7Baggers

International Tower Hill Mines Ltd
(NYSE MKT:THM) 

THM stock logo

International Tower Hill Mines Ltd., a mineral exploration company, engages in the acquisition and exploration of mineral properties. It holds or has rights to acquire interests in the Livengood gold project covering an area of approximately 19,546 hectares located to the northwest of Fairbanks, Ala...

Full Time Employees: 3
Sector: Basic Materials
Industry: Gold

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• Market Cap:
• Exchange:
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• Employees:
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At a glance:
Bull Thesis:
Bear Thesis:
Main Competitors:
Moat:
Income 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 2021-12-31 2021-06-30 
                     
      operating expenses
                     
      consulting fees
    83,130 439,354 110,044 278,025 61,509 355,048 57,563 54,962 131,287 318,614 57,635 60,707 57,691 374,100 58,665  421,664 
      insurance
    35,697 65,136 47,011 49,606 50,984 51,211 52,876 53,214 53,533 52,993 49,574 50,452 51,505 58,486 42,450  47,027 
      investor relations
    8,830 33,839 10,059 8,807 8,580 32,272 9,816 7,972 8,737 30,740 4,071 8,089 7,929 34,320 15,253  41,700 
      mineral property exploration
    215,361 801,909  219,614 119,401 628,951  223,280.5 105,479 641,748 145,895 277,585 95,511 561,945 203,093  1,125,316 
      office
    5,999 5,646 4,272 11,111 4,882 7,214 4,475 9,694 13,318 5,979 2,908 12,533 5,560 6,092 4,344  8,820 
      other
    4,106 4,182 2,997 4,101 4,411 4,171 4,164 5,253 3,795 2,801 4,222 4,773 3,555 3,193 4,609  4,826 
      professional fees
    80,021 56,572 32,242 64,765 57,398 76,637 42,259 34,979 104,196 86,576 41,305 44,710 72,236 43,260 66,233  50,019 
      regulatory
    62,563 32,966 61,731 -4,060 59,478 26,689 67,450 -13,545 71,940 24,812 61,364 -10,684 49,946 24,989 73,696  32,983 
      rent
    33,794 33,792 33,790 33,791 33,795 33,794 33,796 33,795 33,796 33,796 33,796 33,678 33,917 33,802 33,803  33,688 
      travel
    25,427 2,305 7,799 4,412 16,407 10,583 2,114 4,435 27,616 11,963 1,911 5,708 16,070 6,413 1,744  4,480 
      wages and benefits
    237,958 287,833 203,823 246,468 243,496 259,553 208,292 229,812 227,261 248,767 115,649 305,718 223,427 255,384 129,549  263,162 
      total operating expenses
    -792,886 -1,763,534 -662,255 -1,030,321 -660,341 -1,486,123 -612,909 -728,424 -780,958 -1,458,789 -518,330 -793,269 -617,347 -1,401,984 -633,439  -2,034,027 
      other income
           11,680  10,480  22,456 5,292 10,000 12,652  10,000 
      gain on foreign exchange
    40,071 -190,324 -18,107 64,424 -22,473 26,031 38,404 -16,829 46,691 -53,843  -62,486 315,283 190,165   -157,829 
      interest income
    20,512 28,772 11,294 11,050 15,512 28,177 29,197 17,389 23,916 34,255 21,566 1,118 1,512 1,540 1,569  3,842 
      total other income
    60,583 -161,552 -6,813 75,474 -6,961 54,208 67,601 12,240 70,607 -9,108 14,793 -38,912 322,087 201,705 -80,534  -143,987 
      net loss for the period
    -732,303 -1,925,086 -669,068 -661,131.25 -667,302 -1,431,915 -545,308 -670,446.25 -710,351 -1,467,897 -503,537 -552,378 -295,260 -1,200,279 -713,973  -2,178,014 
      other comprehensive income
                     
      exchange difference on translating foreign operations
    -43,081 198,065 18,287 -69,670 23,640 -43,638 -26,042 19,246 -50,484 59,255 615 63,057 -327,012 -196,458 132,488  161,045 
      total other comprehensive income for the period
    -43,081 198,065 18,287 -11,510 23,640 -43,638 -26,042 2,346.5 -50,484 59,255 615 -97,745.5 -327,012 -196,458 132,488  161,045 
      comprehensive loss for the period
    -775,384 -1,727,021 -650,781 -672,641.25 -643,662 -1,475,553 -571,350 -668,099.75 -760,835 -1,408,642 -502,922 -650,123.5 -622,272 -1,396,737 -581,485  -2,016,969 
      basic and diluted loss per share
     -0.01  -0.01  -0.01  -0.003  -0.01  -0.003  -0.01   -0.01 
      weighted-average number of shares outstanding – basic and diluted
    207,885,473 207,885,473 202,585,647  199,693,442 199,693,442 198,982,074  195,885,531 195,369,790 195,313,184  195,313,184 195,313,184 194,943,184  194,908,184 
      mineral property
      148,487    130,104           
      loss on foreign exchange
              -6,773    -94,755   
      depreciation
                    342 
    Balance Sheets:
    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 2021-12-31 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 2015-12-31 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 2012-06-30 2012-03-31 2011-12-31 2011-08-31 2010-07-01 2008-12-15 
                                                                
