The document provides financial and operational data for various gold mining companies. It includes metrics such as market capitalization, debt, revenue, earnings, growth estimates, credit ratings and other financial details for over 20 gold mining stocks. The document appears to be an analysis of gold mining companies to evaluate their performance and investment potential.
Fundamental Analysis & Analyst Recommendations Report
1. Fundamental Analysis &
Analyst Recommendations
QMS Gold Miners FlexIndex -
The QMS Advisors' Gold Miners Flexible Index tracks
companies involved in the Gold Mining Industry.
May 2013
Q.M.S Advisors
Q.M.S Advisors | Avenue de la Gare, 1 1003 Lausanne | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
This material does not constitute investment advice and should not be
viewed as a current or past recommendation or a solicitation of an
offer to buy or sell any securities or to adopt any investment strategy.
6. 10.05.2013
Goldcorp, Inc. is engaged in the acquisition, exploration, development and
operation of precious metal properties in Canada, the Unites States, Mexico and
Central and South America.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (21.09.2012) 47.42
52-Week Low (17.04.2013) 27.11
Daily Volume
29.79
52-Week High % Change -37.18% Dividend Yield 1.86
52-Week Low % Change 9.89% Beta 0.73
% 52 Week Price Range High/Low 13.20% Equity Float 809.15
Shares Out 30.04.2013 812.0 Short Int 7.29
24'379.53 1 Yr Total Return -14.44%
Total Debt 783.00 YTD Return -18.33%
Preferred Stock 0.0 Adjusted BETA 0.725
Minority Interest 213.0 Analyst Recs 27
Cash and Equivalents 918.00 Consensus Rating 4.333
Enterprise Value 24'853.53
Average Volume 5 Day 6'267'257
GG US EQUITY YTD Change - Average Volume 30 Day 8'069'170
GG US EQUITY YTD % CHANGE - Average Volume 3 Month 7'170'037
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
2'419.6 2'723.6 3'738.0 5'362.0 5'435.0 5'362 5'435 4'918 6'301 1'171 1'301
9.42x 10.50x 9.95x 6.61x 5.50x 28.06x 24.57x 5.24x 4.04x 21.48x 19.50x
1'052.2 1'366.2 2'026.0 2'336.0 2'798.0 3'030.0 2'798.0 2'416.8 3'533.9 569.6 674.3
21.66x 20.94x 18.36x 15.18x 10.69x 11.71x 10.69x 10.28x 7.03x 9.36x 9.02x
1'475.6 240.2 2'051.0 1'187.0 1'749.0 1'881.0 1'749.0 1'213.9 1'834.3 220.9 306.0
57.34x 50.85x 30.36x 22.24x 18.47x 22.92x 19.41x 20.91x 13.79x 19.24x 16.84x
EBITDA 2'798.00 Long-Term Rating Date 01.06.2009
EBIT 2'123.00 Long-Term Rating BBB+
Operating Margin 39.06% Long-Term Outlook STABLE
Pretax Margin 41.44% Short-Term Rating Date -
Return on Assets 5.06% Short-Term Rating -
Return on Common Equity 7.08%
Return on Capital 6.69% EBITDA/Interest Exp. 93.27
Asset Turnover 0.16% (EBITDA-Capex)/Interest Exp. 6.33
Net Debt/EBITDA 0.10
Gross Margin 44.6% Total Debt/EBITDA 0.90
EBITDA Margin 49.6%
EBIT Margin 36.6% Total Debt/Equity 3.4%
Net Income Margin 32.2% Total Debt/Capital 3.3%
Asset Turnover 0.16
Current Ratio 2.15 Net Fixed Asset Turnover 0.20
Quick Ratio 1.39 Accounts receivable turnover-days 42.40
Debt to Assets 2.51% Inventory Days 85.97
Tot Debt to Common Equity 3.45% Accounts Payable Turnover Day 88.00
Accounts Receivable Turnover 8.61 Cash Conversion Cycle 33.03
Inventory Turnover 4.25
Fiscal Year Ended
Goldcorp Inc
Price/Volume
Valuation Analysis
7'556'134.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
5
10
15
20
25
30
35
40
45
50
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
5.0 M
10.0 M
15.0 M
20.0 M
25.0 M
0.0
1'000.0
2'000.0
3'000.0
4'000.0
5'000.0
6'000.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
0.00
5.00
10.00
15.00
20.00
25.00
30.00
01.01.2010 01.07.2010 01.01.2011 01.07.2011 01.01.2012 01.07.2012 01.01.2013
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
7. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 95'391'332 11.75 - 31.03.2013 Investment Advisor
FMR LLC n/a ULT-AGG 32'937'156 4.06 (9'098'135) 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 31'593'509 3.89 (836'637) 29.04.2013 Investment Advisor
ROYAL BANK OF CANADA n/a ULT-AGG 22'991'630 2.83 1'883'662 31.12.2012 Bank
BMO FINANCIAL CORP BMO FINANCIAL CORP 13F 19'122'015 2.36 (574'672) 31.03.2013 Investment Advisor
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 18'417'273 2.27 7'264'832 31.03.2013 Hedge Fund Manager
CARMIGNAC GESTION CARMIGNAC GESTION 13F 17'580'357 2.17 17'580'357 31.12.2012 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 15'796'349 1.95 5'676'487 31.03.2013 Investment Advisor
TD ASSET MANAGEMENT TD ASSET MANAGEMENT 13F 15'632'925 1.93 5'971'920 31.12.2012 Investment Advisor
CI INVESTMENTS INC Multiple Portfolios MF-AGG 12'996'285 1.6 (440'597) 31.12.2012 Investment Advisor
CIBC WORLD MARKETS I CIBC WORLD MARKETS I 13F 11'582'812 1.43 (224'052) 31.03.2013 Investment Advisor
TORONTO DOMINION BAN TORONTO DOMINION BAN 13F 11'409'803 1.41 1'401'951 31.12.2012 Investment Advisor
IA CLARINGTON INVEST Multiple Portfolios MF-AGG 8'426'680 1.04 (27'800) 31.12.2012 Investment Advisor
CIBC GLOBAL ASSET MA CIBC GLOBAL ASSET MA 13F 7'362'990 0.91 699'268 31.12.2012 Investment Advisor
CAISSE DE DEPOT ET P CAISSE DE DEPOT ET P 13F 7'239'262 0.89 (4'220'800) 31.12.2012 Investment Advisor
GREYSTONE MANAGED IN GREYSTONE MANAGED IN 13F 7'106'968 0.88 (2'294'891) 31.12.2012 Investment Advisor
FIERA CAPITAL CORPOR FIERA CAPITAL CORPOR 13F 6'835'256 0.84 1'053'271 31.03.2013 Investment Advisor
SUN LIFE FINANCIAL I n/a ULT-AGG 6'162'583 0.76 (935'880) 28.02.2013 Investment Advisor
NORGES BANK NORGES BANK 13F 5'776'522 0.71 1'267'153 31.12.2012 Government
WELLINGTON MANAGEMEN WELLINGTON MANAGEMEN 13F 5'736'927 0.71 (2'008'888) 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Jefferies PETER D WARD hold 3 M 27 12 month 30.04.2013
HSBC PATRICK CHIDLEY overweight 5 M 35 Not Provided 28.04.2013
Stifel GEORGE J TOPPING buy 5 M 36 Not Provided 26.04.2013
Macquarie TONY LESIAK outperform 5 M 39 12 month 25.04.2013
Scotia Capital TANYA M JAKUSCONEK sector outperform 5 M 41 12 month 23.04.2013
TD Securities GREG BARNES buy 5 M 37 12 month 23.04.2013
Barclays FAROOQ HAMED overweight 5 M 40 Not Provided 23.04.2013
Deutsche Bank JORGE M BERISTAIN hold 3 M 28 12 month 22.04.2013
Credit Suisse ANITA SONI neutral 3 M 37 Not Provided 22.04.2013
Davenport & Co LLOYD T O'CARROLL buy 5 M 35 Not Provided 22.04.2013
Cormark Securities Inc. RICHARD GRAY buy 5 M 42 12 month 22.04.2013
RBC Capital Markets STEPHEN D WALKER outperform 5 M 36 12 month 19.04.2013
JPMorgan JOHN BRIDGES overweight 5 M 50 6 month 19.04.2013
BMO Capital Markets DAVID HAUGHTON outperform 5 M 49 Not Provided 15.04.2013
Canaccord Genuity Corp STEVEN BUTLER buy 5 M 46 12 month 15.04.2013
CIBC World Markets ALEC KODATSKY sector outperform 5 M 46 Not Provided 11.04.2013
Cowen Securities LLC ADAM P GRAF hold 3 M #N/A N/A Not Provided 09.04.2013
GMP GEORGE V ALBINO buy 5 M 60 Not Provided 02.04.2013
Salman Partners DAVID WEST top pick 5 M 59 12 month 01.04.2013
EVA Dimensions CRAIG STERLING hold 3 U #N/A N/A Not Provided 15.03.2013
Mackie Research Capital Corp. BARRY D ALLAN buy 5 M 48 Not Provided 12.03.2013
Veritas Investment Research Co PAWEL RAJSZEL sell 1 M 33 Not Provided 19.02.2013
Morgan Stanley PARETOSH MISRA Equalwt/In-Line 3 M #N/A N/A Not Provided 08.01.2013
Raymond James BRAD HUMPHREY Under Review #N/A N/A N #N/A N/A Not Provided 19.11.2008
Holdings By:
Goldcorp Inc
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
8. 10.05.2013
Barrick Gold Corporation is an international gold company with operating mines
and development projects in the United States, Canada, South America, Australia,
and Africa.
