption of convertible debt
                              5,423,000   5,423,000                                                          
          acquisition of non-controlling interest
                                                                                           
          cash generated by (used in) investing activities
                          180,790,000 205,962,000         344,000 1,387,000                      -2,782,000              10,796,000                  
          proceeds from issuance of convertible notes, net of transaction costs
                                                                                           
          settlement of restricted share units
                          -14,464,000                                                                 
          funding from non-controlling interest
                              3,710,000    15,196,000    2,320,000                                                     
          cash and cash equivalents, end of year
                          860,637,000    503,647,000    419,212,000    459,864,000    327,127,000                                                 
          net changes in non-cash working capital items
                           -46,617,000 19,854,000 544,000             9,186,000       23,366,000   8,469,000 14,421,000                                      
          cash generated by operating activities before taxes
                                                                                           
          moratorium paid
                           26,000                                                                
          purchase of marketable securities
                                                                       -3,648,000   -3,648,000    -378,000    -2,459,000 -1,234,000 -1,225,000  -2,755,000 -1,042,000 -50,000 -866,000  
          loan to joint venture partner
                                                                                           
          repayment of debt, interest
                                                                                           
          issuance of convertible notes
                              230,000,000   230,000,000                                                          
          convertible notes issuance costs
                                                                                           
          depreciation and depletion
                            -17,511,000 28,806,000 108,247,000                                                             
          income tax (recovery) expense
                                                3,405,000                                           
          cash generated by operating activities before interest and taxes
                            -45,719,000 75,720,000  18,213,000 23,910,000 15,196,000  21,172,000 4,300,000 20,868,000  -6,037,000 9,250,000 37,883,000                                                  
          cash generated by (used in) financing activities
                                                                                           
          gain on sale of mineral properties, plant and equipment
                                                                                           
          cash generated by (used in) operating activities
                             58,672,000                           4,404,000   -15,836,000 6,980,000 21,759,000 21,759,000       -39,943,000      -6,566,000 1,008,000 1,627,000              
          cash generated from operating activities before interest and taxes
                              170,556,000    92,080,000                                                         
          cash generated by financing activities
                              80,553,000 1,781,000 -76,650,000 77,441,000 20,516,000 -1,799,000 2,332,000 1,916,000            5,922,000    118,160,000   118,160,000 618,000 883,000 5,762,000 6,711,000 6,729,000 6,729,000 124,076,000 123,161,000 598,000 -108,040,000 108,357,000 108,357,000 146,413,000 138,719,000 11,794,000  134,945,000 11,794,000 -1,409,000 -1,482,000 3,899,000 203,267,000 -170,305,000 142,811,000 29,077,000 1,795,000         
          net finance expense
                               -1,617,000 2,079,000 3,406,000 20,564,000 -505,000 -1,031,000 6,072,000 26,467,000    22,507,000    650,000 -424,000 5,671,000 20,587,000 2,313,000 1,112,000 3,589,000 16,912,000                                      
          purchase of plant and equipment
                                                                                           
          capitalized stripping costs
                                                                                           
          underground mine development costs
                                                                                           
          chinchillas project costs
                                                                                           
          capitalized exploration costs
                                                                                           
          acquisition of land
                                                                                           
          funding from non-controlling interests
                                 3,710,000  -65,000 1,048,000 1,455,000                                                      
          gain on sale of mineral property
                                                                                           
          other items impacting operating activities
                                3,097,000 532,000  219,000 -3,243,000 4,323,000                                                      
          income tax recovery
                                 3,165,000                                                          
          cash (used in) generated by operating activities
                                                                                           
          impairment reversal
                                                                                           
          purchase of property, plant and equipment
                                                                       -45,556,000   -45,556,000    -1,782,000 -287,000 -61,000 -17,000 -1,202,000 -33,000 -102,000 -1,084,000 -710,000     
          closing payment on formation of joint venture, net of cash acquired
                                                                                           
          investment in marketable securities
                                                                                           
          cash flows from and used in investing activities
                                                                                           
          chinchillas option exercise payment, net of cash acquired
                                                                                           
          cash flows from and used in financing activities
                                                                                           
          cash generated in operating activities before interest and taxes
                                      173,530,000                                                     
          cash received on seabee gold operation acquisition, net of share exchange payment
                                                                                           