        assets
                                                                
        current
                                                                
        cash and cash equivalents
      2,277,809 2,845,065 4,262,573 992,487 1,746,231 2,269,940 2,588,036 1,687,690 2,354,317 2,990,012 4,231,301 4,847,429 5,472,704 5,964,588 7,249,783 7,780,671 9,268,200 10,617,438 11,998,038 13,049,293 13,768,843 5,490,127 6,465,665 6,937,621 7,528,833 8,302,179 9,534,251 10,228,964 11,068,457 12,113,995 13,174,233 2,244,466 3,435,287 4,521,972 6,630,715 22,466,493 1,759,123 2,888,471 5,090,572 6,493,486 7,908,605 9,530,403 11,294,428 13,521,473 7,861,603 9,257,907 11,379,547 13,925,601 16,611,039 19,874,686 24,675,780 30,170,905 29,881,207 39,722,163 55,642,179 94,408,327   
        prepaid expenses and other
      199,043 249,723 163,876 144,693 187,716 276,369 209,653 304,726 200,250 297,923 170,693 152,572 166,953 254,554 164,621 141,680 160,465 244,412 167,199 162,079 158,765 201,601 126,078 238,554 205,134 220,561 144,914 203,968 184,172 198,893 148,748 177,730 226,025 350,079 164,661 206,221 218,408 371,041 178,390 192,226 214,271 382,742 175,908 242,058               
        total current assets
      2,476,852 3,094,788 4,426,449 1,137,180 1,933,947 2,546,309 3,797,689 1,992,416 2,554,567 3,287,935 4,401,994 5,000,001 5,639,657 6,219,142 7,414,404 7,922,351 9,428,665 10,861,850 12,165,237 13,211,372 13,927,608 5,691,728 6,591,743 7,176,175 7,733,967 8,522,740 9,679,165 10,432,932 11,252,629 12,312,888 13,322,981 2,422,196 3,661,312 4,872,051 6,795,376 22,672,714 1,977,531 3,259,512 5,268,962 6,685,712 8,122,876 9,913,145 11,470,336 13,763,531 8,159,527 9,682,030 11,644,234 14,192,923 17,368,013 20,750,174 25,517,491 31,424,066 30,438,113 40,311,258 56,599,339 95,732,691   
        property and equipment
      7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,465 7,463 7,463 7,805 7,832 14,106 14,550 14,991 15,434 16,013 16,592 17,171 17,750 18,510 19,270 20,031 20,794 21,797 22,803 23,800 24,800 26,120 27,443 28,768 30,083 31,835 33,590 35,360 37,128 56,069 60,018 63,968 67,913 73,352 79,386 84,251 89,714 108,768 116,870 124,744 136,790   
        mineral property
      55,375,124 55,375,124 55,375,124 55,375,124    55,375,124    55,375,124    55,375,124    55,375,124                                       
        total assets
      57,859,441 58,477,377 59,809,038 56,519,769 57,316,536 57,928,898 59,180,278 57,375,005 57,937,156 58,670,524 59,784,583 60,382,590 61,022,246 61,601,731 62,796,993 63,304,940 64,811,252 66,244,437 67,548,166 68,594,328 69,316,838 61,081,402 61,981,858 62,566,733 63,125,104 63,844,583 64,969,768 65,724,114 66,544,571 67,536,199 68,547,053 57,647,031 58,887,150 60,098,895 62,023,217 77,901,555 57,207,692 58,490,996 60,501,771 61,919,836 63,358,752 65,150,776 66,709,737 69,004,700 63,419,637 64,946,089 66,912,243 69,464,877 72,614,929 76,003,124 80,775,306 86,687,344 209,468,238 203,514,472 214,765,524 187,060,117  34,580,976 
        liabilities and shareholders’ equity
                                                                
