Siirry pääsisältöön
Käyttämääsi selainta ei enää tueta – lue lisää.
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
30,06CAD
+8,21% (+2,28)
Päätöskurssi
Ylin30,34
Alin28,16
Vaihto
42,8 MCAD
2025 Q3 -tulosraportti
96 päivää sitten20 min
0,0073 CAD/osake
Viimeisin osinko
0,10%Tuotto/v

Tarjoustasot

CanadaToronto Stock Exchange
Määrä
Osto
0
Myynti
Määrä
0

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
30,34
VWAP
29,75
Alin
28,16
VaihtoMäärä
42,8 1 439 390
VWAP
29,75
Ylin
30,34
Alin
28,16
VaihtoMäärä
42,8 1 439 390

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2025 Q4 -tulosraportti
20.2.
Menneet tapahtumat
2025 Q3 -tulosraportti5.11.2025
2025 Q2 -tulosraportti14.8.2025
2025 Q1 -tulosraportti7.5.2025
2024 Q4 -tulosraportti20.2.2025
2024 Q3 -tulosraportti7.11.2024

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Some info from First Majestic Silver. https://www.youtube.com/watch?v=0LkTRfSVWq4&t
    2 päivää sitten · Muokattu
    2 päivää sitten · Muokattu
    1.2 Billion dollar revenue in 2025...
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Exciting battle between buyers and sellers. What do you see on the chart, a possible double bottom. Isn't that a strong pattern, I say this is what market makers do, scare you into thinking the next shoe is going to drop, so you sell and then it reverses. I wouldn't sell here, no way, nothing decided. Second this is paper prices. JP Morgan reported all shorts covered behind Friday's drop with hawkish fed announced, Asian markets closed, a dollar pop, many people leverage, alot in profit, and CME raised margin prices again. BOOM 50 bucks down.. Third there is no physical silver available less than 20 percent plus spot. What does that say, silver still hot and in demand. Even if paper silver goes to 50, you can't buy it, none available at 70 lol. Fourth it's early Febuary, seldom do metal bulls end here. Lastly, 10 day cycle about to turn up. A new 34 day cycle turning up. Asian markets close before CME again today so possible games today but if silver holds and Sunday when the East starts first, that action should be valuable info moving forward, not today IMHO. Too many positives to be negative here. Maybe I'm wrong but with breakdowns like breakouts, I need confirmation and we don't have that except under 50 dma but on support at the same time. I'm guessing double bottom until things change and shift my opinion. That's my short-term thinking on Friday. Wait and see day. In trading, a bit too late to sell and a bit too early to buy. Tough trading day today. Easy to be wrong. GL
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    No gigavolume spikes I have seen yet either, and you were absolutely right with ABC, gold went straight up to 50% of first drawdown but not over.. nice to see. If I were to guess, we'll see ~$60 sometime
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    We said 60 but only intraday only 2 hours. We need a couple of positiv days, then we can start to speculate a bit but ABC is technically completed. First the price must rise above 20 dma before we can think correction is fferdig and a nyt impluss bølge has begun. 1 candle at a time. GL
  • 4.2.
    ·
    4.2.
    ·
    Same as happens every time here. The silver price is pushed down when the stock exchange across the pond opens. Hope this ends soon.
    3 päivää sitten
    3 päivää sitten
    They usually hedge their sales 1-3 months depending of a miner(cash balances etc). The bigger ones usually hedge less and the smaller/juniors more when get price spikes and have no negoatiation power themselves.
    3 päivää sitten
    ·
    3 päivää sitten
    ·
    It will be exciting with the financial reports. Even though silver has pulled back, the mines are still extremely undervalued at 70$/oz
  • 3.2.
    ·
    3.2.
    ·
    The scene is set and we will most likely go much higher. Traders must first secure themselves against CME's margin hike forced liquidation by arranging a strong buffer now that they have learned a lesson after Friday and today. We will probably stay at ~$54-85 for a couple of days until the banks have relieved as many short positions as possible by buying the forced liquidated long positions. They cannot hold prices like this for too long either, because then they give too much time to lose trust in paper prices and demand physical, which they do not have. Stay calm!💪
  • 2.2. · Muokattu
    ·
    2.2. · Muokattu
    ·
    ZEXTAR TA folks and welcome to trading in miners. Much up and much down is common in this sector. If you cannot handle the swings, miners are not for you. Of course you must have some idea what gold and silver will do but also you must understand that miners have extremmt leverage to the metal prices 2-3 to 1 therefore extreme swings. You must keep focus on where they are going and not the swings on the way there. With that said, I smell a short term bottom soon. 71 silver and 4500 gold both got hit , followed by a bounce. Now bulls and bears will fight abit here but 2 Febuary is not usually where seasonality ends. Maybe March-April but not here, almost never. What we need to watch is, do the metals retrace more or less than 50 percent of the drop. Less we go lower to form an ABC correction and 4-8 month base build before the next move higher but the C wave will be lower than this drop or we we make a double top or new highs before a real correction hits into the summer. That would be normal. The minium bottom now seems to be 58 and 4200 with the maximum bottom being 42-52 slver and 3500-3800 gold. If seen, those should be bought. So, I expect a nice bounce very soon. Under 50 percent retracement an ABC wave now, over 50 percent retracement a double top to new highs but not much higher, a bull trap really, then a nice huge correction likely with a stock market correction as late as April - June. Metals correct before the market but they also bottom first too, see gold and SP500 charts Sept 2008 - April 2009. Keep your cool, we are going to be higher in 12 months time. So this is completely normal in this sector and absolutely necessary that you understand this so you don't panic and sell out before everything goes crazy next year. You could trade if you are good with your timing but not your entire position otherwise stay on the bull and hang on. It will pay off. GL
    3.2.
    ·
    3.2.
    ·
    Completely agree boss
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Uutiset