Latest Fiscal Year: 12/2012
LTM as of: 03/yy
52-Week High (06.06.2012) 43.30
52-Week Low (17.04.2013) 17.51
Daily Volume
20.91
52-Week High % Change -51.71% Dividend Yield 3.83
52-Week Low % Change 19.42% Beta 0.79
% 52 Week Price Range High/Low 13.18% Equity Float 998.50
Shares Out 30.04.2013 1'001.2 Short Int 13.82
20'934.10 1 Yr Total Return -43.37%
Total Debt 13'943.00 YTD Return -39.89%
Preferred Stock 0.0 Adjusted BETA 0.785
Minority Interest 2'663.0 Analyst Recs 32
Cash and Equivalents 2'093.00 Consensus Rating 3.938
Enterprise Value 36'081.09
Average Volume 5 Day 21'193'548
ABX US EQUITY YTD Change - Average Volume 30 Day 24'444'724
ABX US EQUITY YTD % CHANGE - Average Volume 3 Month 17'383'728
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 03/yy 03/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
7'613.0 8'136.0 11'001.0 14'236.0 14'547.0 14'793.0 14'340.0 13'584.2 14'682.2 3'299.9 3'456.6
4.64x 5.27x 5.25x 4.08x 3.41x 15.70x 14.05x 2.71x 2.50x 11.03x 10.63x
3'010.0 3'589.0 6'211.0 8'327.0 7'358.0 8'579.0 7'071.0 6'624.7 7'379.1 1'576.1 1'735.3
11.75x 11.95x 9.30x 6.98x 6.73x 6.58x 6.30x 5.45x 4.89x 5.24x 5.15x
785.0 (4'274.0) 3'582.0 4'484.0 (665.0) 4'522.0 (847.0) 3'117.6 3'424.5 656.3 759.1
20.18x 16.56x 15.62x 9.79x 9.36x 0.00x 0.00x 6.59x 6.13x 6.88x 6.56x
EBITDA 7'358.00 Long-Term Rating Date 26.04.2013
EBIT 5'636.00 Long-Term Rating BBB
Operating Margin 38.74% Long-Term Outlook NEG
Pretax Margin -6.28% Short-Term Rating Date 19.05.2011
Return on Assets -1.71% Short-Term Rating A-2
Return on Common Equity -3.63%
Return on Capital - EBITDA/Interest Exp. 9.89
Asset Turnover 0.29% (EBITDA-Capex)/Interest Exp. 1.33
Net Debt/EBITDA 1.76
Gross Margin 47.4% Total Debt/EBITDA 2.09
EBITDA Margin 49.3%
EBIT Margin 37.2% Total Debt/Equity 63.8%
Net Income Margin -4.6% Total Debt/Capital 36.3%
Asset Turnover 0.29
Current Ratio 1.33 Net Fixed Asset Turnover 0.48
Quick Ratio 0.58 Accounts receivable turnover-days 10.51
Debt to Assets 29.49% Inventory Days 125.35
Tot Debt to Common Equity 63.83% Accounts Payable Turnover Day 94.50
Accounts Receivable Turnover 34.72 Cash Conversion Cycle 33.82
Inventory Turnover 2.91
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Fiscal Year Ended
Barrick Gold Corp
Price/Volume
Valuation Analysis
20'012'319.00
Current Price (5/dd/yy) Market Data
0
5
10
15
20
25
30
35
40
45
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
10.0 M
20.0 M
30.0 M
40.0 M
50.0 M
60.0 M
70.0 M
0.0
2'000.0
4'000.0
6'000.0
8'000.0
10'000.0
12'000.0
14'000.0
16'000.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
9. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 87'777'710 8.77 - 31.03.2013 Investment Advisor
CAPITAL GROUP COMPAN n/a ULT-AGG 58'280'637 5.82 (23'472'640) 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 33'799'228 3.38 (1'012'978) 29.04.2013 Investment Advisor
ROYAL BANK OF CANADA n/a ULT-AGG 30'078'073 3 3'795'193 31.12.2012 Bank
FMR LLC n/a ULT-AGG 20'600'402 2.06 (3'418'885) 31.03.2013 Investment Advisor
CI INVESTMENTS INC Multiple Portfolios MF-AGG 17'663'919 1.76 771'337 31.12.2012 Investment Advisor
BMO FINANCIAL CORP BMO FINANCIAL CORP 13F 17'095'925 1.71 (4'625'429) 31.03.2013 Investment Advisor
ALLIANZ ASSET MANAGE n/a ULT-AGG 16'861'844 1.68 3'198'995 31.03.2013 Investment Advisor
CIBC WORLD MARKETS I CIBC WORLD MARKETS I 13F 14'741'836 1.47 (68'927) 31.03.2013 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 14'548'226 1.45 3'777'420 31.03.2013 Investment Advisor
BANK OF NEW YORK MEL BANK OF NEW YORK MEL 13F 13'797'555 1.38 (4'803'846) 31.03.2013 Investment Advisor
TORONTO DOMINION BAN TORONTO DOMINION BAN 13F 13'586'744 1.36 1'359'379 31.12.2012 Investment Advisor
TD ASSET MANAGEMENT TD ASSET MANAGEMENT 13F 13'422'922 1.34 866'236 31.12.2012 Investment Advisor
INSTITUTIONAL CAPITA INSTITUTIONAL CAPITA 13F 12'729'638 1.27 (401'738) 31.12.2012 Investment Advisor
WELLINGTON MANAGEMEN WELLINGTON MANAGEMEN 13F 10'758'391 1.07 353'171 31.12.2012 Investment Advisor
IA CLARINGTON INVEST Multiple Portfolios MF-AGG 10'376'354 1.04 (2'442'600) 31.12.2012 Investment Advisor
CIBC GLOBAL ASSET MA CIBC GLOBAL ASSET MA 13F 10'027'723 1 1'562'724 31.12.2012 Investment Advisor
HARTFORD INVESTMENT Multiple Portfolios MF-AGG 9'682'770 0.97 128'664 31.03.2013 Investment Advisor
OLDFIELD PARTNERS LL OLDFIELD PARTNERS LL 13F 8'964'554 0.9 1'678'488 31.03.2013 Investment Advisor
WELLS FARGO n/a ULT-AGG 8'501'322 0.85 2'875'528 31.03.2013 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Jefferies PETER D WARD buy 5 M 30 12 month 30.04.2013
Deutsche Bank JORGE M BERISTAIN hold 3 M 23 12 month 29.04.2013
Canaccord Genuity Corp STEVEN BUTLER hold 3 M 23 12 month 29.04.2013
HSBC PATRICK CHIDLEY overweight 5 M 29 Not Provided 28.04.2013
Stifel GEORGE J TOPPING buy 5 M 34 Not Provided 26.04.2013
CIBC World Markets ALEC KODATSKY sector perform 3 M 33 Not Provided 25.04.2013
Macquarie TONY LESIAK neutral 3 M 21 12 month 25.04.2013
Sterne, Agee & Leach MICHAEL S DUDAS neutral 3 M #N/A N/A Not Provided 25.04.2013
Salman Partners DAVID WEST buy 5 M 29 12 month 25.04.2013
Cormark Securities Inc. RICHARD GRAY market perform 3 M 25 12 month 25.04.2013
Haywood Securities Inc. KERRY SMITH buy 5 M 34 12 month 25.04.2013
TD Securities GREG BARNES hold 3 M 22 12 month 25.04.2013
Mackie Research Capital Corp. BARRY D ALLAN buy 5 M 33 12 month 25.04.2013
Veritas Investment Research Co PAWEL RAJSZEL buy 5 M 28 Not Provided 25.04.2013
Cowen Securities LLC ADAM P GRAF hold 3 M #N/A N/A Not Provided 25.04.2013
BMO Capital Markets DAVID HAUGHTON market perform 3 M 30 Not Provided 24.04.2013
RBC Capital Markets STEPHEN D WALKER sector perform 3 M 24 12 month 24.04.2013
Credit Suisse ANITA SONI outperform 5 M 38 Not Provided 24.04.2013
JPMorgan JOHN BRIDGES neutral 3 M 32 6 month 24.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 24 12 month 24.04.2013
GMP GEORGE V ALBINO buy 5 M 49 12 month 24.04.2013
Barclays FAROOQ HAMED equalweight 3 M 24 Not Provided 24.04.2013
Davenport & Co LLOYD T O'CARROLL buy 5 M 26 Not Provided 22.04.2013
EVA Dimensions CRAIG STERLING sell 1 D #N/A N/A Not Provided 26.02.2013
Argus Research Corp WILLIAM V SELESKY hold 3 M #N/A N/A Not Provided 20.02.2013
Hamburger Sparkasse INGO SCHMIDT buy 5 M #N/A N/A Not Provided 15.02.2013
S&P Capital IQ LEO LARKIN buy 5 M 38 12 month 15.02.2013
Morgan Stanley PARETOSH MISRA Equalwt/In-Line 3 M #N/A N/A Not Provided 20.11.2012
Investec PIETER MARAIS hold 3 M 48 Not Provided 18.03.2011
Holdings By:
Barrick Gold Corp
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
10. 10.05.2013
Newmont Mining Corporation acquires, explores, and develops mineral properties.
The Company produces gold from operations in the United States, Australia, Peru,
Indonesia, Ghana, Canada, New Zealand and Mexico. Newmont also mines and
processes copper in Indonesia.