        current liabilities
                                                                
        accounts payable
      80,018 57,857 21,199 38,374 43,581 34,795 112,090 92,855 9,754 24,295 52,736 53,539 22,461 45,170 192,522 259,648 633,202 376,636 229,277 199,026 335,360 8,511 55,759 18,433 178,826 187,039 119,183 43,475 126,491 23,161 77,017 82,269 74,014 22,950 415,845 179,496 186,860 125,580 218,502 122,043 178,506 214,290 166,599 270,488 234,378 105,758 309,669 42,469 503,431 730,217 896,432 1,198,771       
        accrued liabilities
      220,420 133,959 219,207 139,103 142,967 137,989 172,477 142,096 154,897 142,521 120,296 234,846 157,096 113,069 141,383 320,233 484,431 302,833 193,061 293,965 468,755 237,724 183,372 317,324 101,229 256,690 223,371 504,478 288,377 360,474 204,597 346,569 577,779 244,308 332,703 210,182 357,728 335,061 307,707 394,436 492,166 349,229 289,969 878,682 421,860 348,436 473,659 1,451,227 636,834 1,005,338 1,478,779 2,548,498       
        total liabilities
      300,438 191,816 240,406 177,477 186,548 172,784 284,567 234,951 164,651 166,816 173,032 288,385 179,557 158,239 333,905 579,881 1,117,633 679,469 422,338 492,991 804,115 246,235 239,131 335,757 280,055 443,729 342,554 547,953 414,868 383,635 281,614 428,838 651,793 267,258 748,548 15,083,847 15,344,588 15,160,641 15,126,209 14,416,479 14,870,672 15,163,519 14,956,568 15,849,170 15,756,238 15,954,194 17,083,328 16,293,696 17,840,265 18,435,555 23,275,211 26,147,269 29,601,267 26,940,217 31,648,649 6,647,743   
        shareholders’ equity
                                                              52,070,125 33,856,178 
        share capital, no par value; unlimited number of authorized shares; 207,885,473 and 199,693,442 shares issued and outstanding at september 30, 2025 december 31, 2024, respectively
      294,980,859                                                          
        contributed surplus
      37,482,362 37,433,536 36,987,136 36,923,555 36,686,734 36,669,198 36,323,675 36,309,865 36,296,039 36,215,746 36,296,185 36,275,917 36,255,277 36,233,808 35,856,667 35,989,922 35,959,906 35,929,885 35,473,776 35,454,805 35,435,959 35,417,526 35,069,274 35,069,274 35,069,274 34,665,103 34,910,695 34,960,292 34,578,584 34,573,493 34,633,431 34,459,264 34,092,428 34,092,428 34,092,260 34,079,301 34,063,362 34,056,012 34,040,368 33,979,717 33,887,559 33,801,240 33,708,961 33,439,249 33,294,743 33,061,018 32,772,446 32,153,864 32,243,815 31,339,472 30,167,619 28,589,591 23,638,284 22,640,851 20,673,111 18,975,407   
        accumulated other comprehensive income
      1,586,389 1,629,470 1,431,405 1,413,118 1,482,788 1,459,148 1,502,786 1,528,828 1,509,582 1,560,066 1,500,811 1,500,196 1,437,139 1,764,151 1,960,609 1,828,121 1,811,208 2,063,665 1,902,620 1,759,228 1,175,045 1,251,329 1,020,677 1,574,011 1,428,049 1,529,619 1,368,925 1,162,900 1,700,805 1,459,121 1,708,136 1,686,359 1,745,532 1,596,152 1,511,198 1,344,219 1,149,086 1,123,444 1,115,445 816,435 773,344 1,351,351 1,160,674 2,196,252 2,485,247 2,876,562 2,570,752 3,021,281 3,512,426 3,084,913 3,547,242 4,101,968 1,345,206      
        deficit
      -276,490,607 -275,758,304 -273,833,218 -273,164,150 -272,209,303 -271,542,001 -270,110,086 -269,564,778 -268,848,594 -268,138,243 -266,670,346 -266,166,809 -265,334,628 -265,039,368 -263,839,089 -263,125,116 -262,109,627 -260,460,714 -258,282,700 -257,144,828 -255,149,252 -254,047,489 -252,561,025 -252,626,110 -251,866,075 -251,007,669 -249,620,615 -248,799,703 -247,897,936 -246,628,300 -245,672,885 -244,607,665 -243,226,744 -241,481,231 -239,853,585  -237,065,875 -235,541,286 -233,472,436  -229,865,008 -228,857,519                 
        total shareholders’ equity
      57,559,003 58,285,561 59,568,632 56,342,292 57,129,988 57,756,114 58,895,711 57,140,054 57,772,505 58,503,708 59,611,551 60,094,205 60,842,689 61,443,492 62,463,088 62,725,059 63,693,619 65,564,968 67,125,828 68,101,337 68,512,723 60,835,167 61,742,727 62,230,976 62,845,049 63,400,854 64,627,214 65,176,161 66,129,703 67,152,564 68,265,439 57,218,193 58,235,357 59,831,637 61,274,669 62,817,708 41,863,104 43,330,355 45,375,562 47,503,357 48,488,080 49,987,257 51,753,169 53,155,530 47,663,399 48,991,895 49,828,915 53,171,181 54,774,664 57,567,569 57,500,095 60,540,075  176,574,255 183,116,875 180,412,374   
        total liabilities and shareholders’ equity
      57,859,441 58,477,377 59,809,038 56,519,769 57,316,536 57,928,898 59,180,278 57,375,005 57,937,156 58,670,524 59,784,583 60,382,590 61,022,246 61,601,731 62,796,993 63,304,940 64,811,252 66,244,437 67,548,166 68,594,328 69,316,838 61,081,402 61,981,858 62,566,733 63,125,104 63,844,583 64,969,768 65,724,114 66,544,571 67,536,199 68,547,053 57,647,031 58,887,150 60,098,895 62,023,217 77,901,555 57,207,692 58,490,996 60,501,771 61,919,836 63,358,752 65,150,776 66,709,737 69,004,700 63,419,637 64,946,089 66,912,243 69,464,877 72,614,929 76,003,124 80,775,306 86,687,344  203,514,472 214,765,524 187,060,117   
        share capital, no par value; unlimited number of authorized shares; 207,885,473 and 199,693,442 shares issued and outstanding at june 30, 2025 december 31, 2024, respectively
       294,980,859                                                         
        share capital, no par value; unlimited number of authorized shares; 207,885,473 and 199,693,442 shares issued and outstanding at march 31, 2025 december 31, 2024, respectively
        294,983,309                                                        
        current assets
                                                              17,110,132 11,325,201 
        share capital, no par value; unlimited number of authorized shares; 199,693,442 and 195,885,531 shares issued and outstanding at december 31, 2024 and december 31, 2023, respectively
         291,169,769                                                       
        capitalized acquisition costs
          55,375,124 55,375,124 55,375,124  55,375,124 55,375,124 55,375,124  55,375,124 55,375,124 55,375,124  55,375,124 55,375,124 55,375,124  55,375,124 55,375,124 55,375,124 55,375,124 55,375,124 55,305,251 55,273,432 55,273,432 55,273,432 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,204,041 55,173,564 55,173,564 55,173,564 55,173,564 55,173,564       
        share capital, no par value; unlimited number of authorized shares; 199,693,442 and 195,885,531 shares issued and outstanding at september 30, 2024 december 31, 2023, respectively
          291,169,769                                                      
        share capital, no par value; unlimited number of authorized shares; 199,693,442 and 195,885,531 shares issued and outstanding at june 30, 2024 december 31, 2023, respectively
           291,169,769                                                     
        short-term investments
            1,000,000                                                    
        share capital, no par value; unlimited number of authorized shares; 199,693,442 and 195,885,531 shares issued and outstanding at march 31, 2024 december 31, 2023, respectively
            291,179,336                                                    
        share capital, no par value; unlimited number of authorized shares; 195,885,531 and 195,313,184 shares issued and outstanding at december 31, 2023 and december 31, 2022, respectively
             288,866,139                                                   