          tax deposit recovered
                                                                                           
          cash (used) in investing activities
                                                                                           
          repayment of bank loan
                                                                                           
          repayment of seabee gold operation credit facility
                                                                                           
          share issuance fees on seabbee gold operation acquisition
                                                                                           
          cash generated (used) by financing activities
                                      4,601,000 1,224,000 215,000 335,000                                                  
          net non-cash finance expense
                                       -344,000 2,145,000 5,319,000  -1,046,000 -4,000 5,913,000                                              
          tax moratorium paid
                                                                                           
          net proceeds from acquisition and sale of marketable securities
                                                                                           
          cash received from acquisition of seabee gold operation, net of share exchange payment
                                                                                           
          tax deposit received
                                          18,243,000                                                 
          cash generated (used) by investing activities
                                                                                           
          share issuance fees on seabee gold operation acquisition
                                                                                           
          share-based payments
                                        10,000 586,000 2,133,000 -48,000 181,000 557,000 92,000 -47,000 666,000 2,167,000 -182,000 180,000 449,000 1,001,000 -551,000   4,128,000 751,000 1,822,000 1,659,000 522,000 522,000                             
          export duties adjustment in cost of sales
                                                                                           
          revaluation of close down and restoration provision
                                         3,578,000                                                  
          tax moratorium
                                                                                           
          interest
                                                                                           
          income taxes
                                                                                           
          proceeds from sale of assets previously held for sale
                                                                                           
          cash (used) by investing activities
                                                                                           
          other expense
                                         2,145,000  -2,345,000   -732,000                                             
          (gain) on sale of exploration and evaluation assets
                                                                                           
          inventory and value added tax receivable write-downs and impairment charges
                                          4,569,000                                                 
          other loss
                                          6,225,000       12,994,000 -852,000 908,000 2,677,000 13,035,000 -15,274,000 13,230,000 2,756,000                                   
          cash generated in operating activities before interest and taxes (paid) recovered
                                          197,321,000                                                 
          proceeds from sale of property, plant and equipment
                                          1,624,000  -977,000 990,000                                              
          cash received on claude resources acquisition, net of share exchange payment
                                          16,753,000                                                 
          decrease in restricted cash
                                              -2,701,000                                             
          proceeds from bank loan
                                                                                           
          repayment of claude resources credit facility
                                                                                           
          share issuance fees on claude resources acquisition
                                                                                           
          cash (used) generated by financing activities
                                                                                           
          impairment charges and inventory write-downs
                                                 51,657,000    225,663,000                                      
          cash generated by operating activities before value added taxes, interest and income taxes (paid) recovered
                                           27,106,000 16,761,000 18,946,000                                              
          value added taxes
                                                                                           
          value added taxes recovered
                                           1,045,000 -2,436,000 3,101,000 -1,640,000 1,385,000 3,200,000 30,707,000                                          
          production stripping capitalized costs
                                                                                           
          proceeds from sale of mineral property
                                                   2,500,000 7,500,000 15,000,000                                      
          cash received on claude resources acquisition
                                                                                           
          share exchange cash payment on claude resources acquisition
                                                                                           
          expenditures on exploration properties
                                                                                           
          tax deposit paid
                                                                                           
          cash (used) generated by investing activities
                                                                                           
          cash (used) by financing activities
                                                                                           
          tax deposit
                                                                                           
          net (loss) for the year
                                                                                           
          (gain) on sale of mineral property
                                                                                           
          cash generated in operating activities before value added taxes, interest and income taxes (paid) recovered
                                                 61,098,000                                          
          income taxes (paid) recovered
                                                                                           
          purchase of marigold mine
                                                                                           
          decrease (increase) in restricted cash
                                                                                           
          deferred stripping expenditures
                                                                                           
          proceeds from sale of exploration property
                                                 17,500,000                                          
          taxes paid on sale of exploration properties
                                                                                           
          proceeds from sale of marketable securities and other investments
                                                 39,249,000              11,015,000                            
          dividends received
                                                 166,000    178,000                                      
          net (loss) for the period
                                                                                           