Latest Fiscal Year: 12/2012
LTM as of: 03/yy
52-Week High (21.09.2012) 57.93
52-Week Low (30.04.2013) 31.33
Daily Volume
33.16
52-Week High % Change -42.76% Dividend Yield 4.45
52-Week Low % Change 5.84% Beta 0.67
% 52 Week Price Range High/Low 6.88% Equity Float 491.01
Shares Out 22.04.2013 492.3 Short Int 16.84
16'544.20 1 Yr Total Return -25.85%
Total Debt 6'298.00 YTD Return -27.82%
Preferred Stock 0.0 Adjusted BETA 0.670
Minority Interest 3'175.0 Analyst Recs 24
Cash and Equivalents 1'647.00 Consensus Rating 3.833
Enterprise Value 24'711.20
Average Volume 5 Day 6'903'181
NEM US EQUITY YTD Change - Average Volume 30 Day 9'651'695
NEM US EQUITY YTD % CHANGE - Average Volume 3 Month 8'808'492
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 03/yy 03/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
6'124.0 7'705.0 9'540.0 10'358.0 9'868.0 10'576.0 9'362.0 9'453.3 11'102.3 2'203.4 2'343.0
3.70x 3.46x 3.45x 3.38x 3.13x 12.61x 13.44x 2.64x 2.24x 11.34x 10.71x
2'139.0 3'799.0 5'118.0 5'162.0 4'169.0 5'185.0 3'731.0 3'619.6 4'697.3 802.7 904.0
10.60x 7.02x 6.43x 6.78x 7.41x 6.08x 7.71x 6.83x 5.26x 6.21x 5.57x
831.0 1'297.0 2'277.0 366.0 1'809.0 342.0 1'634.0 1'382.9 1'977.4 316.7 370.7
20.98x 17.02x 13.44x 13.92x 12.29x 11.55x 12.54x 11.79x 9.24x 10.24x 8.74x
EBITDA 4'169.00 Long-Term Rating Date 11.08.2008
EBIT 3'137.00 Long-Term Rating BBB+
Operating Margin 31.79% Long-Term Outlook NEG
Pretax Margin 31.04% Short-Term Rating Date -
Return on Assets 5.59% Short-Term Rating -
Return on Common Equity 12.12%
Return on Capital 9.02% EBITDA/Interest Exp. 11.71
Asset Turnover 0.32% (EBITDA-Capex)/Interest Exp. 2.69
Net Debt/EBITDA 1.32
Gross Margin 46.6% Total Debt/EBITDA 1.71
EBITDA Margin 39.9%
EBIT Margin 28.4% Total Debt/Equity 45.7%
Net Income Margin 18.3% Total Debt/Capital 27.1%
Asset Turnover 0.32
Current Ratio 1.89 Net Fixed Asset Turnover 0.54
Quick Ratio 0.80 Accounts receivable turnover-days 28.77
Debt to Assets 21.24% Inventory Days 111.05
Tot Debt to Common Equity 45.73% Accounts Payable Turnover Day 34.85
Accounts Receivable Turnover 12.69 Cash Conversion Cycle 89.70
Inventory Turnover 3.29
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Fiscal Year Ended
Newmont Mining Corp
Price/Volume
Valuation Analysis
7'046'134.00
Current Price (5/dd/yy) Market Data
0
10
20
30
40
50
60
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
5.0 M
10.0 M
15.0 M
20.0 M
25.0 M
0.0
2'000.0
4'000.0
6'000.0
8'000.0
10'000.0
12'000.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
0.00
2.00
4.00
6.00
8.00
10.00
12.00
01.01.2010 01.07.2010 01.01.2011 01.07.2011 01.01.2012 01.07.2012 01.01.2013
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
11. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 61'681'268 12.53 - 31.03.2013 Investment Advisor
CAPITAL GROUP COMPAN n/a ULT-AGG 39'690'300 8.06 (10'014'717) 31.03.2013 Investment Advisor
STATE STREET n/a ULT-AGG 29'136'091 5.92 91'985 29.04.2013 Investment Advisor
VANGUARD GROUP INC VANGUARD GROUP INC 13F 23'252'143 4.72 1'215'913 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 20'452'474 4.15 (543'864) 29.04.2013 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 12'509'376 2.54 8'462'980 31.03.2013 Investment Advisor
DEUTSCHE BANK AG DEUTSCHE BANK AKTIEN 13F 12'128'463 2.46 (5'869'326) 31.12.2012 Investment Advisor
FMR LLC n/a ULT-AGG 9'840'813 2 (3'033'787) 31.03.2013 Investment Advisor
T ROWE PRICE ASSOCIA T ROWE PRICE ASSOCIA 13F 8'086'219 1.64 1'819'020 31.12.2012 Investment Advisor
BANK OF NEW YORK MEL BANK OF NEW YORK MEL 13F 7'585'611 1.54 (37'784) 31.03.2013 Investment Advisor
CARMIGNAC GESTION CARMIGNAC GESTION 13F 7'008'200 1.42 7'008'200 31.12.2012 Investment Advisor
NORTHERN TRUST CORPO NORTHERN TRUST CORPO 13F 6'878'622 1.4 410'310 31.12.2012 Investment Advisor
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 6'023'181 1.22 (290'400) 31.03.2013 Hedge Fund Manager
UBS n/a ULT-AGG 5'132'224 1.04 322'413 31.03.2013 Unclassified
GAMCO n/a ULT-AGG 5'044'086 1.02 405'185 31.12.2012 Unclassified
LAZARD ASSET MANAGEM n/a ULT-AGG 4'937'393 1 (276'645) 31.03.2013 Unclassified
JP MORGAN n/a ULT-AGG 4'884'655 0.99 (1'656'954) 31.03.2013 Investment Advisor
NORGES BANK NORGES BANK 13F 4'796'938 0.97 (408'945) 31.12.2012 Government
SUSQUEHANNA INTERNAT SUSQUEHANNA INTERNAT 13F 4'397'226 0.89 950'823 31.12.2012 Investment Advisor
AMERICAN CENTURY COM AMERICAN CENTURY COM 13F 3'840'057 0.78 261'014 31.03.2013 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Jefferies PETER D WARD hold 3 M 32 12 month 30.04.2013
Cowen Securities LLC ADAM P GRAF buy 5 M 33 12 month 30.04.2013
EVA Dimensions CRAIG STERLING overweight 5 D #N/A N/A Not Provided 30.04.2013
BMO Capital Markets DAVID HAUGHTON outperform 5 M 56 Not Provided 29.04.2013
Deutsche Bank JORGE M BERISTAIN sell 1 M 24 12 month 29.04.2013
RBC Capital Markets STEPHEN D WALKER sector perform 3 M 41 12 month 29.04.2013
Sterne, Agee & Leach MICHAEL S DUDAS buy 5 M 65 12 month 29.04.2013
HSBC PATRICK CHIDLEY overweight 5 M 39 Not Provided 28.04.2013
Stifel GEORGE J TOPPING hold 3 M #N/A N/A Not Provided 26.04.2013
Argus Research Corp WILLIAM V SELESKY buy 5 M 60 Not Provided 24.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 41 12 month 23.04.2013
TD Securities GREG BARNES hold 3 M 37 12 month 23.04.2013
Barclays FAROOQ HAMED overweight 5 M 45 Not Provided 23.04.2013
Credit Suisse ANITA SONI neutral 3 M 45 Not Provided 22.04.2013
JPMorgan JOHN BRIDGES overweight 5 M 51 6 month 19.04.2013
BB&T Capital Markets GARRETT S. NELSON buy 5 M 52 12 month 18.04.2013
CIBC World Markets ALEC KODATSKY sector perform 3 M 52 Not Provided 11.04.2013
GMP GEORGE V ALBINO buy 5 M 60 Not Provided 02.04.2013
Mackie Research Capital Corp. BARRY D ALLAN hold 3 M 43 Not Provided 12.03.2013
Veritas Investment Research Co PAWEL RAJSZEL sell 1 M 44 Not Provided 07.11.2012
S&P Capital IQ LEO LARKIN hold 3 D 53 12 month 07.09.2012
Morgan Stanley PARETOSH MISRA Equalwt/In-Line 3 M #N/A N/A Not Provided 27.04.2012
Holdings By:
Newmont Mining Corp
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
12. 10.05.2013
Randgold Resources Ltd. provides mining services. The Company offers
acquisition, development, and exploration of gold and other precious metal in
Africa.
Latest Fiscal Year: 12/2011
LTM as of: 12/yy
52-Week High (05.10.2012) 127.27
52-Week Low (17.04.2013) 66.51
Daily Volume
80.25
52-Week High % Change -36.95% Dividend Yield 0.62
52-Week Low % Change 20.66% Beta 0.64
% 52 Week Price Range High/Low 22.61% Equity Float -
Shares Out 30.04.2013 92.1 Short Int 1.36
7'393.58 1 Yr Total Return 3.96%
Total Debt 18.02 YTD Return -18.61%
Preferred Stock 0.0 Adjusted BETA 0.643
Minority Interest 166.1 Analyst Recs 10
Cash and Equivalents 390.76 Consensus Rating 4.400
Enterprise Value 7'302.01
Average Volume 5 Day 750'011
GOLD US EQUITY YTD Change - Average Volume 30 Day 948'237
GOLD US EQUITY YTD % CHANGE - Average Volume 3 Month 770'410
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
338.6 432.8 484.6 1'127.1 1'317.8 1'127.1 1'317.8 1'383.4 1'791.2 339.0 361.0
9.01x 15.50x 14.79x 7.97x 6.59x 28.37x 26.72x 5.31x 3.82x - -
97.3 142.3 164.3 581.9 699.2 581.9 699.2 697.0 989.4 - -
31.34x 47.15x 43.62x 15.44x 12.43x 15.44x 12.43x 10.48x 7.38x - -
41.6 69.4 103.5 383.9 431.8 383.9 431.8 424.2 657.8 85.0 94.5
78.87x 94.26x 72.03x 24.30x 20.57x 24.30x 20.57x 18.57x 11.93x 16.95x 14.86x
EBITDA 699.18 Long-Term Rating Date -
EBIT 567.44 Long-Term Rating -
Operating Margin 43.06% Long-Term Outlook -
Pretax Margin 43.12% Short-Term Rating Date -
Return on Assets 14.57% Short-Term Rating -
Return on Common Equity 16.52%
Return on Capital 18.72% EBITDA/Interest Exp. 582.65
Asset Turnover 0.47% (EBITDA-Capex)/Interest Exp. 114.09
Net Debt/EBITDA -0.36
Gross Margin 51.1% Total Debt/EBITDA 0.00
EBITDA Margin 51.7%
EBIT Margin 39.9% Total Debt/Equity 0.7%
Net Income Margin 32.8% Total Debt/Capital 0.6%
Asset Turnover 0.47
Current Ratio 4.07 Net Fixed Asset Turnover 1.07
Quick Ratio 1.92 Accounts receivable turnover-days -
Debt to Assets 0.58% Inventory Days -
Tot Debt to Common Equity 0.69% Accounts Payable Turnover Day -
Accounts Receivable Turnover - Cash Conversion Cycle 136.09
Inventory Turnover -
Fiscal Year Ended
Randgold Resources Ltd