        share capital, no par value; unlimited number of authorized shares; 195,313,184 and 195,885,531 shares issued and outstanding at december 31, 2022 and september 30, 2023, respectively
              288,815,478                                                  
        share capital, no par value; unlimited number of authorized shares; 195,313,184 and 195,885,531 shares issued and outstanding at december 31, 2022 and june 30, 2023, respectively
               288,866,139                                                 
        share capital, no par value; unlimited number of authorized shares; 195,313,184 shares issued and outstanding at december 31, 2022 and march 31, 2023
                288,484,901                                                
        share capital, no par value; unlimited number of authorized shares; 195,313,184 and 194,908,184 shares issued and outstanding at december 31, 2022 and december 31, 2021, respectively
                 288,484,901                                               
        share capital, no par value; unlimited number of authorized shares; 194,908,184 and 195,313,184 shares issued and outstanding at december 31, 2021 and september 30, 2022, respectively
                  288,484,901                                              
        share capital, no par value; unlimited number of authorized shares; 194,908,184 and 195,313,184 shares issued and outstanding at december 31, 2021 and june 30, 2022, respectively
                   288,484,901                                             
        share capital, no par value; unlimited number of authorized shares; 194,908,184 and 195,313,184 shares issued and outstanding at december 31, 2021 and march 31, 2022, respectively
                    288,484,901                                            
        share capital, no par value; unlimited number of authorized shares; 194,908,184 shares issued and outstanding at december 31, 2021 and 2020
                     288,032,132                                           
        share capital, no par value; unlimited number of authorized shares; 194,908,184 shares issued and outstanding at september 30, 2021 and december 31, 2020
                      288,032,132                                          
        share capital, no par value; unlimited number of authorized shares; 194,908,184 shares issued and outstanding at june 30, 2021 and december 31, 2020
                       288,032,132                                         
        share capital, no par value; authorized 500,000,000 shares; 194,908,184 shares issued and outstanding at march 31, 2021 and december 31, 2020
                        288,032,132                                        
        share capital, no par value; authorized 500,000,000 shares; 194,908,184 and 187,573,671 shares issued and outstanding at december 31, 2020 and 2019, respectively
                         288,032,132                                       
        share capital, no par value; authorized 500,000,000 shares; 187,573,671 and 194,104,944 shares issued and outstanding at december 31, 2019 and september 30, 2020, respectively
                          287,050,971                                      
        share capital, no par value; authorized 500,000,000 shares; 187,573,671 shares issued and outstanding at december 31, 2019 and june 30, 2020
                           278,213,801                                     
        share capital, no par value; authorized 500,000,000 shares; 187,573,671 shares issued and outstanding at december 31, 2019 and march 31, 2020
                            278,213,801                                    
        share capital, no par value; authorized 500,000,000 shares; 187,573,671 and 186,990,683 shares issued and outstanding at december 31, 2019 and 2018, respectively
                             278,213,801                                   
        share capital, no par value; authorized 500,000,000 shares; 186,990,683 and 187,573,671 shares issued and outstanding at december 31, 2018 and september 30, 2019, respectively
                              278,213,801                                  
        share capital, no par value; authorized 500,000,000 shares; 186,990,683 and 187,573,671 shares issued and outstanding at december 31, 2018 and june 30, 2019, respectively
                               278,213,801                                 
        share capital, no par value; authorized 500,000,000 shares; 186,990,683 and 187,111,857 shares issued and outstanding at december 31, 2018 and march 31, 2019, respectively
                                277,968,209                                
        share capital, no par value; authorized 500,000,000 shares; 186,990,683 and 162,392,996 shares issued and outstanding at december 31, 2018 and 2017, respectively
                                 277,852,672                               
        obligation to issue shares
                                     63,593  99,492                         
        share capital, no par value; authorized 500,000,000 shares; 162,392,996 and 186,816,683 shares issued and outstanding at december 31, 2017 and september 30, 2018, respectively
                                  277,748,250                              
        share capital, no par value; authorized 500,000,000 shares; 162,392,996 and 186,816,683 shares issued and outstanding at december 31, 2017 and june 30, 2018, respectively
                                   277,748,250                             
        share capital, no par value; authorized 500,000,000 shares; 162,392,996 and 186,522,683 shares issued and outstanding at december 31, 2017 and march 31, 2018, respectively
                                    277,596,757                            
        derivative liability
                                         14,694,169 14,800,000 14,700,000 14,600,000 13,900,000 14,200,000 14,600,000 14,500,000 14,700,000 15,100,000 15,500,000 16,300,000 14,800,000 16,700,000 16,700,000 20,900,000 22,400,000 21,503,010 23,179,120 21,153,600    
        share capital, no par value; authorized 500,000,000 shares; 162,392,996 and 162,186,972 shares issued and outstanding at december 31, 2017 and 2016, respectively
                                     265,616,642                           
        common share, no par value; authorized 500,000,000 shares; 162,186,972 shares issued and outstanding at december 31, 2016 and 162,392,996 shares issued and outstanding at september 30, 2017
                                      265,624,141                          
        share capital, no par value; authorized 500,000,000 shares; 162,186,972 shares issued and outstanding at december 31, 2016 and june 30, 2017
                                       265,524,796                         
        share capital, no par value; authorized 500,000,000 shares; 162,186,972 shares issued and outstanding at december 31, 2016 and march 31, 2017
                                        265,524,796                        
        total current liabilities
                                         15,083,847 15,344,588 15,160,641 15,126,209 516,479 670,672 563,519 456,568 1,149,170 656,238 454,194 783,328 1,493,696 1,140,265 1,735,555 2,375,211 3,747,269   10,495,049    
        non-current liabilities
                                                                