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Tuotteita joiden kohde-etuutena tämä arvopaperi

2025 Q3 -tulosraportti
96 päivää sitten20 min
0,0073 CAD/osake
Viimeisin osinko
0,10%Tuotto/v

Uutiset

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Some info from First Majestic Silver. https://www.youtube.com/watch?v=0LkTRfSVWq4&t
    2 päivää sitten · Muokattu
    2 päivää sitten · Muokattu
    1.2 Billion dollar revenue in 2025...
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Exciting battle between buyers and sellers. What do you see on the chart, a possible double bottom. Isn't that a strong pattern, I say this is what market makers do, scare you into thinking the next shoe is going to drop, so you sell and then it reverses. I wouldn't sell here, no way, nothing decided. Second this is paper prices. JP Morgan reported all shorts covered behind Friday's drop with hawkish fed announced, Asian markets closed, a dollar pop, many people leverage, alot in profit, and CME raised margin prices again. BOOM 50 bucks down.. Third there is no physical silver available less than 20 percent plus spot. What does that say, silver still hot and in demand. Even if paper silver goes to 50, you can't buy it, none available at 70 lol. Fourth it's early Febuary, seldom do metal bulls end here. Lastly, 10 day cycle about to turn up. A new 34 day cycle turning up. Asian markets close before CME again today so possible games today but if silver holds and Sunday when the East starts first, that action should be valuable info moving forward, not today IMHO. Too many positives to be negative here. Maybe I'm wrong but with breakdowns like breakouts, I need confirmation and we don't have that except under 50 dma but on support at the same time. I'm guessing double bottom until things change and shift my opinion. That's my short-term thinking on Friday. Wait and see day. In trading, a bit too late to sell and a bit too early to buy. Tough trading day today. Easy to be wrong. GL
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    No gigavolume spikes I have seen yet either, and you were absolutely right with ABC, gold went straight up to 50% of first drawdown but not over.. nice to see. If I were to guess, we'll see ~$60 sometime
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    We said 60 but only intraday only 2 hours. We need a couple of positiv days, then we can start to speculate a bit but ABC is technically completed. First the price must rise above 20 dma before we can think correction is fferdig and a nyt impluss bølge has begun. 1 candle at a time. GL
  • 4.2.
    ·
    4.2.
    ·
    Same as happens every time here. The silver price is pushed down when the stock exchange across the pond opens. Hope this ends soon.
    3 päivää sitten
    3 päivää sitten
    They usually hedge their sales 1-3 months depending of a miner(cash balances etc). The bigger ones usually hedge less and the smaller/juniors more when get price spikes and have no negoatiation power themselves.
    3 päivää sitten
    ·
    3 päivää sitten
    ·
    It will be exciting with the financial reports. Even though silver has pulled back, the mines are still extremely undervalued at 70$/oz
  • 3.2.
    ·
    3.2.
    ·
    The scene is set and we will most likely go much higher. Traders must first secure themselves against CME's margin hike forced liquidation by arranging a strong buffer now that they have learned a lesson after Friday and today. We will probably stay at ~$54-85 for a couple of days until the banks have relieved as many short positions as possible by buying the forced liquidated long positions. They cannot hold prices like this for too long either, because then they give too much time to lose trust in paper prices and demand physical, which they do not have. Stay calm!💪
  • 2.2. · Muokattu
    ·
    2.2. · Muokattu
    ·
    ZEXTAR TA folks and welcome to trading in miners. Much up and much down is common in this sector. If you cannot handle the swings, miners are not for you. Of course you must have some idea what gold and silver will do but also you must understand that miners have extremmt leverage to the metal prices 2-3 to 1 therefore extreme swings. You must keep focus on where they are going and not the swings on the way there. With that said, I smell a short term bottom soon. 71 silver and 4500 gold both got hit , followed by a bounce. Now bulls and bears will fight abit here but 2 Febuary is not usually where seasonality ends. Maybe March-April but not here, almost never. What we need to watch is, do the metals retrace more or less than 50 percent of the drop. Less we go lower to form an ABC correction and 4-8 month base build before the next move higher but the C wave will be lower than this drop or we we make a double top or new highs before a real correction hits into the summer. That would be normal. The minium bottom now seems to be 58 and 4200 with the maximum bottom being 42-52 slver and 3500-3800 gold. If seen, those should be bought. So, I expect a nice bounce very soon. Under 50 percent retracement an ABC wave now, over 50 percent retracement a double top to new highs but not much higher, a bull trap really, then a nice huge correction likely with a stock market correction as late as April - June. Metals correct before the market but they also bottom first too, see gold and SP500 charts Sept 2008 - April 2009. Keep your cool, we are going to be higher in 12 months time. So this is completely normal in this sector and absolutely necessary that you understand this so you don't panic and sell out before everything goes crazy next year. You could trade if you are good with your timing but not your entire position otherwise stay on the bull and hang on. It will pay off. GL
    3.2.
    ·
    3.2.
    ·
    Completely agree boss
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