Price/Volume
Valuation Analysis
854'639.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
20
40
60
80
100
120
140
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
.5 M
1.0 M
1.5 M
2.0 M
2.5 M
3.0 M
0.0
200.0
400.0
600.0
800.0
1'000.0
1'200.0
1'400.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
0.00
20.00
40.00
60.00
80.00
100.00
120.00
140.00
160.00
01.01.2010 01.07.2010 01.01.2011 01.07.2011 01.01.2012 01.07.2012 01.01.2013
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
13. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 8'508'542 9.24 (57'745) 26.04.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 6'627'558 7.19 365'169 29.04.2013 Investment Advisor
WELLS FARGO n/a ULT-AGG 6'279'467 6.82 265'676 31.03.2013 Investment Advisor
FMR LLC n/a ULT-AGG 4'049'382 4.4 (992'666) 31.03.2013 Investment Advisor
CARMIGNAC GESTION CARMIGNAC GESTION 13F 3'917'000 4.25 3'917'000 31.12.2012 Investment Advisor
AGF INVESTMENTS INC AGF INVESTMENTS INC 13F 1'639'811 1.78 442'950 31.03.2013 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 1'530'963 1.66 (121'450) 31.03.2013 Investment Advisor
MACKENZIE FINANCIAL MACKENZIE FINANCIAL 13F 1'487'200 1.61 954'000 31.03.2013 Investment Advisor
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 1'264'736 1.37 - 31.03.2013 Hedge Fund Manager
JENNISON ASSOCIATES JENNISON ASSOCIATES 13F 1'013'740 1.1 (96'778) 31.12.2012 Investment Advisor
JP MORGAN n/a ULT-AGG 947'594 1.03 (20'901) 31.03.2013 Investment Advisor
PAULSON & CO PAULSON & CO 13F 930'502 1.01 - 31.12.2012 Hedge Fund Manager
TOCQUEVILLE ASSET MA TOCQUEVILLE ASSET MA 13F 891'270 0.97 (60'950) 31.03.2013 Hedge Fund Manager
INVESCO LTD n/a ULT-AGG 821'510 0.89 (72'716) 31.12.2012 Investment Advisor
GAMCO n/a ULT-AGG 818'535 0.89 1'320 31.12.2012 Unclassified
OPPENHEIMERFUNDS INC OPPENHEIMER FUNDS IN 13F 656'494 0.71 30'000 31.12.2012 Investment Advisor
ASA BERMUDA LIMITED ASA BERMUDA LIMITED 13F 444'700 0.48 - 31.12.2012 Investment Advisor
RENAISSANCE TECHNOLO RENAISSANCE TECHNOLO 13F 399'700 0.43 171'000 31.12.2012 Hedge Fund Manager
NIKKO ASSET MANAGEME n/a ULT-AGG 386'300 0.42 65'300 31.03.2013 Unclassified
AMERICAN CENTURY COM AMERICAN CENTURY COM 13F 385'000 0.42 - 31.03.2013 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Dundee Securities Corp JOSH WOLFSON buy 5 M 105 Not Provided 30.04.2013
HSBC PATRICK CHIDLEY overweight 5 M 91 Not Provided 28.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 94 12 month 23.04.2013
BMO Capital Markets ANDREW BREICHMANAS outperform 5 U 100 Not Provided 14.04.2013
Canaccord Genuity Corp TIM DUDLEY buy 5 M 133 12 month 11.04.2013
Clarus Securities NANA SANGMUAH buy 5 M 120 12 month 01.04.2013
EVA Dimensions CRAIG STERLING underweight 1 M #N/A N/A Not Provided 28.03.2013
S&P Capital IQ LEO LARKIN buy 5 M 125 Not Provided 16.11.2012
GARP Research SETH DADDS buy 5 M #N/A N/A Not Provided 10.08.2012
Holdings By:
Randgold Resources Ltd
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
14. 10.05.2013
Yamana Gold Inc. is an intermediate gold producer with production, development
stage, and exploration properties throughout Brazil. The Company also holds
gold exploration properties in Argentina.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (09.11.2012) 20.59
52-Week Low (17.04.2013) 11.02
Daily Volume
12.12
52-Week High % Change -41.14% Dividend Yield -
52-Week Low % Change 9.98% Beta 0.75
% 52 Week Price Range High/Low 11.49% Equity Float 749.87
Shares Out 30.04.2013 752.4 Short Int 5.36
9'119.17 1 Yr Total Return -10.56%
Total Debt 765.91 YTD Return -29.27%
Preferred Stock 0.0 Adjusted BETA 0.747
Minority Interest 46.8 Analyst Recs 23
Cash and Equivalents 349.59 Consensus Rating 4.304
Enterprise Value 9'683.88
Average Volume 5 Day 5'323'283
AUY US EQUITY YTD Change - Average Volume 30 Day 8'421'382
AUY US EQUITY YTD % CHANGE - Average Volume 3 Month 7'779'908
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
949.4 1'183.3 1'686.8 2'173.3 2'336.8 2'173.3 2'336.8 2'524.8 3'069.9 551.3 652.8
6.36x 7.39x 5.76x 5.04x 5.73x 18.01x 21.98x 3.82x 2.99x 17.57x 14.88x
438.9 575.5 884.1 1'262.7 1'269.4 1'271.5 1'502.0 1'325.6 1'770.8 262.7 337.7
13.76x 15.19x 11.00x 8.67x 10.56x 8.61x 8.92x 7.31x 5.47x 7.37x 7.02x
434.8 192.6 466.5 548.3 442.1 548.3 442.1 596.9 829.5 113.0 153.0
- - - - - 0.00x 0.00x 15.70x 11.56x 15.07x 13.48x
EBITDA 1'269.45 Long-Term Rating Date -
EBIT 885.71 Long-Term Rating -
Operating Margin 37.90% Long-Term Outlook -
Pretax Margin 34.88% Short-Term Rating Date -
Return on Assets 3.25% Short-Term Rating -
Return on Common Equity 4.84%
Return on Capital - EBITDA/Interest Exp. 22.03
Asset Turnover 0.20% (EBITDA-Capex)/Interest Exp. -4.66
Net Debt/EBITDA 0.44
Gross Margin 64.4% Total Debt/EBITDA 0.74
EBITDA Margin 50.4%
EBIT Margin 33.4% Total Debt/Equity 9.8%
Net Income Margin 18.9% Total Debt/Capital 8.9%
Asset Turnover 0.20
Current Ratio 1.38 Net Fixed Asset Turnover 0.24
Quick Ratio 0.78 Accounts receivable turnover-days 19.25
Debt to Assets 6.49% Inventory Days 70.76
Tot Debt to Common Equity 9.80% Accounts Payable Turnover Day 130.52
Accounts Receivable Turnover 18.96 Cash Conversion Cycle -62.98
Inventory Turnover 5.16
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Fiscal Year Ended
Yamana Gold Inc
Price/Volume
Valuation Analysis
5'104'812.00
Current Price (5/dd/yy) Market Data
0
5
10
15
20
25
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
2.0 M
4.0 M
6.0 M
8.0 M
10.0 M
12.0 M
14.0 M
16.0 M
18.0 M
20.0 M
0.0
500.0
1'000.0
1'500.0
2'000.0
2'500.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
15. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 78'066'044 10.38 - 31.03.2013 Investment Advisor
FMR LLC n/a ULT-AGG 39'560'804 5.26 6'000'156 31.03.2013 Investment Advisor
BANK OF NEW YORK MEL BANK OF NEW YORK MEL 13F 32'345'793 4.3 1'752'155 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 30'395'201 4.04 33'993 29.04.2013 Investment Advisor
ROYAL BANK OF CANADA n/a ULT-AGG 20'933'359 2.78 (281'596) 31.12.2012 Bank
ALLIANZ ASSET MANAGE n/a ULT-AGG 14'372'698 1.91 4'180'320 31.03.2013 Investment Advisor
GREYSTONE MANAGED IN GREYSTONE MANAGED IN 13F 13'228'300 1.76 (4'648'298) 31.12.2012 Investment Advisor
AGF INVESTMENTS INC AGF INVESTMENTS INC 13F 11'430'227 1.52 11'430'227 31.03.2013 Investment Advisor
CIBC WORLD MARKETS I CIBC WORLD MARKETS I 13F 10'433'341 1.39 10'433'341 31.03.2013 Investment Advisor
BMO FINANCIAL CORP BMO FINANCIAL CORP 13F 10'227'965 1.36 10'227'965 31.03.2013 Investment Advisor
TORONTO DOMINION BAN TORONTO DOMINION BAN 13F 9'535'253 1.27 307'566 31.12.2012 Investment Advisor
CONNOR CLARK & LUNN CONNOR CLARK & LUNN 13F 8'387'255 1.11 (3'112'528) 31.12.2012 Investment Advisor
JP MORGAN n/a ULT-AGG 7'226'163 0.96 (304'473) 31.03.2013 Investment Advisor
OPPENHEIMERFUNDS INC Multiple Portfolios MF-AGG 6'409'801 0.85 160'000 28.02.2013 Investment Advisor
CARMIGNAC GESTION CARMIGNAC GESTION 13F 6'398'774 0.85 6'398'774 31.12.2012 Investment Advisor
INVESTEC ASSET MANAG INVESTEC ASSET MANAG 13F 6'246'128 0.83 6'246'128 31.12.2012 Investment Advisor
TOCQUEVILLE ASSET MA TOCQUEVILLE ASSET MA 13F 6'019'943 0.8 783'343 31.03.2013 Hedge Fund Manager
UNITED SERVICES AUTO UNITED SERVICES AUTO 13F 5'959'128 0.79 5'959'128 31.12.2012 Investment Advisor
FIERA CAPITAL CORPOR FIERA CAPITAL CORPOR 13F 5'822'420 0.77 352'746 31.03.2013 Investment Advisor
TD ASSET MANAGEMENT TD ASSET MANAGEMENT 13F 5'761'349 0.77 5'761'349 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
RBC Capital Markets DAN ROLLINS outperform 5 M 15 12 month 29.04.2013
Dundee Securities Corp JOSH WOLFSON neutral 3 D 17 12 month 29.04.2013
HSBC PATRICK CHIDLEY neutral 3 M 13 Not Provided 28.04.2013
Macquarie TONY LESIAK neutral 3 M 12 12 month 25.04.2013
Raymond James BRAD HUMPHREY outperform 5 M 20 12 month 24.04.2013
Morgan Stanley PARETOSH MISRA Overwt/In-Line 5 M 16 12 month 23.04.2013
Scotia Capital TANYA M JAKUSCONEK sector outperform 5 M 17 12 month 23.04.2013
TD Securities STEVEN J GREEN buy 5 M 20 12 month 23.04.2013
Barclays FAROOQ HAMED overweight 5 M 17 Not Provided 23.04.2013
Credit Suisse ANITA SONI outperform 5 M 19 Not Provided 22.04.2013
Davenport & Co LLOYD T O'CARROLL buy 5 M 14 Not Provided 22.04.2013