        share capital, no par value; authorized 500,000,000 shares; 162,186,972 and 116,313,638 shares issued and outstanding at december 31, 2016 and 2015, respectively
                                         265,569,796                       
        deficit accumulated during the exploration stage
                                         -238,175,608    -230,984,980                   
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at december 31, 2015 and 116,353,638 shares issued and outstanding at september 30, 2016
                                          243,716,531                      
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at june 30, 2016 and december 31, 2015
                                           243,692,185                     
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at march 31, 2016 and december 31, 2015
                                            243,692,185                    
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at december 31, 2015 and december 31, 2014
                                             243,692,185                   
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at september 30, 2015 and december 31, 2014
                                              243,692,185                  
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at june 30, 2015 and december 31, 2014
                                               243,692,185                 
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 shares issued and outstanding at march 31, 2015 and december 31, 2014
                                                243,692,185                
        restricted cash
                                                     30,477           
        share capital, no par value; authorized 500,000,000 shares; 116,313,638 and 98,068,638 shares issued and outstanding at december 31, 2014 and 2013, respectively
                                                 243,692,185               
        nature and continuance of operations
                                                                
        commitments
                                                                
        marketable securities
                                                  34,796 42,620 52,925 55,002 75,839 55,651 126,521 180,415 184,000 322,000 302,500 781,500   
        accounts receivable
                                                  43,030 34,934 32,562 11,589 5,141 22,754 86,125 262,516 55,773 97,511 468,806 336,518   
        prepaid expenses
                                                  220,098 346,569 179,200 200,731 193,960 283,074 115,056 228,221 317,133 169,584 185,854 206,346   
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at september 30, 2014 and december 31, 2013
                                                  236,401,096              
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at june 30, 2014 and december 31, 2013
                                                   236,401,096             
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at march 31, 2014 and december 31, 2013
                                                    236,401,096            
        advance to contractors
                                                      482,034 514,009 514,009 582,009       
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at december 31, 2013 and 2012
                                                     236,401,096           
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at september 30, 2013 and december 31, 2012
                                                      236,401,096          
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at june 30, 2013 and december 31,2012
                                                       236,401,096         
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 shares issued and outstanding at march 31, 2013 and december 31, 2012
                                                        236,401,096        
        payable for mineral rights and claims
                                                                
        share capital, no par value; authorized 500,000,000 shares; 98,068,638 and 86,683,919 shares issued and outstanding at december 31, 2012 and 2011, respectively
                                                         236,401,096       
        exploration and evaluation assets
                                                          178,921,357 163,086,344 158,041,441    
        liabilities and equity
                                                                
        accounts payable and accrued liabilities
                                                          8,098,257 3,761,097 10,495,049 6,647,743   
        equity
                                                                
        share capital
                                                          215,865,086 215,865,086 215,865,086 215,865,086  40,586,229 
        total equity
                                                          179,866,971      
        total liabilities and equity
                                                          209,468,238      
        nature of operations and liquidity
                                                                
        subsequent events
                                                                
        current assets related to discontinued operations
                                                                
        long-term assets related to discontinued operations
                                                                
        current liabilities related to discontinued operations
                                                                
        accumulated other comprehensive loss
                                                            82,959    
        subsequent event
                                                                
        exploration and evaluations assets
                                                             91,190,636   
        noon rate at end of period
                                                                
        average noon rate during period
                                                                
        high for period
                                                                
        low for period
                                                                
        property, plant and equipment
                                                              83,466  
        mineral properties
                                                              36,438,605 23,151,228 
        liabilities
                                                              1,562,078  
        revenue
                                                               603,094 
        income from operations
                                                               -3,229,342 
        gain on sale of marketable securities
                                                                
        write-down of marketable securities
                                                                
        income for the period 1
                                                               -2,420,090 
        deficit, beginning of period
                                                               -11,334,551 
        deficit, end of period 1
                                                               -13,754,641 
        income per share 1
                                                               -0.06 
        current/total liabilities
                                                               724,798 
      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 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 2017-09-30 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 2012-06-30 2012-03-31 2011-08-31 2011-02-28 2011-01-19 2010-10-21 2010-08-31 2010-07-01 2010-02-28 2009-11-30 2009-11-06 2008-10-17 2008-08-31 2008-02-29 2007-11-30 2007-10-16 2007-02-28 2006-11-30 2006-11-01 2005-08-31 2005-06-30 2005-02-28 2004-05-31 2004-02-29 2003-05-31 
                                                                          
          operating activities
                                                                          
          loss for the period
        -732,303 -1,925,086 -669,068  -667,302 -1,431,915 -545,308   -1,101,763    -858,406 -1,387,054 -820,912  -1,269,636 -955,415 -1,065,220 -1,745,513 -1,627,646 -1,677,977  -1,524,589 -2,068,850 -2,487,456  -1,007,489 -2,048,868 -636,495 -1,654,469 -1,170,906                 -717,139     -624,139 85,344 -531,244 -3,335,538 -1,033,257 -358,395 -27,940      
          add items not affecting cash:
                                                                          