          (gain) on derivative instrument
                                                                                           
          taxes paid on sale of mineral properties
                                                                                           
          cash generated (used) by operating activities before value added taxes, interest and income taxes (paid) recovered
                                                                                           
          cash generated (used) by operating activities
                                               -8,910,000 30,807,000                                           
          cash generated by operating activities before value added taxes, interest and income taxes recovered
                                                37,158,000                                           
          (decrease) in cash and cash equivalents
                                                                                           
          net (gains) on investment in associate
                                                                                           
          income taxes recovered
                                                 2,427,000                                          
          cash generated in operating activities
                                                 68,833,000   1,171,000 19,472,000    5,410,000                                  
          increase in restricted cash
                                                                                           
          proceeds from loan facility
                                                 5,922,000                                          
          net proceeds from issuance of convertible notes
                                                     256,083,000                                      
          repayment of convertible notes
                                                                                           
          cash generated by operating activities before interest and income taxes recovered
                                                                                           
          (increase) in restricted cash
                                                                                           
          expenditures on exploration and development properties
                                                                                           
          value added tax payments
                                                                                           
          value added tax receipts
                                                  13,519,000 345,000 3,003,000 5,040,000                                      
          cash generated in operating activities before interest and income taxes paid
                                                   -6,243,000 6,455,000 41,218,000                                      
          cash (used) generated in operating activities
                                                                                           
          mineral property expenditures
                                                                                           
          net proceeds from partial disposal of associate
                                                         71,040,000 -492,000                                
          proceeds from other investing activities
                                                     440,000                                      
          accretion of close down and restoration provision
                                                      -17,000 9,000 955,000                                   
          accretion expense on convertible notes
                                                      44,000 -1,798,000 4,060,000 10,492,000 2,333,000 2,346,000 2,212,000 2,297,000 2,297,000 7,464,000 5,625,000 4,000 22,000 1,813,000 1,813,000 571,000 1,283,000  425,000 267,000                  
          deferred income tax
                                                       10,127,000 1,911,000                                   
          cash (used) generated by operating activities
                                                                                           
          net value added tax payments and receipts
                                                                                           
          proceeds from sale of other investments
                                                         4,853,000                                  
          proceeds from issuance of convertible notes
                                                        256,083,000              138,000,000   134,936,000                  
          net loss for the period
                                                                                           
          share-based (recovery) payments
                                                                                           
          (gain) on dilution of associate
                                                                                           
          (gain) on partial disposal of associate
                                                                                           
          foreign exchange loss
                                                        2,819,000 1,699,000      2,325,000 2,215,000   -184,000  -3,653,000  267,000  4,899,000 267,000 702,000           -31,000  -230,000   
          net value added tax payments
                                                                                           
          close down and restoration provision
                                                         6,086,000 389,000 386,000 414,000 407,000 407,000                             
          (gain) on sale of mineral property and property, plant and equipment
                                                                                           
          write-down of inventory to net realizable value
                                                                                           
          accretion (income) on convertible debenture
                                                                                           
          other expenses
                                                         10,310,000                                  
          net value added tax receipts
                                                         18,048,000                                  
          proceeds from repayment of convertible debenture receivable
                                                                                           
          net proceeds from sale of mineral property
                                                            17,034,000 17,034,000     6,927,000 6,927,000  22,435,000                     
          cash generated by investing activities
                                                         31,864,000                                  
          deferred income tax expense
                                                                                           
          depletion, depreciation and amortization
                                                          3,187,000 2,351,000 5,440,000 5,854,000 5,854,000 26,609,000 19,945,000 1,536,000 -2,734,000 7,862,000 7,862,000                       
          gain on sale of mineral property and property plant and equipment
                                                                                           
          accretion income on convertible debenture
                                                                                           
          other income
                                                                                           
          gain on partial disposal of associate
                                                                                           
          cash from operating activities
                                                                   -16,198,000 -16,198,000            82,000 -1,224,000 -2,951,000         
          value added tax recoverable
                                                                                           
          net proceeds from sale of mineral properties
                                                               204,491,000                            
          proceeds from issuance of common shares
                                                                                           
          supplemental cash flow information
                                                                                           
          net changes in non cash working capital items
                                                           2,616,000 12,310,000 4,914,000 4,914,000                             
          increase in value added tax recoverable
                                                                   -3,946,000 -3,946,000 -23,763,000  -8,200,000 -2,888,000 -1,263,000 -8,200,000                 
          net proceeds from sale and acquisition of mineral properties
                                                                                           
