Valuation: Sentry Select Primary Metals Corp.

Market Cap 25.42M 18.14M 15.85M 14.63M 13.49M 1.75B 25.98M 175M 68.78M 856M 68.13M 66.64M 2.95B P/E 2024
11.4x
P/E 2025 1.73x
Enterprise Value -4.1M -2.93M -2.56M -2.36M -2.18M -282M -4.19M -28.21M -11.1M -138M -10.99M -10.75M -475M EV / Sales 2024
-0.58x
EV / Sales 2025 -0.11x
Free-Float
99%
Yield 2024
8%
Yield 2025 3.85%
1 day-2.27%
1 week-7.73%
Current month-6.32%
1 month-11.52%
3 months-20.07%
6 months-20.22%
Current year-7.92%
1 week 4.29
Extreme 4.29
4.68
1 month 4.29
Extreme 4.29
4.95
Current year 4.25
Extreme 4.25
6.32
1 year 2.84
Extreme 2.84
6.32
3 years 1.77
Extreme 1.77
6.32
5 years 1.77
Extreme 1.77
6.32
10 years 1.31
Extreme 1.31
6.32
Manager TitleAgeSince
Corporate Secretary - 2019-02-28
Director TitleAgeSince
Director/Board Member - 2024-05-31
Director/Board Member - 2021-12-31
Director/Board Member - 2019-02-28
Change 5-day change 1-year change 3-year change Capi.($)
-2.27%-7.73%+46.76%+62.26% 18.14M
+4.70%-4.90%-29.34%+1,244.95% 34.55B
+4.57%-7.26%-22.68%+1,118.65% 17.69B
+0.87%-0.41%-3.71%+123.53% 13.87B
-1.52%+1.87%+28.29%+57.95% 12.29B
0.00%-1.66%-33.94%+169.13% 12B
+1.57%+0.90%-11.42%+118.72% 9.71B
+0.43%+2.58%-14.53%+45.78% 8.61B
+0.16%-3.49%+52.62%+132.25% 8.04B
Average +0.95%-1.37%+1.34%+341.47% 12.97B
Weighted average by Cap. +2.20%-2.55%-11.46%+598.28%

Financials

2024 2025
Net sales 1.83M 1.31M 1.14M 1.06M 973K 126M 1.87M 12.62M 4.96M 61.74M 4.92M 4.81M 213M 17.36M 12.39M 10.83M 9.99M 9.21M 1.19B 17.75M 119M 46.99M 585M 46.55M 45.52M 2.01B
Net income 1.42M 1.02M 888K 819K 755K 97.81M 1.45M 9.79M 3.85M 47.91M 3.81M 3.73M 165M 16.85M 12.03M 10.51M 9.7M 8.94M 1.16B 17.23M 116M 45.6M 567M 45.18M 44.18M 1.95B
Net Debt -16.38M -11.69M -10.22M -9.43M -8.69M -1.13B -16.74M -113M -44.33M -551M -43.91M -42.95M -1.9B -29.52M -21.07M -18.41M -16.99M -15.66M -2.03B -30.17M -203M -79.88M -994M -79.13M -77.39M -3.42B
Logo Sentry Select Primary Metals Corp.
Sentry Select Primary Metals Corp. (the Fund) is a Canada-based financial investment company. The Fund’s investment objective is to provide shareholders with long-term capital appreciation. The Fund invests in an actively managed portfolio consisting primarily of securities of mining and exploration issuers, with a current focus on gold issuers. CI Investments Inc. is the manager of the Fund. CIBC Mellon Trust Company is the custodian (the Custodian) for the Fund.
Employees
-
Date Price Change Volume
26-07-17 $4.300 -2.27% 2,100
26-07-16 $4.400 -3.51% 2,000
26-07-15 $4.560 -1.30% 4,001
26-07-14 $4.620 +2.90% 901