          stock-based compensation-options
        48,826 108,966 63,581  17,536 52,281 13,810 18,971                                                           
          stock-based compensation-dsus
                                                                        
          changes in non-cash items:
                                                                          
          accounts receivable
        -12,658 -16,381 7,572 -584 18,149 22,198 -34,598 24,155 1,347 -9,746 -5,093 108,287 -28,819 -35,321 -41,827 90,701    -3,689   -115,431 10,530 53,109 -12,791 -10,326 30,689 40,814 -10,003 54,027   -15,759 21,775 48,011 47,292 72,052 226,082 -150,716 -87,780 41,738 371,295   -16,921 2,396 2,396  -15,124 37,708 -24,690 89 89 -33,220 -51,409 78,129 -74,345 58,762 -33,758 -383  -3,453  41  
          prepaid expenses and other
        60,899 -63,260 -26,657  73,909 -92,518 124,763 -27,846  56,555 -63,211 -12,049  48,726 -30,268 -28,208  3,343 -55,016 26,027 -224,010 -199,170 50,963  123,355 -163,266 28,870  156,555                                      
          accounts payable and accrued liabilities
        112,612 44,490 -35,674 -1,594 12,098 -45,017 -12,985 -72,012 -185,317 428,977 5,368 -92,726 54,532 -162,964 99,928 -206,606 136,108 31,556 147,618 -190,470 379,570 -475,072 350,172 -151,736 85,279 -67,472 6,477 -150,605 113,836            605,370   62,229  40,457 17,566 17,566  -43,259 -65,611 75,416 13,569 13,569 -90,944 37,163 -26,733 -253,938 -191,456 115,951 1,032  69,868  7,872  
          cash and cash equivalents used in operating activities
        -522,624    -545,610                                                              
          ​
                                                                          
          financing activities
                                                                          
          issuance of shares
        3,932,994  2,528,453            114,358 12,000,000                                               
          share issuance costs
        -3,025 -97,991 -20,888 -74,567 -150,256  -282,482        -74,357 -37,022 -147 -45,000                       -4,195,559 -8,657 -8,657    -35,109        -145,620       
          cash and cash equivalents provided by financing activities
        -3,025                                                                 
          effect of foreign exchange on cash
        -41,607 194,320 18,226  21,901 -41,800 -23,533 143,322  -79,743 225,168 -540,996  -100,258 158,389 203,793  218,361 -246,975 25,212 502,409 -22,944 281,706 177,940 479 -15,526 306,390 -202,435 -613,587            193,899         -6,097 11,842 -13,880               
          change in cash and cash equivalents
        -567,256 -1,417,508 3,270,086  -523,709 -318,096 900,346 -1,051,255                                                           
          cash and cash equivalents, beginning of the period
        992,487  1,687,690 13,049,293  6,937,621  10,228,964  2,244,466 22,466,493  6,493,486  13,521,473  13,925,601  30,170,905  55,642,179 111,165,126                       
          cash and cash equivalents, end of the period
        -567,256 -1,417,508 4,262,573  -523,709 -318,096 2,588,036 11,998,038  8,278,716 -975,538 6,465,665  -773,346 -1,232,072 9,534,251  -1,045,538 -1,060,238 13,174,233 -1,086,685 -2,108,743 6,630,715  -1,129,348 -2,202,101 5,090,572  -1,621,798 -1,764,025 11,294,428  -1,396,304 -2,121,640 11,379,547  -3,263,647 -4,801,094 24,675,780  12,459,231 -9,840,956 39,722,163 94,408,327                       
          ●
                                                                          
          supplementary disclosures:
                                                                          
          non-cash financing and investing transactions
                                                                          
          share issuance costs in accounts payable
         -11,709 14,734                                                                
          cash and cash equivalents from operating activities
          -660,246    -454,318                                                            
          cash and cash equivalents from financing activities
          3,912,106    2,378,197                                                            
          investing activities
                                                                          
          short-term investments
              -1,000,000                                                            
          cash and cash equivalents used by investing activities
              -1,000,000                                                            
          share issuance costs in accrued liabilities
          83,832    65,000                                                            
          loss for the year
                                                                          
          stock-based compensation-option
                18,846 18,433                                                        
          stock-based compensation-dsu
                                                                       
          changes in non-cash working capital items:
                                                                          
          prepaid expenses
                                      21,626    17,436 -10,728   110,346    19,308 170,079 -45,369 8,757 38,262 38,262  30,745 -38,766 24,816 71,078 71,078 445,004 -189,002 -28,053 14,040 -24,505 -5,705 744  -2,933    
          cash from operating activities
               -1,194,577 -2,150,168 -607,101   -735,016 -603,215 -1,358,642 -962,760 -371,104 -1,208,939 -853,264 -1,058,423 -1,588,947 -2,085,799 -1,378,315  -1,145,231 -2,186,575 -1,709,304 -1,212,684 -1,008,211                    -987,510 1,499,115 -1,843,709 -759,914 -560,071 -560,071 -128,955   -302,101         
          capital expenditures
                                               
          free cash flows
               -1,194,577 -2,150,168 -607,101   -735,016 -603,215 -1,358,642 -962,760 -371,104 -1,208,939 -853,264 -1,058,423 -1,588,947 -2,085,799 -1,378,315  -1,145,231 -2,186,575 -1,709,304 -1,212,684 -1,008,211                    -987,510 1,499,115 -1,843,709 -759,914 -560,071 -560,071 -128,955   -302,101         
          issuance of common shares
                1,135,253    64,254 66,668                                                  
          cash from financing activities
                852,771    64,254 66,668 40,001 11,962,978 -147 -14,739,169                           3,254,563 -2,442,749 3,229,889 4,015,986 4,015,986 -541,015            
          effect of foreign exchange on cash and cash equivalents
                                                                          