          loss on sale of mineral property and other financial assets
                                                            284,000 539,000                              
          unrealised gain on fair value through profit and loss financial instruments
                                                                                           
          impairment reversal on convertible debenture
                                                                                           
          share of loss of associate
                                                            1,705,000 2,287,000 2,287,000                             
          foreign exchange gain
                                                                             14,000 -1,000   2,000 -14,000 9,000 29,000 4,000    -130,000  
          unrealised loss on fair value through profit and loss financial instruments
                                                             4,716,000 4,716,000                             
          future income tax recovery
                                                                   -6,072,000 -6,072,000                       
          gain on sale of mineral property and other financial assets
                                                              539,000                             
          foreign exchange (gain) loss
                                                                    -184,000                       
          earnings for the year
                                                               346,239,000                            
          items not affecting cash
                                                                                           
          asset retirement obligations accretion
                                                               1,503,000                            
          gain on sale of mineral properties and property, plant and equipment
                                                                                           
          loss on sale of investments and assets
                                                                                           
          unrealized loss on held-for-trading financial instruments
                                                               102,000 40,000     -412,000    -1,397,000                  
          accrued interest on convertible debenture
                                                                                           
          write-down of mineral properties
                                                               238,000                            
          write-down of investments and convertible debenture
                                                                     4,492,000                      
          share of loss of equity investee
                                                               77,000                            
          future income tax (recovery) expense
                                                               17,650,000      -2,087,000                      
          increase in non-current taxes payable
                                                                      3,180,000                     
          increase in non-cash working capital items
                                                                   984,000 984,000  12,847,000  1,511,000 251,000                  
          shares issued for cash
                                                               130,707,000 129,640,000 626,000 -114,271,000 114,712,000 114,712,000 155,578,000    1,449,000              13,229,000 3,565,000 1,646,000  
          share issue cash costs
                                                                              -11,596,000        -928,000 -54,000  -16,000  
          financing costs related to equity portion of convertible notes financing
                                                                         -1,440,000                  
          expenditures on mineral properties
                                                                                           
          settlement of payables for property, plant and equipment
                                                                                           
          proceeds from sale of silver bullion
                                                                      39,648,000   39,244,000                  
          cash generated (used in) investing activities
                                                               92,686,000                            
          cash and cash equivalents - beginning of year
                                                               26,659,000      72,013,000 81,600,000 229,616,000   229,616,000    23,030,000    45,703,000    16,428,000 17,342,000    
          cash and cash equivalents - end of year
                                                               232,311,000      26,659,000 72,013,000 80,629,000   80,629,000    229,616,000    23,030,000    45,703,000 16,428,000    
          loss for the period
                                                                   -7,637,000 -7,637,000             -1,081,000       -429,000 -1,140,000  
          asset retirement obligations
                                                                 -4,000 -3,000 416,000 416,000 346,000 335,000 647,000 1,000 39,000 647,000 1,000 -1,000 54,000 2,053,000  1,613,000 13,000 444,000 6,000 12,000 12,000 -316,000     
          gain on sale of imarketable securities and mineral property
                                                                                           
          and property, plant and equipment
                                                                                           
          interest income on convertible debenture
                                                                   -197,000 -197,000 -703,000                      
          write-down of convertible debenture and other investments
                                                                                           
          cash generated (used) in operating activities
                                                                                           
          share issue costs
                                                                   -6,355,000 -6,355,000 -9,165,000                      
          cash and cash equivalents - beginning of period
                                                                 -45,276,000 76,336,000 26,659,000 26,659,000    148,425,000 80,629,000  -23,905,000 -15,548,000 229,616,000  161,096,000 14,833,000 23,030,000  34,178,000 40,761,000 45,703,000   11,174,000 14,285,000  
          cash and cash equivalents - end of period
                                                                 -21,880,000 -45,276,000 102,995,000 102,995,000    -43,806,000 229,054,000  -81,426,000 -23,905,000 214,068,000  -6,765,000 161,096,000 37,863,000  28,994,000 34,178,000 40,761,000   11,992,000 11,174,000  
          supplementary cash flow information
                                                                                           
          unrealized (gain) loss on held-for-trading financial instruments
                                                                                           
          gain on sale of investments and assets
                                                                   -15,447,000 -15,447,000                       
          unrealized loss on held-for-trading financial
                                                                                           