Cormark Securities Inc. RICHARD GRAY buy 5 M 19 12 month 22.04.2013
EVA Dimensions CRAIG STERLING hold 3 U #N/A N/A Not Provided 16.04.2013
BMO Capital Markets DAVID HAUGHTON outperform 5 M 22 Not Provided 15.04.2013
Canaccord Genuity Corp STEVEN BUTLER buy 5 M 21 12 month 15.04.2013
Davy BART JAWORSKI underperform 1 D #N/A N/A Not Provided 15.04.2013
CIBC World Markets ALEC KODATSKY sector outperform 5 M 25 Not Provided 11.04.2013
National Bank Financial STEPHEN PARSONS outperform 5 M 20 12 month 09.04.2013
Cowen Securities LLC ADAM P GRAF buy 5 M 16 Not Provided 09.04.2013
GMP GEORGE V ALBINO buy 5 M 22 Not Provided 02.04.2013
Veritas Investment Research Co PAWEL RAJSZEL sell 1 M 15 Not Provided 22.02.2013
VSA Capital Ltd CHARLIE LONG not rated #N/A N/A M #N/A N/A Not Provided 10.01.2013
Paradigm Capital Inc DON MACLEAN buy 5 M 21 12 month 19.06.2012
Holdings By:
Yamana Gold Inc
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
16. 10.05.2013
Gold Fields Limited produces precious metals. The Company has mines in South
Africa, Ghana, and Australia, as well as a partnership in Finland. Gold Fields
has a precious metals programs in Africa, Australasia, Europe, North America,
and South America.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (04.06.2012) 12.09
52-Week Low (17.04.2013) 6.23
Daily Volume
6.84
52-Week High % Change -43.40% Dividend Yield -
52-Week Low % Change 9.79% Beta 0.75
% 52 Week Price Range High/Low 10.42% Equity Float -
Shares Out 07.03.2013 736.1 Short Int 6.16
5'035.26 1 Yr Total Return -38.34%
Total Debt 16'015.70 YTD Return -35.74%
Preferred Stock 0.0 Adjusted BETA 0.745
Minority Interest 1'803.9 Analyst Recs 3
Cash and Equivalents 5'195.60 Consensus Rating 3.000
Enterprise Value -
Average Volume 5 Day 4'377'579
GFI US EQUITY YTD Change - Average Volume 30 Day 6'199'734
GFI US EQUITY YTD % CHANGE - Average Volume 3 Month 5'902'750
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
23'009.5 29'086.9 31'565.3 25'263.7 28'915.8 29'609.9 42'193.5 28'557.2 30'284.2 - -
3.10x 2.56x 2.56x 3.99x 3.05x 13.11x 8.38x 2.03x 1.84x - -
8'713.0 10'955.0 11'960.3 13'527.5 14'243.0 13'851.2 20'100.6 12'491.6 14'066.7 - -
8.19x 6.80x 6.75x 7.45x 6.20x 0.00x 4.39x - - - -
4'457.5 1'535.6 3'631.4 7'026.7 5'658.1 7'026.7 5'658.1 4'000.8 5'404.3 - -
- - - - - 0.00x 0.00x 10.51x 8.24x - -
EBITDA 14'243.00 Long-Term Rating Date 15.11.2012
EBIT 10'149.20 Long-Term Rating BB+
Operating Margin 35.10% Long-Term Outlook STABLE
Pretax Margin 22.47% Short-Term Rating Date 15.11.2012
Return on Assets 6.31% Short-Term Rating B
Return on Common Equity 11.52%
Return on Capital 9.18% EBITDA/Interest Exp. 24.36
Asset Turnover 0.47% (EBITDA-Capex)/Interest Exp. 6.99
Net Debt/EBITDA 0.54
Gross Margin 38.7% Total Debt/EBITDA 0.80
EBITDA Margin 47.6%
EBIT Margin 33.6% Total Debt/Equity 31.2%
Net Income Margin 19.6% Total Debt/Capital 23.2%
Asset Turnover 0.47
Current Ratio 1.76 Net Fixed Asset Turnover 0.72
Quick Ratio 0.39 Accounts receivable turnover-days 15.92
Debt to Assets 16.85% Inventory Days -
Tot Debt to Common Equity 31.19% Accounts Payable Turnover Day -
Accounts Receivable Turnover 22.99 Cash Conversion Cycle 69.00
Inventory Turnover -
Fiscal Year Ended
Gold Fields Ltd
Price/Volume
Valuation Analysis
3'731'225.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
2
4
6
8
10
12
14
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
5.0 M
10.0 M
15.0 M
20.0 M
25.0 M
0.0
5'000.0
10'000.0
15'000.0
20'000.0
25'000.0
30'000.0
35'000.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
17. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 47'177'664 6.41 (20'500) 31.03.2013 Hedge Fund Manager
VAN ECK ASSOCIATES C n/a ULT-AGG 35'916'727 4.88 1'204'375 29.04.2013 Investment Advisor
DIMENSIONAL FUND ADV DIMENSIONAL FUND ADV 13F 22'259'805 3.02 1'621'222 31.12.2012 Investment Advisor
FMR LLC n/a ULT-AGG 9'740'161 1.32 (96'300) 31.03.2013 Investment Advisor
THORNBURG INVESTMENT THORNBURG INVESTMENT 13F 7'145'000 0.97 4'291'310 31.12.2012 Investment Advisor
BLACKROCK n/a ULT-AGG 6'975'326 0.95 (1'745'314) 26.04.2013 Investment Advisor
PAULSON & CO PAULSON & CO 13F 6'541'600 0.89 - 31.12.2012 Hedge Fund Manager
ALLIANZ ASSET MANAGE n/a ULT-AGG 6'270'156 0.85 1'864'617 31.03.2013 Investment Advisor
TRADEWINDS GLOBAL IN TRADEWINDS GLOBAL IN 13F 5'423'998 0.74 (1'957'356) 31.12.2012 Investment Advisor
RUFFER LLP RUFFER LLP 13F 5'396'309 0.73 (21'230) 31.03.2013 Hedge Fund Manager
RENAISSANCE TECHNOLO RENAISSANCE TECHNOLO 13F 5'162'800 0.7 (1'012'600) 31.12.2012 Hedge Fund Manager
WELLS FARGO n/a ULT-AGG 4'906'608 0.67 (128'413) 31.03.2013 Investment Advisor
GAMCO n/a ULT-AGG 4'470'669 0.61 (469'100) 31.12.2012 Unclassified
UNITED SERVICES AUTO UNITED SERVICES AUTO 13F 4'338'700 0.59 (368'600) 31.12.2012 Investment Advisor
INVESTEC ASSET MANAG INVESTEC ASSET MANAG 13F 3'938'303 0.53 (21'100) 31.12.2012 Investment Advisor
TOCQUEVILLE ASSET MA TOCQUEVILLE ASSET MA 13F 3'907'319 0.53 1'826 31.03.2013 Hedge Fund Manager
INVESTEC ASSET MANAG Multiple Portfolios MF-AGG 3'806'476 0.52 - 28.02.2013 Investment Advisor
PROSPECTOR PARTNERS PROSPECTOR PARTNERS 13F 3'774'300 0.51 (145'200) 31.12.2012 Hedge Fund Manager
PASSPORT CAPITAL LLC PASSPORT CAPITAL LLC 13F 3'394'316 0.46 3'394'316 31.12.2012 Hedge Fund Manager
FRANK RUSSELL TRUST FRANK RUSSELL COMPAN 13F 2'993'616 0.41 382'294 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
HSBC PATRICK CHIDLEY neutral 3 D 8 Not Provided 28.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 8 12 month 23.04.2013
EVA Dimensions TEAM COVERAGE dropped coverage #N/A N/A M #N/A N/A Not Provided 18.01.2013
BMO Capital Markets DAVID HAUGHTON market perform 3 M 13 12 month 04.03.2010
Holdings By:
Gold Fields Ltd
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
18. 10.05.2013
Silver Wheaton Corporation purchases and sells by-product silver from operating
mines. The Company has long term contracts to purchase all or a portion of the
silver production from mines in Mexico, Sweden, Peru, Greece and the United
States.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (01.11.2012) 41.30
52-Week Low (18.04.2013) 21.79
Daily Volume
24.34
52-Week High % Change -41.07% Dividend Yield -
52-Week Low % Change 11.70% Beta 1.08
% 52 Week Price Range High/Low 13.07% Equity Float 354.14
Shares Out 30.04.2013 354.6 Short Int 3.75
8'631.23 1 Yr Total Return -6.96%
Total Debt 50.06 YTD Return -32.24%
Preferred Stock 0.0 Adjusted BETA 1.079
Minority Interest 0.0 Analyst Recs 15
Cash and Equivalents 778.22 Consensus Rating 4.600
Enterprise Value 7'903.07
Average Volume 5 Day 5'029'980
SLW US EQUITY YTD Change - Average Volume 30 Day 6'464'701
SLW US EQUITY YTD % CHANGE - Average Volume 3 Month 5'300'604
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2
166.7 239.3 423.4 730.0 849.6 730.0 849.6 966.9 1'094.1 242.6 228.8
12.14x 21.12x 31.91x 13.01x 14.18x 62.08x 52.82x 9.34x 8.28x 38.90x 41.36x
105.5 158.5 316.2 618.8 701.5 618.8 701.5 774.3 889.9 197.3 181.3
19.18x 31.87x 42.72x 15.35x 17.17x 15.35x 17.17x 10.21x 8.88x 9.99x 10.19x
17.3 117.9 153.4 550.0 586.0 550.0 586.0 562.9 647.7 144.5 124.0
- - - - - 0.00x 0.00x 15.56x 13.82x 15.92x 15.48x
EBITDA 701.46 Long-Term Rating Date -
EBIT 600.00 Long-Term Rating -
Operating Margin 70.63% Long-Term Outlook -
Pretax Margin 70.72% Short-Term Rating Date -
Return on Assets 19.34% Short-Term Rating -
Return on Common Equity 20.34%
Return on Capital - EBITDA/Interest Exp. -
Asset Turnover 0.28% (EBITDA-Capex)/Interest Exp. -
Net Debt/EBITDA -1.04
Gross Margin 74.3% Total Debt/EBITDA 0.07
EBITDA Margin 82.6%
EBIT Margin 70.6% Total Debt/Equity 1.6%
Net Income Margin 69.0% Total Debt/Capital 1.6%
Asset Turnover 0.28
Current Ratio 15.88 Net Fixed Asset Turnover 0.41
Quick Ratio 15.86 Accounts receivable turnover-days 2.17
Debt to Assets 1.57% Inventory Days -
Tot Debt to Common Equity 1.61% Accounts Payable Turnover Day 24.47
Accounts Receivable Turnover 168.45 Cash Conversion Cycle -
Inventory Turnover -
Fiscal Year Ended
Silver Wheaton Corp
Price/Volume
Valuation Analysis
5'928'518.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
5
10
15
20
25
30
35
40
45
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
2.0 M
4.0 M
6.0 M
8.0 M
10.0 M
12.0 M
14.0 M
16.0 M
0.0