CanadaToronto Stock Exchange
Määrä
Osto
0
Myynti
Määrä
0

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
30,34
VWAP
29,75
Alin
28,16
VaihtoMäärä
42,8 1 439 390
VWAP
29,75
Ylin
30,34
Alin
28,16
VaihtoMäärä
42,8 1 439 390

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt

Yhtiötapahtumat

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2025 Q4 -tulosraportti
20.2.
Menneet tapahtumat
2025 Q3 -tulosraportti5.11.2025
2025 Q2 -tulosraportti14.8.2025
2025 Q1 -tulosraportti7.5.2025
2024 Q4 -tulosraportti20.2.2025
2024 Q3 -tulosraportti7.11.2024

Tuotteita joiden kohde-etuutena tämä arvopaperi

2025 Q3 -tulosraportti
96 päivää sitten20 min

Uutiset

Ei uutisia tällä hetkellä
Tämän sivun uutiset ja/tai sijoitussuositukset tai otteet niistä sekä niihin liittyvät linkit ovat mainitun tahon tuottamia ja toimittamia. Nordnet ei ole osallistunut materiaalin laatimiseen, eikä ole tarkistanut sen sisältöä tai tehnyt sisältöön muutoksia. Lue lisää sijoitussuosituksista.

Yhtiötapahtumat

Datan lähde: FactSet, Quartr
Seuraava tapahtuma
2025 Q4 -tulosraportti
20.2.
Menneet tapahtumat
2025 Q3 -tulosraportti5.11.2025
2025 Q2 -tulosraportti14.8.2025
2025 Q1 -tulosraportti7.5.2025
2024 Q4 -tulosraportti20.2.2025
2024 Q3 -tulosraportti7.11.2024