          instruments
                                                                   237,000 237,000                       
          mineral property costs
                                                                   -4,860,000 -4,860,000 -25,157,000  -42,749,000 3,697,000 -9,655,000 -42,749,000    -39,379,000 414,000 1,968,000 -11,532,000 -20,933,000 -5,448,000 -5,246,000 -3,973,000 -12,796,000 -9,833,000 -2,341,000 -2,112,000  
          property, plant and equipment
                                                                   -16,381,000 -16,381,000 -127,037,000   -13,871,000 -18,830,000                  
          loss for the year
                                                                     -13,193,000             -5,870,000    -1,518,000 -3,938,000    
          depreciation
                                                                     2,268,000 288,000 318,000 12,000 68,000 318,000 18,000 36,000 46,000 142,000 1,000 8,000 15,000 74,000 21,000 6,000 26,000 57,000 30,000 6,000 7,000  
          donation of shares
                                                                       960,000   960,000 11,000   230,000             
          financing costs related to equity portion of convertible notes
                                                                                           
          financing
                                                                                           
          and other investments
                                                                     24,133,000                      
          reliant, net of cash
                                                                                           
          other investments reclassified
                                                                                           
          loss (gain) on sale of investments and assets
                                                                     1,112,000                      
          increase (decrease) in non-cash working capital items
                                                                     -35,003,000                      
          cash used in investing activities
                                                                     -151,824,000                      
          increase (decrease) in cash and cash equivalents
                                                                     -45,354,000  -148,987,000  148,425,000 -148,987,000    206,586,000             
          earnings (loss) for the period
                                                                         2,156,000                  
          gain on sale of marketable securities
                                                                       -650,000 -149,000 -978,000 -650,000         -1,323,000 -90,000 -36,000      
          gain on sale of mineral properties
                                                                              -173,000        -911,000     
          gain on sale of silver bullion
                                                                         -23,457,000                  
          future income tax expense
                                                                      3,393,000 1,098,000                    
          unrealized foreign exchange gain
                                                                                           
          cash used in operating activities
                                                                       -4,531,000   -4,531,000    -3,827,000             
          earnings for the period
                                                                                           
          mineral property costs written-off
                                                                              101,000    372,000         
          gain on sale of joint venture interest
                                                                              -35,390,000             
          unrealized gain on held-for-trading
                                                                                           
          financial instruments
                                                                                           
          write-down (up) of marketable securities
                                                                      4,891,000        -52,000             
          write-down of other investments
                                                                      17,903,000 12,000,000  18,402,000 12,000,000                 
          financing costs related to equity portion of
                                                                                           
          convertible notes financing
                                                                                           
          shares and warrants issued for cash
                                                                      2,192,000 11,794,000   11,794,000 -1,409,000 -1,482,000 3,899,000 214,863,000 -181,875,000 154,471,000 28,993,000 1,795,000 366,000 92,000 379,000 60,334,000     
          increase in investment in restricted cash
                                                                                           
          unrealized loss on held-for-trading
                                                                                           
          write-down of convertible debenture and
                                                                                           
          other investments
                                                                                           
          unrealized foreign exchange loss
                                                                                           
          earnings (loss) for the year
                                                                       -35,223,000   -34,125,000    16,382,000             
          proceeds from sale (purchase) of marketable securities
                                                                                           
          gain on sale of mineral properties and property, plant, and equipment
                                                                       -493,000   -493,000                 
          unrealized loss on marketable securities held-for-trading
                                                                       1,801,000   1,801,000  114,000 101,000              
          decrease
                                                                       -255,000   -255,000                 
          cash on consolidation of reliant
                                                                       193,000   193,000                 
          reclassification of cash equivalents to other investments
                                                                       -57,102,000   -57,102,000                 
          loss on disposal of property, plant, and equipment
                                                                                           
          unrealized loss on marketable securities held-for-
                                                                                           
          trading
                                                                                           
          write-down (up) of investments
                                                                                           
          decrease (increase) in non-cash working capital
                                                                                           
          items
                                                                                           
          proceeds from sale of assets
                                                                                           
          foreign exchange gain on foreign cash held
                                                                                    -29,000  24,000 -15,000  174,000  
          write-down of investments and sale of marketable securities
                                                                                           