          decrease in cash and cash equivalents
                  -975,538 -471,956         -1,086,685 -2,108,743 -15,835,778  -1,129,348 -2,202,101 -1,402,914 -1,415,119 -1,621,798                                -47      
          cash and cash equivalents, beginning of year
                                                                          
          cash and cash equivalents, end of year
                                                                          
          -
                                                                          
          reallocation from contributed surplus from issuance of stock
                                                                          
          depreciation
               27 6,274 443 442 443 579 579 579 579 759 760 762 762 1,006 998 999 1,320 1,323 1,325 1,315 1,754 1,754 1,770 1,769 3,935 3,950 3,949 3,945 5,439 5,445 5,453 5,463 7,804 7,880 8,102 7,874 9,745                       
          increase/(decrease) in cash and cash equivalents
                                                                          
          income for the period
               -1,137,872    65,085                                                     6,434  
          1.
                                                                          
          mineral property land acquisition
                                                                          
          cash from investing activities
                    -69,873                                    4,031,946 -290,052 -6,496,400 -3,490,389 -3,490,389 1,173,355   1,913,379         
          increase in cash and cash equivalents
                    -591,212 -773,346 -1,232,072 -694,713 -839,493 -1,045,538 -1,060,238 10,929,767                                   503,385 1,950,541 -4,320,668 2,269,785 -13,478,693 10,554,976       
          capitalized acquisition costs
                    -69,873                                                    
          cash from investing financing activities
                                                                          
          non-cash investing and financing transactions
                                                                          
          cash from (used) in operating activities
                   69,040                                                       
          7
                                                                          
          loss on sale of marketable securities
                                                                         
          sale of marketable securities
                        88                                                  
          stock-based compensation
                      1,686  5,091 5,098 174,167 168 12,959                        3,063,947 3,063,947                   
          9
                                                                          
          shares for services
                                                                          
          derivative payment
                            -14,694,169                                            
          supplemental disclosure with respect to cash flows:
                                                                          
          obligation to issue shares
                                                                          
          unrealized loss on derivative liability
                                                3,913,200 -2,159,010 2,385,360                        
          issuance of common share
                                                                          
          advances to contractors
                                  -8,835                                        
          share-based payments
                                               2,306,185 3,935,617 997,433 1,967,740                        
          impairment of available-for-sale securities
                                                                        
          other
                                                                          
          advance to contractors
                                      19,703     25 31,975 68,000                            
          cash used in operating activities
                                                                          
          issuance of share capital
                               22,000,000                176,929    229,950 -102,966,501 102,499,442 4,192,958 4,192,958    3,264,998 4,015,986 4,015,986             
          cash provided by financing activities
                                                                          
          change in restricted cash
                                       30,477                                
          cash used in investing activities
                                                                          
          unrealized (gain) loss on derivative liability
                                100,000 100,000 700,000  -400,000    -400,000 -800,000 1,500,000                                
          international tower hill mines ltd.
                                                                          
          notes to the condensed consolidated interim financial statements
                                                                          
          nine months ended september 30, 2016 and 2015
                                                                          
          stock based compensation
                                 15,644 60,651  86,319 92,279 269,712  233,725 288,572 618,582  904,343 1,171,853 1,578,028           1,023,192 13,462 13,463 40,089 40,089 173,860 59,059          
          unrealized gain on derivative liability
                                                                          
          write-down of advance to contractors
                                                                          
          (decrease) increase in cash and cash equivalents
                                                                          
          expenditures on property and equipment
                                                                          
          cash and cash equivalents, beginning of period
                                                    88,247,450 -7,975,147 43,460,324 43,460,324  -8,604,973 -4,040,305 32,489,341 10,859,942 10,859,942 -2,370,127 -4,320,668 21,908,273 -2,923,716 10,554,976 6,695 7,711  -14,229  -24,000  
          cash and cash equivalents, end of period
                                                    -4,468,421 88,247,450 35,485,177 35,485,177  174,554 -8,604,973 28,449,036 10,825,468 10,825,468 -1,866,742 -2,370,127 17,587,605 -653,931 -2,923,717 10,561,671 7,664  -43  -8,389  
          supplemental cash flow information
                                                                          
          loss for the period from continuing operations
                                          -3,510,319 -1,022,387 -4,124,761 -642,050 -4,063,282       2,015,720 -4,168,174 -4,168,174                   
          spin-out recovery
                                                                          
          gain on foreign exchange
                                                         6,289                 
          write-down of mineral properties
                                                                          
          cash used in operating activities of continuing operations
                                                                          
          cash used in operating activities of discontinued operations
                                                                          
          cash provided by financing activities of continuing operations
                                                   229,950                       
          cash used in financing activities of discontinued operations
                                                                          
          proceeds from sale of available-for-sale-securities
                                                                          
          cash used in investing activities of continuing operations
                                                                          
          cash used in investing activities of discontinued operations
                                                                          
          effect of foreign exchange on cash of continuing operations
                                                   284,421  330,102 -96,916 -96,916                   
          effect of foreign exchange on cash of discontinued operations
                                                      -18,241 -18,241                   
          cash from operating activities of continuing operations
                                                     -1,159,018 -1,195,202 -1,195,202                   
          cash from operating activities of discontinued operations
                                                      -197,813 -197,813                   
          cash from financing activities of continuing operations
                                                    -98,797,778 98,303,883 4,184,301 4,184,301                   
          cash from financing activities of discontinued operations
                                                      -4,064,512 -4,064,512                   
          proceeds from sale of available-for-sale securities
                                                                          