Tuotteita joiden kohde-etuutena tämä arvopaperi

0,0073 CAD/osake
Viimeisin osinko
0,10%Tuotto/v

Shareville

Liity keskusteluun SharevillessäShareville on aktiivisten yksityissijoittajien yhteisö, jossa voit seurata muiden asiakkaiden kaupankäyntiä ja omistuksia.
Kirjaudu
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Some info from First Majestic Silver. https://www.youtube.com/watch?v=0LkTRfSVWq4&t
    2 päivää sitten · Muokattu
    2 päivää sitten · Muokattu
    1.2 Billion dollar revenue in 2025...
  • 2 päivää sitten
    ·
    2 päivää sitten
    ·
    Exciting battle between buyers and sellers. What do you see on the chart, a possible double bottom. Isn't that a strong pattern, I say this is what market makers do, scare you into thinking the next shoe is going to drop, so you sell and then it reverses. I wouldn't sell here, no way, nothing decided. Second this is paper prices. JP Morgan reported all shorts covered behind Friday's drop with hawkish fed announced, Asian markets closed, a dollar pop, many people leverage, alot in profit, and CME raised margin prices again. BOOM 50 bucks down.. Third there is no physical silver available less than 20 percent plus spot. What does that say, silver still hot and in demand. Even if paper silver goes to 50, you can't buy it, none available at 70 lol. Fourth it's early Febuary, seldom do metal bulls end here. Lastly, 10 day cycle about to turn up. A new 34 day cycle turning up. Asian markets close before CME again today so possible games today but if silver holds and Sunday when the East starts first, that action should be valuable info moving forward, not today IMHO. Too many positives to be negative here. Maybe I'm wrong but with breakdowns like breakouts, I need confirmation and we don't have that except under 50 dma but on support at the same time. I'm guessing double bottom until things change and shift my opinion. That's my short-term thinking on Friday. Wait and see day. In trading, a bit too late to sell and a bit too early to buy. Tough trading day today. Easy to be wrong. GL
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    No gigavolume spikes I have seen yet either, and you were absolutely right with ABC, gold went straight up to 50% of first drawdown but not over.. nice to see. If I were to guess, we'll see ~$60 sometime
    2 päivää sitten
    ·
    2 päivää sitten
    ·
    We said 60 but only intraday only 2 hours. We need a couple of positiv days, then we can start to speculate a bit but ABC is technically completed. First the price must rise above 20 dma before we can think correction is fferdig and a nyt impluss bølge has begun. 1 candle at a time. GL
  • 4.2.
    ·
    4.2.
    ·
    Same as happens every time here. The silver price is pushed down when the stock exchange across the pond opens. Hope this ends soon.
    3 päivää sitten
    3 päivää sitten
    They usually hedge their sales 1-3 months depending of a miner(cash balances etc). The bigger ones usually hedge less and the smaller/juniors more when get price spikes and have no negoatiation power themselves.
    3 päivää sitten
    ·
    3 päivää sitten
    ·
    It will be exciting with the financial reports. Even though silver has pulled back, the mines are still extremely undervalued at 70$/oz
  • 3.2.
    ·
    3.2.
    ·
    The scene is set and we will most likely go much higher. Traders must first secure themselves against CME's margin hike forced liquidation by arranging a strong buffer now that they have learned a lesson after Friday and today. We will probably stay at ~$54-85 for a couple of days until the banks have relieved as many short positions as possible by buying the forced liquidated long positions. They cannot hold prices like this for too long either, because then they give too much time to lose trust in paper prices and demand physical, which they do not have. Stay calm!💪
  • 2.2. · Muokattu
    ·
    2.2. · Muokattu
    ·
    ZEXTAR TA folks and welcome to trading in miners. Much up and much down is common in this sector. If you cannot handle the swings, miners are not for you. Of course you must have some idea what gold and silver will do but also you must understand that miners have extremmt leverage to the metal prices 2-3 to 1 therefore extreme swings. You must keep focus on where they are going and not the swings on the way there. With that said, I smell a short term bottom soon. 71 silver and 4500 gold both got hit , followed by a bounce. Now bulls and bears will fight abit here but 2 Febuary is not usually where seasonality ends. Maybe March-April but not here, almost never. What we need to watch is, do the metals retrace more or less than 50 percent of the drop. Less we go lower to form an ABC correction and 4-8 month base build before the next move higher but the C wave will be lower than this drop or we we make a double top or new highs before a real correction hits into the summer. That would be normal. The minium bottom now seems to be 58 and 4200 with the maximum bottom being 42-52 slver and 3500-3800 gold. If seen, those should be bought. So, I expect a nice bounce very soon. Under 50 percent retracement an ABC wave now, over 50 percent retracement a double top to new highs but not much higher, a bull trap really, then a nice huge correction likely with a stock market correction as late as April - June. Metals correct before the market but they also bottom first too, see gold and SP500 charts Sept 2008 - April 2009. Keep your cool, we are going to be higher in 12 months time. So this is completely normal in this sector and absolutely necessary that you understand this so you don't panic and sell out before everything goes crazy next year. You could trade if you are good with your timing but not your entire position otherwise stay on the bull and hang on. It will pay off. GL
    3.2.
    ·
    3.2.
    ·
    Completely agree boss
Yllä olevat kommentit ovat peräisin Nordnetin sosiaalisen verkoston Sharevillen käyttäjiltä, ​​eikä niitä ole muokattu eikä Nordnet ole tarkastanut niitä etukäteen. Ne eivät tarkoita, että Nordnet tarjoaisi sijoitusneuvoja tai sijoitussuosituksia. Nordnet ei ota vastuuta kommenteista.

Tarjoustasot

CanadaToronto Stock Exchange
Määrä
Osto
0
Myynti
Määrä
0

Viimeisimmät kaupat

AikaHintaMääräOstajaMyyjä
----
Ylin
30,34
VWAP
29,75
Alin
28,16
VaihtoMäärä
42,8 1 439 390
VWAP
29,75
Ylin
30,34
Alin
28,16
VaihtoMäärä
42,8 1 439 390

Huomioi, että vaikka osakkeisiin säästäminen on pitkällä aikavälillä tuottanut hyvin, tulevasta tuotosta ei ole takeita. On olemassa riski, että et saa sijoittamiasi varoja takaisin.

Välittäjätilasto

Dataa ei löytynyt