100.0
200.0
300.0
400.0
500.0
600.0
700.0
800.0
900.0
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
19. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 26'099'114 7.36 - 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 14'931'769 4.21 (446'773) 29.04.2013 Investment Advisor
CARMIGNAC GESTION CARMIGNAC GESTION 13F 13'917'000 3.93 13'917'000 31.12.2012 Investment Advisor
CAISSE DE DEPOT ET P CAISSE DE DEPOT ET P 13F 8'175'300 2.31 (31'900) 31.12.2012 Investment Advisor
FMR LLC n/a ULT-AGG 7'447'807 2.1 (6'668'009) 31.03.2013 Investment Advisor
ROYAL BANK OF CANADA n/a ULT-AGG 6'662'901 1.88 830'039 31.12.2012 Bank
TD ASSET MANAGEMENT TD ASSET MANAGEMENT 13F 6'495'536 1.83 (1'461'400) 31.12.2012 Investment Advisor
BMO FINANCIAL CORP BMO FINANCIAL CORP 13F 5'382'984 1.52 180'499 31.03.2013 Investment Advisor
CIBC WORLD MARKETS I CIBC WORLD MARKETS I 13F 4'958'532 1.4 (2'425) 31.03.2013 Investment Advisor
OPPENHEIMERFUNDS INC OPPENHEIMER FUNDS IN 13F 4'728'500 1.33 20'000 31.12.2012 Investment Advisor
TORONTO DOMINION BAN TORONTO DOMINION BAN 13F 4'349'599 1.23 90'737 31.12.2012 Investment Advisor
TCW GROUP INC TCW GROUP INCORPORAT 13F 3'789'248 1.07 (27'067) 31.12.2012 Investment Advisor
TOCQUEVILLE ASSET MA TOCQUEVILLE ASSET MA 13F 3'473'930 0.98 (35'700) 31.03.2013 Hedge Fund Manager
GREAT WEST LIFE ASSU GREAT WEST LIFE ASSU 13F 3'099'463 0.87 (230'385) 31.03.2013 Insurance Company
CONNOR CLARK & LUNN CONNOR CLARK & LUNN 13F 2'913'501 0.82 700'890 31.12.2012 Investment Advisor
JP MORGAN n/a ULT-AGG 2'750'546 0.78 (488'041) 31.03.2013 Investment Advisor
UBS n/a ULT-AGG 2'708'496 0.76 (136'469) 31.03.2013 Unclassified
RENAISSANCE TECHNOLO RENAISSANCE TECHNOLO 13F 2'633'600 0.74 986'200 31.12.2012 Hedge Fund Manager
FIERA CAPITAL CORPOR FIERA CAPITAL CORPOR 13F 2'612'842 0.74 283'586 31.03.2013 Investment Advisor
SUSQUEHANNA INTERNAT SUSQUEHANNA INTERNAT 13F 2'596'512 0.73 665'106 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Macquarie TONY LESIAK neutral 3 M 27 12 month 26.04.2013
Credit Suisse RALPH M PROFITI outperform 5 M 37 Not Provided 24.04.2013
Raymond James BRAD HUMPHREY outperform 5 M 42 12 month 24.04.2013
Scotia Capital TREVOR TURNBULL focus stock 5 M 50 12 month 23.04.2013
TD Securities DANIEL EARLE buy 5 M 37 12 month 23.04.2013
RBC Capital Markets DAN ROLLINS outperform 5 M 33 12 month 19.04.2013
JPMorgan JOHN BRIDGES overweight 5 M 40 6 month 19.04.2013
BMO Capital Markets ANDREW KAIP outperform 5 M 40 Not Provided 15.04.2013
Canaccord Genuity Corp STEVEN BUTLER buy 5 M 45 Not Provided 15.04.2013
CIBC World Markets COSMOS CHIU sector outperform 5 M 45 Not Provided 11.04.2013
GMP CHELSEA HAMILTON buy 5 M 47 Not Provided 02.04.2013
Salman Partners DAVID WEST top pick 5 M 48 12 month 01.04.2013
EVA Dimensions CRAIG STERLING underweight 1 M #N/A N/A Not Provided 17.01.2013
Holdings By:
Silver Wheaton Corp
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
20. 10.05.2013
AngloGold Ashanti Limited is a holding company for a group of companies which
explore for and mine gold internationally. The Group has operations in the Vaal
River and West Witwatersrand areas of South Africa as well as Namibia, Mali,
Brazil, Argentina, Australia, Tanzania and the United States.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (06.06.2012) 38.31
52-Week Low (17.04.2013) 17.45
Daily Volume
18.71
52-Week High % Change -51.16% Dividend Yield -
52-Week Low % Change 7.22% Beta 0.77
% 52 Week Price Range High/Low 6.04% Equity Float -
Shares Out 06.05.2013 383.7 Short Int 3.76
7'209.39 1 Yr Total Return -44.46%
Total Debt 30'375.96 YTD Return -40.23%
Preferred Stock 0.0 Adjusted BETA 0.770
Minority Interest 186.5 Analyst Recs 6
Cash and Equivalents 7'562.20 Consensus Rating 4.000
Enterprise Value -
Average Volume 5 Day 3'242'976
AU US EQUITY YTD Change - Average Volume 30 Day 2'991'616
AU US EQUITY YTD % CHANGE - Average Volume 3 Month 2'459'672
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 03/13 Q1 06/13 Q2
29'774.0 30'745.0 38'833.0 47'849.0 52'160.3 47'846.3 51'994.5 59'211.2 61'408.2 - -
3.48x 3.88x 3.60x 3.00x 2.30x 11.44x 9.54x 1.53x 1.38x - -
3'278.0 (2'435.0) 9'720.0 20'443.0 19'105.5 20'438.6 18'922.1 21'784.6 24'700.1 - -
31.64x - 14.37x 7.03x 6.27x 7.03x 6.28x - - - -
(16'138.0) (2'762.0) 637.0 11'282.0 6'814.6 11'269.3 6'452.4 8'296.3 8'453.8 - -
- - - - - 0.00x 0.00x 8.89x 7.30x - -
EBITDA 19'105.47 Long-Term Rating Date 10.12.2012
EBIT 12'553.61 Long-Term Rating BBB-
Operating Margin 24.07% Long-Term Outlook NEG
Pretax Margin 18.43% Short-Term Rating Date -
Return on Assets 7.08% Short-Term Rating -
Return on Common Equity 15.88%
Return on Capital 12.20% EBITDA/Interest Exp. 10.07
Asset Turnover 0.54% (EBITDA-Capex)/Interest Exp. 2.46
Net Debt/EBITDA 1.16
Gross Margin 36.1% Total Debt/EBITDA 1.54
EBITDA Margin 36.6%
EBIT Margin 24.1% Total Debt/Equity 65.8%
Net Income Margin 13.1% Total Debt/Capital 39.6%
Asset Turnover 0.54
Current Ratio 1.37 Net Fixed Asset Turnover 0.90
Quick Ratio 0.53 Accounts receivable turnover-days 14.36
Debt to Assets 28.22% Inventory Days 105.75
Tot Debt to Common Equity 65.78% Accounts Payable Turnover Day 57.07
Accounts Receivable Turnover 25.48 Cash Conversion Cycle 63.01
Inventory Turnover 3.46
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Fiscal Year Ended
AngloGold Ashanti Ltd
Price/Volume
Valuation Analysis
1'819'630.00
Current Price (5/dd/yy) Market Data
0
5
10
15
20
25
30
35
40
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
1.0 M
2.0 M
3.0 M
4.0 M
5.0 M
6.0 M
7.0 M
8.0 M
9.0 M
10.0 M
0.0
10'000.0
20'000.0
30'000.0
40'000.0
50'000.0
60'000.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
21. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
PAULSON & CO PAULSON & CO 13F 28'203'999 7.35 (199'546) 31.12.2012 Hedge Fund Manager
VAN ECK ASSOCIATES C n/a ULT-AGG 15'624'679 4.07 1'302'862 29.04.2013 Investment Advisor
NWQ INVESTMENT MANAG NWQ INVESTMENT MANAG 13F 11'768'176 3.07 (511'763) 31.12.2012 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 8'747'623 2.28 (128'150) 31.03.2013 Investment Advisor
FMR LLC n/a ULT-AGG 6'722'122 1.75 (133'085) 31.03.2013 Investment Advisor
WELLS FARGO n/a ULT-AGG 5'693'290 1.48 164'885 31.03.2013 Investment Advisor
BLACKROCK n/a ULT-AGG 5'230'372 1.36 (1'261'046) 26.04.2013 Investment Advisor
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 4'945'084 1.29 (259'531) 31.03.2013 Hedge Fund Manager
TRADEWINDS GLOBAL IN TRADEWINDS GLOBAL IN 13F 4'186'865 1.09 (559'541) 31.12.2012 Investment Advisor
DUPONT CAPITAL MANAG DUPONT CAPITAL MANAG 13F 3'731'629 0.97 3'731'629 31.03.2013 Investment Advisor
RENAISSANCE TECHNOLO RENAISSANCE TECHNOLO 13F 3'240'700 0.84 (420'800) 31.12.2012 Hedge Fund Manager
NUVEEN ASSET MANAGEM Multiple Portfolios MF-AGG 2'740'632 0.71 162'163 31.03.2013 Investment Advisor
CAPITAL GROUP COMPAN n/a ULT-AGG 2'635'169 0.69 (10'100) 31.12.2012 Investment Advisor
PLATINUM INVESTMENT PLATINUM INVESTMENT 13F 2'204'815 0.57 147'000 31.12.2012 Investment Advisor
ALLIANZ ASSET MANAGE n/a ULT-AGG 1'741'097 0.45 (461'493) 31.12.2012 Investment Advisor
UNITED SERVICES AUTO UNITED SERVICES AUTO 13F 1'718'056 0.45 (681'300) 31.12.2012 Investment Advisor
GAMCO n/a ULT-AGG 1'612'030 0.42 88'230 31.12.2012 Unclassified
INVESTEC ASSET MANAG INVESTEC ASSET MANAG 13F 1'609'197 0.42 (8'000) 31.12.2012 Investment Advisor
NIKKO ASSET MANAGEME n/a ULT-AGG 1'607'200 0.42 252'500 31.03.2013 Unclassified
INVESTEC ASSET MANAG Multiple Portfolios MF-AGG 1'542'152 0.4 - 28.02.2013 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
HSBC PATRICK CHIDLEY overweight 5 M 31 Not Provided 28.04.2013
Societe Generale BRUCE ALWAY hold 3 M 25 12 month 26.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 25 12 month 23.04.2013
EVA Dimensions CRAIG STERLING hold 3 U #N/A N/A Not Provided 05.04.2013
BMO Capital Markets DAVID HAUGHTON market perform 3 M 0 Not Provided 24.02.2010
Holdings By:
AngloGold Ashanti Ltd
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
22. 10.05.2013
Cia de Minas Buenaventura S.A. explores for, mines, and processes gold, silver,
zinc, and other metals. The Company operates mines in Peru, a lime plant, an
electric power transmission company, and an engineering services company.