          changes in non-cash working capital items
                                                                                           
          foreign exchange loss on foreign cash held
                                                                                           
          gain on sale of marketable securities and investment write-ups
                                                                                           
          accounts receivable
                                                                              -2,590,000 478,000 -675,000 -389,000 -576,000         
          prepaid expenses and deposits
                                                                              -134,000 -239,000 32,000 50,000 -198,000         
          accounts payable
                                                                             579,000 1,155,000 -244,000 1,827,000 -862,000 621,000         
          accrued liabilities
                                                                             1,741,000 427,000 925,000 -1,231,000 613,000 675,000         
          increase in foreign value added tax recovery
                                                                              -1,327,000             
          share subscription
                                                                                 84,000          
          construction in progress
                                                                              -1,826,000             
          (gain) loss on sale of marketable securities
                                                                              2,667,000             
          loss on disposal of property, plant and equipment
                                                                              21,000             
          current portion of asset retirement obligations
                                                                              -273,000    -240,000         
          purchase of silver bullion
                                                                                      -15,780,000     
          proceeds on sale of property, plant and equipment
                                                                              13,000        53,000     
          cash acquired on business combination
                                                                                           
          reclamation deposit advance
                                                                                           
          proceeds on sale of marketable securities
                                                                              52,410,000    3,077,000    4,319,000     
          increase in investment of restricted cash
                                                                              -1,912,000             
          accretion of asset retirement obligations
                                                                                           
          gain on sale of mineral property sold for marketable securities
                                                                                           
          repayment of long-term debt
                                                                                    1,000 -10,000 -85,000 -211,000  -93,000  
          write-down of marketable securities
                                                                                   33,000 3,000     203,000  
          gain on sale of mineral property sold for marketable security
                                                                                           
          gain on sale of marketable securities and
                                                                                           
          investment write-ups
                                                                                 -430,000          
          loss on sale of marketable securities and
                                                                                           
          investment writedowns
                                                                                  -2,274,000    -2,525,000 101,000    
          share subscriptions received
                                                                                       455,000    
          income for the period
                                                                                   21,000 -1,040,000 -943,000      
          write-up of silver bullion
                                                                                           
          write-off of mineral property
                                                                                   269,000        
          accounts receivable and prepaid expenses
                                                                                   -13,000 -135,000 -238,000 -656,000 -14,000 77,000 134,000  
          accounts payable and accrued liabilities
                                                                                   -18,000 554,000 644,000 995,000 -17,000 89,000 -920,000  
          reclamation deposits
                                                                                           
          cash flows from investing activities - sum
                                                                                   -4,925,000 -6,425,000 -5,000,000      
          write-down of silver bullion
                                                                                           
          share subscription received
                                                                                           
          cash flows from financing activities - sum
                                                                                    93,000 369,000 59,321,000   1,537,000  
          write-up (down) of marketable securities
                                                                                     -10,000      
          (gain) loss on sale of marketable securities and
                                                                                           
          mineral property costs written off
                                                                                           
          fixed asset writedowns and loss on sale
                                                                                      9,000     
          donation made in shares
                                                                                           
          minority interest buy-out
                                                                                           
          on acquisition of joint venture
                                                                                           
          on business combination
                                                                                      91,000     
          reclamation deposit (advance) recovery
                                                                                      -47,000 -83,000    
          valuation of options issued to non-employees
                                                                                       169,000    
          provision for reclamation
                                                                                       370,000 12,000 3,000  
          proceeds on sale of mineral property
                                                                                           
          purchase of fixed assets
                                                                                       -57,000  -13,000  
          proceeds on sale of fixed assets
                                                                                           
          marketable securities
                                                                                        -203,000   
          valuation of options issued to consultants
                                                                                        97,000   
          purchase of joint venture
                                                                                           
          reclamation deposit recovery
                                                                                           
          foreign exchange gain on
                                                                                           
          foreign cash held
                                                                                        230,000   
          decrease in cash and cash equivalents
                                                                                        818,000 -3,111,000  
          options issued to non-employees
                                                                                         12,000  
          benefit from reclamation
                                                                                           
          per canadian gaap
                                                                                           
          exploration expenditures
                                                                                           
          per u.s. gaap