          cash from investing activities of continuing operations
                                                     -4,899,266 -7,220,434 -7,220,434                   
          cash from investing activities of discontinued operations
                                                      633,670 633,670                   
          loss on foreign exchange
                                                  20,445   -99,175 10,413 10,413                   
          (gain) loss on foreign exchange
                                                       -20,318                   
          mineral property earn-in
                                                                          
          unrealized loss on marketable securities
                                                -84,000 138,000 22,500  220,000 -82,500 -128,000                    
          expenditures on exploration and evaluation assets
                                                                          
          unrealized (gain) loss on marketable securities
                                                       -128,000                   
          loss for the year from discontinued operations
                                                                          
          additional funding to corvus
                                                      -764,512 -764,512                   
          cash transferred on plan of arrangement
                                                      -3,300,000 -3,300,000                   
          expenditures on exploration and evaluation assets, net of costs recovered
                                                                          
          share-based payment charges
                                                   5,777,367                       
          unrealized gain on marketable securities
                                                                          
          loss for the period from discontinued operations
                                                      -934,157 -934,157                   
          cash provided by investing activities of discontinued operations
                                                                          
          amortization
                                                    1,431 573 6,406 6,406  699 -4,029 9,807 10,762 10,762 484 -599 10,539 777 6,749 3,410       
          write-off of mineral property
                                                                          
          expenditures on mineral properties
                                                     -4,888,234 -7,208,161 -7,208,161 -1,129,970 4,009,133 -272,486 -6,488,635 -3,489,820 -3,489,820             
          expenditures on mineral properties, net of costs recovered
                                                      633,670 633,670                   
          cash from (used in) investing activities of discontinued operations
                                                                          
          add items not affecting cash
                                                                          
          due from related party
                                                      -38,018 -38,018                   
          expenditures on equipment
                                                      -12,273 -12,273   -17,566 -7,765 -569 -569   -2,983          
          decrease in cash
                                                      -7,975,147 -7,975,147     -34,474 -34,474             
          interest paid
                                                                          
          income taxes paid
                                                                          
          loss and comprehensive loss for the year
                                                        -2,344,240                  
          add item not affecting cashe stock based compensation
                                                        1,356,730                  
          financing activity
                                                                          
          funding provided by ith
                                                        2,117,480                  
          cash from financing activity
                                                        2,117,480                  
          investing activity
                                                                          
          cash from investing activity
                                                        -1,129,970                  
          increase in cash
                                                           -4,040,305               
          cash, beginning of year
                                                                          
          cash, end of year
                                                                          
          shares issued to acquire mineral properties
                                                        826,750           7,496,619       
          prepaid expenses included in mineral property expenditures
                                                                          
          accounts payable included in mineral property expenditures
                                                        32,898 678,555 -631,310 1,275,748 1,089,222 1,089,222             
          loss on sale of equipment
                                                            7,040 7,040             
          write-off of mineral properties
                                                         1,233,212                 
          issuance of capital stock
                                                         3,256,651     -532,826 827,351 25,550   11,492,348       
          non-cash transactions
                                                                          
          shares issued as agent commission
                                                                          
          loss and comprehensive loss for the period
                                                           -860,359 -835,948 -835,948             
          add item not affecting cash
                                                                          
          unrealized loss on held for trading investment
                                                           -16,250 133,250 133,250             
          loss in foreign exchange
                                                           17,883               
          interest received
                                                           6,728 70,653 70,653   101,262 -42,879 89,796 422       
          issuance of agents warrants for share issue costs
                                                                          
          unrealized gain on held for trading investment
                                                                          
          expenditures on fixed assets
                                                                 -10,112 119,709 -125,124       
          accounts payable included in resource property expenditures
                                                                          
          write off of resource property
                                                                          
          expenditures on resource properties
                                                                          
          cash from
                                                                          
          financing activities - sum
                                                                25,550          
          mineral property costs
                                                                -3,904,932          
          investing activities - sum
                                                                -3,907,915          
          account payables related to property expenditures
                                                                1,454,028          
          shares issued as agent’s commission
                                                                10,974   436,404       
          write off of mineral properties
                                                                          
          gain on sale of marketable securities
                                                                          
          advance from (repayment to) a director
                                                                          
          exploration tax credit
                                                                          
          investment in ravencrest
                                                                          
          proceeds on sale of marketable securities
                                                                          
          issuance of agents options and agents units for share issue costs
                                                                          
          mineral property acquisition costs
                                                                          
          mineral property exploration costs
                                                                   -388,131       
          cash provided by
                                                                          
          gain on sale of marketable security
                                                                          
          bc mining exploration tax credit
                                                                          
          drilling advance
                                                                          
          due to directors
                                                                      500    
          share capital
                                                                          
          increase(decrease) in cash and cash equivalents
                                                                          
          ravencrest resources inc.
                                                                          
          advance from (repayment to ) director
                                                                    26,500      
          marum resources inc.
                                                                    37,520      
          10,000
                                                                    37,520      
          (loss) for the period
                                                                      11,176    
          mineral property
                                                                          
          proceeds on sale of marketable security
                                                                          
          (decrease) in cash and cash equivalents
                                                                      14,186  15,611  
          proceeds on sale of guaranteed investment