Buenaventura also markets metal concentrates to smelters internationally.
Latest Fiscal Year: 12/2011
LTM as of: 12/yy
52-Week High (06.06.2012) 42.73
52-Week Low (07.05.2013) 19.02
Daily Volume
19.54
52-Week High % Change -54.27% Dividend Yield -
52-Week Low % Change 2.73% Beta 0.56
% 52 Week Price Range High/Low 2.19% Equity Float -
Shares Out 04.02.2013 274.9 Short Int 1.40
5'385.90 1 Yr Total Return -48.50%
Total Debt 179.30 YTD Return -44.97%
Preferred Stock 0.0 Adjusted BETA 0.555
Minority Interest 262.3 Analyst Recs 13
Cash and Equivalents 241.22 Consensus Rating 3.308
Enterprise Value 5'612.84
Average Volume 5 Day 1'308'615
BVN US EQUITY YTD Change - Average Volume 30 Day 1'566'445
BVN US EQUITY YTD % CHANGE - Average Volume 3 Month 1'503'830
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
766.6 881.5 1'103.8 1'556.6 1'563.5 1'556.6 1'508.9 1'641.5 1'761.1 373.3 413.3
6.61x 9.30x 10.85x 6.05x 6.00x 24.64x 25.51x 3.40x 3.14x - -
(54.4) 351.5 475.4 820.2 571.9 629.3 571.9 645.8 769.2 174.0 208.0
- 23.33x 25.19x 11.49x 16.39x 14.97x 16.39x 8.69x 7.30x - -
153.3 593.6 660.8 858.9 684.7 858.9 684.7 544.0 608.6 125.0 147.0
33.61x 14.29x 18.66x 11.16x 13.40x 11.16x 13.40x 8.86x 8.31x 9.45x 8.86x
EBITDA 571.92 Long-Term Rating Date -
EBIT 418.23 Long-Term Rating -
Operating Margin 26.75% Long-Term Outlook -
Pretax Margin 56.63% Short-Term Rating Date -
Return on Assets 13.23% Short-Term Rating -
Return on Common Equity 16.53%
Return on Capital 16.37% EBITDA/Interest Exp. 68.99
Asset Turnover 0.34% (EBITDA-Capex)/Interest Exp. 15.56
Net Debt/EBITDA -
Gross Margin 39.7% Total Debt/EBITDA -
EBITDA Margin -
EBIT Margin 23.0% Total Debt/Equity 4.8%
Net Income Margin 43.8% Total Debt/Capital 4.3%
Asset Turnover 0.34
Current Ratio 2.30 Net Fixed Asset Turnover 1.45
Quick Ratio 1.42 Accounts receivable turnover-days 39.12
Debt to Assets 3.91% Inventory Days 65.36
Tot Debt to Common Equity 4.84% Accounts Payable Turnover Day 59.17
Accounts Receivable Turnover 9.33 Cash Conversion Cycle 45.41
Inventory Turnover 5.58
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Fiscal Year Ended
Cia de Minas Buenaventura SA
Price/Volume
Valuation Analysis
1'735'584.00
Current Price (5/dd/yy) Market Data
0
5
10
15
20
25
30
35
40
45
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
1.0 M
2.0 M
3.0 M
4.0 M
5.0 M
6.0 M
0.0
200.0
400.0
600.0
800.0
1'000.0
1'200.0
1'400.0
1'600.0
1'800.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
0.00
5.00
10.00
15.00
20.00
25.00
30.00
01.01.2010 01.07.2010 01.01.2011 01.07.2011 01.01.2012 01.07.2012 01.01.2013
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
23. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 25'536'584 9.29 (4'985'793) 26.04.2013 Investment Advisor
VONTOBEL ASSET MANAG VONTOBEL ASSET MANAG 13F 12'497'006 4.55 4'814'696 31.03.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 12'079'992 4.39 349'674 29.04.2013 Investment Advisor
FRANKLIN RESOURCES n/a ULT-AGG 8'641'735 3.14 2'695'645 31.03.2013 Investment Advisor
VANGUARD GROUP INC VANGUARD GROUP INC 13F 5'406'540 1.97 355'351 31.03.2013 Investment Advisor
STATE STREET n/a ULT-AGG 4'777'677 1.74 371'700 29.04.2013 Investment Advisor
WELLS FARGO n/a ULT-AGG 4'709'673 1.71 136'724 31.03.2013 Investment Advisor
FMR LLC n/a ULT-AGG 4'343'301 1.58 (1'580'101) 31.03.2013 Investment Advisor
THE BANK OF NOVA SCO THE BANK OF NOVA SCO 13F 2'559'961 0.93 (1'514'324) 31.12.2012 Investment Advisor
HARRIS TRUST & SAVIN Multiple Portfolios MF-AGG 2'471'676 0.9 558'323 31.12.2012 Unclassified
NORGES BANK NORGES BANK 13F 2'298'752 0.84 1'801'505 31.12.2012 Government
UNITED SERVICES AUTO UNITED SERVICES AUTO 13F 1'806'500 0.66 (22'000) 31.12.2012 Investment Advisor
JENNISON ASSOCIATES JENNISON ASSOCIATES 13F 1'778'056 0.65 (70'363) 31.12.2012 Investment Advisor
VONTOBEL ASSET MANAG Multiple Portfolios MF-AGG 1'651'026 0.6 224'921 31.12.2012 Investment Advisor
CREDIT AGRICOLE SA CREDIT AGRICOLE SA 13F 1'460'432 0.53 (302'643) 31.12.2012 Investment Advisor
PARAMETRIC PORTFOLIO PARAMETRIC PORTFOLIO 13F 1'434'207 0.52 33'736 31.03.2013 Investment Advisor
GAMCO n/a ULT-AGG 1'112'800 0.4 - 31.12.2012 Unclassified
ING INV MANAGEMENT E ING INVESTMENT MANAG 13F 1'110'680 0.4 (475'416) 31.12.2012 Investment Advisor
ING INVESTMENT MANAG Multiple Portfolios MF-AGG 1'097'662 0.4 (1'561) 28.02.2013 Investment Advisor
WELLINGTON MANAGEMEN WELLINGTON MANAGEMEN 13F 1'002'949 0.36 245'358 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
Morgan Stanley CARLOS DE ALBA Equalwt/No Rating 3 M 24 12 month 30.04.2013
Credit Suisse SANTIAGO PEREZ TEUFFER neutral 3 D 28 Not Provided 30.04.2013
Banco BTG Pactual SA CESAR PEREZ-NOVOA buy 5 M 30 12 month 29.04.2013
Grupo Santander WALTER CHIARVESIO buy 5 M 33 Not Provided 23.04.2013
Scotia Capital TANYA M JAKUSCONEK sector perform 3 M 25 12 month 23.04.2013
JPMorgan JOHN BRIDGES neutral 3 M 34 6 month 19.04.2013
Inteligo SAB LALI MERINO buy 5 M 32 Not Provided 16.04.2013
EVA Dimensions CRAIG STERLING hold 3 M #N/A N/A Not Provided 27.03.2013
Euro Pacific Capital Inc HEIKO IHLE neutral 3 M 27 12 month 11.03.2013
Kallpa Securities SAB EDDER CASTRO overweight 5 M 33 Not Provided 07.03.2013
Banco de Credito del Peru HECTOR JOSUE COLLANTES hold 3 M 33 Not Provided 01.03.2013
Holdings By:
Cia de Minas Buenaventura SA
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
24. 10.05.2013
New Gold Inc. is a natural resource company. The Company acquires, explores,
and develops gold properties.
Latest Fiscal Year: 12/2012
LTM as of: 12/yy
52-Week High (21.09.2012) 12.84
52-Week Low (15.04.2013) 6.25
Daily Volume
7.54
52-Week High % Change -41.28% Dividend Yield -
52-Week Low % Change 20.64% Beta 0.97
% 52 Week Price Range High/Low 19.58% Equity Float 461.89
Shares Out 30.04.2013 476.9 Short Int 3.05
3'595.58 1 Yr Total Return -10.56%
Total Debt 847.80 YTD Return -31.64%
Preferred Stock 0.0 Adjusted BETA 0.967
Minority Interest 0.0 Analyst Recs 15
Cash and Equivalents 687.80 Consensus Rating 4.600
Enterprise Value 3'777.48
Average Volume 5 Day 2'926'144
NGD US EQUITY YTD Change - Average Volume 30 Day 3'913'002
NGD US EQUITY YTD % CHANGE - Average Volume 3 Month 3'314'747
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 12/yy 12/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
143.1 323.8 530.5 695.9 791.3 695.9 791.3 937.9 989.2 254.0 286.5
2.55x 4.31x 6.83x 6.62x 6.86x 25.77x 25.89x 3.94x 3.67x - -
13.8 110.4 239.2 344.0 390.1 344.0 390.1 487.6 586.4 115.0 149.0
26.46x 12.64x 15.15x 13.39x 13.91x 13.39x 13.91x 7.75x 6.44x - -
(102.7) (194.3) 47.5 179.0 199.0 179.0 198.9 175.9 235.9 30.7 62.6
- - - - - 0.00x 0.00x 18.90x 14.25x 17.14x 15.58x
EBITDA 390.10 Long-Term Rating Date 27.03.2012
EBIT 273.90 Long-Term Rating BB-
Operating Margin 34.61% Long-Term Outlook STABLE
Pretax Margin 35.23% Short-Term Rating Date -
Return on Assets 5.31% Short-Term Rating -
Return on Common Equity 7.96%
Return on Capital - EBITDA/Interest Exp. 9.70
Asset Turnover 0.22% (EBITDA-Capex)/Interest Exp. -3.13
Net Debt/EBITDA 0.47
Gross Margin 85.3% Total Debt/EBITDA 2.20
EBITDA Margin 47.0%
EBIT Margin 30.6% Total Debt/Equity 31.7%
Net Income Margin 25.1% Total Debt/Capital 24.1%
Asset Turnover 0.22
Current Ratio 5.18 Net Fixed Asset Turnover 0.27
Quick Ratio 4.15 Accounts receivable turnover-days 11.11
Debt to Assets 19.79% Inventory Days 164.46
Tot Debt to Common Equity 31.68% Accounts Payable Turnover Day 32.87
Accounts Receivable Turnover 32.86 Cash Conversion Cycle 378.94
Inventory Turnover 2.22
Fiscal Year Ended
New Gold Inc
Price/Volume
Valuation Analysis
3'049'889.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
2
4
6
8
10
12
14
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
2.0 M
4.0 M
6.0 M
8.0 M
10.0 M
12.0 M
14.0 M
0.0
100.0
200.0
300.0
400.0
500.0
600.0
700.0
800.0
900.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
25. 10.05.2013
Holder Name Portfolio Name Source Amt Held % Out Latest Chg File Dt Inst Type
BLACKROCK n/a ULT-AGG 62'551'684 13.13 - 26.04.2013 Investment Advisor
VAN ECK ASSOCIATES C n/a ULT-AGG 51'620'702 10.84 - 29.04.2013 Investment Advisor
FMR LLC n/a ULT-AGG 35'745'701 7.5 (2'416'637) 31.03.2013 Investment Advisor
TORONTO DOMINION BAN TORONTO DOMINION BAN 13F 15'167'798 3.18 15'004'748 31.12.2012 Investment Advisor
WELLINGTON MANAGEMEN WELLINGTON MANAGEMEN 13F 13'670'324 2.87 4'853'453 31.12.2012 Investment Advisor
MACKENZIE FINANCIAL MACKENZIE FINANCIAL 13F 12'987'264 2.73 1'051'834 31.03.2013 Investment Advisor
OPPENHEIMERFUNDS INC Multiple Portfolios MF-AGG 12'693'570 2.66 - 28.02.2013 Investment Advisor
ROYAL BANK OF CANADA n/a ULT-AGG 10'060'721 2.11 148'803 31.12.2012 Bank
RS INVESTMENT MANAGE RS INVESTMENT MANAGE 13F 9'900'164 2.08 258'671 31.12.2012 Investment Advisor
TOCQUEVILLE ASSET MA TOCQUEVILLE ASSET MA 13F 8'366'671 1.76 (127'400) 31.03.2013 Hedge Fund Manager
CONNOR CLARK & LUNN CONNOR CLARK & LUNN 13F 6'168'803 1.29 (1'836'450) 31.12.2012 Investment Advisor
FIERA CAPITAL CORPOR FIERA CAPITAL CORPOR 13F 6'040'968 1.27 3'201'270 31.03.2013 Investment Advisor
GCIC LTD/CANADA GOODMAN & COMPANY IN 13F 5'839'800 1.23 45'000 31.12.2012 Investment Advisor
LASSONDE PIERRE n/a SEDI 5'645'000 1.18 - 22.03.2012 n/a
INVESTEC ASSET MANAG INVESTEC ASSET MANAG 13F 5'417'566 1.14 434'429 31.12.2012 Investment Advisor
FIRST EAGLE INVESTME FIRST EAGLE INVESTME 13F 5'379'731 1.13 (238'800) 31.03.2013 Hedge Fund Manager
INVESTEC ASSET MANAG Multiple Portfolios MF-AGG 5'091'201 1.07 (179'446) 28.02.2013 Investment Advisor
JP MORGAN n/a ULT-AGG 4'883'382 1.03 (27'471) 31.03.2013 Investment Advisor
OLIPHANT RANDALL n/a SEDI 4'570'855 0.96 320'855 23.11.2012 n/a
PUBLIC SECTOR PENSIO PUBLIC SECTOR PENSIO 13F 4'393'260 0.92 49'900 31.12.2012 Investment Advisor
Firm Name Analyst Recommendation Weighting Change Target Price Date Date
RBC Capital Markets DAN ROLLINS outperform 5 M 9 12 month 29.04.2013
TD Securities STEVEN J GREEN buy 5 M 11 12 month 23.04.2013
Credit Suisse ANITA SONI outperform 5 M 13 Not Provided 22.04.2013
Cormark Securities Inc. RICHARD GRAY buy 5 M 14 12 month 22.04.2013
EVA Dimensions CRAIG STERLING hold 3 U #N/A N/A Not Provided 16.04.2013
BMO Capital Markets ANDREW KAIP outperform 5 M 12 Not Provided 15.04.2013
Canaccord Genuity Corp STEVEN BUTLER buy 5 M 13 12 month 15.04.2013
CIBC World Markets ALEC KODATSKY sector perform 3 M 12 Not Provided 11.04.2013
National Bank Financial STEPHEN PARSONS outperform 5 M 12 12 month 09.04.2013
Casimir Capital STUART MCDOUGALL strong buy 5 M 16 12 month 09.04.2013
Paradigm Capital Inc DON MACLEAN buy 5 M 16 12 month 08.04.2013
Scotia Capital TREVOR TURNBULL sector outperform 5 M 13 12 month 05.04.2013
GMP GEORGE V ALBINO buy 5 M 15 Not Provided 05.04.2013
Mackie Research Capital Corp. BARRY D ALLAN hold 3 M 10 Not Provided 12.03.2013
Holdings By:
New Gold Inc
All
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |
26. 10.05.2013
Agnico Eagle Mines Limited is a gold producer with operations primarily in
northwestern Quebec, northern Mexico, northern Finland and Nunavut. The
Company also has exploration activities in Canada, Europe, Latin America, and
the United States. Agnico Eagle Mines focuses on the exploration, development,
and expansion of its gold properities primarily from underground operations.
Latest Fiscal Year: 12/2012
LTM as of: 03/yy
52-Week High (26.11.2012) 57.35
52-Week Low (07.05.2013) 29.84
Daily Volume
31.33
52-Week High % Change -45.37% Dividend Yield -
52-Week Low % Change 4.99% Beta 0.61
% 52 Week Price Range High/Low 5.41% Equity Float 171.85
Shares Out 30.04.2013 172.7 Short Int 1.80
5'411.32 1 Yr Total Return -15.42%
Total Debt 842.96 YTD Return -39.96%
Preferred Stock 0.0 Adjusted BETA 0.610
Minority Interest 0.0 Analyst Recs 25
Cash and Equivalents 351.28 Consensus Rating 3.560
Enterprise Value 5'902.96
Average Volume 5 Day 1'712'568
AEM US EQUITY YTD Change - Average Volume 30 Day 2'031'721
AEM US EQUITY YTD % CHANGE - Average Volume 3 Month 1'770'711
LTM-4Q LTM FY+1 FY+2 FQ+1 FQ+2
31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 03/yy 03/yy 12/13 Y 12/14 Y 06/13 Q2 09/13 Q3
368.9 613.8 1'422.5 1'821.8 1'917.7 1'882.7 1'865.2 1'705.3 2'061.1 373.3 439.8
21.80x 14.47x 9.45x 3.75x 4.96x 18.58x 18.17x 3.62x 2.95x 16.03x 13.72x
94.9 202.5 601.8 752.9 787.4 801.6 735.0 618.9 868.2 178.5 222.8
84.80x 43.86x 22.34x 9.08x 12.08x 7.78x 10.31x 9.54x 6.80x 7.37x 7.63x
73.2 86.5 332.1 (568.9) 310.9 (535.6) 256.2 184.1 319.3 25.3 56.7
- - - - - 0.00x 0.00x 30.21x 17.55x 27.13x 22.33x
EBITDA 787.42 Long-Term Rating Date 12.03.2003
EBIT 515.56 Long-Term Rating NR
Operating Margin 26.88% Long-Term Outlook -
Pretax Margin 22.69% Short-Term Rating Date -
Return on Assets 5.00% Short-Term Rating -
Return on Common Equity 7.63%
Return on Capital 7.06% EBITDA/Interest Exp. 13.60
Asset Turnover 0.36% (EBITDA-Capex)/Interest Exp. 5.91
Net Debt/EBITDA 0.67
Gross Margin 39.0% Total Debt/EBITDA 1.10
EBITDA Margin 39.4%
EBIT Margin 24.5% Total Debt/Equity 24.7%
Net Income Margin 16.2% Total Debt/Capital 19.8%
Asset Turnover 0.36
Current Ratio 3.26 Net Fixed Asset Turnover 0.46
Quick Ratio 1.51 Accounts receivable turnover-days 15.79
Debt to Assets 16.04% Inventory Days 87.72
Tot Debt to Common Equity 24.72% Accounts Payable Turnover Day 50.91
Accounts Receivable Turnover 23.11 Cash Conversion Cycle 66.58
Inventory Turnover 4.16
Fiscal Year Ended
Agnico Eagle Mines Ltd
Price/Volume
Valuation Analysis
1'704'097.00
Current Price (5/dd/yy) Market Data
Net Income
P/E
Market Capitalization
Average Daily Trading Volume
Relative Stock Price Performance
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Profitability S&P Issuer Ratings
Credit Ratios
Margin Analysis
Reference
Structure
0
10
20
30
40
50
60
a-12 m-12 j-12 j-12 a-12 s-12 o-12 n-12 d-12 j-13 f-13 m-13 a-13
.0 M
1.0 M
2.0 M
3.0 M
4.0 M
5.0 M
6.0 M
7.0 M
8.0 M
0.0
500.0
1'000.0
1'500.0
2'000.0
2'500.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 20120.00
0.20
0.40
0.60
0.80
1.00
1.20
Sales/Revenue/TurnoverPrice/ Cash Flow Sales/Revenue/TurnoverPrice/ Cash Flow
Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |