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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 |
Minority
Interest
(USD)
Total Revenue
Cash and Enterprise
Equivalents
Value
(USD)
(USD)
Est. Tot.
Rev. - Tr.
12M
EBITDA
Est. Tot.
Est. Tot.
Est. EBITDA - Est. EBITDA - Est. EBITDA Rev. - 2013 Rev. - 2014 EBITDA - LFY Tr. 12M
2013
2014
EPS - LFY
Price/Earnings ratio
Est. P/E
Ratio - Tr.
12M
Rev. Growth
EBITDA Growth
Est.
Est.
Est. Est.
Est. P/E
Est. P/E
Revenue
Revenue Est. EBITDA
EBITDA
Est. EBITDA
Ratio - 2013 Ratio - 2014 Growth - 1Y Growth - 5Y Growth - 1Y Growth - 5Y Margin -
S&P LT
Credit
Rating -
S&P LT Credit
Rating Date
Moody's LT
Credit
Moody's LT Credit
Rating
Rating Date
USD
14664995
1960.721
1107
1107
204
218
218
101.88
110.18
110.18
15.64
15.64
14.46
14.46
18.83
Euro Stoxx 50 Pr
EUR
2665458
5644.23
4685
4685
751
783
783
212.38
307.58
307.58
21.91
18.23
15.13
15.13
20.12
NIKKEI 225
JPY
2754343
195.4507
193
193
18
22
22
5.03
6.89
6.89
0.29
0.28
0.21
0.21
0.11
GBP
2770298
12036.34
9308
9308
1468
1668
1668
548.60
826.37
826.37
28.19
23.76
18.71
18.71
23.07
CHF
1069323
11302.06
4148
4148
879
844
844
422.09
560.69
560.69
21.41
18.40
16.12
16.12
22.77
CAD
1638689
17043.62
7901
7901
1862
2073
2073
795.38
870.10
870.10
15.16
15.16
13.86
13.86
24.48
AUD
1457007
6845.162
2833
2833
630
701
701
250.06
336.12
336.12
22.19
17.81
16.51
16.51
23.22
HKD
1731677
3400.73
1701
1701
364
405
405
274.80
269.60
269.60
1.37
1.50
1.40
1.40
2.97
MSCI EM
USD
7701703
1416.96
7066542
7066542
196
195
195
85.16
95.99
95.99
12.07
13.13
10.70
10.70
19.56
GOLDCORP INC
USD
23158
2732
812
23.24
5435
5435
5511
6878
2798
2798
719
719
1.99
1.89
1.54
2.20
14.88
14.88
18.27
12.82
1.36
19.30
19.78
21.03
51.48
BBB+
01.06.2009
Baa2
13.03.2013
USD
19241
5335
1001
14
34.39
14547
14340
13641
14699
7358
7071
1538
1538
3.74
3.30
3.20
3.47
5.82
5.82
6.01
5.53
2.18
13.61
-11.64
24.49
49.31
BBB
26.04.2013
Baa2
24.04.2013
USD
15766
6491
497
23.93
9868
9362
9627
11209
4169
3731
882
882
3.78
3.34
2.99
3.79
9.46
9.46
10.58
8.33
-4.73
4.99
-19.24
19.37
39.85
BBB+
11.08.2008
Baa1
26.07.2010
USD
7259
380
92
7.05
1318
1318
1505
1959
699
699
4.65
4.70
4.67
7.35
16.77
16.77
16.87
10.71
16.92
45.49
20.16
53.34
53.06
USD
8832
1897
9.30
2337
2337
2666
3177
1269
1502
313
313
0.85
1.13
13.84
10.35
7.52
203.49
0.53
26.81
64.28
USD
5241
899
16
28916
42194
28557
30284
14243
20101
5.89
7.52
10.89
8.53
14.46
5.29
13.85
47.64
BB+
15.11.2012
USD
8372
1107
850
850
1001
1128
701
701
197
197
1.59
1.76
14.89
13.40
16.38
63.12
13.36
43.74
82.57
USD
7159
384
30
52160
52152
59970
62195
19105
19105
19.30
23.51
8.68
7.12
-4.14
24.62
-17.82
86.63
36.63
BBB-
10.12.2012
USD
5452
544
5.65
1564
1509
1722
1854
572
572
290
290
2.69
2.69
2.71
2.76
7.35
7.35
7.31
7.17
0.44
17.76
-30.27
7.50
37.90
USD
3644
831
3.80
791
791
988
1031
390
390
123
123
0.44
0.53
17.23
14.44
13.70
48.12
13.39
63.80
49.30
BB-
27.03.2012
B2
27.03.2012
USD
5310
486
5.80
1918
1865
1731
2077
787
735
192
192
1.07
1.78
28.82
17.31
5.26
38.09
4.59
31.64
39.41
NR
12.03.2003
WR
05.03.2002
USD
5273
872
5.33
1148
1148
1309
1522
584
584
170
170
0.46
0.59
16.18
12.53
3.97
78.05
-9.24
53.95
50.93
BB
13.11.2012
Ba3
12.11.2012
USD
6083
3036
1140
6.81
4311
4311
4045
4314
1962
1962
437
437
0.77
0.77
0.46
0.59
6.92
6.92
11.71
8.97
12.20
34.92
1.87
40.67
45.51
BBB-
15.08.2011
Baa3
15.08.2011
USD
3455
171
59
3.08
263
287
306
398
233
258
65
65
1.63
1.62
1.60
2.28
33.06
33.06
33.59
23.49
21.52
25.17
44.69
89.62
USD
2107
433
15169
16047
16682
22264
4222
3562
4867
4867
4.10
8.11
10.64
5.38
30.81
19.23
79.35
16.71
22.20
IAMGOLD CORP
USD
1914
1494
1.82
1670
1670
1631
1810
710
710
189
189
0.51
0.68
9.93
7.53
-0.19
21.94
-9.54
30.21
42.52
BB-
10.09.2012
USD
1910
356
1.45
929
929
1036
1110
362
362
95
95
0.98
1.17
12.81
10.73
8.57
47.85
-18.81
25.23
38.98
USD
1387
259
1.31
247
247
373
543
135
135
0.85
1.31
14.00
9.03
0.68
55.79
-13.49
101.01
54.66
USD
1497
306
1.47
895
895
940
1061
378
378
74
74
0.59
0.58
0.73
1.34
25.16
25.16
20.12
10.92
-12.31
64.18
-28.81
43.35
42.24
B+
25.06.2012
B3
24.01.2013
USD
1233
474
0.82
164
301
415
52
80
27
27
0.27
0.41
18.45
12.29
94.95
2151.89
USD
962
834
90
1.14
215
225
394
586
95
95
25
25
0.52
0.49
0.90
1.73
21.84
21.84
11.90
6.19
41.13
95.75
44.49
07.06.2012
B3
16.05.2012
HECLA MINING CO
USD
924
1293
285
0.75
321
321
493
619
93
93
40
40
0.07
0.07
0.22
0.38
46.29
46.29
15.07
8.64
-32.76
35.19
-63.53
10.36
28.93
04.04.2013
B2
02.04.2013
USD
98
566
566
394
670
426
426
38
38
0.43
0.95
8.70
3.92
3.34
-0.64
75.34
USD
688
172
0.49
224
224
206
266
92
92
0.17
0.26
24.95
16.54
-14.02
16.43
-26.18
14.15
41.26
USD
578
236
0.35
241
241
234
260
55
55
12
12
-0.08
-0.01
63.09
38.56
22.64
USD
489
96
0.44
-16
-15
-15
-0.28
-0.40
20.14
USD
298
72
0.29
-5
-5
-16.99
USD
272
285
259
0.31
551
551
585
125
126
26
26
-0.05
-0.14
0.00
0.16
16.89
19.35
35.80
22.85
USD
132
31
82
0.04
-36
-34
-6
-6
-0.54
-0.50
-0.25
-0.23
-26.58
USD
675
0.32
170
145
18
-26
70.83
-18.00
CAD
934
87
149
0.74
185
185
219
292
106
106
19
19
0.67
0.61
0.40
0.55
10.03
10.03
78.12
90.83
56.74
CAD
792
302
604
0.37
-60
-60
-15
-15
-0.14
-0.15
-0.08
-0.08
-76.39
SGD
857
15119
731
0.83
80
92
90
116
-4
-0.02
-0.03
0.00
0.01
154.91
71.50
13.56
7.17
1.20
CAD
1082
24
396
1.11
329
329
351
630
137
137
152
152
0.18
0.18
0.16
0.19
15.12
15.12
16.92
14.48
6.70
-1.29
41.28
CAD
643
183
0.58
143
312
399
55
126
0.13
0.20
10.12
6.66
CAD
678
50
86
0.55
55
55
75
98
36
36
0.25
0.25
0.28
0.43
30.29
30.29
27.05
17.49
85.77
90.67
64.78
OCEANAGOLD CORP
CAD
622
103
294
0.78
381
388
587
647
143
143
50
50
0.08
0.11
0.24
0.34
19.08
19.08
8.60
6.17
-2.54
13.78
-11.92
66.39
37.10
AUD
639
1449
189
0.65
84
96
124
287
60
66
0.27
0.30
0.44
1.01
12.24
8.14
3.59
-47.21
97.45
-53.84
71.75
CAD
773
76
126
0.74
381
381
472
547
0.39
0.39
0.77
0.82
15.75
15.75
7.92
7.46
13.51
49.54
CAD
646
39
176
0.61
313
314
310
339
171
172
0.56
0.55
0.52
0.54
6.66
6.66
6.97
6.70
54.14
USD
688
172
0.49
224
224
206
266
92
92
0.17
0.26
24.95
16.54
-14.02
16.43
-26.18
14.15
41.26
USD
506
276
0.49
208
208
249
291
90
90
25
25
0.49
0.63
10.43
8.06
62.57
87.74
38.56
43.16
CAD
601
45
108
0.49
14
14
-12
-10
-0.07
-0.07
-0.08
-0.09
CAD
497
94
288
0.33
-11
-11
-0.04
-0.04
-0.05
0.21
8.20
46.06
USD
482
264
0.43
238
193
202
256
155
102
0.27
0.40
10.35
7.06
42.21
27.32
40.76
43.24
53.14
AUD
714
3944
707
0.75
485
658
641
738
197
221
144
144
0.07
0.19
0.09
0.14
5.49
11.46
7.64
294.91
559.45
34.76
HKD
746
1600
4351
0.97
210
210
268
319
144
144
186
186
0.02
0.02
0.02
0.02
1.42
1.11
0.94
5.83
26.53
4.61
8.87
USD
489
96
0.44
-16
-15
-15
-0.28
-0.40
20.14
AUD
573
12022
742
0.71
326
347
-14
167
167
-0.05
-0.06
0.15
0.18
4.99
4.24
62.42
AUD
635
1962
636
0.57
596
639
679
621
263
269
0.17
0.26
0.24
0.18
3.88
4.31
5.71
30.58
30.23
135.62
108.31
43.54
254
90
7.64
540
6.52
15.51
11.21
Minority
Interest
(USD)
Total Revenue
Cash and Enterprise
Equivalents
Value
(USD)
(USD)
Est. Tot.
Rev. - Tr.
12M
EBITDA
Est. Tot.
Est. Tot.
Est. EBITDA - Est. EBITDA - Est. EBITDA Rev. - 2013 Rev. - 2014 EBITDA - LFY Tr. 12M
2013
2014
EPS - LFY
Price/Earnings ratio
Est. P/E
Ratio - Tr.
12M
Rev. Growth
EBITDA Growth
Est.
Est.
Est. Est.
Est. P/E
Est. P/E
Revenue
Revenue Est. EBITDA
EBITDA
Est. EBITDA
Ratio - 2013 Ratio - 2014 Growth - 1Y Growth - 5Y Growth - 1Y Growth - 5Y Margin -
USD
14664995
1960.721
1107
1107
204
218
218
101.88
110.18
110.18
15.64
15.64
14.46
14.46
18.83
Euro Stoxx 50 Pr
EUR
2665458
5644.23
4685
4685
751
783
783
212.38
307.58
307.58
21.91
18.23
15.13
15.13
20.12
NIKKEI 225
JPY
2754343
195.4507
193
193
18
22
22
5.03
6.89
6.89
0.29
0.28
0.21
0.21
0.11
GBP
2770298
12036.34
9308
9308
1468
1668
1668
548.60
826.37
826.37
28.19
23.76
18.71
18.71
23.07
CHF
1069323
11302.06
4148
4148
879
844
844
422.09
560.69
560.69
21.41
18.40
16.12
16.12
22.77
CAD
1638689
17043.62
7901
7901
1862
2073
2073
795.38
870.10
870.10
15.16
15.16
13.86
13.86
24.48
AUD
1457007
6845.162
2833
2833
630
701
701
250.06
336.12
336.12
22.19
17.81
16.51
16.51
23.22
HKD
1731677
3400.73
1701
1701
364
405
405
274.80
269.60
269.60
1.37
1.50
1.40
1.40
2.97
MSCI EM
USD
7701703
1416.96
7066542
7066542
196
195
195
85.16
95.99
95.99
12.07
13.13
10.70
10.70
19.56
CAD
420
182
391
135
CAD
388
105
USD
627
860
296
CAD
464
20
60
CAD
565
109
97
AUD
340
1587
151
CAD
348
53
144
ST BARBARA LTD
AUD
303
3350
CAD
293
AUD
S&P LT Credit
Rating Date
Moody's LT
Credit
Moody's LT Credit
Rating
Rating Date
0.58
342
343
496
631
135
0.00
0.15
0.20
981.35
981.35
6.53
4.97
136.18
212.47
38.96
0.32
159
159
173
200
70
70
17
17
0.27
0.27
0.24
0.30
11.37
11.37
12.58
10.13
45.89
90.36
44.32
66.64
43.46
0.56
27
150
217
-92
-72
-0.19
-0.20
0.10
0.17
22.74
12.71
-54.81
-266.78
0.42
-13
-13
-1
-1
-0.22
-0.22
-0.13
-0.14
-40.54
0.46
181
181
211
277
77
77
17
17
0.53
0.51
0.36
0.66
11.07
11.07
15.65
8.62
16.69
6.27
41.89
0.48
369
385
360
413
170
0.54
0.36
0.31
0.37
6.45
7.57
6.26
110.99
87.07
151.68
0.34
154
154
210
230
68
68
19
19
0.25
0.25
0.32
0.32
9.68
9.68
7.57
7.43
87.22
59.45
43.43
325
0.46
560
539
553
653
232
208
0.42
0.28
0.09
0.17
2.27
7.13
3.67
52.22
28.77
108.51
87.42
39.84
15.03.2013
325
149
0.27
-12
-12
-0.15
-0.16
-0.07
-0.07
-5.28
-1311.61
296
6775
402
0.26
103
118
143
177
49
60
73
73
0.05
0.08
0.08
0.11
9.06
9.41
-13.85
5.41
52.41
USD
298
72
0.29
-5
-5
-16.99
HKD
1032
907
0.50
176
176
153
153
0.12
0.12
0.95
0.95
4.55
7.02
11.19
USD
272
285
259
0.31
551
551
125
126
26
26
-0.05
-0.14
0.00
0.16
16.89
19.35
35.80
22.85
CAD
258
282
585
0.19
-12
-12
-8
-8
-0.02
-0.02
-0.01
-0.01
22.29
BANRO CORPORATION
CAD
307
429
202
0.43
42
42
158
385
-0.02
-0.02
0.08
0.56
2.12
14.01
CAD
237
183
106
0.25
41
283
-33
-33
-7
-7
-0.28
-0.28
-0.12
0.82
2.64
-12.10
CAD
228
29
100
0.13
-64
-64
-0.72
-0.72
-0.19
-298.45
CAD
244
124
243
0.22
-12
-4
-0.06
-0.04
-0.03
-0.03
-36.12
CAD
216
13
76
0.03
-35
-35
-0.48
-0.26
-0.19
-0.15
7.26
CAD
237
25
92
0.17
-31
-31
-0.34
-0.33
-0.17
-0.07
-5.84
USD
232
128
0.22
-18
-18
-8
-8
-0.04
-0.04
-59.56
-54.62
-29165.25
CAD
225
81
70
0.28
158
138
259
55
24
16
16
0.56
-0.01
-0.03
0.51
54.12
61.89
109.74
17.39
CAD
222
91
95
0.19
410
-8
-8
-0.09
-0.10
-0.08
-0.09
19.41
GBp
413
285
325
0.56
545
545
712
251
251
248
248
0.59
0.59
0.42
0.51
5.22
5.22
26.65
38.35
5.22
63.72
71.23
INDOPHIL RESOURCES NL
AUD
330
406
1203
0.09
-18
-18
0.00
0.00
58.17
-128.09
CAD
195
22
127
0.10
-0.05
-0.05
-0.04
-0.03
CAD
206
20
174
0.09
-12
-12
-0.08
-0.08
-0.03
-0.02
-18.52
CAD
163
237
416
0.26
132
132
198
267
38
38
-0.22
-0.23
-0.01
0.04
9.53
99.77
412.60
28.20
USD
153
210
0.22
118
118
157
168
48
48
0.13
0.14
5.10
4.94
63.78
239.92
60.49
41.21
USD
141
116
0.12
61
61
60
66
16
16
0.06
0.08
17.15
12.86
5.74
36.44
-28.90
25.56
AUD
152
2760
555
0.15
-49
-49
-0.12
-0.14
-0.01
-0.02
-22.44
USD
132
31
82
0.04
-36
-34
-6
-6
-0.54
-0.50
-0.25
-0.23
-26.58
USD
128
71
0.11
85
85
112
25
25
-0.08
0.08
87.81
444.74
160.76
30.03
CAD
129
40
104
0.11
-1
-1
-0.08
-0.07
-0.05
-0.05
CAD
94
86
198
0.06
45
45
14
14
0.04
0.04
0.05
0.13
11.87
11.87
-24.73
-51.22
30.62
USD
125
31
128
0.09
-14
-14
-0.12
-0.13
-0.11
-0.12
21.14
GBp
162
1459
736
0.16
-50
-41
-0.07
-0.05
AUD
85
1851
348
0.03
-8
-8
-0.01
-0.02
-0.02
51.03
USD
254
11
1764
1959
2129
2546
371
400
526
526
7.97
12.05
4.94
27.89
7.86
64.25
12.94
20.40
RED 5 LTD
AUD
87
68
135
0.10
17
52
131
-3
-5
-0.01
-0.07
-0.05
0.31
2.14
44.83
-30.53
HKD
228
397
770
0.70
824
824
892
850
95
95
97
97
0.03
0.03
0.02
0.02
1.12
1.07
1.30
1.27
1.51
2.37
-1.33
0.92
1.49
USD
99
31
0.07
-56
-56
-0.10
-0.07
-463.04
AUD
89
15969
595
0.10
190
193
218
247
65
54
64
64
0.04
-0.02
0.04
0.07
4.41
2.20
18.66
6.31
28.72
USD
80
16
88
0.02
-26
-26
-0.29
-0.29
-0.13
-0.11
17.44
USD
82
20
40
0.02
102
104
111
135
-0.08
-0.09
0.29
0.43
7.29
4.89
-14.20
30.03
-79.79
8.26
7.56
AUD
70
1496
336
0.03
87
120
132
173
13
-11
26
26
0.01
-0.06
0.01
0.09
25.85
2.43
-44.52
180.96
-91.22
9.01
-9.39
GOLDEN MINERALS CO
USD
78
48
43
0.03
26
26
36
56
-35
-35
-6
-6
-1.44
-1.51
-0.74
-0.29
1320.81
45.58
-133.08
CAD
63
158
335
0.05
141
141
129
168
36
36
-0.04
-0.03
-0.05
-0.02
24.29
115.45
185.88
24.98
CAD
63
31
86
0.05
-28
-28
-0.06
-0.08
-0.15
-0.08
9.64
CAD
64
303
382
0.25
166
166
15
15
10
10
-0.08
-0.09
-0.06
0.03
21.94
867.42
8.69
540
152
594
77
80
172
585
112
209
-0.04
S&P LT
Credit
Rating -
8.62
6.46
6.52
15.88
6.25
7.20
5.99
25.85
8.96
7.46
3.65
5.56
Target
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
%D to Spot
2.23
2.23
2.05
1.87
2.23
1.44
1.44
1.38
1.33
1.44
10.03
10.03
9.39
9.69
10.03
9.01
9.01
8.34
7.81
9.01
14.46
14.46
13.01
11.80
14.46
2.18
2.18
2.34
2.52
2.18
1719.1
7.9%
Euro Stoxx 50 Pr
1.18
1.18
1.12
1.05
1.18
0.76
0.76
0.74
0.72
0.76
5.89
5.89
5.46
4.90
5.89
7.21
7.21
6.82
6.47
7.21
11.57
11.57
10.33
9.43
11.57
4.21
4.21
4.52
4.84
4.21
2915.9
7.1%
NIKKEI 225
1.57
1.57
1.47
1.41
1.57
0.74
0.74
0.72
0.71
0.74
9.11
9.11
8.48
8.25
9.11
8.93
8.93
8.32
7.94
8.93
20.64
20.64
16.38
14.55
20.64
1.51
1.51
1.72
1.87
1.51
13153.7
-5.1%
1.71
1.71
1.59
1.38
1.71
1.07
1.07
1.04
1.01
1.07
8.45
8.45
7.68
6.11
8.45
7.22
7.22
6.78
6.38
7.22
12.08
12.08
10.98
10.07
12.08
3.86
3.86
4.14
4.52
3.86
6931.4
7.5%
2.41
2.41
2.26
2.06
2.41
2.04
2.04
1.94
1.85
2.04
12.46
12.46
11.35
10.03
12.46
13.40
13.40
12.40
11.60
13.40
15.09
15.09
13.54
12.32
15.09
3.24
3.24
3.59
4.10
3.24
8289.2
4.7%
1.65
1.65
1.53
1.43
1.65
1.54
1.54
1.46
1.37
1.54
8.22
8.22
7.42
6.84
8.22
8.22
8.22
7.30
6.86
8.22
14.00
14.00
12.39
11.38
14.00
3.23
3.23
3.39
3.59
3.23
14254.0
15.8%
1.97
1.97
1.87
1.77
1.97
1.89
1.89
1.78
1.69
1.89
11.76
11.76
10.47
9.56
11.76
9.77
9.77
8.63
7.97
9.77
15.97
15.97
14.26
13.07
15.97
4.24
4.24
4.53
4.88
4.24
5163.8
-0.5%
1.35
1.35
1.24
1.14
1.35
1.72
1.72
1.59
1.47
1.72
8.08
8.08
7.58
7.25
8.08
8.39
8.39
7.65
7.05
8.39
10.87
10.87
9.98
9.03
10.87
3.56
3.56
3.85
4.24
3.56
24857.0
9.3%
MSCI EM
1.44
1.44
1.31
1.21
1.44
0.00
0.00
0.00
0.00
0.00
6.95
6.95
6.42
6.05
6.95
7.28
7.28
6.64
6.27
7.28
10.70
10.70
9.62
8.97
10.70
3.11
3.11
3.56
3.46
3.11
1190.5
15.9%
GOLDCORP INC
1.02
0.98
0.94
0.89
4.20
4.21
3.37
3.12
3.18
9.90
10.61
7.85
6.51
5.17
7.87
8.34
5.99
5.25
5.00
14.21
18.26
12.82
11.01
8.72
1.91
2.12
2.11
2.13
2.13
39.80
41.2%
0.74
0.80
0.75
0.67
1.36
1.41
1.31
1.30
1.23
3.50
4.04
3.66
3.39
3.02
4.61
5.25
4.71
4.45
3.89
5.05
6.00
5.53
5.65
4.47
3.91
4.19
4.21
4.10
5.73
29.23
52.1%
1.15
1.08
1.00
0.94
1.59
1.66
1.42
1.45
5.24
5.80
4.74
4.78
5.58
6.25
4.93
5.21
6.73
8.89
10.57
8.33
8.98
9.42
4.54
4.80
4.89
4.39
4.44
44.40
40.5%
2.79
2.42
2.08
1.79
5.30
4.82
3.70
3.62
3.49
12.40
11.12
7.95
7.09
8.87
9.70
9.72
6.26
5.86
6.10
16.69
16.86
10.71
11.24
12.46
0.60
0.65
1.36
0.57
111.36
41.3%
1.12
1.09
1.01
0.96
3.72
3.31
2.78
2.88
2.58
8.24
7.64
6.22
6.08
4.75
7.11
6.31
5.02
5.33
4.29
12.86
13.84
10.35
11.76
7.07
2.04
2.08
2.11
2.04
17.98
53.2%
0.80
0.92
0.85
0.78
0.96
1.65
1.56
1.49
2.92
4.57
4.54
4.17
5.65
10.89
8.53
7.49
5.54
2.89
3.20
3.84
8.53
19.9%
2.68
2.40
2.14
1.92
10.23
8.36
7.42
7.15
12.39
11.17
10.13
9.59
14.27
14.87
13.40
13.32
1.58
2.01
2.18
2.39
40.83
72.8%
1.21
1.11
0.97
0.87
1.07
1.08
1.04
1.07
3.81
3.50
3.30
3.72
6.22
8.67
7.12
7.59
2.26
1.44
1.40
1.44
29.82
60.5%
1.40
1.17
1.03
0.96
3.55
3.17
2.94
3.09
12.21
12.96
11.05
6.96
7.30
7.17
8.08
3.10
2.99
3.43
3.05
28.22
42.7%
1.41
1.26
1.18
1.10
4.75
3.68
3.53
3.48
3.87
12.36
8.99
7.78
7.02
12.62
65.0%
1.53
1.52
1.47
1.40
2.77
3.07
2.56
2.57
2.44
7.53
10.37
7.62
0.88
0.86
0.83
0.78
4.56
4.02
3.46
2.54
1.87
11.34
10.41
0.46
0.60
0.57
0.56
1.41
1.50
1.41
1.52
1.32
4.24
1.74
1.43
1.39
1.30
12.61
11.29
8.69
6.44
0.50
0.48
0.47
0.46
1.12
1.14
0.85
0.78
IAMGOLD CORP
0.51
0.50
0.48
0.48
1.17
1.17
1.06
1.08
0.67
0.68
0.64
0.60
2.00
1.84
1.72
2.24
5.27
3.72
0.61
0.59
0.54
0.50
1.66
0.66
0.62
0.61
0.60
0.50
1.52
1.41
1.01
0.81
HECLA MINING CO
0.82
0.77
0.73
0.64
1.21
1.08
0.96
0.85
1.79
1.78
0.55
0.51
0.50
1.55
5.46
7.76
11.22
9.22
8.11
8.17
6.10
9.75
2.63
6.60
7.51
6.66
7.27
7.64
9.60
6.72
5.89
5.74
6.02
18.84
17.21
14.44
13.17
15.82
0.00
0.00
7.06
6.53
7.04
9.23
6.51
6.54
4.55
14.60
28.79
17.31
16.05
14.42
2.49
2.75
2.73
2.68
2.60
43.05
39.9%
8.22
5.81
3.23
8.79
7.72
6.36
4.56
3.08
16.08
16.16
12.53
9.05
5.58
1.96
1.82
2.25
3.12
2.85
13.06
77.0%
4.66
3.93
4.35
3.71
3.45
4.18
3.48
3.77
2.84
7.22
11.71
8.97
9.89
7.03
3.00
2.91
2.89
3.00
3.00
8.77
64.6%
17.29
18.15
13.80
9.94
12.78
11.42
8.85
6.77
30.65
33.58
23.50
15.86
1.02
1.35
1.47
1.58
79.47
48.1%
4.52
3.83
3.19
3.92
6.39
10.63
5.38
13.67
2.74
1.37
2.93
1.46
8.05
66.3%
1.02
3.57
4.51
3.63
3.75
3.13
2.47
2.79
2.36
2.55
2.14
5.90
9.93
7.53
8.43
6.75
5.00
4.84
4.57
4.51
4.92
9.84
93.6%
1.71
1.37
7.05
7.23
6.68
7.21
4.36
3.70
3.61
3.14
3.40
1.84
10.02
12.81
10.73
12.52
7.24
1.41
3.43
3.27
2.96
3.97
18.65
48.2%
2.56
2.23
1.97
9.60
8.20
6.15
5.09
3.97
7.76
6.11
4.24
3.84
3.10
12.35
14.00
9.03
7.54
6.38
19.36
63.3%
1.59
1.41
1.40
1.22
4.93
5.16
4.24
4.01
3.97
3.83
2.85
2.67
13.39
20.10
10.93
8.49
23.49
61.0%
3.94
4.10
2.97
2.57
2.19
12.35
9.17
6.40
6.01
4.84
5.76
5.76
3.82
3.23
2.53
12.50
18.47
12.29
11.76
9.41
0.63
4.43
2.44
1.64
1.19
0.56
11.84
8.24
4.49
2.49
1.67
12.02
6.10
3.29
2.31
1.32
19.81
11.90
6.19
3.11
2.02
0.56
2.83
1.87
1.49
1.64
1.48
10.38
6.78
5.18
4.79
4.66
6.79
3.39
2.30
2.26
2.35
30.00
15.07
8.64
8.10
8.24
1.23
1.14
1.85
2.47
2.83
4.89
2.70
3.15
4.16
5.36
8.70
3.92
4.62
8.04
2.65
2.65
2.65
2.65
20.47
24.95
16.54
15.45
14.69
0.00
36.43
36.62
0.00
1.06
0.47
0.52
0.48
3.07
3.37
2.61
2.83
2.71
9.81
10.54
7.63
7.91
6.54
5.03
5.21
3.52
2.33
2.47
2.22
1.97
1.13
14.11
12.02
10.83
7.48
7.18
4.85
5.34
3.76
2.98
0.00
3.66
0.00
2.82
3.26
3.94
1.23
0.00
7.46
49.2%
23.97
124.0%
5.09
57.1%
5.19
38.9%
4.69
12.1%
16.04
124.7%
43.82
308.4%
0.63
0.65
0.60
0.95
0.50
0.52
0.70
0.00
0.49
0.01
1.57
1.07
0.96
0.93
5.04
1.48
1.44
1.44
1.29
1827.72
16.36
0.79
0.74
0.68
0.63
1.76
1.55
1.29
0.99
0.50
0.47
0.45
0.37
1.78
0.34
2.88
2.31
0.03
0.83
2.34
3.05
2.04
1.91
1.38
0.20
4.24
3.17
2.76
2.66
1.65
0.62
9.10
9.51
7.38
5.39
3.23
3.09
1.70
1.14
3.87
1.99
1.54
1.08
11.49
8.92
6.86
5.20
2.24
21.88
6.52
4.61
1.07
2.23
1.59
51.0%
0.71
0.00
6.98
330.9%
8.70
11.52
81.7%
2.56
93.7%
3.62
31.2%
2.36
66.2%
10.25
11.38
7.95
6.58
6.37
7.02
6.76
4.93
6.50
10.94
2.14
4.97
3.19
11.34
15.72
11.32
8.94
20.72
1.06
6.84
0.79
1.71
0.35
10.15
7.78
4.40
2.69
13.96
15.21
10.73
8.31
3.26
7.52
7.40
4.60
3.02
9.86
4.60
3.40
1.96
12.92
9.61
6.62
5.65
2.22
190.83
88.08
44.04
13.35
17.29
14.63
12.57
10.88
10.30
6.73
3.89
25.34
27.37
17.68
12.30
12.23
58.4%
3.17
48.0%
5.39
64.9%
11.36
82.6%
6.09
64.1%
4.69
12.1%
4.81
0.48
0.47
0.62
11.75
0.00
0.00
0.22
3.21
OCEANAGOLD CORP
1.03
0.95
0.91
0.86
0.98
1.60
1.05
0.95
1.00
1.22
5.15
3.09
2.78
2.52
4.16
5.51
3.19
3.07
3.31
5.59
33.15
8.69
6.24
7.99
2.02
1.62
1.14
0.87
0.71
7.06
5.32
2.31
2.09
1.86
11.71
4.86
3.18
2.74
2.74
9.65
7.58
3.04
2.76
2.61
10.88
7.87
3.47
3.18
3.15
2.98
0.98
3.40
1.02
0.92
0.73
0.67
2.21
1.65
1.41
1.50
6.33
5.43
4.70
4.00
5.45
3.55
2.59
2.30
10.32
8.08
7.54
6.98
5.98
0.00
0.00
0.00
2.86
2.10
2.03
9.53
2.09
1.90
1.75
1.61
20.84
5.86
5.89
5.45
5.37
22.86
3.32
3.79
3.10
30.92
7.06
6.77
6.02
6.89
0.00
0.00
3.07
3.37
2.61
2.83
2.71
9.81
10.54
7.63
7.91
6.54
5.03
5.21
3.52
20.47
24.95
16.54
15.45
14.69
2.46
2.03
1.74
1.77
6.11
5.53
4.55
4.88
5.45
4.70
3.27
11.60
10.43
8.06
8.76
43.36
43.00
40.47
2.62
5.27
4.61
8.29
7.61
1.98
2.39
1.88
1.44
1.34
4.09
5.23
4.24
2.84
3.21
2.83
4.58
3.02
2.44
2.16
6.06
10.35
7.06
4.96
5.77
3.15
3.47
1.46
1.11
0.97
0.97
0.99
3.51
3.39
2.99
2.94
2.84
4.06
3.05
2.41
2.43
2.53
9.47
11.08
7.39
7.22
7.17
0.00
0.92
1.95
3.88
2.79
2.34
12.09
14.78
7.70
5.22
4.11
13.30
8.58
7.27
0.75
2.26
3.76
1.79
1.78
1.10
0.63
0.61
0.55
1.48
1.21
1.02
0.50
0.49
3.71
2.88
2.00
7.80
5.11
2.19
4.43
0.00
0.00
5.94
2.36
2.26
5.97
3.26
1.57
1.24
1.07
0.97
0.83
0.70
0.50
100.56
1.76
1.65
1.87
2.12
1.01
0.93
1.02
0.97
0.99
3.04
4.43
3.33
4.70
2.73
3.35
2.84
3.41
2.07
4.23
3.69
4.83
7.59
2.00
2.31
2.01
1.92
4.40
8.75
72.2%
11.81
145.6%
4.83
177.8%
6.18
118.9%
1.21
24.6%
1.70
27.8%
43.82
308.4%
4.83
4.10
5.38
5.30
0.00
0.00
0.14
1.84
4.26
1.02
44.0%
4.17
5.52
5.43
5.82
0.00
5.03
2.62
3.25
5.24
1.32
38.7%
Target
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
2014
2015
2016
2017
2013
%D to Spot
2.23
2.23
2.05
1.87
2.23
1.44
1.44
1.38
1.33
1.44
10.03
10.03
9.39
9.69
10.03
9.01
9.01
8.34
7.81
9.01
14.46
14.46
13.01
11.80
14.46
2.18
2.18
2.34
2.52
2.18
1719.1
7.9%
Euro Stoxx 50 Pr
1.18
1.18
1.12
1.05
1.18
0.76
0.76
0.74
0.72
0.76
5.89
5.89
5.46
4.90
5.89
7.21
7.21
6.82
6.47
7.21
11.57
11.57
10.33
9.43
11.57
4.21
4.21
4.52
4.84
4.21
2915.9
7.1%
NIKKEI 225
1.57
1.57
1.47
1.41
1.57
0.74
0.74
0.72
0.71
0.74
9.11
9.11
8.48
8.25
9.11
8.93
8.93
8.32
7.94
8.93
20.64
20.64
16.38
14.55
20.64
1.51
1.51
1.72
1.87
1.51
13153.7
-5.1%
1.71
1.71
1.59
1.38
1.71
1.07
1.07
1.04
1.01
1.07
8.45
8.45
7.68
6.11
8.45
7.22
7.22
6.78
6.38
7.22
12.08
12.08
10.98
10.07
12.08
3.86
3.86
4.14
4.52
3.86
6931.4
7.5%
2.41
2.41
2.26
2.06
2.41
2.04
2.04
1.94
1.85
2.04
12.46
12.46
11.35
10.03
12.46
13.40
13.40
12.40
11.60
13.40
15.09
15.09
13.54
12.32
15.09
3.24
3.24
3.59
4.10
3.24
8289.2
4.7%
1.65
1.65
1.53
1.43
1.65
1.54
1.54
1.46
1.37
1.54
8.22
8.22
7.42
6.84
8.22
8.22
8.22
7.30
6.86
8.22
14.00
14.00
12.39
11.38
14.00
3.23
3.23
3.39
3.59
3.23
14254.0
15.8%
1.97
1.97
1.87
1.77
1.97
1.89
1.89
1.78
1.69
1.89
11.76
11.76
10.47
9.56
11.76
9.77
9.77
8.63
7.97
9.77
15.97
15.97
14.26
13.07
15.97
4.24
4.24
4.53
4.88
4.24
5163.8
-0.5%
1.35
1.35
1.24
1.14
1.35
1.72
1.72
1.59
1.47
1.72
8.08
8.08
7.58
7.25
8.08
8.39
8.39
7.65
7.05
8.39
10.87
10.87
9.98
9.03
10.87
3.56
3.56
3.85
4.24
3.56
24857.0
9.3%
MSCI EM
1.44
1.44
1.31
1.21
1.44
0.00
0.00
0.00
0.00
0.00
6.95
6.95
6.42
6.05
6.95
7.28
7.28
6.64
6.27
7.28
10.70
10.70
9.62
8.97
10.70
3.11
3.11
3.56
3.46
3.11
1190.5
15.9%
1.20
0.86
0.67
0.63
0.41
2.43
2.54
2.06
1.87
0.92
4.05
2.87
2.39
2.00
1.94
6.65
6.67
5.02
4.46
1.73
2.76
168.0%
1.60
1.31
1.12
0.96
0.85
2.29
2.22
1.92
1.81
5.78
6.20
5.39
4.78
5.00
4.61
4.05
3.20
2.97
3.48
11.24
12.70
10.24
8.53
9.39
4.80
53.4%
0.67
0.61
0.55
4.18
2.89
2.02
15.43
48.00
18.00
8.00
10.17
6.70
4.06
2.67
24.00
22.74
12.71
8.64
5.45
152.3%
14.25
82.7%
3.05
2.65
2.02
1.56
1.28
6.27
7.64
5.30
4.41
3.08
5.40
4.39
2.77
2.14
1.51
11.76
15.84
8.71
6.24
5.00
0.00
0.00
8.59
46.3%
0.90
0.94
0.82
0.66
0.50
2.69
2.44
1.73
1.48
1.41
2.71
3.67
2.86
2.02
1.54
3.61
7.32
6.05
6.35
3.33
9.95
6.06
9.81
3.38
56.4%
2.20
1.65
1.51
1.49
1.46
6.18
5.36
5.26
5.24
4.58
4.60
3.48
3.30
3.72
3.58
8.78
7.62
7.51
7.06
6.15
0.00
0.00
0.00
0.54
0.55
0.46
0.42
0.49
0.91
2.46
1.47
1.27
1.61
2.04
2.73
1.78
1.71
1.84
1.66
6.90
3.55
3.49
4.80
0.00
0.00
2.00
3.00
2.67
2.08
1.67
1.63
1.02
6.68
4.50
3.61
3.43
3.38
4.81
3.52
2.59
2.50
2.45
12.05
8.33
6.25
5.67
9.51
0.00
4.44
4.30
1.48
0.50
0.47
0.45
0.37
3.05
2.04
1.91
1.38
2.66
1.65
2.14
2.24
21.88
6.52
4.61
2.23
2.72
1.26
9.80
2.94
1.35
1.53
1.75
2.21
1.86
1.95
3.31
3.56
3.90
4.13
0.98
1.06
1.02
0.87
0.43
0.39
0.36
0.34
2.18
1.65
1.27
1.41
ST BARBARA LTD
0.36
0.29
0.27
0.24
0.28
0.70
3.07
2.35
1.86
1.56
1.53
0.60
0.70
0.00
0.29
155.62
2.60
11.81
21.20
0.00
3.85
3.46
41.9%
1.31
118.2%
5.57
181.3%
1.01
49.3%
1.44
0.63
0.65
0.26
1.10
BANRO CORPORATION
4.52
0.73
2.08
0.87
2.18
0.49
6.97
0.85
0.60
6.04
1.93
0.79
0.75
0.74
5.71
0.83
0.83
0.85
230.87
231.87
1.03
2.34
110.84
3.36
4.90
20.03
1.77
5.35
5.69
0.76
0.76
6.86
2.44
0.95
0.97
1.74
3.30
7.58
0.97
0.84
0.83
0.90
0.74
0.46
0.39
0.33
1.37
0.53
0.48
0.43
0.39
0.34
2.60
1.76
0.69
0.27
0.17
0.26
1.21
1.50
1.08
0.00
14.71
243.03
6.85
2.23
2.00
20.90
1.22
1.13
2.09
16.11
2.14
2.25
3.14
0.82
0.00
2.67
2.24
2.24
0.00
0.00
2.19
0.91
0.00
0.00
0.90
2.76
0.87
0.63
0.49
0.54
1.08
0.90
0.90
0.90
0.90
1.91
1.24
4.24
3.08
10.22
3.62
3.60
2.93
1.83
1.19
2.71
1.62
2.76
2.27
7.32
1.96
4.79
5.06
8.91
3.12
0.61
4.44
2.34
9.66
2.27
2.72
1.84
1.81
1.40
1.62
1.29
1.81
1.91
0.00
0.00
4.90
5.72
0.00
0.00
1.14
4.45
4.07
6.32
4.65
3.87
2.68
1.94
4.43
2.29
4.02
4.32
20.32
12.45
0.00
5.81
4.95
5.18
5.65
6.28
1.59
51.0%
1.48
232.6%
2.60
111.4%
6.76
201.8%
6.61
186.1%
1.72
89.2%
4.62
79.7%
4.01
54.3%
3.70
135.7%
9.81
202.8%
5.33
199.4%
139.58
70.2%
3.71
139.6%
4.28
256.3%
INDOPHIL RESOURCES NL
0.00
0.27
1.17
0.82
0.61
0.62
0.50
3.76
2.56
1.80
1.70
1.13
8.10
3.25
2.08
2.45
1.48
1.27
0.99
0.91
0.77
0.57
2.87
2.32
2.26
2.05
1.61
4.06
2.63
2.16
1.86
1.96
2.29
2.36
2.15
7.74
8.57
6.86
5.14
5.42
6.41
0.91
1.08
1.13
0.96
0.95
0.50
0.52
1.44
1.28
1.17
1.10
1.27
2.18
1.48
1.46
0.38
0.39
0.36
0.32
0.64
1.45
4619.61
2.02
1.68
1.17
1.15
4.75
0.65
1.78
0.34
0.94
0.80
0.84
1.07
1.40
0.49
6.08
7.18
1.23
211.7%
6.77
5.13
4.91
3.55
3.03
1.46
120.2%
15.83
17.15
12.86
20.58
34.30
1.50
47.3%
0.00
0.62
5.70
7.16
1.91
9.63
5.08
3.58
3.48
1.73
2.79
2.05
1.02
1.07
9.84
5.39
8.71
3.84
6.18
36.93
2.24
48.95
12.00
18.99
2.07
1.91
0.44
25.85
9.06
3.69
12.92
0.00
0.00
0.00
0.24
-9.4%
0.71
6.98
330.9%
4.92
3.52
71.5%
3.53
206.5%
1.93
302.8%
1.86
92.0%
0.65
217.1%
8.40
27.3%
83.9%
2.29
6.53
0.18
33.32
108.02
60.01
1.08
0.90
RED 5 LTD
0.62
0.58
0.47
0.37
6.09
1.68
0.66
0.63
0.57
0.56
0.54
0.53
0.20
0.20
0.21
0.24
0.44
0.62
0.37
0.48
0.32
0.28
9.25
1.20
1.51
1.37
4.02
7.46
1.01
20.24
6.25
1.18
1.03
6.75
7.17
6.66
7.01
0.55
22.96
6.74
10.11
1.75
0.00
0.00
0.00
5.03
6.70
0.00
0.00
0.00
0.00
1.14
4.07
3.30
3.02
2.20
2.14
-6.6%
4.72
367.7%
0.30
103.4%
3.45
279.3%
4.69
127.9%
4.94
2.07
1.62
9.83
13.48
1.00
0.00
0.00
0.24
0.20
0.47
0.41
0.36
0.30
0.30
1.51
1.54
1.31
1.01
1.21
1.55
1.53
1.13
0.82
0.79
3.30
4.26
2.13
1.75
1.48
0.00
0.00
0.00
7.59
13.79
1.47
0.42
0.25
GOLDEN MINERALS CO
SAN GOLD CORP
0.40
3.79
0.00
7.88
5.61
0.27
0.29
0.24
0.22
0.78
0.74
0.61
0.72
0.53
0.40
0.44
3.13
2.18
1.40
1.02
0.45
0.49
0.38
0.15
0.34
7.42
3.46
2.63
9.09
6.25
1.83
1.82
28.69
1.89
1.33
1.50
1.64
1.90
0.75
0.31
0.37
0.31
0.19
1.57
1.12
1.87
0.84
0.56
0.50
7.29
4.89
5.41
25.00
2.35
0.61
1.46
1.79
1.57
5.64
2.41
0.52
19.79
1.15
3.44
2.21
3.62
6.65
25.25
5.26
2.74
2.50
5.62
5.62
3.33
0.00
0.00
2.00
3.00
10.00
0.34
67.5%
4.85
168.5%
0.31
63.2%
9.17
2.57
247.6%
1.69
0.70
311.8%
30.04.2013
Goldcorp Inc
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.
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GG US EQUITY YTD Change
GG US EQUITY YTD % CHANGE
12/2012
12/yy
47.42
27.11
2'731'668.00
28.18
-40.72%
3.95%
8.47%
811.7
23'157.77
783.00
0.0
213.0
918.00
23'235.77
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
31.12.2009
31.12.2010
2'723.6
3'738.0
10.50x
9.95x
1'366.2
2'026.0
20.94x
18.36x
240.2
2'051.0
50.85x
30.36x
Profitability
LTM-4Q
31.12.2011
5'362.0
6.61x
2'336.0
15.18x
1'187.0
22.24x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
5'435.0
5.50x
2'798.0
10.69x
1'749.0
18.47x
2'798.00
2'123.00
39.06%
41.44%
5.77%
7.95%
7.72%
0.18%
44.6%
51.5%
39.1%
32.2%
2.15
1.39
2.51%
3.45%
8.83
4.65
12/yy
5'362
28.06x
3'030.0
11.71x
1'881.0
22.92x
20.0 M
15.0 M
10.0 M
5.0 M
j-12
j-12
a-12
s-12
LTM
12/yy
5'435
24.57x
2'798.0
10.69x
1'749.0
19.41x
o-12
n-12
d-12
j-13
f-13
m-13
.0 M
a-13
FY+1
1.92
0.73
808.91
5.19
-25.20%
-22.75%
0.727
27
4.333
7'859'788
7'606'458
6'880'145
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
5'511
6'878
1'351
1'305
4.43x
3.49x
17.38x
18.22x
2'789.2
3'880.4
718.6
669.1
8.34x
5.99x
8.00x
8.04x
1'320.8
1'969.3
311.3
263.3
18.26x
12.82x
17.15x
15.65x
S&P Issuer Ratings
01.06.2009
BBB+
STABLE
93.27
6.33
-0.05
0.28
3.4%
3.3%
0.18
0.21
41.45
78.74
87.16
33.03
Sales/Revenue/Turnover
30.00
6'000.0
25.00
5'000.0
20.00
4'000.0
15.00
3'000.0
10.00
2'000.0
5.00
1'000.0
0.00
01.01.2010
25.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
50
45
40
35
30
25
20
15
10
5
0
a-12 m-12
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Goldcorp Inc
Holdings By:
All
Holder Name
BLACKROCK
FMR LLC
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
BMO FINANCIAL CORP
FIRST EAGLE INVESTME
CARMIGNAC GESTION
FRANKLIN RESOURCES
TD ASSET MANAGEMENT
CI INVESTMENTS INC
CIBC WORLD MARKETS I
TORONTO DOMINION BAN
IA CLARINGTON INVEST
CIBC GLOBAL ASSET MA
CAISSE DE DEPOT ET P
GREYSTONE MANAGED IN
FIERA CAPITAL CORPOR
SUN LIFE FINANCIAL I
NORGES BANK
WELLINGTON MANAGEMEN
Firm Name
Jefferies
HSBC
Stifel
Macquarie
Scotia Capital
TD Securities
Barclays
Deutsche Bank
Credit Suisse
Davenport & Co
Cormark Securities Inc.
RBC Capital Markets
JPMorgan
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
Cowen Securities LLC
GMP
Salman Partners
EVA Dimensions
Mackie Research Capital Corp.
Veritas Investment Research Co
Morgan Stanley
Raymond James
Portfolio Name
n/a
n/a
n/a
n/a
BMO FINANCIAL CORP
FIRST EAGLE INVESTME
CARMIGNAC GESTION
n/a
TD ASSET MANAGEMENT
Multiple Portfolios
CIBC WORLD MARKETS I
TORONTO DOMINION BAN
Multiple Portfolios
CIBC GLOBAL ASSET MA
CAISSE DE DEPOT ET P
GREYSTONE MANAGED IN
FIERA CAPITAL CORPOR
n/a
NORGES BANK
WELLINGTON MANAGEMEN
Analyst
PETER D WARD
PATRICK CHIDLEY
GEORGE J TOPPING
TONY LESIAK
TANYA M JAKUSCONEK
GREG BARNES
FAROOQ HAMED
JORGE M BERISTAIN
ANITA SONI
LLOYD T O'CARROLL
RICHARD GRAY
STEPHEN D WALKER
JOHN BRIDGES
DAVID HAUGHTON
STEVEN BUTLER
ALEC KODATSKY
ADAM P GRAF
GEORGE V ALBINO
DAVID WEST
CRAIG STERLING
BARRY D ALLAN
PAWEL RAJSZEL
PARETOSH MISRA
BRAD HUMPHREY
Source
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
ULT-AGG
13F
MF-AGG
13F
13F
MF-AGG
13F
13F
13F
13F
ULT-AGG
13F
13F
Recommendation
hold
overweight
buy
outperform
sector outperform
buy
overweight
hold
neutral
buy
buy
outperform
overweight
outperform
buy
sector outperform
hold
buy
top pick
hold
buy
sell
Equalwt/In-Line
Under Review
Amt Held
95'391'332
32'937'156
31'593'509
22'991'630
19'122'015
18'417'273
17'580'357
15'796'349
15'632'925
12'996'285
11'582'812
11'409'803
8'426'680
7'362'990
7'239'262
7'106'968
6'835'256
6'162'583
5'776'522
5'736'927
% Out
11.75
4.06
3.89
2.83
2.36
2.27
2.17
1.95
1.93
1.6
1.43
1.41
1.04
0.91
0.89
0.88
0.84
0.76
0.71
0.71
Weighting
Change
3
5
5
5
5
5
5
3
3
5
5
5
5
5
5
5
3
5
5
3
5
1
3
#N/A N/A
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
U
M
M
M
N
Latest Chg
(9'098'135)
(836'637)
1'883'662
(574'672)
7'264'832
17'580'357
5'676'487
5'971'920
(440'597)
(224'052)
1'401'951
(27'800)
699'268
(4'220'800)
(2'294'891)
1'053'271
(935'880)
1'267'153
(2'008'888)
Target Price
27
35
36
39
41
37
40
28
37
35
42
36
50
49
46
46
#N/A N/A
60
59
#N/A N/A
48
33
#N/A N/A
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Bank
31.03.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Government
31.12.2012
Investment Advisor
Date
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
12 month
12 month
6 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
Date
30.04.2013
28.04.2013
26.04.2013
25.04.2013
23.04.2013
23.04.2013
23.04.2013
22.04.2013
22.04.2013
22.04.2013
22.04.2013
19.04.2013
19.04.2013
15.04.2013
15.04.2013
11.04.2013
09.04.2013
02.04.2013
01.04.2013
15.03.2013
12.03.2013
19.02.2013
08.01.2013
19.11.2008
30.04.2013
Price/Volume
45
70.0 M
40
60.0 M
35
50.0 M
30
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (06.06.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
ABX US EQUITY YTD Change
ABX US EQUITY YTD % CHANGE
12/2012
03/yy
43.30
17.51
5'334'847.00
19.219
-56.03%
9.76%
6.79%
1'001.1
19'240.87
13'943.00
0.0
2'663.0
2'093.00
34'387.87
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
40.0 M
20
30.0 M
15
20.0 M
10
10.0 M
5
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
25
31.12.2009
31.12.2010
8'136.0
11'001.0
5.27x
5.25x
3'589.0
6'211.0
11.95x
9.30x
(4'274.0)
3'582.0
Profitability
LTM-4Q
31.12.2011
14'236.0
4.08x
8'327.0
6.98x
4'484.0
-
31.12.2012
14'547.0
3.41x
7'358.0
6.73x
(665.0)
7'358.00
5'636.00
38.74%
-6.28%
-1.71%
-3.63%
0.29%
47.4%
49.3%
37.2%
-4.6%
1.33
0.58
29.49%
63.83%
34.72
2.91
LTM
03/yy
14'793.0
15.70x
8'579.0
6.58x
4'522.0
0.00x
03/yy
14'340.0
14.05x
7'071.0
6.30x
(847.0)
0.00x
FY+1
.0 M
a-13
4.16
0.77
998.49
9.30
-51.38%
-44.75%
0.772
32
3.938
24'445'460
21'168'664
15'802'371
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2 09/13 Q3
13'640.9
14'699.3
3'337.0
3'484.3
2.57x
2.36x
10.28x
9.98x
6'557.0
7'308.1
1'538.4
1'682.0
5.25x
4.71x
5.16x
5.08x
3'100.7
3'413.1
635.7
727.6
6.00x
5.53x
6.45x
6.19x
S&P Issuer Ratings
26.04.2013
BBB
NEG
19.05.2011
A-2
9.89
1.33
1.76
2.09
63.8%
36.3%
0.29
0.48
10.51
125.35
94.50
33.82
Sales/Revenue/Turnover
16'000.0
14'000.0
12'000.0
0.80
0.60
10'000.0
8'000.0
6'000.0
0.40
0.20
4'000.0
2'000.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
CAPITAL GROUP COMPAN
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
FMR LLC
CI INVESTMENTS INC
BMO FINANCIAL CORP
ALLIANZ ASSET MANAGE
CIBC WORLD MARKETS I
FRANKLIN RESOURCES
BANK OF NEW YORK MEL
TORONTO DOMINION BAN
TD ASSET MANAGEMENT
INSTITUTIONAL CAPITA
WELLINGTON MANAGEMEN
IA CLARINGTON INVEST
CIBC GLOBAL ASSET MA
HARTFORD INVESTMENT
OLDFIELD PARTNERS LL
WELLS FARGO
Firm Name
Jefferies
Deutsche Bank
Canaccord Genuity Corp
HSBC
Stifel
CIBC World Markets
Macquarie
Sterne, Agee & Leach
Salman Partners
Cormark Securities Inc.
Haywood Securities Inc.
TD Securities
Mackie Research Capital Corp.
Veritas Investment Research Co
Cowen Securities LLC
BMO Capital Markets
RBC Capital Markets
Credit Suisse
JPMorgan
Scotia Capital
GMP
Barclays
Davenport & Co
EVA Dimensions
Argus Research Corp
Hamburger Sparkasse
S&P Capital IQ
Morgan Stanley
Investec
Portfolio Name
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
BMO FINANCIAL CORP
n/a
CIBC WORLD MARKETS I
n/a
BANK OF NEW YORK MEL
TORONTO DOMINION BAN
TD ASSET MANAGEMENT
INSTITUTIONAL CAPITA
WELLINGTON MANAGEMEN
Multiple Portfolios
CIBC GLOBAL ASSET MA
Multiple Portfolios
OLDFIELD PARTNERS LL
n/a
Analyst
PETER D WARD
JORGE M BERISTAIN
STEVEN BUTLER
PATRICK CHIDLEY
GEORGE J TOPPING
ALEC KODATSKY
TONY LESIAK
MICHAEL S DUDAS
DAVID WEST
RICHARD GRAY
KERRY SMITH
GREG BARNES
BARRY D ALLAN
PAWEL RAJSZEL
ADAM P GRAF
DAVID HAUGHTON
STEPHEN D WALKER
ANITA SONI
JOHN BRIDGES
TANYA M JAKUSCONEK
GEORGE V ALBINO
FAROOQ HAMED
LLOYD T O'CARROLL
CRAIG STERLING
WILLIAM V SELESKY
INGO SCHMIDT
LEO LARKIN
PARETOSH MISRA
PIETER MARAIS
Source
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
13F
ULT-AGG
13F
ULT-AGG
13F
13F
13F
13F
13F
MF-AGG
13F
MF-AGG
13F
ULT-AGG
Recommendation
buy
hold
hold
overweight
buy
sector perform
neutral
neutral
buy
market perform
buy
hold
buy
buy
hold
market perform
sector perform
outperform
neutral
sector perform
buy
equalweight
buy
sell
hold
buy
buy
Equalwt/In-Line
hold
Amt Held
87'777'710
58'280'637
33'799'228
30'078'073
20'600'402
17'663'919
17'095'925
16'861'844
14'741'836
14'548'226
13'797'555
13'586'744
13'422'922
12'729'638
10'758'391
10'376'354
10'027'723
9'682'770
8'964'554
8'501'322
% Out
8.77
5.82
3.38
3
2.06
1.76
1.71
1.68
1.47
1.45
1.38
1.36
1.34
1.27
1.07
1.04
1
0.97
0.9
0.85
Weighting
Change
5
3
3
5
5
3
3
3
5
3
5
3
5
5
3
3
3
5
3
3
5
3
5
1
3
5
5
3
3
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
D
M
M
M
M
M
Latest Chg
(23'472'640)
(1'012'978)
3'795'193
(3'418'885)
771'337
(4'625'429)
3'198'995
(68'927)
3'777'420
(4'803'846)
1'359'379
866'236
(401'738)
353'171
(2'442'600)
1'562'724
128'664
1'678'488
2'875'528
Target Price
30
23
23
29
34
33
21
#N/A N/A
29
25
34
22
33
28
#N/A N/A
30
24
38
32
24
49
24
26
#N/A N/A
#N/A N/A
#N/A N/A
38
#N/A N/A
48
File Dt
31.03.2013
31.03.2013
29.04.2013
31.12.2012
31.03.2013
31.12.2012
31.03.2013
31.03.2013
31.03.2013
31.03.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.03.2013
31.03.2013
Date
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
6 month
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
30.04.2013
29.04.2013
29.04.2013
28.04.2013
26.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
25.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
22.04.2013
26.02.2013
20.02.2013
15.02.2013
15.02.2013
20.11.2012
18.03.2011
30.04.2013
Price/Volume
60
25.0 M
50
20.0 M
40
12/2012
03/yy
57.93
31.56
6'490'939.00
31.5999
-45.70%
0.13%
8.41%
492.3
15'765.83
6'298.00
0.0
3'175.0
1'647.00
23'932.83
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
10.0 M
20
5.0 M
10
0
a-12 m-12
31.12.2009
31.12.2010
7'705.0
9'540.0
3.46x
3.45x
3'799.0
5'118.0
7.02x
6.43x
1'297.0
2'277.0
17.02x
13.44x
Profitability
31.12.2011
10'358.0
3.38x
5'162.0
6.78x
366.0
13.92x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
9'868.0
3.13x
4'169.0
7.41x
1'809.0
12.29x
4'169.00
3'137.00
31.79%
31.04%
5.59%
12.12%
9.02%
0.32%
46.6%
39.9%
28.4%
18.3%
1.89
0.80
21.24%
45.73%
12.69
3.29
j-12
LTM-4Q
LTM
03/yy
10'576.0
12.61x
5'185.0
6.08x
342.0
11.55x
03/yy
9'362.0
13.44x
3'731.0
7.71x
1'634.0
12.54x
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
4.67
0.67
491.01
15.85
-31.49%
-31.21%
0.675
24
3.750
9'550'125
8'914'642
8'472'661
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2 09/13 Q3
9'627.0
11'208.8
2'262.4
2'361.1
2.51x
2.15x
10.56x
10.14x
3'859.1
4'882.1
881.5
939.2
6.25x
4.93x
5.80x
5.31x
1'559.9
2'105.0
373.3
407.3
10.57x
8.33x
8.89x
7.87x
S&P Issuer Ratings
11.08.2008
BBB+
NEG
11.71
2.69
1.32
1.71
45.7%
27.1%
0.32
0.54
28.77
111.05
34.85
89.70
Sales/Revenue/Turnover
12.00
12'000.0
10.00
10'000.0
8.00
8'000.0
6.00
6'000.0
4.00
4'000.0
2.00
2'000.0
0.00
01.01.2010
j-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
30
Valuation Analysis
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
CAPITAL GROUP COMPAN
STATE STREET
VANGUARD GROUP INC
VAN ECK ASSOCIATES C
FRANKLIN RESOURCES
DEUTSCHE BANK AG
FMR LLC
T ROWE PRICE ASSOCIA
BANK OF NEW YORK MEL
CARMIGNAC GESTION
NORTHERN TRUST CORPO
FIRST EAGLE INVESTME
UBS
GAMCO
LAZARD ASSET MANAGEM
JP MORGAN
NORGES BANK
SUSQUEHANNA INTERNAT
AMERICAN CENTURY COM
Firm Name
Jefferies
Cowen Securities LLC
EVA Dimensions
BMO Capital Markets
Deutsche Bank
RBC Capital Markets
Sterne, Agee & Leach
HSBC
Stifel
Argus Research Corp
Scotia Capital
TD Securities
Barclays
Credit Suisse
JPMorgan
BB&T Capital Markets
CIBC World Markets
GMP
Mackie Research Capital Corp.
Veritas Investment Research Co
S&P Capital IQ
Morgan Stanley
Portfolio Name
n/a
n/a
n/a
VANGUARD GROUP INC
n/a
n/a
DEUTSCHE BANK AKTIEN
n/a
T ROWE PRICE ASSOCIA
BANK OF NEW YORK MEL
CARMIGNAC GESTION
NORTHERN TRUST CORPO
FIRST EAGLE INVESTME
n/a
n/a
n/a
n/a
NORGES BANK
SUSQUEHANNA INTERNAT
AMERICAN CENTURY COM
Analyst
PETER D WARD
ADAM P GRAF
CRAIG STERLING
DAVID HAUGHTON
JORGE M BERISTAIN
STEPHEN D WALKER
MICHAEL S DUDAS
PATRICK CHIDLEY
GEORGE J TOPPING
WILLIAM V SELESKY
TANYA M JAKUSCONEK
GREG BARNES
FAROOQ HAMED
ANITA SONI
JOHN BRIDGES
GARRETT S. NELSON
ALEC KODATSKY
GEORGE V ALBINO
BARRY D ALLAN
PAWEL RAJSZEL
LEO LARKIN
PARETOSH MISRA
Source
ULT-AGG
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
13F
13F
13F
13F
13F
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
Recommendation
hold
buy
overweight
outperform
sell
sector perform
buy
overweight
hold
buy
sector perform
hold
overweight
neutral
overweight
buy
sector perform
buy
hold
sell
hold
Equalwt/In-Line
Amt Held
61'681'268
39'690'300
29'136'091
23'252'143
20'452'474
12'509'376
12'128'463
9'840'813
8'086'219
7'585'611
7'008'200
6'878'622
6'023'181
5'132'224
5'044'086
4'937'393
4'884'655
4'796'938
4'397'226
3'840'057
% Out
12.53
8.06
5.92
4.72
4.15
2.54
2.46
2
1.64
1.54
1.42
1.4
1.22
1.04
1.02
1
0.99
0.97
0.89
0.78
Weighting
Change
3
5
5
5
1
3
5
5
3
5
3
3
5
3
5
5
3
5
3
1
3
3
M
M
D
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
D
M
Latest Chg
(10'014'717)
91'985
1'215'913
(543'864)
8'462'980
(5'869'326)
(3'033'787)
1'819'020
(37'784)
7'008'200
410'310
(290'400)
322'413
405'185
(276'645)
(1'656'954)
(408'945)
950'823
261'014
Target Price
32
33
#N/A N/A
56
24
41
65
39
#N/A N/A
60
41
37
45
45
51
52
52
60
43
44
53
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Unclassified
31.12.2012
Unclassified
31.03.2013
Unclassified
31.03.2013
Investment Advisor
31.12.2012
Government
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
Date
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
Not Provided
Not Provided
6 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Date
30.04.2013
30.04.2013
30.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
28.04.2013
26.04.2013
24.04.2013
23.04.2013
23.04.2013
23.04.2013
22.04.2013
19.04.2013
18.04.2013
11.04.2013
02.04.2013
12.03.2013
07.11.2012
07.09.2012
27.04.2012
30.04.2013
Price/Volume
140
3.0 M
120
2.5 M
100
2.0 M
80
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (05.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 30.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GOLD US EQUITY YTD Change
GOLD US EQUITY YTD % CHANGE
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
1.0 M
40
.5 M
20
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1.5 M
60
12/2011
12/yy
127.27
66.51
379'878.00
78.785
-38.34%
18.46%
24.56%
92.1
7'258.61
18.02
0.0
166.1
390.76
7'051.98
31.12.2009
31.12.2010
432.8
484.6
15.50x
14.79x
142.3
164.3
47.15x
43.62x
69.4
103.5
94.26x
72.03x
Profitability
LTM-4Q
31.12.2011
1'127.1
7.97x
581.9
15.44x
383.9
24.30x
31.12.2012
1'317.8
6.59x
699.2
12.43x
431.8
20.57x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
699.18
567.44
43.06%
43.12%
15.23%
17.95%
20.07%
0.46%
51.1%
53.1%
43.1%
32.8%
4.07
1.92
0.58%
0.69%
23.85
-
12/yy
1'127.1
28.37x
581.9
15.44x
383.9
24.30x
LTM
12/yy
1'317.8
26.72x
699.2
12.43x
431.8
20.57x
FY+1
.0 M
a-13
0.63
0.65
0.81
-11.17%
-20.59%
0.651
10
4.400
1'118'052
831'432
715'132
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'505.4
1'959.4
321.0
339.0
4.74x
3.40x
726.0
1'126.2
9.72x
6.26x
431.0
696.9
75.3
85.0
16.86x
10.71x
19.13x
16.43x
S&P Issuer Ratings
582.65
114.09
-0.53
0.03
0.7%
0.6%
0.46
0.87
15.35
136.09
Sales/Revenue/Turnover
160.00
1'400.0
140.00
1'200.0
120.00
1'000.0
100.00
800.0
80.00
600.0
60.00
400.0
40.00
200.0
20.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
WELLS FARGO
FMR LLC
CARMIGNAC GESTION
AGF INVESTMENTS INC
FRANKLIN RESOURCES
MACKENZIE FINANCIAL
FIRST EAGLE INVESTME
JENNISON ASSOCIATES
JP MORGAN
PAULSON & CO
TOCQUEVILLE ASSET MA
INVESCO LTD
GAMCO
OPPENHEIMERFUNDS INC
ASA BERMUDA LIMITED
RENAISSANCE TECHNOLO
NIKKO ASSET MANAGEME
AMERICAN CENTURY COM
Firm Name
Dundee Securities Corp
HSBC
Scotia Capital
BMO Capital Markets
Canaccord Genuity Corp
Clarus Securities
EVA Dimensions
S&P Capital IQ
GARP Research
Portfolio Name
n/a
n/a
n/a
n/a
CARMIGNAC GESTION
AGF INVESTMENTS INC
n/a
MACKENZIE FINANCIAL
FIRST EAGLE INVESTME
JENNISON ASSOCIATES
n/a
PAULSON & CO
TOCQUEVILLE ASSET MA
n/a
n/a
OPPENHEIMER FUNDS IN
ASA BERMUDA LIMITED
RENAISSANCE TECHNOLO
n/a
AMERICAN CENTURY COM
Analyst
JOSH WOLFSON
PATRICK CHIDLEY
TANYA M JAKUSCONEK
ANDREW BREICHMANAS
TIM DUDLEY
NANA SANGMUAH
CRAIG STERLING
LEO LARKIN
SETH DADDS
Source
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
13F
ULT-AGG
ULT-AGG
13F
13F
13F
ULT-AGG
13F
Recommendation
buy
overweight
sector perform
outperform
buy
buy
underweight
buy
buy
Amt Held
8'508'542
6'627'558
6'279'467
4'049'382
3'917'000
1'639'811
1'530'963
1'487'200
1'264'736
1'013'740
947'594
930'502
891'270
821'510
818'535
656'494
444'700
399'700
386'300
385'000
% Out
9.24
7.19
6.82
4.4
4.25
1.78
1.66
1.61
1.37
1.1
1.03
1.01
0.97
0.89
0.89
0.71
0.48
0.43
0.42
0.42
Weighting
Change
5
5
3
5
5
5
1
5
5
M
M
M
U
M
M
M
M
M
Latest Chg
(57'745)
365'169
265'676
(992'666)
3'917'000
442'950
(121'450)
954'000
(96'778)
(20'901)
(60'950)
(72'716)
1'320
30'000
171'000
65'300
-
Target Price
105
91
94
100
133
120
#N/A N/A
125
#N/A N/A
File Dt
26.04.2013
29.04.2013
31.03.2013
31.03.2013
31.12.2012
31.03.2013
31.03.2013
31.03.2013
31.03.2013
31.12.2012
31.03.2013
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.03.2013
Date
Not Provided
Not Provided
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Hedge Fund Manager
Unclassified
Investment Advisor
Date
30.04.2013
28.04.2013
23.04.2013
14.04.2013
11.04.2013
01.04.2013
28.03.2013
16.11.2012
10.08.2012
30.04.2013
Price/Volume
25
20
15
Valuation Analysis
10
12/2012
12/yy
20.59
11.02
1'896'532.00
11.74
-43.22%
6.53%
10.24%
752.3
8'832.17
765.91
0.0
46.8
349.59
9'295.29
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
0
a-12 m-12
31.12.2009
31.12.2010
1'183.3
1'686.8
7.39x
5.76x
575.5
884.1
15.19x
11.00x
192.6
466.5
Profitability
LTM-4Q
31.12.2011
2'173.3
5.04x
1'262.7
8.67x
548.3
-
31.12.2012
2'336.8
5.73x
1'269.4
10.56x
442.1
1'269.45
885.71
37.90%
34.88%
3.92%
5.79%
0.21%
64.4%
64.3%
35.7%
18.9%
1.38
0.78
6.49%
9.80%
12.25
5.25
12/yy
2'173.3
18.01x
1'271.5
8.61x
548.3
0.00x
a-12
s-12
LTM
12/yy
2'336.8
21.98x
1'502.0
8.92x
442.1
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
0.75
749.79
7.18
-18.91%
-31.49%
0.750
23
4.304
8'396'875
8'441'024
7'530'020
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
2'665.6
3'177.1
564.6
582.5
3.52x
2.82x
16.75x
16.31x
1'479.5
1'859.7
313.0
302.3
6.31x
5.02x
6.79x
6.80x
704.5
921.4
147.7
136.7
13.84x
10.35x
13.13x
11.94x
S&P Issuer Ratings
22.03
-4.66
0.28
0.51
9.8%
8.9%
0.21
0.24
29.87
69.74
146.62
-62.98
Sales/Revenue/Turnover
2'500.0
1.00
2'000.0
0.60
j-12
Market Data
1.20
0.80
j-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
20.0 M
18.0 M
16.0 M
14.0 M
12.0 M
10.0 M
8.0 M
6.0 M
4.0 M
2.0 M
.0 M
a-13
1'500.0
1'000.0
0.40
500.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
FMR LLC
BANK OF NEW YORK MEL
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
ALLIANZ ASSET MANAGE
GREYSTONE MANAGED IN
AGF INVESTMENTS INC
CIBC WORLD MARKETS I
BMO FINANCIAL CORP
TORONTO DOMINION BAN
CONNOR CLARK & LUNN
JP MORGAN
OPPENHEIMERFUNDS INC
CARMIGNAC GESTION
INVESTEC ASSET MANAG
TOCQUEVILLE ASSET MA
UNITED SERVICES AUTO
FIERA CAPITAL CORPOR
TD ASSET MANAGEMENT
Firm Name
RBC Capital Markets
Dundee Securities Corp
HSBC
Macquarie
Raymond James
Morgan Stanley
Scotia Capital
TD Securities
Barclays
Credit Suisse
Davenport & Co
Cormark Securities Inc.
EVA Dimensions
BMO Capital Markets
Canaccord Genuity Corp
Davy
CIBC World Markets
National Bank Financial
Cowen Securities LLC
GMP
Veritas Investment Research Co
VSA Capital Ltd
Paradigm Capital Inc
Portfolio Name
n/a
n/a
BANK OF NEW YORK MEL
n/a
n/a
n/a
GREYSTONE MANAGED IN
AGF INVESTMENTS INC
CIBC WORLD MARKETS I
BMO FINANCIAL CORP
TORONTO DOMINION BAN
CONNOR CLARK & LUNN
n/a
Multiple Portfolios
CARMIGNAC GESTION
INVESTEC ASSET MANAG
TOCQUEVILLE ASSET MA
UNITED SERVICES AUTO
FIERA CAPITAL CORPOR
TD ASSET MANAGEMENT
Analyst
DAN ROLLINS
JOSH WOLFSON
PATRICK CHIDLEY
TONY LESIAK
BRAD HUMPHREY
PARETOSH MISRA
TANYA M JAKUSCONEK
STEVEN J GREEN
FAROOQ HAMED
ANITA SONI
LLOYD T O'CARROLL
RICHARD GRAY
CRAIG STERLING
DAVID HAUGHTON
STEVEN BUTLER
BART JAWORSKI
ALEC KODATSKY
STEPHEN PARSONS
ADAM P GRAF
GEORGE V ALBINO
PAWEL RAJSZEL
CHARLIE LONG
DON MACLEAN
Source
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
MF-AGG
13F
13F
13F
13F
13F
13F
Recommendation
outperform
neutral
neutral
neutral
outperform
Overwt/In-Line
sector outperform
buy
overweight
outperform
buy
buy
hold
outperform
buy
underperform
sector outperform
outperform
buy
buy
sell
not rated
buy
Amt Held
78'066'044
39'560'804
32'345'793
30'395'201
20'933'359
14'372'698
13'228'300
11'430'227
10'433'341
10'227'965
9'535'253
8'387'255
7'226'163
6'409'801
6'398'774
6'246'128
6'019'943
5'959'128
5'822'420
5'761'349
% Out
10.38
5.26
4.3
4.04
2.78
1.91
1.76
1.52
1.39
1.36
1.27
1.11
0.96
0.85
0.85
0.83
0.8
0.79
0.77
0.77
Weighting
Change
5
3
3
3
5
5
5
5
5
5
5
5
3
5
5
1
5
5
5
5
1
#N/A N/A
5
M
D
M
M
M
M
M
M
M
M
M
M
U
M
M
D
M
M
M
M
M
M
M
Latest Chg
6'000'156
1'752'155
33'993
(281'596)
4'180'320
(4'648'298)
11'430'227
10'433'341
10'227'965
307'566
(3'112'528)
(304'473)
160'000
6'398'774
6'246'128
783'343
5'959'128
352'746
5'761'349
Target Price
15
17
13
12
20
16
17
20
17
19
14
19
#N/A N/A
22
21
#N/A N/A
25
20
16
22
15
#N/A N/A
21
File Dt
Inst Type
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Bank
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Date
29.04.2013
29.04.2013
28.04.2013
25.04.2013
24.04.2013
23.04.2013
23.04.2013
23.04.2013
23.04.2013
22.04.2013
22.04.2013
22.04.2013
16.04.2013
15.04.2013
15.04.2013
15.04.2013
11.04.2013
09.04.2013
09.04.2013
02.04.2013
22.02.2013
10.01.2013
19.06.2012
30.04.2013
Price/Volume
14
25.0 M
12
20.0 M
10
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (04.06.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 07.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GFI US EQUITY YTD Change
GFI US EQUITY YTD % CHANGE
12/2012
12/yy
12.09
6.23
899'045.00
7.12
-41.42%
14.29%
18.61%
736.1
5'241.38
16'015.70
0.0
1'803.9
5'195.60
-
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
15.0 M
10.0 M
4
5.0 M
2
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
29'086.9
31'565.3
2.56x
2.56x
10'955.0
11'960.3
6.80x
6.75x
1'535.6
3'631.4
Profitability
LTM-4Q
31.12.2011
25'263.7
3.99x
13'527.5
7.45x
7'026.7
-
31.12.2012
28'915.8
3.05x
14'243.0
6.20x
5'658.1
14'243.00
10'149.20
35.10%
22.47%
6.31%
11.52%
9.18%
0.47%
38.7%
47.6%
33.6%
19.6%
1.76
0.39
16.85%
31.19%
22.99
-
LTM
12/yy
29'609.9
13.11x
13'851.2
0.00x
7'026.7
0.00x
12/yy
42'193.5
8.38x
20'100.6
4.39x
5'658.1
0.00x
FY+1
.0 M
a-13
0.75
5.43
-34.07%
-33.11%
0.751
3
3.000
6'587'472
6'128'878
5'750'875
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
28'557.2
30'284.2
2.10x
1.91x
12'491.6
14'066.7
4'000.8
5'404.3
10.89x
8.53x
S&P Issuer Ratings
15.11.2012
BB+
STABLE
15.11.2012
B
24.36
6.99
0.54
0.80
31.2%
23.2%
0.47
0.72
15.92
69.00
Sales/Revenue/Turnover
35'000.0
30'000.0
25'000.0
0.80
20'000.0
0.60
15'000.0
0.40
10'000.0
5'000.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
FIRST EAGLE INVESTME
VAN ECK ASSOCIATES C
DIMENSIONAL FUND ADV
FMR LLC
THORNBURG INVESTMENT
BLACKROCK
PAULSON & CO
ALLIANZ ASSET MANAGE
TRADEWINDS GLOBAL IN
RUFFER LLP
RENAISSANCE TECHNOLO
WELLS FARGO
GAMCO
UNITED SERVICES AUTO
INVESTEC ASSET MANAG
TOCQUEVILLE ASSET MA
INVESTEC ASSET MANAG
PROSPECTOR PARTNERS
PASSPORT CAPITAL LLC
FRANK RUSSELL TRUST
Firm Name
HSBC
Scotia Capital
EVA Dimensions
BMO Capital Markets
Portfolio Name
FIRST EAGLE INVESTME
n/a
DIMENSIONAL FUND ADV
n/a
THORNBURG INVESTMENT
n/a
PAULSON & CO
n/a
TRADEWINDS GLOBAL IN
RUFFER LLP
RENAISSANCE TECHNOLO
n/a
n/a
UNITED SERVICES AUTO
INVESTEC ASSET MANAG
TOCQUEVILLE ASSET MA
Multiple Portfolios
PROSPECTOR PARTNERS
PASSPORT CAPITAL LLC
FRANK RUSSELL COMPAN
Analyst
PATRICK CHIDLEY
TANYA M JAKUSCONEK
TEAM COVERAGE
DAVID HAUGHTON
Source
13F
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
13F
13F
13F
ULT-AGG
ULT-AGG
13F
13F
13F
MF-AGG
13F
13F
13F
Recommendation
neutral
sector perform
dropped coverage
market perform
Amt Held
47'177'664
35'916'727
22'259'805
9'740'161
7'145'000
6'975'326
6'541'600
6'270'156
5'423'998
5'396'309
5'162'800
4'906'608
4'470'669
4'338'700
3'938'303
3'907'319
3'806'476
3'774'300
3'394'316
2'993'616
% Out
6.41
4.88
3.02
1.32
0.97
0.95
0.89
0.85
0.74
0.73
0.7
0.67
0.61
0.59
0.53
0.53
0.52
0.51
0.46
0.41
Weighting
Change
3
3
#N/A N/A
3
D
M
M
M
Latest Chg
(20'500)
1'204'375
1'621'222
(96'300)
4'291'310
(1'745'314)
1'864'617
(1'957'356)
(21'230)
(1'012'600)
(128'413)
(469'100)
(368'600)
(21'100)
1'826
(145'200)
3'394'316
382'294
Target Price
8
8
#N/A N/A
13
File Dt
31.03.2013
29.04.2013
31.12.2012
31.03.2013
31.12.2012
26.04.2013
31.12.2012
31.03.2013
31.12.2012
31.03.2013
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.03.2013
28.02.2013
31.12.2012
31.12.2012
31.12.2012
Date
Not Provided
12 month
Not Provided
12 month
Inst Type
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Date
28.04.2013
23.04.2013
18.01.2013
04.03.2010
30.04.2013
Price/Volume
45
16.0 M
40
14.0 M
35
12.0 M
30
10.0 M
25
12/2012
12/yy
41.30
21.79
1'106'991.00
23.62
-43.00%
8.40%
11.53%
354.4
8'371.72
50.06
0.0
0.0
778.22
7'643.56
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
6.0 M
15
10
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
8.0 M
20
Valuation Analysis
31.12.2009
31.12.2010
239.3
423.4
21.12x
31.91x
158.5
316.2
31.87x
42.72x
117.9
153.4
Profitability
LTM-4Q
31.12.2011
730.0
13.01x
618.8
15.35x
550.0
-
31.12.2012
849.6
14.18x
701.5
17.17x
586.0
701.46
600.00
70.63%
70.72%
19.34%
20.34%
0.28%
74.3%
82.6%
70.6%
69.0%
15.88
15.86
1.57%
1.61%
168.45
-
12/yy
730.0
62.08x
618.8
15.35x
550.0
0.00x
LTM
12/yy
849.6
52.82x
701.5
17.17x
586.0
0.00x
FY+1
.0 M
a-13
1.08
353.96
1.87
-21.63%
-34.24%
1.076
15
4.600
7'005'716
6'268'902
5'010'694
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'000.6
1'128.0
242.6
228.8
8.78x
7.82x
37.92x
40.32x
831.0
945.1
197.3
181.3
9.22x
8.11x
9.69x
9.88x
600.1
686.8
144.5
124.0
14.87x
13.40x
14.89x
14.31x
S&P Issuer Ratings
-1.04
0.07
1.6%
1.6%
0.28
0.41
2.17
24.47
-
Sales/Revenue/Turnover
900.0
800.0
1.00
0.80
700.0
600.0
500.0
0.60
400.0
300.0
0.40
0.20
200.0
100.0
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
CARMIGNAC GESTION
CAISSE DE DEPOT ET P
FMR LLC
ROYAL BANK OF CANADA
TD ASSET MANAGEMENT
BMO FINANCIAL CORP
CIBC WORLD MARKETS I
OPPENHEIMERFUNDS INC
TORONTO DOMINION BAN
TCW GROUP INC
TOCQUEVILLE ASSET MA
GREAT WEST LIFE ASSU
CONNOR CLARK & LUNN
JP MORGAN
UBS
RENAISSANCE TECHNOLO
FIERA CAPITAL CORPOR
SUSQUEHANNA INTERNAT
Firm Name
Macquarie
Credit Suisse
Raymond James
Scotia Capital
TD Securities
RBC Capital Markets
JPMorgan
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
GMP
Salman Partners
EVA Dimensions
Portfolio Name
n/a
n/a
CARMIGNAC GESTION
CAISSE DE DEPOT ET P
n/a
n/a
TD ASSET MANAGEMENT
BMO FINANCIAL CORP
CIBC WORLD MARKETS I
OPPENHEIMER FUNDS IN
TORONTO DOMINION BAN
TCW GROUP INCORPORAT
TOCQUEVILLE ASSET MA
GREAT WEST LIFE ASSU
CONNOR CLARK & LUNN
n/a
n/a
RENAISSANCE TECHNOLO
FIERA CAPITAL CORPOR
SUSQUEHANNA INTERNAT
Analyst
TONY LESIAK
RALPH M PROFITI
BRAD HUMPHREY
TREVOR TURNBULL
DANIEL EARLE
DAN ROLLINS
JOHN BRIDGES
ANDREW KAIP
STEVEN BUTLER
COSMOS CHIU
CHELSEA HAMILTON
DAVID WEST
CRAIG STERLING
Source
ULT-AGG
ULT-AGG
13F
13F
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
ULT-AGG
13F
13F
13F
Recommendation
neutral
outperform
outperform
focus stock
buy
outperform
overweight
outperform
buy
sector outperform
buy
top pick
underweight
Amt Held
26'099'114
14'931'769
13'917'000
8'175'300
7'447'807
6'662'901
6'495'536
5'382'984
4'958'532
4'728'500
4'349'599
3'789'248
3'473'930
3'099'463
2'913'501
2'750'546
2'708'496
2'633'600
2'612'842
2'596'512
% Out
7.36
4.21
3.93
2.31
2.1
1.88
1.83
1.52
1.4
1.33
1.23
1.07
0.98
0.87
0.82
0.78
0.76
0.74
0.74
0.73
Weighting
Change
3
5
5
5
5
5
5
5
5
5
5
5
1
M
M
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
(446'773)
13'917'000
(31'900)
(6'668'009)
830'039
(1'461'400)
180'499
(2'425)
20'000
90'737
(27'067)
(35'700)
(230'385)
700'890
(488'041)
(136'469)
986'200
283'586
665'106
Target Price
27
37
42
50
37
33
40
40
45
45
47
48
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Bank
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Insurance Company
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Unclassified
31.12.2012 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
Not Provided
12 month
12 month
12 month
12 month
6 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Date
26.04.2013
24.04.2013
24.04.2013
23.04.2013
23.04.2013
19.04.2013
19.04.2013
15.04.2013
15.04.2013
11.04.2013
02.04.2013
01.04.2013
17.01.2013
30.04.2013
Price/Volume
40
35
30
25
20
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (06.06.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 25.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AU US EQUITY YTD Change
AU US EQUITY YTD % CHANGE
12/2012
12/yy
38.31
17.45
384'138.00
18.58
-51.63%
6.48%
7.14%
383.7
7'158.94
30'375.96
0.0
186.5
7'562.20
-
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
10
5
0
a-12 m-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
31.12.2009
31.12.2010
30'745.0
38'833.0
3.88x
3.60x
(2'435.0)
9'720.0
14.37x
(2'762.0)
637.0
Profitability
LTM-4Q
31.12.2011
47'849.0
3.00x
20'443.0
7.03x
11'282.0
-
31.12.2012
52'160.3
2.30x
19'105.5
6.28x
6'814.6
19'105.47
12'553.61
24.07%
18.43%
7.08%
15.88%
12.20%
0.54%
36.1%
36.6%
24.1%
13.1%
1.37
0.70
28.22%
65.78%
15.50
3.46
LTM
12/yy
47'846.3
11.44x
20'438.6
7.03x
11'269.3
0.00x
12/yy
51'994.5
9.54x
18'922.1
6.28x
6'452.4
0.00x
FY+1
0.77
3.22
-45.34%
-40.64%
0.769
6
4.000
2'094'489
2'658'774
2'367'474
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
59'969.9
62'195.1
1.51x
1.36x
22'063.8
25'016.6
8'402.6
8'562.1
8.67x
7.12x
S&P Issuer Ratings
10.12.2012
BBBNEG
10.07
2.46
1.16
1.54
65.8%
39.6%
0.54
0.90
23.61
105.75
73.67
55.66
Sales/Revenue/Turnover
1.20
60'000.0
1.00
50'000.0
0.80
40'000.0
0.60
j-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
30'000.0
20'000.0
0.40
10'000.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
PAULSON & CO
VAN ECK ASSOCIATES C
NWQ INVESTMENT MANAG
FRANKLIN RESOURCES
FMR LLC
WELLS FARGO
BLACKROCK
FIRST EAGLE INVESTME
TRADEWINDS GLOBAL IN
DUPONT CAPITAL MANAG
RENAISSANCE TECHNOLO
NUVEEN ASSET MANAGEM
CAPITAL GROUP COMPAN
PLATINUM INVESTMENT
ALLIANZ ASSET MANAGE
UNITED SERVICES AUTO
GAMCO
INVESTEC ASSET MANAG
NIKKO ASSET MANAGEME
INVESTEC ASSET MANAG
Firm Name
HSBC
Societe Generale
Scotia Capital
EVA Dimensions
BMO Capital Markets
Portfolio Name
PAULSON & CO
n/a
NWQ INVESTMENT MANAG
n/a
n/a
n/a
n/a
FIRST EAGLE INVESTME
TRADEWINDS GLOBAL IN
DUPONT CAPITAL MANAG
RENAISSANCE TECHNOLO
Multiple Portfolios
n/a
PLATINUM INVESTMENT
n/a
UNITED SERVICES AUTO
n/a
INVESTEC ASSET MANAG
n/a
Multiple Portfolios
Analyst
PATRICK CHIDLEY
BRUCE ALWAY
TANYA M JAKUSCONEK
CRAIG STERLING
DAVID HAUGHTON
Source
13F
ULT-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
MF-AGG
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
MF-AGG
Recommendation
overweight
hold
sector perform
hold
market perform
Amt Held
28'203'999
15'624'679
11'768'176
8'747'623
6'722'122
5'693'290
5'230'372
4'945'084
4'186'865
3'731'629
3'240'700
2'740'632
2'635'169
2'204'815
1'741'097
1'718'056
1'612'030
1'609'197
1'607'200
1'542'152
% Out
7.35
4.07
3.07
2.28
1.75
1.48
1.36
1.29
1.09
0.97
0.84
0.71
0.69
0.57
0.45
0.45
0.42
0.42
0.42
0.4
Weighting
Change
5
3
3
3
3
M
M
M
U
M
Latest Chg
(199'546)
1'302'862
(511'763)
(128'150)
(133'085)
164'885
(1'261'046)
(259'531)
(559'541)
3'731'629
(420'800)
162'163
(10'100)
147'000
(461'493)
(681'300)
88'230
(8'000)
252'500
-
Target Price
31
25
25
#N/A N/A
0
File Dt
Inst Type
31.12.2012 Hedge Fund Manager
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Unclassified
31.12.2012
Investment Advisor
31.03.2013
Unclassified
28.02.2013
Investment Advisor
Date
Not Provided
12 month
12 month
Not Provided
Not Provided
Date
28.04.2013
26.04.2013
23.04.2013
05.04.2013
24.02.2010
30.04.2013
Price/Volume
45
6.0 M
40
5.0 M
35
30
4.0 M
25
12/2011
12/yy
42.73
19.42
544'174.00
19.78
-53.83%
1.85%
4.57%
274.9
5'452.05
179.30
0.0
262.3
241.22
5'652.47
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
15
2.0 M
10
1.0 M
5
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
20
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (06.06.2012)
52-Week Low (30.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 04.02.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
BVN US EQUITY YTD Change
BVN US EQUITY YTD % CHANGE
31.12.2009
31.12.2010
881.5
1'103.8
9.30x
10.85x
351.5
475.4
23.33x
25.19x
593.6
660.8
14.29x
18.66x
Profitability
LTM-4Q
31.12.2011
1'556.6
6.05x
820.2
11.49x
858.9
11.16x
31.12.2012
1'563.5
6.00x
571.9
16.39x
684.7
13.40x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
571.92
418.23
26.75%
56.63%
16.03%
19.90%
19.50%
0.35%
39.7%
37.9%
27.7%
43.8%
2.30
1.42
3.91%
4.84%
7.03
5.57
12/yy
1'556.6
24.64x
629.3
14.97x
858.9
11.16x
LTM
12/yy
1'508.9
25.51x
571.9
16.39x
684.7
13.40x
FY+1
.0 M
a-13
0.57
2.14
-51.18%
-44.29%
0.570
13
3.308
1'574'176
1'384'438
1'497'047
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'722.0
1'853.9
425.0
408.3
2.95x
2.55x
753.2
849.7
290.0
214.0
7.51x
6.66x
5.32x
714.9
729.6
162.3
138.0
7.30x
7.17x
7.87x
8.05x
S&P Issuer Ratings
68.99
15.56
-0.11
0.31
4.8%
4.3%
0.35
1.54
52.03
65.70
70.83
45.41
Sales/Revenue/Turnover
30.00
1'800.0
1'600.0
25.00
1'400.0
1'200.0
20.00
1'000.0
15.00
800.0
600.0
10.00
400.0
5.00
0.00
01.01.2010
200.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VONTOBEL ASSET MANAG
VAN ECK ASSOCIATES C
FRANKLIN RESOURCES
VANGUARD GROUP INC
STATE STREET
WELLS FARGO
FMR LLC
THE BANK OF NOVA SCO
HARRIS TRUST & SAVIN
NORGES BANK
UNITED SERVICES AUTO
JENNISON ASSOCIATES
VONTOBEL ASSET MANAG
CREDIT AGRICOLE SA
PARAMETRIC PORTFOLIO
GAMCO
ING INV MANAGEMENT E
ING INVESTMENT MANAG
WELLINGTON MANAGEMEN
Firm Name
Morgan Stanley
Credit Suisse
Banco BTG Pactual SA
Grupo Santander
Scotia Capital
JPMorgan
Inteligo SAB
EVA Dimensions
Euro Pacific Capital Inc
Kallpa Securities SAB
Banco de Credito del Peru
Portfolio Name
n/a
VONTOBEL ASSET MANAG
n/a
n/a
VANGUARD GROUP INC
n/a
n/a
n/a
THE BANK OF NOVA SCO
Multiple Portfolios
NORGES BANK
UNITED SERVICES AUTO
JENNISON ASSOCIATES
Multiple Portfolios
CREDIT AGRICOLE SA
PARAMETRIC PORTFOLIO
n/a
ING INVESTMENT MANAG
Multiple Portfolios
WELLINGTON MANAGEMEN
Analyst
CARLOS DE ALBA
SANTIAGO PEREZ TEUFFER
CESAR PEREZ-NOVOA
WALTER CHIARVESIO
TANYA M JAKUSCONEK
JOHN BRIDGES
LALI MERINO
CRAIG STERLING
HEIKO IHLE
EDDER CASTRO
HECTOR JOSUE COLLANTES
Source
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
13F
MF-AGG
13F
13F
13F
MF-AGG
13F
13F
ULT-AGG
13F
MF-AGG
13F
Recommendation
Equalwt/No Rating
neutral
buy
buy
sector perform
neutral
buy
hold
neutral
overweight
hold
Amt Held
25'536'584
12'497'006
12'079'992
8'641'735
5'406'540
4'777'677
4'709'673
4'343'301
2'559'961
2'471'676
2'298'752
1'806'500
1'778'056
1'651'026
1'460'432
1'434'207
1'112'800
1'110'680
1'097'662
1'002'949
% Out
9.29
4.55
4.39
3.14
1.97
1.74
1.71
1.58
0.93
0.9
0.84
0.66
0.65
0.6
0.53
0.52
0.4
0.4
0.4
0.36
Weighting
Change
3
3
5
5
3
3
5
3
3
5
3
M
D
M
M
M
M
M
M
M
M
M
Latest Chg
(4'985'793)
4'814'696
349'674
2'695'645
355'351
371'700
136'724
(1'580'101)
(1'514'324)
558'323
1'801'505
(22'000)
(70'363)
224'921
(302'643)
33'736
(475'416)
(1'561)
245'358
Target Price
24
28
30
33
25
34
32
#N/A N/A
27
33
33
File Dt
26.04.2013
31.03.2013
29.04.2013
31.03.2013
31.03.2013
29.04.2013
31.03.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
28.02.2013
31.12.2012
Date
12 month
Not Provided
12 month
Not Provided
12 month
6 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Unclassified
Government
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Investment Advisor
Date
30.04.2013
30.04.2013
29.04.2013
23.04.2013
23.04.2013
19.04.2013
16.04.2013
27.03.2013
11.03.2013
07.03.2013
01.03.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
NGD US EQUITY YTD Change
NGD US EQUITY YTD % CHANGE
12/2012
12/yy
12.84
6.25
830'932.00
7.65
-41.04%
22.40%
23.07%
476.4
3'644.45
847.80
0.0
0.0
687.80
3'804.45
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
14.0 M
12
12.0 M
10
10.0 M
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
14
31.12.2009
31.12.2010
323.8
530.5
4.31x
6.83x
110.4
239.2
12.64x
15.15x
(194.3)
47.5
Profitability
LTM-4Q
31.12.2011
695.9
6.62x
344.0
13.39x
179.0
-
31.12.2012
791.3
6.86x
390.1
13.91x
199.0
390.10
273.90
34.61%
35.23%
5.30%
8.02%
0.21%
85.3%
49.3%
34.6%
25.1%
5.18
4.15
19.79%
31.68%
18.73
2.12
12/yy
695.9
25.77x
344.0
13.39x
179.0
0.00x
LTM
12/yy
791.3
25.89x
390.1
13.91x
198.9
0.00x
FY+1
.0 M
a-13
0.97
461.42
3.14
-15.93%
-30.64%
0.972
15
4.600
4'347'746
3'464'131
3'137'420
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
987.8
1'031.1
228.0
271.5
3.77x
3.54x
565.3
644.8
123.0
142.0
6.72x
5.89x
6.93x
233.3
282.6
47.5
66.9
17.21x
14.44x
16.29x
14.36x
S&P Issuer Ratings
27.03.2012
BBSTABLE
23.79
-7.68
0.41
2.17
31.7%
24.1%
0.21
0.27
19.54
172.84
78.91
287.67
Sales/Revenue/Turnover
900.0
800.0
1.00
0.80
700.0
600.0
500.0
0.60
400.0
300.0
0.40
0.20
200.0
100.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
FMR LLC
TORONTO DOMINION BAN
WELLINGTON MANAGEMEN
MACKENZIE FINANCIAL
OPPENHEIMERFUNDS INC
ROYAL BANK OF CANADA
RS INVESTMENT MANAGE
TOCQUEVILLE ASSET MA
CONNOR CLARK & LUNN
FIERA CAPITAL CORPOR
GCIC LTD/CANADA
LASSONDE PIERRE
INVESTEC ASSET MANAG
FIRST EAGLE INVESTME
INVESTEC ASSET MANAG
JP MORGAN
OLIPHANT RANDALL
PUBLIC SECTOR PENSIO
Firm Name
RBC Capital Markets
TD Securities
Credit Suisse
Cormark Securities Inc.
EVA Dimensions
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
National Bank Financial
Casimir Capital
Paradigm Capital Inc
Scotia Capital
GMP
Mackie Research Capital Corp.
Portfolio Name
n/a
n/a
n/a
TORONTO DOMINION BAN
WELLINGTON MANAGEMEN
MACKENZIE FINANCIAL
Multiple Portfolios
n/a
RS INVESTMENT MANAGE
TOCQUEVILLE ASSET MA
CONNOR CLARK & LUNN
FIERA CAPITAL CORPOR
GOODMAN & COMPANY IN
n/a
INVESTEC ASSET MANAG
FIRST EAGLE INVESTME
Multiple Portfolios
n/a
n/a
PUBLIC SECTOR PENSIO
Analyst
DAN ROLLINS
STEVEN J GREEN
ANITA SONI
RICHARD GRAY
CRAIG STERLING
ANDREW KAIP
STEVEN BUTLER
ALEC KODATSKY
STEPHEN PARSONS
STUART MCDOUGALL
DON MACLEAN
TREVOR TURNBULL
GEORGE V ALBINO
BARRY D ALLAN
Source
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
MF-AGG
ULT-AGG
13F
13F
13F
13F
13F
SEDI
13F
13F
MF-AGG
ULT-AGG
SEDI
13F
Recommendation
outperform
buy
outperform
buy
hold
outperform
buy
sector perform
outperform
strong buy
buy
sector outperform
buy
hold
Amt Held
62'551'684
51'620'702
35'745'701
15'167'798
13'670'324
12'987'264
12'693'570
10'060'721
9'900'164
8'366'671
6'168'803
6'040'968
5'839'800
5'645'000
5'417'566
5'379'731
5'091'201
4'883'382
4'570'855
4'393'260
% Out
13.13
10.84
7.5
3.18
2.87
2.73
2.66
2.11
2.08
1.76
1.29
1.27
1.23
1.18
1.14
1.13
1.07
1.03
0.96
0.92
Weighting
Change
5
5
5
5
3
5
5
3
5
5
5
5
5
3
M
M
M
M
U
M
M
M
M
M
M
M
M
M
Latest Chg
(2'416'637)
15'004'748
4'853'453
1'051'834
148'803
258'671
(127'400)
(1'836'450)
3'201'270
45'000
434'429
(238'800)
(179'446)
(27'471)
320'855
49'900
Target Price
9
11
13
14
#N/A N/A
12
13
12
12
16
16
13
15
10
File Dt
Inst Type
26.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Bank
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
22.03.2012
n/a
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
28.02.2013
Investment Advisor
31.03.2013
Investment Advisor
23.11.2012
n/a
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Date
29.04.2013
23.04.2013
22.04.2013
22.04.2013
16.04.2013
15.04.2013
15.04.2013
11.04.2013
09.04.2013
09.04.2013
08.04.2013
05.04.2013
05.04.2013
12.03.2013
30.04.2013
Price/Volume
60
6.0 M
12/2012
03/yy
57.35
30.36
486'177.00
30.78
-46.33%
1.38%
1.34%
172.5
5'309.59
842.96
0.0
0.0
351.28
5'801.23
2.0 M
0
a-12
31.12.2009
31.12.2010
613.8
1'422.5
14.47x
9.45x
202.5
601.8
43.86x
22.34x
86.5
332.1
Profitability
1.0 M
m-12
LTM-4Q
31.12.2011
1'821.8
3.75x
752.9
9.08x
(568.9)
-
31.12.2012
1'917.7
4.96x
787.4
12.08x
310.9
787.42
515.56
26.88%
22.69%
5.00%
7.63%
7.06%
0.36%
39.0%
39.4%
24.5%
16.2%
3.26
1.51
16.04%
24.72%
23.11
4.16
03/yy
1'882.7
18.58x
801.6
7.78x
(535.6)
0.00x
j-12
j-12
a-12
s-12
LTM
03/yy
1'865.2
18.17x
735.0
10.31x
256.2
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.61
171.63
1.76
-21.46%
-41.01%
0.608
25
3.560
2'469'627
1'849'147
1'669'496
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2 09/13 Q3
1'730.6
2'077.4
388.7
439.2
3.52x
2.92x
15.22x
13.58x
631.8
895.0
191.8
158.3
9.23x
6.51x
7.98x
8.64x
202.0
330.6
25.1
56.7
28.79x
17.31x
26.20x
21.65x
S&P Issuer Ratings
12.03.2003
NR
13.60
5.91
0.67
1.10
24.7%
19.8%
0.36
0.46
15.79
87.72
50.91
66.58
Sales/Revenue/Turnover
2'500.0
1.00
2'000.0
0.60
3.0 M
10
1.20
0.80
4.0 M
20
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
5.0 M
30
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
7.0 M
40
Valuation Analysis
31.12.2008
368.9
21.80x
94.9
84.80x
73.2
-
8.0 M
50
1'500.0
1'000.0
0.40
500.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
FIRST EAGLE INVESTME
FMR LLC
VAN ECK ASSOCIATES C
T ROWE PRICE ASSOCIA
WELLS FARGO
ROYAL BANK OF CANADA
GREYSTONE MANAGED IN
BMO FINANCIAL CORP
OPPENHEIMERFUNDS INC
CIBC WORLD MARKETS I
CONNOR CLARK & LUNN
TORONTO DOMINION BAN
TOCQUEVILLE ASSET MA
GAMCO
TD ASSET MANAGEMENT
VINIK ASSET MANAGEME
CIBC GLOBAL ASSET MA
INVESCO LTD
MANUFACTURERS LIFE I
Firm Name
RBC Capital Markets
JPMorgan
Raymond James
Sterne, Agee & Leach
Canaccord Genuity Corp
Cormark Securities Inc.
TD Securities
Mackie Research Capital Corp.
Global Hunter Securities
HSBC
National Bank Financial
Credit Suisse
CIBC World Markets
Salman Partners
Dundee Securities Corp
GMP
Veritas Investment Research Co
Cowen Securities LLC
Barclays
BMO Capital Markets
Macquarie
Scotia Capital
Morgan Stanley
Paradigm Capital Inc
Portfolio Name
n/a
FIRST EAGLE INVESTME
n/a
n/a
T ROWE PRICE ASSOCIA
n/a
n/a
GREYSTONE MANAGED IN
BMO FINANCIAL CORP
OPPENHEIMER FUNDS IN
CIBC WORLD MARKETS I
CONNOR CLARK & LUNN
TORONTO DOMINION BAN
TOCQUEVILLE ASSET MA
n/a
TD ASSET MANAGEMENT
VINIK ASSET MANAGEME
CIBC GLOBAL ASSET MA
n/a
MANUFACTURERS LIFE I
Analyst
STEPHEN D WALKER
JOHN BRIDGES
BRAD HUMPHREY
MICHAEL S DUDAS
STEVEN BUTLER
RICHARD GRAY
GREG BARNES
BARRY D ALLAN
JEFF WRIGHT
PATRICK CHIDLEY
STEPHEN PARSONS
ANITA SONI
ALEC KODATSKY
DAVID WEST
JOSH WOLFSON
GEORGE V ALBINO
PAWEL RAJSZEL
ADAM P GRAF
FAROOQ HAMED
DAVID HAUGHTON
TONY LESIAK
TANYA M JAKUSCONEK
PARETOSH MISRA
DON MACLEAN
Source
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
Recommendation
outperform
neutral
market perform
neutral
hold
buy
buy
hold
buy
underweight
sector perform
outperform
sector perform
buy
neutral
buy
sell
hold
equalweight
market perform
underperform
sector outperform
Equalwt/In-Line
buy
Amt Held
20'005'396
11'305'234
10'965'646
7'852'302
6'703'930
4'829'613
4'508'247
3'966'811
3'247'664
2'465'218
2'433'065
2'203'819
2'127'726
1'551'262
1'516'976
1'286'484
1'179'900
1'173'439
1'122'414
1'100'246
% Out
11.6
6.55
6.36
4.55
3.89
2.8
2.61
2.3
1.88
1.43
1.41
1.28
1.23
0.9
0.88
0.75
0.68
0.68
0.65
0.64
Weighting
Change
5
3
3
3
3
5
5
3
5
1
3
5
3
5
3
5
1
3
3
3
1
5
3
5
M
M
M
M
M
M
M
M
M
D
M
M
M
M
M
M
M
M
M
M
D
M
M
M
Latest Chg
696'000
1'566'877
(1'072'408)
(231'825)
(57'068)
1'219'028
3'966'811
(83'945)
(510'000)
(37'672)
1'150'325
75'223
(35'750)
(201'330)
9'866
155'300
92'994
(158'619)
6'382
Target Price
40
39
46
#N/A N/A
41
48
41
38
47
29
42
50
54
55
45
55
30
#N/A N/A
39
45
29
46
#N/A N/A
59
File Dt
Inst Type
26.04.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Bank
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Unclassified
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Insurance Company
Date
12 month
6 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
12 month
12 month
Not Provided
12 month
Date
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
28.04.2013
28.04.2013
26.04.2013
26.04.2013
26.04.2013
26.04.2013
26.04.2013
26.04.2013
26.04.2013
26.04.2013
25.04.2013
25.04.2013
23.04.2013
25.10.2012
05.01.2012
30.04.2013
Price/Volume
18
16.0 M
16
14.0 M
14
12.0 M
12
10.0 M
10
12/2012
12/yy
16.20
6.59
872'359.00
7.38
-54.58%
11.99%
9.26%
714.5
5'273.26
593.32
0.0
284.1
818.83
5'331.85
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
6.0 M
6
4
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
8.0 M
Valuation Analysis
31.12.2009
31.12.2010
358.5
791.2
21.00x
12.74x
181.2
423.3
41.53x
23.82x
102.4
221.0
Profitability
LTM-4Q
31.12.2011
1'103.7
6.66x
643.9
11.41x
318.7
-
31.12.2012
1'147.5
8.06x
584.4
15.83x
305.3
584.40
470.87
41.03%
38.89%
5.14%
6.65%
6.33%
0.19%
62.7%
50.9%
41.0%
26.6%
4.90
3.96
7.48%
10.01%
14.84
2.08
12/yy
1'103.7
30.37x
643.9
11.41x
318.7
0.00x
LTM
12/yy
1'147.5
33.92x
584.4
15.83x
305.3
0.00x
FY+1
.0 M
a-13
0.84
708.06
3.27
-47.35%
-42.35%
0.836
21
4.238
5'739'912
6'314'405
5'299'977
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'308.7
1'521.9
338.3
309.3
4.34x
3.99x
15.92x
17.92x
691.0
838.7
169.5
146.0
7.72x
6.36x
8.55x
9.01x
331.8
421.6
90.5
72.8
16.16x
12.53x
14.79x
14.53x
S&P Issuer Ratings
13.11.2012
BB
STABLE
83.69
22.66
-0.39
1.02
10.0%
8.7%
0.19
0.26
24.66
176.07
157.09
43.64
Sales/Revenue/Turnover
1'400.0
1'200.0
1'000.0
0.80
800.0
0.60
600.0
0.40
400.0
200.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
FMR LLC
VAN ECK ASSOCIATES C
T ROWE PRICE ASSOCIA
ROYAL BANK OF CANADA
CARMIGNAC GESTION
CAISSE DE DEPOT ET P
OPPENHEIMERFUNDS INC
TOCQUEVILLE ASSET MA
BMO FINANCIAL CORP
JENNISON ASSOCIATES
CIBC WORLD MARKETS I
AGF INVESTMENTS INC
JP MORGAN
TORONTO DOMINION BAN
BAILLIE GIFFORD AND
BANK OF NEW YORK MEL
IG INVESTMENT MANAGE
GREYSTONE MANAGED IN
UNITED SERVICES AUTO
Firm Name
Dundee Securities Corp
RBC Capital Markets
HSBC
Macquarie
Raymond James
Morgan Stanley
Scotia Capital
TD Securities
Barclays
Credit Suisse
Cormark Securities Inc.
Haywood Securities Inc.
EVA Dimensions
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
Salman Partners
GMP
Mackie Research Capital Corp.
Veritas Investment Research Co
Paradigm Capital Inc
Portfolio Name
n/a
n/a
n/a
T ROWE PRICE ASSOCIA
n/a
Multiple Portfolios
CAISSE DE DEPOT ET P
Multiple Portfolios
TOCQUEVILLE ASSET MA
BMO FINANCIAL CORP
JENNISON ASSOCIATES
CIBC WORLD MARKETS I
AGF INVESTMENTS INC
n/a
TORONTO DOMINION BAN
BAILLIE GIFFORD & CO
BANK OF NEW YORK MEL
IG INVESTMENT MANAGE
GREYSTONE MANAGED IN
UNITED SERVICES AUTO
Analyst
JOSH WOLFSON
DAN ROLLINS
PATRICK CHIDLEY
TONY LESIAK
BRAD HUMPHREY
PARETOSH MISRA
TANYA M JAKUSCONEK
STEVEN J GREEN
FAROOQ HAMED
ANITA SONI
MIKE KOZAK
KERRY SMITH
CRAIG STERLING
DAVID HAUGHTON
STEVEN BUTLER
COSMOS CHIU
DAVID WEST
GEORGE V ALBINO
BARRY D ALLAN
PAWEL RAJSZEL
DON MACLEAN
Source
ULT-AGG
ULT-AGG
ULT-AGG
13F
ULT-AGG
MF-AGG
13F
MF-AGG
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
13F
Recommendation
neutral
outperform
overweight
neutral
outperform
Overwt/In-Line
sector outperform
action list buy
equalweight
outperform
buy
buy
underweight
outperform
buy
sector outperform
buy
buy
hold
sell
hold
Amt Held
115'755'188
47'460'386
44'220'345
27'084'566
17'214'008
13'044'870
12'485'802
11'711'546
11'661'328
10'662'061
10'493'352
10'031'223
9'924'291
9'088'523
8'932'322
8'799'121
8'616'810
8'067'119
8'034'377
7'551'100
% Out
16.2
6.64
6.19
3.79
2.41
1.83
1.75
1.64
1.63
1.49
1.47
1.4
1.39
1.27
1.25
1.23
1.21
1.13
1.12
1.06
Weighting
Change
3
5
5
3
5
5
5
5
3
5
5
5
1
5
5
5
5
5
3
1
3
M
M
M
M
M
M
M
M
M
M
M
M
U
M
M
M
M
M
M
M
M
Latest Chg
(8'965'098)
2'071'841
(178'880)
1'231'174
(14'814'642)
536'600
861'550
(256'391)
335'758
(12'436)
(1'473'143)
(223'376)
329'970
(2'010'762)
966'831
1'115'425
(3'436'746)
-
Target Price
10
10
13
8
16
10
12
14
9
15
12
19
#N/A N/A
13
13
15
18
20
13
8
18
File Dt
Inst Type
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Bank
29.03.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
12 month
Not Provided
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Date
30.04.2013
29.04.2013
28.04.2013
25.04.2013
24.04.2013
23.04.2013
23.04.2013
23.04.2013
23.04.2013
22.04.2013
22.04.2013
16.04.2013
16.04.2013
15.04.2013
15.04.2013
11.04.2013
03.04.2013
02.04.2013
12.03.2013
25.02.2013
21.02.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (04.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
KGC US EQUITY YTD Change
KGC US EQUITY YTD % CHANGE
12/2012
12/yy
11.20
4.97
3'036'269.00
5.33
-52.57%
7.24%
7.55%
1'141.4
6'083.43
2'632.60
0.0
75.5
1'982.70
6'808.83
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
30.0 M
10
25.0 M
20.0 M
15.0 M
10.0 M
5.0 M
0
a-12 m-12
31.12.2009
31.12.2010
2'412.1
3'010.1
5.37x
6.92x
1'093.2
1'200.4
11.85x
17.35x
309.9
759.7
41.68x
146.30x
Profitability
LTM-4Q
31.12.2011
3'842.5
3.37x
1'926.2
6.73x
(2'073.6)
15.25x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
4'311.4
2.74x
1'962.2
6.01x
(2'504.9)
12.61x
1'962.20
1'281.00
29.71%
-53.16%
-15.96%
-22.53%
0.27%
57.1%
45.5%
29.7%
-58.1%
2.76
1.74
17.69%
26.73%
14.45
1.66
12/yy
3'842.5
16.69x
1'926.2
6.73x
(2'080.9)
15.46x
j-12
a-12
s-12
LTM
12/yy
4'311.4
10.44x
1'962.2
6.01x
(2'504.9)
12.61x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
3.00
0.77
1'139.38
5.43
-39.39%
-44.61%
0.769
27
4.333
13'279'045
12'214'832
10'600'447
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
4'044.9
4'314.1
1'036.1
960.0
1.82x
1.72x
6.87x
7.51x
1'639.2
1'965.8
436.8
364.3
4.18x
3.48x
4.13x
3.98x
545.4
720.1
149.2
100.8
11.71x
8.97x
11.90x
10.75x
S&P Issuer Ratings
15.08.2011
BBBSTABLE
13.84
0.25
0.33
1.34
26.7%
21.0%
0.27
0.48
25.33
220.88
24.03
222.18
Sales/Revenue/Turnover
20.00
5'000.0
18.00
4'500.0
16.00
4'000.0
14.00
3'500.0
12.00
3'000.0
10.00
8.00
2'500.0
2'000.0
6.00
1'500.0
4.00
1'000.0
2.00
500.0
0.00
01.01.2010
j-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
12
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
BMO FINANCIAL CORP
ROYAL BANK OF CANADA
INVESCO LTD
TRADEWINDS GLOBAL IN
LAZARD ASSET MANAGEM
CAISSE DE DEPOT ET P
JENNISON ASSOCIATES
FMR LLC
CIBC WORLD MARKETS I
NORGES BANK
ALTRINSIC GLOBAL ADV
JP MORGAN
TORONTO DOMINION BAN
PASSPORT CAPITAL LLC
OPPENHEIMERFUNDS INC
FIRST EAGLE INVESTME
CARMIGNAC GESTION
DEUTSCHE BANK AG
TD ASSET MANAGEMENT
Firm Name
Jefferies
Mackie Research Capital Corp.
BMO Capital Markets
Deutsche Bank
Credit Suisse
CIBC World Markets
Canaccord Genuity Corp
National Bank Financial
Cowen Securities LLC
Barclays
RBC Capital Markets
HSBC
Stifel
Macquarie
Scotia Capital
TD Securities
Cormark Securities Inc.
JPMorgan
GMP
EVA Dimensions
Salman Partners
Veritas Investment Research Co
Morgan Stanley
Paradigm Capital Inc
Portfolio Name
n/a
BMO FINANCIAL CORP
n/a
n/a
TRADEWINDS GLOBAL IN
n/a
CAISSE DE DEPOT ET P
JENNISON ASSOCIATES
n/a
CIBC WORLD MARKETS I
NORGES BANK
ALTRINSIC GLOBAL ADV
n/a
TORONTO DOMINION BAN
PASSPORT CAPITAL LLC
Multiple Portfolios
FIRST EAGLE INVESTME
CARMIGNAC GESTION
DEUTSCHE BANK AKTIEN
TD ASSET MANAGEMENT
Analyst
PETER D WARD
BARRY D ALLAN
DAVID HAUGHTON
JORGE M BERISTAIN
ANITA SONI
ALEC KODATSKY
STEVEN BUTLER
PAOLO LOSTRITTO
ADAM P GRAF
FAROOQ HAMED
STEPHEN D WALKER
PATRICK CHIDLEY
GEORGE J TOPPING
TONY LESIAK
TANYA M JAKUSCONEK
GREG BARNES
RICHARD GRAY
JOHN BRIDGES
GEORGE V ALBINO
CRAIG STERLING
DAVID WEST
PAWEL RAJSZEL
PARETOSH MISRA
DON MACLEAN
Source
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
13F
MF-AGG
13F
13F
13F
13F
Recommendation
hold
buy
outperform
hold
outperform
sector underperform
buy
outperform
buy
equalweight
outperform
overweight
hold
outperform
sector perform
buy
buy
overweight
buy
overweight
buy
buy
Underwt/In-Line
buy
Amt Held
59'376'977
25'903'233
24'321'082
23'312'301
20'641'596
20'421'586
18'547'731
17'311'077
17'079'796
16'877'973
15'598'099
14'907'433
14'411'242
14'146'557
14'121'122
13'817'771
12'671'799
12'416'200
10'563'778
10'441'370
% Out
5.2
2.27
2.13
2.04
1.81
1.79
1.63
1.52
1.5
1.48
1.37
1.31
1.26
1.24
1.24
1.21
1.11
1.09
0.93
0.91
Weighting
Change
3
5
5
3
5
1
5
5
5
3
5
5
3
5
3
5
5
5
5
5
5
5
1
5
M
M
M
M
M
D
M
M
M
M
M
M
M
M
M
M
M
M
M
U
M
M
D
M
Latest Chg
2'536'128
3'849'773
14'542'877
1'717'094
(9'067'104)
(1'148'398)
(100'100)
(452'461)
(14'149'102)
(15'894)
4'274'423
(259'550)
(3'227'985)
(132'094)
4'740'498
100'000
(1'130'000)
12'416'200
(2'044'058)
701'284
Target Price
6
10
11
6
10
8
8
11
8
7
7
11
#N/A N/A
7
8
9
10
12
11
#N/A N/A
12
10
#N/A N/A
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Bank
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Unclassified
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Government
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
28.02.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
Not Provided
18 month
Not Provided
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
12 month
12 month
12 month
12 month
6 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Date
30.04.2013
30.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
29.04.2013
28.04.2013
28.04.2013
26.04.2013
25.04.2013
23.04.2013
23.04.2013
22.04.2013
19.04.2013
02.04.2013
21.03.2013
15.02.2013
14.02.2013
10.10.2012
25.01.2012
30.04.2013
Price/Volume
120
100
80
60
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.10.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
RGLD US EQUITY YTD Change
RGLD US EQUITY YTD % CHANGE
06/2012
12/yy
100.84
50.20
170'518.00
53.67
-47.00%
6.91%
8.33%
64.4
3'454.56
293.25
0.0
25.0
390.47
3'077.43
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
20
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
40
30.06.2009
30.06.2010
73.8
136.6
19.29x
18.40x
59.9
114.2
23.77x
22.00x
38.3
21.5
91.09x
61.79x
Profitability
LTM-4Q
30.06.2011
216.5
15.32x
186.3
17.80x
71.4
45.40x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
263.1
17.19x
233.2
19.39x
92.5
48.25x
233.22
158.22
60.15%
58.17%
4.04%
5.14%
4.99%
0.12%
71.5%
89.6%
62.1%
35.2%
29.27
28.23
12.36%
15.95%
4.25
-
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
12/yy
248.1
55.25x
215.8
17.98x
87.2
42.80x
LTM
12/yy
287.5
66.05x
257.6
18.80x
98.6
50.12x
FY+1
1.21
0.67
61.67
2.80
-12.60%
-33.67%
0.674
10
3.800
1'269'649
1'093'253
954'545
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
03/13 Q3 06/13 Q4
306.0
397.8
73.6
75.9
10.26x
7.40x
42.72x
41.39x
271.3
349.8
65.0
68.3
11.42x
8.85x
10.55x
9.09x
102.1
147.1
23.4
24.7
33.58x
23.50x
30.56x
25.71x
S&P Issuer Ratings
30.27
-5.64
-1.56
1.16
16.0%
13.6%
0.12
0.15
86.11
11.57
-
Sales/Revenue/Turnover
90.00
300.0
80.00
250.0
70.00
200.0
60.00
50.00
150.0
40.00
100.0
30.00
20.00
50.0
10.00
0.00
03.07.2009
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
VANGUARD GROUP INC
STATE STREET
FMR LLC
WELLS FARGO
STUCKERT JAMES W
TOCQUEVILLE ASSET MA
ALLIANZ ASSET MANAGE
NEUBERGER BERMAN LLC
FIRST EAGLE INVESTME
AGF INVESTMENTS INC
T ROWE PRICE ASSOCIA
BANK OF NEW YORK MEL
DEUTSCHE BANK AG
UNITED SERVICES AUTO
GAMCO
AMERIPRISE FINANCIAL
NORTHERN TRUST CORPO
TIAA CREF INVESTMENT
Firm Name
HSBC
Scotia Capital
BB&T Capital Markets
RBC Capital Markets
CIBC World Markets
National Bank Financial
MLV & Co
EVA Dimensions
Portfolio Name
n/a
n/a
VANGUARD GROUP INC
n/a
n/a
n/a
n/a
TOCQUEVILLE ASSET MA
n/a
NEUBERGER BERMAN GRO
FIRST EAGLE INVESTME
AGF INVESTMENTS INC
T ROWE PRICE ASSOCIA
BANK OF NEW YORK MEL
DEUTSCHE BANK AKTIEN
UNITED SERVICES AUTO
n/a
AMERIPRISE FINANCIAL
NORTHERN TRUST CORPO
TIAA-CREF INVESTMENT
Analyst
PATRICK CHIDLEY
TANYA M JAKUSCONEK
GARRETT S. NELSON
STEPHEN D WALKER
COSMOS CHIU
SHANE NAGLE
MICHAEL D PETERSON
CRAIG STERLING
Source
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
Form 4
13F
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
13F
Recommendation
overweight
sector perform
buy
sector perform
sector perform
outperform
buy
sell
Amt Held
7'427'251
5'440'661
3'592'556
3'387'502
2'287'976
2'234'914
1'622'095
1'361'050
1'234'254
974'044
867'401
838'175
767'697
633'761
630'719
615'300
529'097
476'257
473'052
471'399
% Out
11.54
8.45
5.58
5.26
3.55
3.47
2.52
2.11
1.92
1.51
1.35
1.3
1.19
0.98
0.98
0.96
0.82
0.74
0.73
0.73
Weighting
Change
5
3
5
3
3
5
5
1
M
M
M
M
M
U
M
M
Latest Chg
1'174'946
159'701
188'296
(1'907'624)
197'748
(150'000)
(47'750)
(67'745)
106'304
838'175
(30'935)
25'047
258'938
(30'000)
(120'280)
163'416
69'031
20'921
Target Price
77
71
80
71
88
88
92
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
24.04.2013
n/a
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Unclassified
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Date
28.04.2013
23.04.2013
22.04.2013
19.04.2013
11.04.2013
09.04.2013
08.04.2013
15.01.2013
30.04.2013
Price/Volume
12
14.0 M
10
12.0 M
10.0 M
06/2012
12/yy
10.73
4.57
433'330.00
4.84
-54.99%
5.91%
5.36%
435.3
2'106.65
1'844.00
0.0
0.0
1'773.00
-
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
6.0 M
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
8.0 M
Valuation Analysis
30.06.2009
30.06.2010
11'496.0
11'284.0
2.83x
3.13x
2'125.0
1'737.0
15.29x
20.33x
2'927.0
(192.0)
Profitability
LTM-4Q
30.06.2011
11'596.0
3.41x
2'354.0
16.81x
617.0
-
30.06.2012
15'169.0
2.18x
4'222.0
7.84x
2'645.0
4'222.00
2'231.00
14.71%
12.72%
5.25%
6.80%
0.36%
25.7%
22.2%
10.7%
17.4%
2.28
0.93
4.27%
5.41%
13.25
12.59
LTM
12/yy
13'536.0
12.28x
3'077.0
0.00x
1'720.0
0.00x
12/yy
16'047.0
8.20x
3'562.0
9.00x
2'314.0
0.00x
FY+1
.0 M
a-13
0.88
3.75
-49.29%
-45.50%
0.883
3
5.000
3'696'324
2'999'190
2'863'461
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
03/13 Q3 06/13 Q4
16'682.3
22'264.3
1.14x
0.92x
4'866.6
8'430.0
1'854.6
3'517.8
10.63x
5.38x
S&P Issuer Ratings
14.26
3.47
-0.04
0.67
5.4%
5.1%
0.36
0.48
27.63
29.08
51.94
31.22
Sales/Revenue/Turnover
16'000.0
14'000.0
12'000.0
0.80
0.60
10'000.0
8'000.0
6'000.0
0.40
0.20
4'000.0
2'000.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
DEUTSCHE BANK TRUST
VAN ECK ASSOCIATES C
FIRST EAGLE INVESTME
BLACKROCK
DIMENSIONAL FUND ADV
CAPITAL GROUP COMPAN
FMR LLC
UNITED SERVICES AUTO
DEUTSCHE BANK AG
GAMCO
RENAISSANCE TECHNOLO
TEXAS TEACHER RETIRE
CREDIT AGRICOLE SA
TWO SIGMA INVESTMENT
CITIGROUP INCORPORAT
US GLOBAL INVESTORS
CAPITAL INTERNATIONA
HUSSMAN ECONOMETRICS
GAM HOLDING LTD
DIMENSIONAL FUND ADV
Firm Name
HSBC
EVA Dimensions
BMO Capital Markets
Portfolio Name
n/a
n/a
FIRST EAGLE INVESTME
n/a
DIMENSIONAL FUND ADV
n/a
n/a
UNITED SERVICES AUTO
DEUTSCHE BANK AKTIEN
n/a
RENAISSANCE TECHNOLO
TEACHER RETIREMENT S
CREDIT AGRICOLE SA
TWO SIGMA INVESTMENT
CITIGROUP INCORPORAT
US GLOBAL INVESTORS
Multiple Portfolios
HUSSMAN ECONOMETRICS
GAM HOLDING LTD
Multiple Portfolios
Analyst
PATRICK CHIDLEY
CRAIG STERLING
DAVID HAUGHTON
Source
20F
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
13F
MF-AGG
13F
13F
MF-AGG
Recommendation
overweight
overweight
market perform
Amt Held
135'983'632
29'990'015
20'829'043
20'017'881
9'196'293
6'004'994
4'456'773
3'825'000
2'325'160
1'982'630
1'826'300
1'500'000
1'346'948
1'321'429
1'203'118
1'050'000
1'037'400
1'000'000
943'850
840'178
% Out
31.24
6.89
4.79
4.6
2.11
1.38
1.02
0.88
0.53
0.46
0.42
0.34
0.31
0.3
0.28
0.24
0.24
0.23
0.22
0.19
Weighting
Change
5
5
3
M
M
M
Latest Chg
5'544'228
(1'394'122)
(3'910'953)
559'805
(1'282'000)
(196'323)
3'825'000
589'627
132'770
(286'323)
1'500'000
(81'700)
916'557
490'639
(106'100)
500'000
300'000
70'220
Target Price
7
#N/A N/A
11
File Dt
22.10.2012
29.04.2013
31.03.2013
26.04.2013
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.01.2013
31.12.2012
31.12.2012
31.01.2013
Date
Not Provided
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Unclassified
Hedge Fund Manager
Pension Fund (ERISA)
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
28.04.2013
28.03.2013
24.02.2010
30.04.2013
IAMGOLD Corp
IAMGOLD Corporation is a mid-tier gold mining company. The Company is focused
in West Africa, the Guiana Shield of South America and in Quebec where it has a
pipeline of development and exploration projects.
Price/Volume
18
16.0 M
16
14.0 M
14
12.0 M
12
10.0 M
10
12/2012
12/yy
16.88
4.60
1'494'284.00
5.0817
-69.90%
10.47%
5.13%
376.6
1'913.58
641.40
0.0
76.7
813.50
1'818.18
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
6.0 M
6
4
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
8.0 M
Valuation Analysis
31.12.2009
31.12.2010
914.3
1'097.1
6.14x
5.88x
378.6
470.3
14.82x
13.71x
114.1
262.6
Profitability
LTM-4Q
31.12.2011
1'673.2
2.98x
785.0
6.36x
806.6
-
31.12.2012
1'670.0
2.52x
710.1
5.94x
334.7
710.10
546.20
32.71%
34.17%
6.85%
9.29%
9.60%
0.34%
43.2%
42.5%
32.7%
20.0%
3.76
2.61
11.93%
17.20%
11.40
2.57
12/yy
1'673.2
15.16x
785.0
6.36x
806.6
0.00x
LTM
12/yy
1'670.0
10.85x
710.1
5.94x
334.7
0.00x
FY+1
.0 M
a-13
0.96
371.42
4.60
-58.13%
-55.70%
0.960
24
3.417
6'160'789
6'867'198
6'570'385
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'631.4
1'809.7
386.0
400.8
1.37x
1.36x
5.21x
5.29x
651.9
770.4
189.0
172.5
2.79x
2.36x
2.53x
2.81x
228.2
304.4
53.0
45.6
9.93x
7.53x
8.56x
7.81x
S&P Issuer Ratings
10.09.2012
BBSTABLE
38.38
0.52
-0.24
0.90
17.2%
14.4%
0.34
0.73
32.10
142.44
82.70
91.84
Sales/Revenue/Turnover
1'800.0
1'600.0
1.00
0.80
1'400.0
1'200.0
1'000.0
0.60
800.0
600.0
0.40
0.20
400.0
200.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
IAMGOLD Corp
Holdings By:
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
FMR LLC
AGF INVESTMENTS INC
OPPENHEIMERFUNDS INC
UNITED SERVICES AUTO
FIRST EAGLE INVESTME
HEXAVEST INC
T ROWE PRICE ASSOCIA
CIBC WORLD MARKETS I
ALLIANZ ASSET MANAGE
BMO FINANCIAL CORP
SCHRODER INVESTMENT
TORONTO DOMINION BAN
PAULSON & CO
INTERNATIONAL VALUE
MACKENZIE FINANCIAL
FRANKLIN RESOURCES
CARIBBEAN INVESTMENT
Firm Name
Clarus Securities
HSBC
Societe Generale
Stifel
Macquarie
Scotia Capital
TD Securities
Barclays
Credit Suisse
Canaccord Genuity Corp
Cormark Securities Inc.
RBC Capital Markets
BMO Capital Markets
GMP
National Bank Financial
Dundee Securities Corp
CIBC World Markets
Paradigm Capital Inc
Salman Partners
Mackie Research Capital Corp.
Veritas Investment Research Co
EVA Dimensions
Morgan Stanley
Portfolio Name
n/a
n/a
n/a
n/a
AGF INVESTMENTS INC
OPPENHEIMER FUNDS IN
UNITED SERVICES AUTO
FIRST EAGLE INVESTME
HEXAVEST INC
T ROWE PRICE ASSOCIA
CIBC WORLD MARKETS I
n/a
BMO FINANCIAL CORP
SCHRODER INVESTMENT
TORONTO DOMINION BAN
PAULSON & CO
INTERNATIONAL VALUE
MACKENZIE FINANCIAL
n/a
n/a
Analyst
NANA SANGMUAH
PATRICK CHIDLEY
BRUCE ALWAY
MICHAEL A SCOON
TONY LESIAK
TANYA M JAKUSCONEK
STEVEN J GREEN
FAROOQ HAMED
ANITA SONI
STEVEN BUTLER
MIKE KOZAK
DAN ROLLINS
DAVID HAUGHTON
GEORGE V ALBINO
PAOLO LOSTRITTO
JOSH WOLFSON
ALEC KODATSKY
DON MACLEAN
DAVID WEST
BARRY D ALLAN
PAWEL RAJSZEL
CRAIG STERLING
PARETOSH MISRA
Source
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
SEDI
Recommendation
hold
overweight
sell
hold
outperform
sector perform
buy
equalweight
underperform
hold
market perform
sector perform
market perform
buy
outperform
neutral
sector perform
buy
buy
hold
sell
buy
Equalwt/In-Line
Amt Held
43'954'065
35'765'320
14'154'923
9'811'133
9'271'077
8'419'845
6'464'401
6'125'592
5'890'847
5'498'913
5'356'509
5'249'538
5'016'061
4'905'401
4'617'450
3'881'900
3'575'932
3'462'599
3'204'100
3'119'569
% Out
11.67
9.5
3.76
2.61
2.46
2.24
1.72
1.63
1.56
1.46
1.42
1.39
1.33
1.3
1.23
1.03
0.95
0.92
0.85
0.83
Weighting
Change
3
5
1
3
5
3
5
3
1
3
3
3
3
5
5
3
3
5
5
3
1
5
3
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
N
M
M
M
M
M
U
N
Latest Chg
(4'226'809)
2'840'159
(2'608'732)
1'611'410
1'500'000
(90'001)
(776'100)
(3'062'014)
68'530
(87'839)
(169'616)
(268'526)
2'828'200
158'233
(963'988)
275'900
(1'256'100)
-
Target Price
13
8
5
#N/A N/A
7
7
11
6
7
8
7
6
9
15
14
9
9
25
14
14
7
#N/A N/A
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Bank
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
06.09.2011
Bank
Date
12 month
Not Provided
12 month
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
Date
29.04.2013
28.04.2013
26.04.2013
26.04.2013
25.04.2013
23.04.2013
23.04.2013
23.04.2013
22.04.2013
22.04.2013
22.04.2013
19.04.2013
15.04.2013
15.04.2013
15.04.2013
12.04.2013
11.04.2013
25.03.2013
22.03.2013
12.03.2013
21.02.2013
24.01.2013
10.10.2012
30.04.2013
Price/Volume
25
7.0 M
6.0 M
20
5.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.11.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
PAAS US EQUITY YTD Change
PAAS US EQUITY YTD % CHANGE
12/2012
12/yy
22.83
11.78
355'722.00
12.58
-45.07%
6.79%
8.69%
151.8
1'909.84
77.98
0.0
7.3
542.32
1'452.83
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
4.0 M
10
3.0 M
2.0 M
5
0
a-12
1.0 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15
31.12.2009
31.12.2010
454.8
646.6
5.14x
6.33x
179.1
277.8
13.05x
14.73x
62.0
13.7
Profitability
LTM-4Q
31.12.2011
855.3
2.15x
445.9
4.12x
352.5
-
31.12.2012
928.6
2.57x
362.0
6.60x
87.4
361.98
253.83
27.33%
19.53%
3.27%
4.05%
4.11%
0.35%
45.2%
39.0%
27.3%
9.4%
4.96
3.44
2.30%
2.87%
7.80
2.67
12/yy
855.3
12.63x
455.9
4.03x
352.5
0.00x
LTM
12/yy
928.6
11.01x
362.0
6.60x
87.4
0.00x
FY+1
.0 M
a-13
1.01
149.44
3.44
-34.52%
-32.33%
1.014
15
3.533
2'085'762
2'170'909
1'760'121
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
1'035.5
1'109.7
255.8
254.0
1.41x
1.24x
5.74x
5.67x
405.4
466.0
94.8
90.7
3.61x
3.14x
3.79x
3.44x
189.2
226.6
40.7
39.8
12.81x
10.73x
10.79x
9.90x
S&P Issuer Ratings
47.15
26.32
-1.28
0.22
2.9%
2.8%
0.35
0.55
46.91
137.18
36.38
154.58
Sales/Revenue/Turnover
1'000.0
900.0
1.00
800.0
700.0
0.80
0.60
0.40
600.0
500.0
400.0
300.0
200.0
0.20
100.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
ROYCE AND ASSOCIATES
UNITED SERVICES AUTO
TOCQUEVILLE ASSET MA
BEATY ROSS J
OPPENHEIMERFUNDS INC
RIVER ROAD ASSET MAN
DEUTSCHE BANK AG
ASTON ASSET MANAGEME
GLOBAL X MANAGEMENT
PUBLIC SECTOR PENSIO
DREMAN VALUE MANAGEM
CANADA PENSION PLAN
ALETHEIA RESEARCH &
INTREPID CAPITAL MAN
FMR LLC
MORGAN STANLEY
AXA
JP MORGAN
Firm Name
Raymond James
Scotia Capital
TD Securities
Credit Suisse
RBC Capital Markets
JPMorgan
BMO Capital Markets
Canaccord Genuity Corp
Deutsche Bank
CIBC World Markets
Cowen Securities LLC
EVA Dimensions
Sterne, Agee & Leach
Salman Partners
Portfolio Name
n/a
n/a
ROYCE & ASSOCIATES L
UNITED SERVICES AUTO
TOCQUEVILLE ASSET MA
n/a
OPPENHEIMER FUNDS IN
RIVER ROAD ASSET MAN
DEUTSCHE BANK AKTIEN
Multiple Portfolios
GLOBAL X MANAGEMENT
PUBLIC SECTOR PENSIO
DREMAN VALUE MANAGEM
CANADA PENSION PLAN
ALETHEIA RESEARCH &
INTREPID CAPITAL MAN
n/a
n/a
n/a
n/a
Analyst
BRAD HUMPHREY
TREVOR TURNBULL
DANIEL EARLE
RALPH M PROFITI
DAN ROLLINS
JOHN BRIDGES
ANDREW KAIP
RAHUL PAUL
JORGE M BERISTAIN
ARNOLD VAN GRAAN
ADAM P GRAF
CRAIG STERLING
MICHAEL S DUDAS
DAVID WEST
Source
ULT-AGG
ULT-AGG
13F
13F
13F
SEDI
13F
13F
13F
MF-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
Recommendation
outperform
sector outperform
hold
outperform
sector perform
underweight
market perform
buy
hold
sector perform
buy
hold
neutral
buy
Amt Held
12'051'414
10'498'344
10'001'527
3'951'500
3'257'722
2'118'680
2'049'341
1'995'846
1'817'974
1'795'904
1'533'353
1'446'774
1'404'840
1'261'757
1'212'045
1'198'545
1'154'508
1'117'492
1'095'911
1'087'824
% Out
7.94
6.92
6.59
2.6
2.15
1.4
1.35
1.31
1.2
1.18
1.01
0.95
0.93
0.83
0.8
0.79
0.76
0.74
0.72
0.72
Weighting
Change
5
5
3
5
3
1
3
5
3
3
5
3
3
5
M
M
M
M
M
M
M
M
M
M
M
U
M
M
Latest Chg
1'951'350
(1'140'970)
(126'002)
(10'899)
300'000
130'000
561'998
784'238
82'638
(17'297)
16'500
882'133
(23'600)
412'637
(13'530)
(48'347)
393'712
(925'154)
Target Price
21
19
16
22
14
18
20
21
16
19
20
#N/A N/A
#N/A N/A
22
File Dt
Inst Type
26.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.05.2012
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Pension Fund (ERISA)
30.09.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
Date
12 month
12 month
12 month
Not Provided
12 month
6 month
Not Provided
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Date
24.04.2013
23.04.2013
23.04.2013
22.04.2013
19.04.2013
19.04.2013
15.04.2013
15.04.2013
11.04.2013
11.04.2013
09.04.2013
21.03.2013
25.02.2013
22.02.2013
30.04.2013
Price/Volume
25
20
15
Valuation Analysis
10
12/2012
12/yy
24.20
10.77
259'138.00
11.86
-51.12%
10.12%
9.98%
117.0
1'387.35
29.64
0.0
0.0
111.59
1'305.40
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
0
a-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
31.12.2009
31.12.2010
52.4
117.9
6.36x
11.66x
11.7
53.4
28.43x
25.73x
5.6
35.1
Profitability
LTM-4Q
31.12.2011
245.5
6.93x
156.2
10.89x
103.6
-
31.12.2012
247.2
9.19x
135.1
16.82x
88.9
135.11
109.13
44.15%
44.90%
14.15%
18.83%
18.36%
0.39%
57.5%
54.7%
44.2%
36.0%
3.02
2.29
3.65%
4.99%
14.05
5.49
12/yy
245.5
29.14x
156.2
10.89x
103.6
0.00x
LTM
12/yy
247.2
32.67x
135.1
16.82x
88.9
0.00x
FY+1
1.20
111.14
0.95
-24.79%
-41.26%
1.202
7
4.143
1'514'734
1'180'223
1'068'518
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
373.0
542.5
214.0
308.3
6.11x
4.24x
149.5
224.0
14.00x
9.03x
11.88x
9.80x
S&P Issuer Ratings
58.92
-17.45
-0.61
0.22
5.0%
4.8%
0.39
0.56
26.05
66.66
69.36
23.35
Sales/Revenue/Turnover
1.20
300.0
1.00
250.0
0.80
200.0
0.60
m-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SPROTT INC
GREYSTONE MANAGED IN
NEUMEYER KEITH
CONNOR CLARK & LUNN
OPPENHEIMERFUNDS INC
BARING INTERNATIONAL
BARING ASSET MANAGEM
ROYAL BANK OF CANADA
TORONTO DOMINION BAN
ALBERTA INVESTMENT M
CANADA PENSION PLAN
PUBLIC SECTOR PENSIO
TD ASSET MANAGEMENT
POLAR SECURITIES INC
IG INVESTMENT MANAGE
INVESCO LTD
IA CLARINGTON INVEST
ALTAMIRA MANAGEMENT
LB SWISS INVESTMENT
Firm Name
BMO Capital Markets
Raymond James
TD Securities
Cormark Securities Inc.
Casimir Capital
Cowen Securities LLC
EVA Dimensions
Portfolio Name
n/a
SPROTT INC
GREYSTONE MANAGED IN
n/a
CONNOR CLARK & LUNN
Multiple Portfolios
BARING INTERNATIONAL
BARING ASSET MANAGEM
n/a
TORONTO DOMINION BAN
n/a
CANADA PENSION PLAN
PUBLIC SECTOR PENSIO
TD ASSET MANAGEMENT
POLAR SECURITIES INC
IG INVESTMENT MANAGE
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
ANDREW KAIP
CHRIS THOMPSON
DANIEL EARLE
GRAEME JENNINGS
STUART MCDOUGALL
ADAM P GRAF
CRAIG STERLING
Source
ULT-AGG
13F
13F
SEDI
13F
MF-AGG
13F
13F
ULT-AGG
13F
Research
13F
13F
13F
13F
13F
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
market perform
outperform
buy
buy
strong buy
buy
underweight
Amt Held
7'999'040
4'404'872
4'030'468
3'126'000
2'643'635
2'550'000
2'276'819
2'274'076
1'398'251
1'332'088
1'223'700
1'183'943
1'096'680
1'086'500
1'034'662
991'400
891'317
836'400
696'394
675'000
% Out
6.84
3.77
3.45
2.67
2.26
2.18
1.95
1.94
1.2
1.14
1.05
1.01
0.94
0.93
0.88
0.85
0.76
0.72
0.6
0.58
Weighting
Change
3
5
5
5
5
5
1
M
M
M
M
M
M
M
Latest Chg
1'502'609
(376'800)
(380'759)
150'000
850'190
2'276'819
481'911
644'865
1'295'488
(118'994)
12'400
(23'800)
(207'700)
321'483
241'639
(125'000)
Target Price
18
20
18
21
22
17
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
19.11.2012
n/a
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
30.09.2012
Investment Advisor
28.02.2013
Bank
31.12.2012
Investment Advisor
31.12.2012
Government
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Unclassified
31.12.2012
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
12 month
12 month
Not Provided
Date
26.04.2013
24.04.2013
23.04.2013
22.04.2013
15.04.2013
09.04.2013
15.01.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.11.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 23.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
CDE US EQUITY YTD Change
CDE US EQUITY YTD % CHANGE
12/2012
12/yy
31.97
13.31
306'378.00
14.59
-54.55%
9.62%
8.04%
102.6
1'496.93
124.55
0.0
0.0
153.50
1'467.97
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
14.0 M
30
12.0 M
25
10.0 M
20
8.0 M
15
6.0 M
10
4.0 M
2.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
35
31.12.2009
31.12.2010
300.4
515.5
5.42x
4.98x
78.2
218.7
20.82x
11.74x
(27.1)
(91.3)
Profitability
LTM-4Q
31.12.2011
1'021.2
2.05x
531.3
3.95x
93.5
22.35x
31.12.2012
895.5
2.45x
378.2
5.80x
48.7
41.69x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
378.23
159.37
17.80%
13.10%
1.50%
2.25%
0.28%
24.6%
42.2%
17.8%
5.4%
1.70
0.79
3.87%
5.67%
12.27
4.45
12/yy
1'021.2
9.28x
531.3
3.95x
93.5
22.35x
LTM
12/yy
895.5
9.22x
378.2
5.80x
48.7
42.41x
FY+1
.0 M
a-13
1.30
102.01
3.91
-32.30%
-40.69%
1.297
7
4.286
1'811'326
1'746'520
1'656'453
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
940.3
1'061.3
198.3
232.0
1.50x
1.17x
7.20x
6.43x
385.3
516.3
73.8
89.1
3.83x
2.85x
3.79x
3.14x
96.8
170.2
15.1
15.7
20.10x
10.93x
14.93x
11.53x
S&P Issuer Ratings
25.06.2012
B+
STABLE
13.10
8.08
-0.08
0.33
5.7%
5.4%
0.28
0.33
29.82
82.19
34.90
77.12
Sales/Revenue/Turnover
50.00
1'200.0
45.00
1'000.0
40.00
35.00
800.0
30.00
600.0
25.00
20.00
400.0
15.00
10.00
200.0
5.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
VANGUARD GROUP INC
DIMENSIONAL FUND ADV
STATE STREET
AMERICAN CENTURY COM
OPPENHEIMERFUNDS INC
GUGGENHEIM
ATLANTIC INVESTMENT
NORTHERN TRUST CORPO
DEUTSCHE BANK AG
DONALD SMITH & CO IN
SUN VALLEY GOLD LLC
DREMAN VALUE MANAGEM
FMR LLC
NEW JERSEY DIVISION
AMERIPRISE FINANCIAL
JP MORGAN
SPROTT INC
INVESCO LTD
Portfolio Name
n/a
n/a
VANGUARD GROUP INC
DIMENSIONAL FUND ADV
n/a
AMERICAN CENTURY COM
OPPENHEIMER FUNDS IN
n/a
ATLANTIC INVESTMENT
NORTHERN TRUST CORPO
DEUTSCHE BANK AKTIEN
DONALD SMITH & CO IN
SUN VALLEY GOLD LLC
DREMAN VALUE MANAGEM
n/a
STATE OF NJ COMMON P
AMERIPRISE FINANCIAL
n/a
SPROTT INC
n/a
Firm Name
Analyst
EVA Dimensions
Deutsche Bank
Global Hunter Securities
Cormark Securities Inc.
JPMorgan
BMO Capital Markets
Sidoti & Company LLC
Sterne, Agee & Leach
CRAIG STERLING
JORGE M BERISTAIN
JEFF WRIGHT
GRAEME JENNINGS
JOHN BRIDGES
ANDREW KAIP
ADAM BROOKS
MICHAEL S DUDAS
Source
ULT-AGG
ULT-AGG
13F
13F
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
ULT-AGG
13F
ULT-AGG
Recommendation
buy
buy
accumulate
market perform
restricted
market perform
buy
buy
Amt Held
7'408'808
6'165'441
4'876'942
4'438'757
4'427'354
2'810'872
2'403'100
2'259'708
2'031'590
1'857'341
1'795'841
1'602'028
1'278'258
1'265'889
1'105'840
1'000'000
996'110
942'523
838'500
733'057
% Out
7.22
6.01
4.75
4.33
4.32
2.74
2.34
2.2
1.98
1.81
1.75
1.56
1.25
1.23
1.08
0.97
0.97
0.92
0.82
0.71
Weighting
Change
5
5
4
3
#N/A N/A
3
5
5
U
M
M
M
M
M
M
M
Latest Chg
1'114'305
(420'427)
256'439
(54'878)
(256'964)
350'000
986'778
(285'500)
60'904
(457'409)
1'602'028
272'396
(232'106)
(51'910)
1'000'000
756'816
(89'282)
(341'000)
(410'219)
Target Price
#N/A N/A
21
23
20
#N/A N/A
17
24
36
File Dt
Inst Type
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Unclassified
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
Date
30.04.2013
29.04.2013
29.04.2013
22.04.2013
19.04.2013
17.04.2013
17.04.2013
12.04.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AUQ US EQUITY YTD Change
AUQ US EQUITY YTD % CHANGE
12/2012
12/yy
9.50
4.52
473'854.00
5
-47.16%
10.62%
11.04%
246.6
1'233.18
188.57
0.0
0.0
603.40
818.35
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
31.12.2009
31.12.2010
206.8
238.3
6.86x
4.42x
70.5
106.6
20.14x
9.87x
8.2
(134.7)
Profitability
LTM-4Q
31.12.2011
83.9
27.78x
2.3
1003.29x
176.9
-
31.12.2012
163.6
11.67x
52.3
36.48x
33.2
52.33
33.61
20.54%
-60.53%
1.09%
1.46%
43.2%
20.3%
7.76
6.33
6.51%
8.21%
-
12/yy
212.3
33.27x
106.8
0.00x
176.9
0.00x
20.0 M
15.0 M
10.0 M
5.0 M
j-12
j-12
a-12
s-12
LTM
12/yy
233.4
39.23x
79.9
23.88x
33.2
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.87
245.79
13.50
-45.11%
-38.47%
0.870
14
3.214
2'986'072
3'464'322
3'328'162
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
301.4
415.2
59.9
58.4
3.95x
2.86x
12.41x
13.31x
144.3
217.3
26.8
21.0
5.76x
3.82x
5.82x
5.09x
64.8
94.6
14.2
6.6
18.47x
12.29x
17.73x
14.58x
S&P Issuer Ratings
23.39
-142.03
-5.19
2.36
8.2%
7.6%
-
Sales/Revenue/Turnover
1.20
300.0
1.00
250.0
0.80
200.0
0.60
25.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10
9
8
7
6
5
4
3
2
1
0
a-12 m-12
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
WELLINGTON MANAGEMEN
VAN ECK ASSOCIATES C
HARTFORD INVESTMENT
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
DONALD SMITH & CO IN
UNITED SERVICES AUTO
OPPENHEIMERFUNDS INC
PUBLIC SECTOR PENSIO
OPUS CAPITAL GROUP L
NWQ INVESTMENT MANAG
HEXAVEST INC
MACKENZIE FINANCIAL
INVESTEC ASSET MANAG
FIERA CAPITAL CORPOR
ASTON ASSET MANAGEME
SUN VALLEY GOLD LLC
DREMAN VALUE MANAGEM
GEOLOGIC RESOURCE PA
DEUTSCHE BANK AG
Firm Name
Macquarie
TD Securities
Credit Suisse
Canaccord Genuity Corp
RBC Capital Markets
Raymond James
Dundee Securities Corp
BMO Capital Markets
Desjardins Securities
GMP
National Bank Financial
EVA Dimensions
CIBC World Markets
Scotia Capital
Cowen Securities LLC
Portfolio Name
n/a
n/a
Multiple Portfolios
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
DONALD SMITH & CO IN
UNITED SERVICES AUTO
OPPENHEIMER FUNDS IN
PUBLIC SECTOR PENSIO
OPUS CAPITAL GROUP L
NWQ INVESTMENT MANAG
HEXAVEST INC
MACKENZIE FINANCIAL
INVESTEC ASSET MANAG
FIERA CAPITAL CORPOR
Multiple Portfolios
SUN VALLEY GOLD LLC
DREMAN VALUE MANAGEM
GEOLOGIC RESOURCE PA
DEUTSCHE BANK AKTIEN
Analyst
TONY LESIAK
STEVEN J GREEN
ANITA SONI
RAHUL PAUL
DAN ROLLINS
GARY J BASCHUK
JOE FAZZINI
BRIAN QUAST
ADAM MELNYK
CHELSEA HAMILTON
PAOLO LOSTRITTO
CRAIG STERLING
COSMOS CHIU
TREVOR TURNBULL
ADAM P GRAF
Source
13G
ULT-AGG
MF-AGG
13F
13F
13F
13F
13F
13F
13F
13F
13F
13F
13F
13F
MF-AGG
13F
13F
13F
13F
Recommendation
outperform
reduce
neutral
buy
sector perform
Under Review
neutral
market perform
hold
buy
sector perform
underweight
sector perform
sector perform
hold
Amt Held
29'437'231
24'673'016
12'572'597
11'799'825
11'733'592
8'335'053
8'314'200
7'469'100
4'793'558
4'478'647
3'916'476
3'895'355
3'862'659
3'699'470
3'677'730
3'654'124
3'493'185
3'453'046
3'444'100
3'343'677
% Out
11.94
10
5.1
4.78
4.76
3.38
3.37
3.03
1.94
1.82
1.59
1.58
1.57
1.5
1.49
1.48
1.42
1.4
1.4
1.36
Weighting
Change
5
2
3
5
3
#N/A N/A
3
3
3
5
3
1
3
3
3
M
M
M
M
M
M
M
M
M
M
M
U
M
M
M
Latest Chg
9'509'551
1'193'174
(2'491'500)
(677'807)
164'601
(87'073)
680'000
38'100
1'610'951
(2'801'559)
(1'586'686)
371'532
1'016'940
(11'562'015)
488'507
(50'000)
(54'087)
(500'000)
(389'322)
Target Price
6
5
8
9
6
#N/A N/A
7
8
8
12
6
#N/A N/A
8
7
#N/A N/A
File Dt
Inst Type
31.01.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Date
25.04.2013
23.04.2013
22.04.2013
22.04.2013
19.04.2013
18.04.2013
16.04.2013
15.04.2013
15.04.2013
15.04.2013
15.04.2013
15.04.2013
11.04.2013
04.04.2013
26.03.2013
30.04.2013
Price/Volume
45
40
35
30
25
20
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (17.10.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 25.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
ANV US EQUITY YTD Change
ANV US EQUITY YTD % CHANGE
12/2012
03/yy
41.02
10.20
833'915.00
10.7
-74.65%
4.90%
5.29%
89.9
961.81
525.19
0.0
0.0
347.05
1'139.96
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
10
5
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15
31.12.2009
31.12.2010
43.2
130.9
23.79x
15.41x
(0.8)
30.5
66.12x
8.5
34.1
107.71x
64.17x
Profitability
LTM-4Q
31.12.2011
152.0
16.34x
48.8
50.94x
36.7
77.64x
31.12.2012
214.6
13.43x
95.5
30.19x
47.7
57.94x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
95.46
80.87
37.69%
29.90%
5.04%
8.05%
6.96%
0.23%
49.0%
44.5%
37.7%
22.2%
5.58
4.00
42.43%
84.71%
7.10
2.60
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
03/yy
159.3
69.10x
64.8
42.00x
48.6
62.56x
LTM
03/yy
224.5
39.30x
77.6
0.00x
44.5
33.59x
FY+1
0.00
1.03
82.61
6.78
-63.47%
-64.49%
1.035
10
3.300
2'268'719
2'577'116
1'843'639
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2 09/13 Q3
394.2
586.0
72.8
86.8
3.46x
2.54x
9.86x
7.21x
186.8
346.5
25.1
29.8
6.10x
3.29x
9.06x
7.86x
87.4
172.5
11.3
14.1
11.90x
6.19x
8.20x
6.65x
S&P Issuer Ratings
07.06.2012
B
STABLE
3.69
-6.45
1.87
5.50
84.7%
45.9%
0.23
0.62
51.58
140.60
115.64
76.54
Sales/Revenue/Turnover
800.00
250.0
700.00
200.0
600.00
500.00
150.0
400.00
100.0
300.00
200.00
50.0
100.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
VANGUARD GROUP INC
ROYCE AND ASSOCIATES
PESCIO CARL A
SENTRY SELECT CAPITA
WELLINGTON MANAGEMEN
GCIC LTD/CANADA
STATE STREET
FMR LLC
BLACKROCK
BAUPOST GROUP LLC
UNITED SERVICES AUTO
BUCHAN ROBERT M
PERRY CORP
OPPENHEIMERFUNDS INC
TOCQUEVILLE ASSET MA
SCOTIA ASSET MANAGEM
PAULSON & CO
COLUMBIA WANGER ASSE
GUGGENHEIM
Firm Name
RBC Capital Markets
Macquarie
Scotia Capital
Canaccord Genuity Corp
Cormark Securities Inc.
EVA Dimensions
CIBC World Markets
BMO Capital Markets
GMP
Cowen Securities LLC
Portfolio Name
n/a
VANGUARD GROUP INC
ROYCE & ASSOCIATES L
n/a
SENTRY SELECT CAPITA
WELLINGTON MANAGEMEN
n/a
n/a
n/a
n/a
THE BAUPOST GROUP LL
UNITED SERVICES AUTO
n/a
PERRY CORPORATION
OPPENHEIMER FUNDS IN
TOCQUEVILLE ASSET MA
Multiple Portfolios
PAULSON & CO
COLUMBIA WANGER ASSE
n/a
Analyst
SAM CRITTENDEN
MICHAEL GRAY
TREVOR TURNBULL
STEVEN BUTLER
MIKE KOZAK
CRAIG STERLING
CHITIMUKULU MUSONDA
BRIAN QUAST
ANDREW MIKITCHOOK
ADAM P GRAF
Source
ULT-AGG
13F
13F
Form 4
13F
13F
13G
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
PROXY
13F
13F
13F
MF-AGG
13F
13F
ULT-AGG
Recommendation
sector perform
underperform
sector perform
buy
speculative buy
hold
sector perform
underperform
buy
buy
Amt Held
7'138'101
4'618'576
4'534'307
4'403'800
4'254'700
3'976'128
3'931'475
3'793'522
3'225'015
3'054'914
2'853'550
2'408'733
2'211'500
2'142'250
1'857'800
1'768'623
1'620'900
1'509'221
1'444'000
1'199'739
% Out
7.94
5.14
5.04
4.9
4.73
4.42
4.37
4.22
3.59
3.4
3.17
2.68
2.46
2.38
2.07
1.97
1.8
1.68
1.61
1.33
Weighting
Change
3
1
3
5
4
3
3
1
5
5
D
M
U
M
M
U
M
M
M
M
Latest Chg
1'164'848
(88'198)
(1'437'400)
(296'200)
5'600
1'180'057
(1'847'320)
68'701
192'715
(174'019)
(2'200'000)
18'784
(23'300)
259'000
300'000
(400'400)
1'444'000
571'495
Target Price
15
9
15
26
24
#N/A N/A
19
18
43
46
File Dt
29.04.2013
31.03.2013
31.03.2013
21.09.2012
31.12.2012
31.12.2012
18.04.2013
29.04.2013
31.03.2013
26.04.2013
31.12.2012
31.12.2012
08.03.2013
31.12.2012
31.12.2012
31.03.2013
28.02.2013
31.12.2012
31.12.2012
31.03.2013
Date
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
n/a
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Unclassified
Date
29.04.2013
25.04.2013
23.04.2013
22.04.2013
22.04.2013
18.04.2013
11.04.2013
09.04.2013
09.04.2013
09.04.2013
30.04.2013
Hecla Mining Co
Hecla Mining Company explores, develops, and mines precious metals, gold and
silver. The Company has operations in the United States and Mexico.
Price/Volume
8
18.0 M
16.0 M
14.0 M
12.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 21.02.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
HL US EQUITY YTD Change
HL US EQUITY YTD % CHANGE
12/2012
12/yy
6.92
2.95
1'293'417.00
3.24
-53.35%
9.83%
8.05%
285.2
924.03
17.50
0.0
0.0
190.98
750.58
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12
31.12.2009
31.12.2010
312.5
418.8
4.39x
6.28x
132.3
211.3
10.38x
12.44x
67.8
49.0
34.33x
62.56x
Profitability
LTM-4Q
31.12.2011
477.6
2.59x
254.7
4.85x
151.2
12.16x
31.12.2012
321.1
4.64x
92.9
16.03x
15.0
83.29x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
92.91
42.79
13.33%
7.42%
1.08%
1.26%
1.44%
0.23%
44.7%
28.9%
13.3%
4.7%
2.98
2.20
1.27%
1.54%
16.96
6.48
12/yy
477.6
13.24x
253.4
4.88x
151.2
12.16x
j-12
j-12
a-12
s-12
LTM
12/yy
321.1
16.60x
92.9
16.03x
15.0
83.29x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
1.93
1.35
283.18
23.69
-23.37%
-44.26%
1.354
8
3.500
5'924'867
6'550'337
5'727'441
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
493.3
618.8
91.7
103.9
2.45x
1.81x
8.40x
7.75x
221.6
326.3
40.4
49.7
3.39x
2.30x
2.77x
2.33x
77.6
133.5
8.6
6.5
15.07x
8.64x
14.21x
10.84x
S&P Issuer Ratings
04.04.2013
B
STABLE
38.28
-8.32
-1.87
0.19
1.5%
1.5%
0.23
0.33
21.58
56.49
82.31
-4.24
Sales/Revenue/Turnover
30.00
600.0
25.00
500.0
20.00
400.0
15.00
300.0
10.00
200.0
5.00
100.0
0.00
01.01.2010
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10.0 M
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Hecla Mining Co
Holdings By:
All
Holder Name
VAN ECK ASSOCIATES C
STATE STREET
BLACKROCK
VANGUARD GROUP INC
NORTHERN TRUST CORPO
DIMENSIONAL FUND ADV
JENNISON ASSOCIATES
KESTREL INVESTMENT M
SUSQUEHANNA INTERNAT
CREDIT SUISSE AG
CS MCKEE LP
LRI-FUND MANAGEMENT
GLOBAL X MANAGEMENT
ROYCE AND ASSOCIATES
MORGAN STANLEY
DENVER INVESTMENT AD
AXA
BNP PARIBAS INV PART
QUANTEX AG
NEW JERSEY DIVISION
Portfolio Name
n/a
n/a
n/a
VANGUARD GROUP INC
NORTHERN TRUST CORPO
DIMENSIONAL FUND ADV
JENNISON ASSOCIATES
KESTREL INVESTMENT M
SUSQUEHANNA INTERNAT
CREDIT SUISSE AG
C S MCKEE LP
Multiple Portfolios
GLOBAL X MANAGEMENT
ROYCE & ASSOCIATES L
n/a
DENVER INVESTMENT AD
n/a
n/a
Multiple Portfolios
STATE OF NJ COMMON P
Firm Name
Analyst
JEFF WRIGHT
JOHN BRIDGES
CRAIG STERLING
ANDREW KAIP
STEVEN BUTLER
JORGE M BERISTAIN
MICHAEL S DUDAS
TREVOR TURNBULL
Source
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
13F
MF-AGG
13F
13F
ULT-AGG
13F
ULT-AGG
ULT-AGG
MF-AGG
13F
Recommendation
buy
neutral
hold
market perform
buy
hold
neutral
restricted
Amt Held
19'672'831
16'490'464
15'874'824
15'111'549
5'094'157
4'531'959
4'041'712
3'997'250
3'744'569
2'966'054
2'882'600
2'800'000
2'771'542
2'623'100
2'493'254
2'443'226
2'418'493
2'250'000
2'035'400
1'900'000
% Out
6.9
5.78
5.57
5.3
1.79
1.59
1.42
1.4
1.31
1.04
1.01
0.98
0.97
0.92
0.87
0.86
0.85
0.79
0.71
0.67
Weighting
Change
5
3
3
3
5
3
3
#N/A N/A
M
M
U
M
M
U
M
M
Latest Chg
3'630'060
(1'261'865)
(139'843)
233'659
275'066
(340'534)
(98'000)
1'615'970
(525'202)
(359'600)
413'542
(671'814)
(2'027'715)
8'934
(193'270)
(150'000)
(330'000)
(2'100'000)
Target Price
6
6
#N/A N/A
5
6
4
#N/A N/A
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
29.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
Date
12 month
6 month
Not Provided
Not Provided
12 month
12 month
Not Provided
Not Provided
Date
29.04.2013
19.04.2013
17.04.2013
15.04.2013
15.04.2013
11.04.2013
06.03.2013
05.03.2013
30.04.2013
Price/Volume
6
25.0 M
20.0 M
12/2012
12/yy
4.98
2.68
98'114.00
3.74
-24.90%
39.55%
47.83%
0.00
0.0
143.5
396.40
-
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
10.0 M
5.0 M
1
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(4.9)
(12.2)
(4.3)
(13.3)
Profitability
LTM-4Q
31.12.2011
547.8
1.60x
429.2
2.04x
147.1
-
31.12.2012
566.0
1.05x
426.5
1.40x
145.3
426.46
397.41
70.21%
70.80%
17.62%
26.00%
36.05%
0.69%
89.9%
75.3%
70.2%
25.7%
6.56
5.92
0.00%
0.00%
23.41
1.46
12/yy
551.5
6.89x
429.3
2.04x
147.1
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
566.0
4.04x
426.5
1.40x
145.3
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
1.04
1.17
5.55%
-12.62%
1.038
11
3.727
760'741
787'435
1'070'769
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
394.2
669.5
74.5
70.8
246.6
441.0
37.8
27.2
71.9
163.3
11.1
7.0
8.70x
3.92x
8.95x
7.03x
S&P Issuer Ratings
683.43
544.86
-0.93
0.00
0.0%
0.0%
0.69
1.83
15.63
250.60
30.26
235.97
Sales/Revenue/Turnover
1.20
600.0
1.00
500.0
0.80
400.0
0.60
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
Valuation Analysis
300.0
200.0
0.40
100.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VANGUARD GROUP INC
M&G INVESTMENT MANAG
BLACKROCK
FRANKLIN RESOURCES
VAN ECK ASSOCIATES C
ACADIAN ASSET MANAGE
SCHRODER INVESTMENT
WELLINGTON MANAGEMEN
CONNOR CLARK & LUNN
CANADA PENSION PLAN
PUBLIC SECTOR PENSIO
DAVIS CLIFFORD T
TD ASSET MANAGEMENT
CLARKE JOHN A
NORGES BANK
MCKINLEY CAPITAL MAN
AMERICAN CENTURY COM
RENAISSANCE TECHNOLO
MORGAN STANLEY
BATTERYMARCH FINANCI
Firm Name
TD Securities
Haywood Securities Inc.
Canaccord Genuity Corp
Cormark Securities Inc.
Paradigm Capital Inc
CIBC World Markets
GMP
RBC Capital Markets
PI Financial Corp.
EVA Dimensions
Portfolio Name
Multiple Portfolios
M&G INVESTMENT MANAG
n/a
n/a
n/a
ACADIAN ASSET MANAGE
SCHRODER INVESTMENT
WELLINGTON MANAGEMEN
CONNOR CLARK & LUNN
CANADA PENSION PLAN
PUBLIC SECTOR PENSIO
n/a
TD ASSET MANAGEMENT
n/a
NORGES BANK
MCKINLEY CAPITAL MAN
AMERICAN CENTURY COM
RENAISSANCE TECHNOLO
n/a
BATTERYMARCH FINANCI
Analyst
STEVEN J GREEN
STEFAN IOANNOU
RAHUL PAUL
CLIFF HALE-SANDERS
DAVID DAVIDSON
COSMOS CHIU
ANDREW MIKITCHOOK
PATRICK MORTON
ALEEM LADAK
CRAIG STERLING
Source
MF-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
SEDI
13F
SEDI
13F
13F
13F
13F
ULT-AGG
13F
Recommendation
hold
buy
hold
buy
buy
sector underperform
hold
sector perform
buy
buy
Amt Held
39'554'511
38'500'000
29'730'099
24'147'000
13'698'233
5'077'040
4'239'444
3'062'504
3'003'300
1'883'601
1'878'320
1'553'219
1'395'977
1'367'000
1'233'881
1'094'380
1'091'342
1'043'300
1'028'199
1'006'600
% Out
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Weighting
Change
3
5
3
5
5
1
3
3
5
5
M
M
M
M
M
M
M
M
M
M
Latest Chg
9'800
(1'770'900)
2'496'855
613'900
124'000
3'062'504
1'180'900
4'200
(50'100)
(80'700)
(146'716)
1'094'380
11'479
213'600
763'003
-
Target Price
4
5
4
5
8
4
4
5
6
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
19.11.2012
n/a
31.12.2012
Investment Advisor
31.12.2012
n/a
31.12.2012
Government
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
Not Provided
12 month
12 month
12 month
Not Provided
12 month
12 month
12 month
Not Provided
Date
23.04.2013
16.04.2013
15.04.2013
10.04.2013
01.04.2013
25.03.2013
22.03.2013
21.03.2013
21.03.2013
17.01.2013
30.04.2013
Price/Volume
6
5
4
3
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (24.12.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AZK US EQUITY YTD Change
AZK US EQUITY YTD % CHANGE
12/2012
12/yy
5.57
3.19
171'550.00
4.181
-24.87%
31.07%
41.18%
164.6
688.04
0.00
0.0
0.0
204.71
489.28
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1
0
a-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
31.12.2009
31.12.2010
175.6
178.7
3.65x
5.82x
87.5
69.8
7.32x
14.90x
36.7
17.2
Profitability
LTM-4Q
31.12.2011
260.0
2.31x
124.9
4.81x
43.9
-
31.12.2012
223.6
1.61x
92.2
3.90x
31.8
92.23
54.50
24.38%
25.08%
7.33%
9.28%
9.42%
0.51%
41.0%
41.3%
24.4%
14.2%
7.30
6.49
0.00%
0.00%
28.73
9.10
12/yy
260.0
11.47x
124.9
4.81x
43.9
0.00x
LTM
12/yy
223.6
9.66x
92.2
3.90x
31.8
0.00x
FY+1
0.98
136.22
1.55
-22.72%
20.14%
0.979
5
3.000
628'997
722'442
886'202
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
206.2
266.3
40.2
46.6
94.0
139.0
5.21x
3.52x
27.9
51.1
3.2
3.4
24.95x
16.54x
30.78x
S&P Issuer Ratings
107.74
19.32
-2.22
0.00
0.0%
0.0%
0.51
1.18
12.74
40.24
38.79
14.19
Sales/Revenue/Turnover
1.20
300.0
1.00
250.0
0.80
200.0
0.60
m-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ALAMOS GOLD INC
VAN ECK ASSOCIATES C
UNITED SERVICES AUTO
MONTRUSCO BOLTON INV
GCIC LTD/CANADA
SUN VALLEY GOLD LLC
RENAISSANCE TECHNOLO
NWQ INVESTMENT MANAG
WELLS FARGO
INVESCO LTD
CANADA PENSION PLAN
FMR LLC
TOUCHSTONE ADVISORS
PUBLIC SECTOR PENSIO
BLACKROCK
LB SWISS INVESTMENT
MORGAN STANLEY
JP MORGAN
GEOLOGIC RESOURCE PA
FIRST EAGLE INVESTME
Firm Name
Global Hunter Securities
BMO Capital Markets
National Bank Financial
Desjardins Securities
EVA Dimensions
Mackie Research Capital Corp.
Euro Pacific Capital Inc
Raymond James
CIBC World Markets
Loewen, Ondaatje, McCutcheon Ltd
Scotia Capital
Portfolio Name
n/a
n/a
UNITED SERVICES AUTO
MONTRUSCO BOLTON INV
GOODMAN & COMPANY IN
SUN VALLEY GOLD LLC
RENAISSANCE TECHNOLO
NWQ INVESTMENT MANAG
n/a
n/a
CANADA PENSION PLAN
n/a
Multiple Portfolios
PUBLIC SECTOR PENSIO
n/a
Multiple Portfolios
n/a
n/a
GEOLOGIC RESOURCE PA
FIRST EAGLE INVESTME
Analyst
JEFF WRIGHT
BRIAN QUAST
PAOLO LOSTRITTO
ADAM MELNYK
CRAIG STERLING
RYAN HANLEY
HEIKO IHLE
FORBES GEMMELL
COSMOS CHIU
MICHAEL G FOWLER
OVAIS HABIB
Source
13D
ULT-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
MF-AGG
13F
ULT-AGG
MF-AGG
ULT-AGG
ULT-AGG
13F
13F
Recommendation
neutral
underperform
tender
tender
underweight
tender
buy
Under Review
restricted
buy
restricted
Amt Held
26'507'283
22'005'946
7'000'000
6'138'783
5'947'500
5'751'260
4'806'500
4'430'833
3'678'543
3'537'956
2'931'135
2'190'600
1'655'218
1'539'910
1'436'486
1'400'000
1'289'081
1'264'143
1'251'251
1'121'404
% Out
16.11
13.37
4.25
3.73
3.61
3.49
2.92
2.69
2.24
2.15
1.78
1.33
1.01
0.94
0.87
0.85
0.78
0.77
0.76
0.68
Weighting
Change
3
1
#N/A N/A
#N/A N/A
1
#N/A N/A
5
#N/A N/A
#N/A N/A
5
#N/A N/A
M
M
M
M
D
M
M
M
M
M
M
Latest Chg
408'275
(6'022'500)
4'054'435
452'400
1'029'681
(1'265'127)
136'509
101'700
(176'300)
1'655'218
3'442
1'097'036
1'264'143
(73'649)
(1'183'046)
Target Price
5
4
5
4
#N/A N/A
5
5
#N/A N/A
#N/A N/A
6
#N/A N/A
File Dt
19.03.2013
29.04.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
28.03.2013
31.12.2012
26.04.2013
31.12.2012
31.03.2013
31.03.2013
31.12.2012
31.03.2013
Date
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Inst Type
Other
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Date
29.04.2013
14.04.2013
05.04.2013
20.03.2013
15.03.2013
05.03.2013
04.03.2013
05.02.2013
25.01.2013
23.01.2013
21.01.2013
30.04.2013
Price/Volume
18
4.0 M
16
3.5 M
14
3.0 M
12
2.5 M
10
12/2012
12/yy
16.92
6.50
236'403.00
7.14
-58.04%
9.85%
5.85%
80.9
577.92
135.81
0.0
0.0
366.95
346.77
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.0 M
.5 M
0
a-12
31.12.2009
31.12.2010
5.4
112.3
307.12x
18.82x
(17.7)
5.3
400.55x
(13.2)
338.5
Profitability
m-12
LTM-4Q
31.12.2011
147.8
6.19x
39.4
23.24x
80.1
-
31.12.2012
241.1
4.03x
54.6
17.81x
54.8
54.59
9.75
4.04%
14.55%
4.23%
5.37%
0.19%
19.1%
22.6%
4.0%
22.7%
2.76
2.10
10.31%
12.84%
4.69
1.98
12/yy
147.8
43.58x
39.4
23.24x
80.1
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
241.1
15.70x
54.6
17.81x
54.8
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
1.09
80.75
3.54
-50.49%
-52.05%
1.094
11
3.545
1'579'001
1'309'476
1'154'577
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
233.7
260.0
57.3
56.1
1.84x
2.29x
5.64x
6.99x
64.7
92.0
11.7
11.9
5.34x
3.76x
5.67x
4.79x
(2.7)
6.3
(2.2)
(0.7)
- 1785.00x
70.69x
S&P Issuer Ratings
2.23
-0.30
-4.23
2.49
12.8%
11.4%
0.19
0.44
78.06
184.84
114.73
148.18
Sales/Revenue/Turnover
1.20
300.0
1.00
250.0
0.80
200.0
0.60
1.5 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ROYCE AND ASSOCIATES
VAN ECK ASSOCIATES C
WELLS FARGO
VINIK ASSET MANAGEME
AXA
NEWGATE CAPITAL MANA
TRADEWINDS GLOBAL IN
GLOBAL X MANAGEMENT
BNP PARIBAS INV PART
PUBLIC SECTOR PENSIO
DEUTSCHE BANK AG
LB SWISS INVESTMENT
UBS
LRI-FUND MANAGEMENT
NEUFLIZE OBC ASSET M
CANADA PENSION PLAN
SUSQUEHANNA INTERNAT
NORGES BANK
TD ASSET MANAGEMENT
CITIGROUP INCORPORAT
Firm Name
Global Hunter Securities
Scotia Capital
Credit Suisse
RBC Capital Markets
EVA Dimensions
BMO Capital Markets
Salman Partners
GMP
Cowen Securities LLC
Deutsche Bank
CIBC World Markets
Portfolio Name
ROYCE & ASSOCIATES L
n/a
n/a
VINIK ASSET MANAGEME
n/a
NEWGATE CAPITAL MANA
TRADEWINDS GLOBAL IN
GLOBAL X MANAGEMENT
n/a
PUBLIC SECTOR PENSIO
DEUTSCHE BANK AKTIEN
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
CANADA PENSION PLAN
SUSQUEHANNA INTERNAT
NORGES BANK
TD ASSET MANAGEMENT
CITIGROUP INCORPORAT
Analyst
JEFF WRIGHT
TREVOR TURNBULL
RALPH M PROFITI
DAN ROLLINS
CRAIG STERLING
ANDREW KAIP
ASH GUGLANI
CHELSEA HAMILTON
ADAM P GRAF
JORGE M BERISTAIN
ARNOLD VAN GRAAN
Source
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
13F
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
13F
13F
13F
13F
13F
Recommendation
buy
sector perform
neutral
sector perform
hold
market perform
buy
buy
buy
sell
sector perform
Amt Held
6'782'680
5'574'565
3'564'858
1'781'407
1'508'237
1'283'256
1'094'787
1'085'240
915'000
767'770
760'453
720'000
715'613
681'000
618'576
523'412
517'492
498'001
484'644
432'690
% Out
8.38
6.89
4.4
2.2
1.86
1.59
1.35
1.34
1.13
0.95
0.94
0.89
0.88
0.84
0.76
0.65
0.64
0.62
0.6
0.53
Weighting
Change
5
3
3
3
3
3
5
5
5
1
3
M
M
M
M
U
M
M
M
M
M
M
Latest Chg
(1'486'526)
1'026'633
592'287
(195'800)
8'300
302'640
(157'540)
101'480
(75'000)
10'900
97'677
(180'000)
(37'922)
60'200
285'000
65'700
(78'964)
10'100
238'733
Target Price
17
9
17
10
#N/A N/A
12
21
27
27
9
12
File Dt
Inst Type
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Unclassified
31.03.2013
Investment Advisor
30.12.2011
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.12.2012
Government
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
Date
29.04.2013
23.04.2013
22.04.2013
19.04.2013
18.04.2013
15.04.2013
12.04.2013
12.04.2013
12.04.2013
11.04.2013
11.04.2013
30.04.2013
Price/Volume
25
4.5 M
4.0 M
20
3.5 M
3.0 M
15
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (14.09.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SA US EQUITY YTD Change
SA US EQUITY YTD % CHANGE
12/2012
12/yy
20.34
9.63
96'232.00
10.73
-47.87%
11.42%
13.26%
45.6
488.82
0.00
0.0
0.0
52.04
441.03
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.5 M
10
31.12.2009
31.12.2010
0.0
0.0
(5.0)
(5.7)
(4.7)
3.3
Profitability
LTM-4Q
31.12.2011
0.0
(19.8)
(20.1)
-
31.12.2012
0.0
(15.8)
(12.5)
-15.82
-15.83
-5.08%
-5.37%
0.00%
5.11
5.11
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(19.8)
0.00x
(20.1)
0.00x
LTM
12/yy
0.0
#DIV/0!
(8.7)
0.00x
(12.5)
0.00x
0.98
41.57
3.63
-35.98%
-40.29%
0.980
3
4.333
344'180
374'141
367'678
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(15.0)
(16.0)
S&P Issuer Ratings
.0 M
a-13
-385.83
-1574.22
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
PAN ATLANTIC BANK
ROYCE AND ASSOCIATES
WEISS ASSET MANAGEME
FRONK RUDI P
ANTHONY JAMES S
FMR LLC
FCMI FINANCIAL CORP
BRISTOL INVESTMENT P
SUSQUEHANNA INTERNAT
FIDEURAM GESTIONS SA
FNDTN FOR STUDY OBJ
BLACKROCK
FOX LOUIS J
PORTOLA GROUP INCORP
THRELKELD WILLIAM E
BANFIELD A FREDERICK
NORGES BANK
DEUTSCHE BANK AG
VANGUARD GROUP INC
Firm Name
Cowen Securities LLC
Stonecap Securities Inc
Nomura
Portfolio Name
n/a
n/a
ROYCE & ASSOCIATES L
WEISS ASSET MANAGEME
n/a
n/a
n/a
n/a
BRISTOL INVESTMENT P
SUSQUEHANNA INTERNAT
Multiple Portfolios
n/a
n/a
n/a
PORTOLA GROUP INCORP
n/a
n/a
NORGES BANK
DEUTSCHE BANK AKTIEN
Multiple Portfolios
Analyst
ADAM P GRAF
CHRISTOS DOULIS
TYLER BRODA
Source
ULT-AGG
PROXY
13F
13F
SEDI
PROXY
ULT-AGG
PROXY
13F
13F
MF-AGG
SEDI
ULT-AGG
SEDI
13F
SEDI
PROXY
13F
13F
MF-AGG
Recommendation
buy
sector perform
buy
Amt Held
11'905'084
8'001'232
5'837'287
2'022'491
1'180'000
779'791
601'905
555'000
478'467
457'897
450'000
425'334
338'330
300'750
286'420
265'000
245'000
235'224
198'997
185'194
% Out
26.13
17.56
12.81
4.44
2.59
1.71
1.32
1.22
1.05
1.01
0.99
0.93
0.74
0.66
0.63
0.58
0.54
0.52
0.44
0.41
Weighting
Change
5
3
5
Latest Chg
3'512'313
(289'596)
2'022'491
10'000
(203'241)
129'117
(464'930)
(23'150)
(10'000)
(71'639)
2'534
6'435
Target Price
M
M
M
65
22
24
File Dt
Inst Type
29.04.2013
Investment Advisor
10.05.2012
Bank
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
16.11.2012
n/a
15.05.2012
n/a
31.03.2013
Investment Advisor
10.05.2012
Corporation
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
02.04.2013
Investment Advisor
06.02.2012
Other
26.04.2013
Investment Advisor
06.12.2011
n/a
31.03.2013
Investment Advisor
30.08.2011
n/a
15.05.2012
n/a
31.12.2012
Government
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
Date
Not Provided
12 month
Not Provided
Date
09.04.2013
08.03.2013
16.05.2012
30.04.2013
Price/Volume
6
3.5 M
3.0 M
2.5 M
08/2012
02/yy
5.34
2.42
71'688.00
2.96
-45.13%
22.31%
20.89%
100.7
298.02
2.07
0.0
0.0
20.06
287.08
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
31.08.2009
31.08.2010
0.0
0.0
(3.4)
(3.0)
(4.7)
(3.4)
Profitability
LTM-4Q
31.08.2011
0.0
(4.3)
(11.1)
-
31.08.2012
0.0
(5.1)
(8.9)
-5.06
-5.44
-3.52%
-4.13%
0.00%
8.84
8.68
3.28%
4.09%
0.00
-
02/yy
0.0
#DIV/0!
(4.6)
0.00x
(14.6)
0.00x
LTM
02/yy
0.0
#DIV/0!
(5.0)
0.00x
(2.2)
0.00x
1.25
92.75
9.41
-33.78%
-32.88%
1.253
0
595'728
484'983
466'234
FY+1
FY+2
FQ+1
FQ+2
08/13 Y
08/14 Y
05/13 Q3
08/13 Q4
.0 M
a-13
-49.26
-133.96
-0.21
4.1%
3.9%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
GEIER GROUP LLC
BPI FUNDOS GFIM SA/P
SINCLAIR JAMES E
BPI GLOBAL INVESTMEN
BLACKROCK
MORROW ROSALIND
VANGUARD GROUP INC
CANADA PENSION PLAN
HARVEY WILLIAM M
BMO FINANCIAL CORP
JONES HEWARD INVESTM
CITIGROUP INCORPORAT
PORTOLA GROUP INCORP
SUSQUEHANNA INTERNAT
DEUTSCHE BANK AG
LUIS VICTORIA
VAN TONGEREN STEVEN
ALTUS CAPITAL INC
BANK OF AMERICA CORP
Firm Name
Portfolio Name
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
CANADA PENSION PLAN
n/a
BMO FINANCIAL CORP
Multiple Portfolios
CITIGROUP INCORPORAT
PORTOLA GROUP INCORP
SUSQUEHANNA INTERNAT
DEUTSCHE BANK AKTIEN
n/a
n/a
ALTUS CAPITAL INC
BANK OF AMERICA
Analyst
Source
ULT-AGG
13G
MF-AGG
SEDI
MF-AGG
ULT-AGG
SEDI
MF-AGG
13F
SEDI
13F
MF-AGG
13F
13F
13F
13F
20F
SEDI
13F
13F
Recommendation
Amt Held
13'522'725
4'879'743
4'088'532
1'885'543
673'902
515'272
429'429
419'292
367'112
340'090
334'811
318'244
287'556
212'810
167'687
145'569
144'045
124'119
104'500
97'451
% Out
13.43
4.85
4.06
1.87
0.67
0.51
0.43
0.42
0.36
0.34
0.33
0.32
0.29
0.21
0.17
0.14
0.14
0.12
0.1
0.1
Weighting
Change
Latest Chg
526'026
(4'801'048)
52'612
(1'000)
(37'877)
826
5'382
5'200
141'200
7'732
4'654
102'344
250
134'479
20'891
25'000
56'500
(17'701)
Target Price
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
10.11.2011
Other
31.12.2012
Investment Advisor
08.02.2013
n/a
28.09.2012
Investment Advisor
26.04.2013
Investment Advisor
11.03.2013
n/a
31.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
12.04.2013
n/a
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.10.2012
n/a
18.04.2013
n/a
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
Date
30.04.2013
Price/Volume
3
14.0 M
12.0 M
10.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (16.10.2012)
52-Week Low (23.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GSS US EQUITY YTD Change
GSS US EQUITY YTD % CHANGE
12/1997
12/yy
2.11
0.88
285'371.00
1.05
-50.47%
19.32%
13.82%
259.1
272.06
117.48
0.0
(2.0)
78.88
308.65
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12
31.12.2009
Profitability
31.12.2010
432.7
2.72x
107.6
10.93x
(11.2)
-
LTM-4Q
31.12.2011
471.0
0.98x
91.8
5.00x
(2.1)
-
31.12.2012
550.5
0.95x
124.7
4.18x
(9.5)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
124.67
25.74
4.68%
1.20%
-1.31%
-2.17%
-4.61%
0.76%
9.6%
22.8%
4.7%
-1.7%
1.58
0.69
16.18%
27.10%
50.11
6.05
12/yy
471.0
4.90x
91.8
5.00x
(2.1)
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
550.5
3.58x
125.8
4.14x
(9.5)
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.00
1.08
257.68
11.99
-31.37%
-42.93%
1.076
10
2.800
1'844'036
1'951'951
1'863'731
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
540.0
584.5
131.8
129.0
0.69x
0.68x
2.43x
2.57x
116.2
186.8
25.9
28.9
2.66x
1.65x
2.74x
2.71x
11.5
51.3
1.5
2.1
6.52x
61.76x
14.00x
S&P Issuer Ratings
12.27
3.56
0.31
0.93
27.1%
21.4%
0.76
1.06
7.30
60.50
69.08
-1.28
Sales/Revenue/Turnover
30.00
600.0
25.00
500.0
20.00
400.0
15.00
300.0
10.00
200.0
5.00
100.0
0.00
01.01.2010
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
BLACKROCK
HILLSDALE INVESTMENT
STATE STREET
ACADIAN ASSET MANAGE
WELLINGTON MANAGEMEN
CANADA PENSION PLAN
PRINCIPAL FINANCIAL
NORTHERN TRUST CORPO
BATTERYMARCH FINANCI
TIAA CREF INVESTMENT
NORGES BANK
CITIGROUP INCORPORAT
MD MANAGEMENT LTD
NEW YORK STATE COMMO
SYSTEMATIC FINANCIAL
LEGG MASON CAPITAL M
GOLDMAN SACHS GROUP
Firm Name
Macquarie
Raymond James
Scotia Capital
Credit Suisse
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
National Bank Financial
EVA Dimensions
Portfolio Name
n/a
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
n/a
HILLSDALE INVESTMENT
n/a
ACADIAN ASSET MANAGE
WELLINGTON MANAGEMEN
CANADA PENSION PLAN
n/a
NORTHERN TRUST CORPO
BATTERYMARCH FINANCI
TIAA-CREF INVESTMENT
NORGES BANK
CITIGROUP INCORPORAT
Multiple Portfolios
NEW YORK STATE COMMO
SYSTEMATIC FINANCIAL
Multiple Portfolios
GOLDMAN SACHS GROUP
Analyst
PIERRE VAILLANCOURT
BRAD HUMPHREY
TREVOR TURNBULL
ANITA SONI
ANDREW BREICHMANAS
RAHUL PAUL
COSMOS CHIU
PAOLO LOSTRITTO
CRAIG STERLING
Source
ULT-AGG
13F
13F
ULT-AGG
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
MF-AGG
13F
13F
MF-AGG
13F
Recommendation
neutral
market perform
sector underperform
underperform
market perform
hold
sector perform
outperform
overweight
Amt Held
39'316'268
30'238'600
25'985'870
10'793'356
6'281'374
4'897'831
4'819'436
3'713'690
3'486'925
3'093'334
3'064'953
2'625'741
2'259'552
1'934'059
1'870'572
1'845'827
1'725'479
1'647'710
1'467'781
1'164'787
% Out
15.17
11.67
10.03
4.17
2.42
1.89
1.86
1.43
1.35
1.19
1.18
1.01
0.87
0.75
0.72
0.71
0.67
0.64
0.57
0.45
Weighting
Change
3
3
1
1
3
3
3
5
5
M
M
D
M
M
M
M
M
U
Latest Chg
(350'000)
(1'326'930)
723'887
1'230'943
12'016
(1'475'687)
3'703'206
2'002'700
1'200'671
(52'441)
125'700
1'129'776
1'267'792
139'300
206'700
277'080
(51'919)
Target Price
1
2
1
1
2
2
2
3
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Government
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
12 month
Not Provided
Date
25.04.2013
24.04.2013
23.04.2013
22.04.2013
15.04.2013
15.04.2013
11.04.2013
09.04.2013
04.04.2013
30.04.2013
Price/Volume
5
6.0 M
5.0 M
4
3
4.0 M
12/2007
12/yy
4.09
1.47
30'793.00
1.62
-61.00%
10.20%
6.11%
81.6
132.13
0.00
0.0
0.0
88.40
43.74
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
2.0 M
1.0 M
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
VGZ US EQUITY YTD Change
VGZ US EQUITY YTD % CHANGE
31.12.2009
31.12.2010
0.0
0.0
(6.1)
(17.7)
(1.9)
(20.0)
Profitability
LTM-4Q
31.12.2011
0.0
(28.1)
51.5
-
31.12.2012
0.0
(35.6)
(70.7)
-35.63
-36.22
-44.30%
-57.29%
0.00%
2.94
2.84
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(28.1)
0.00x
51.5
0.00x
LTM
12/yy
0.0
#DIV/0!
(34.5)
0.00x
(69.5)
0.00x
FY+1
.0 M
a-13
0.00
1.17
68.11
1.50
-46.36%
-40.00%
1.172
4
5.000
421'010
443'484
494'367
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
0.0
(20.4)
(19.1)
(5.8)
(5.8)
(20.1)
(13.7)
(6.3)
(6.3)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.6
1.4
1.2
0.80
0.60
1.0
0.8
0.6
0.40
0.20
0.4
0.2
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SUN VALLEY GOLD LLC
SUN VALLEY GOLD LLC
VAN ECK ASSOCIATES C
SPROTT INC
BLACKROCK
LOEWS CORPORATION
ANDREEFF EQUITY ADVI
STATE STREET
ROYCE AND ASSOCIATES
PERRITT CAPITAL MANA
CANADA PENSION PLAN
NORTHERN TRUST CORPO
PARKER FREDERICK H E
TIAA CREF INVESTMENT
SUSQUEHANNA INTERNAT
CITIGROUP INCORPORAT
BANK OF NEW YORK MEL
AQR CAPITAL MANAGEME
RICHINGS MICHAEL B
IFM - INDEPENDENT FU
Firm Name
Global Hunter Securities
National Bank Financial
Cowen Securities LLC
Roth Capital Partners
Stonegate Securities Inc
Portfolio Name
SUN VALLEY GOLD LLC
n/a
n/a
SPROTT INC
n/a
LOEWS CORPORATION
ANDREEFF EQUITY ADVI
n/a
ROYCE & ASSOCIATES L
PERRITT CAPITAL MANA
CANADA PENSION PLAN
NORTHERN TRUST CORPO
n/a
TIAA-CREF INVESTMENT
SUSQUEHANNA INTERNAT
CITIGROUP INCORPORAT
BANK OF NEW YORK MEL
AQR CAPITAL MANAGEME
n/a
Multiple Portfolios
Analyst
JEFF WRIGHT
PAOLO LOSTRITTO
ADAM P GRAF
BRIAN W POST
MARCO RODRIGUEZ
Source
13F
Research
ULT-AGG
13F
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
13F
Form 4
13F
13F
13F
13F
13F
Form 4
MF-AGG
Recommendation
buy
outperform
buy
buy
no rating system
Amt Held
12'084'310
12'084'310
11'374'527
6'145'260
2'577'504
1'758'748
1'586'026
888'193
871'929
822'000
732'415
709'055
556'325
283'993
271'783
248'473
201'025
193'800
188'121
180'750
% Out
14.82
14.82
13.95
7.53
3.16
2.16
1.94
1.09
1.07
1.01
0.9
0.87
0.68
0.35
0.33
0.3
0.25
0.24
0.23
0.22
Weighting
Change
5
5
5
5
#N/A N/A
M
M
M
M
M
Latest Chg
1'272'000
(430'462)
268'822
(20'971)
(20'701)
343'929
21'681
(24'847)
160'360
88'467
11'051
137'400
(33'250)
Target Price
5
4
13
7
#N/A N/A
File Dt
31.12.2012
31.12.2012
29.04.2013
31.03.2013
26.04.2013
31.12.2012
31.12.2012
26.04.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
05.09.2012
31.12.2012
31.12.2012
31.03.2013
31.03.2013
31.12.2012
08.01.2013
28.02.2013
Date
12 month
12 month
Not Provided
12 month
Not Provided
Inst Type
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Corporation
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
n/a
Investment Advisor
Date
29.04.2013
09.04.2013
09.04.2013
28.03.2013
19.03.2013
30.04.2013
Price/Volume
1
35.0 M
30.0 M
25.0 M
12/2011
09/yy
0.78
0.01
674'582.00
0.0087
-98.96%
24.29%
0.32%
552.4
4.81
282.45
0.0
0.0
25.75
321.04
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
15.0 M
0
0
10.0 M
5.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
20.0 M
Valuation Analysis
31.12.2008
31.12.2009
24.7
33.7
14.86x
19.15x
(104.9)
(50.6)
(84.9)
(48.4)
Profitability
LTM-4Q
31.12.2010
99.7
14.22x
(15.7)
(27.1)
-
31.12.2011
170.3
4.16x
18.3
38.63x
(17.7)
18.34
-0.57
-0.33%
-38.35%
-11.45%
-22.67%
0.18%
29.7%
-18.0%
-28.2%
-10.4%
0.78
0.50
33.22%
59.90%
18.55
5.26
09/yy
172.5
28.57x
24.5
43.55x
(48.2)
0.00x
LTM
09/yy
144.8
13.73x
(26.1)
0.00x
(91.7)
0.00x
0.95
-98.77%
0
2'153'574
2'322'724
3'891'575
FY+1
FY+2
FQ+1
FQ+2
12/12 Y
12/13 Y
12/12 Q4
03/13 Q1
0.75
-5.72
-12.49
59.9%
37.5%
0.18
0.20
19.73
69.54
202.52
39.53
Sales/Revenue/Turnover
180.0
160.0
1.00
0.80
140.0
120.0
100.0
0.60
80.0
60.0
0.40
0.20
40.0
20.0
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
BLACKROCK
RUFFER LLP
TRANTER GOLD (BEE)
UNITED SERVICES AUTO
MACKENZIE FINANCIAL
CANADA PENSION PLAN
UOB ASSET MANAGEMENT
DIMENSIONAL FUND ADV
VANGUARD GROUP INC
BARCLAYS PLC
SCOTIA CAPITAL INC
FRANKLIN RESOURCES
IG INVESTMENT MANAGE
DIPPENAAR FERDINAND
GOLDMAN SACHS GROUP
ZURCHER KANTONALBANK
CREDIT SUISSE AG
MOSTERT JACOB DAWID
RENAISSANCE TECHNOLO
Firm Name
Portfolio Name
n/a
n/a
Multiple Portfolios
n/a
UNITED SERVICES AUTO
Multiple Portfolios
CANADA PENSION PLAN
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
SCOTIA CAPITAL INC
n/a
IG INVESTMENT MANAGE
n/a
GOLDMAN SACHS GROUP
ZURCHER KANTONALBANK
CREDIT SUISSE AG
n/a
RENAISSANCE TECHNOLO
Analyst
Source
ULT-AGG
ULT-AGG
MF-AGG
Research
13F
MF-AGG
13F
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
13F
ULT-AGG
13F
SEDI
13F
13F
13F
SEDI
13F
Recommendation
Amt Held
40'178'947
23'107'390
22'797'000
20'932'183
18'400'000
9'258'842
4'342'634
3'530'000
2'801'617
2'686'303
1'988'058
1'946'721
1'785'700
1'173'800
1'126'800
1'107'918
1'017'100
990'156
731'273
674'505
% Out
7.27
4.18
4.13
3.79
3.33
1.68
0.79
0.64
0.51
0.49
0.36
0.35
0.32
0.21
0.2
0.2
0.18
0.18
0.13
0.12
Weighting
Change
Latest Chg
(17'025)
1'340'000
1'050
(286'003)
1'946'721
(17'785'700)
(768'400)
100'000
990'156
-
Target Price
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.01.2013
Investment Advisor
27.12.2012 Hedge Fund Manager
24.04.2012
n/a
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
30.06.2012
Investment Advisor
31.07.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
13.04.2012
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
16.04.2012
n/a
31.12.2012 Hedge Fund Manager
Date
Date
30.04.2013
Price/Volume
12
9.0 M
8.0 M
10
7.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (04.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AR CN EQUITY YTD Change
AR CN EQUITY YTD % CHANGE
12/2012
12/yy
11.08
5.24
86'616.00
6.34
-43.59%
20.99%
21.06%
148.9
943.93
0.00
0.0
0.0
191.89
743.85
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
(0.1)
-
31.12.2009
(0.5)
Profitability
31.12.2010
51.6
4.70x
15.3
15.83x
3.7
66.38x
4.0 M
3.0 M
2.0 M
2
0
a-12
1.0 M
m-12
LTM-4Q
31.12.2011
104.6
5.77x
55.9
10.78x
26.3
24.42x
31.12.2012
187.1
6.53x
107.3
11.39x
64.9
14.00x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
107.29
85.19
45.53%
45.69%
10.38%
11.44%
11.43%
0.30%
62.5%
57.3%
45.5%
34.7%
12.31
9.89
0.00%
0.00%
21.94
2.00
12/yy
104.6
22.56x
55.9
10.78x
26.3
24.42x
j-12
j-12
a-12
s-12
LTM
12/yy
187.1
19.22x
107.3
11.39x
64.9
15.35x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.00
1.17
144.44
12.93
-21.44%
-33.05%
1.166
11
4.273
1'367'424
1'169'566
1'244'304
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
221.5
295.5
42.8
41.0
3.33x
2.48x
17.03x
17.75x
110.4
151.0
19.2
15.8
6.76x
4.93x
8.61x
8.14x
65.4
93.8
12.6
9.5
15.72x
11.32x
14.97x
13.56x
S&P Issuer Ratings
296.39
159.48
-1.79
0.00
0.0%
0.0%
0.30
0.41
16.68
182.86
31.36
178.40
Sales/Revenue/Turnover
4'000.00
200.0
3'500.00
180.0
160.0
3'000.00
140.0
2'500.00
120.0
2'000.00
100.0
80.0
1'500.00
60.0
1'000.00
40.0
500.00
20.0
0.00
01.01.2010
5.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
6.0 M
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
IG INVESTMENT MANAGE
LIBRA ADVISORS LLC
OPPENHEIMERFUNDS INC
SENTRY SELECT CAPITA
MONTRUSCO BOLTON INV
GCIC LTD/CANADA
FMR LLC
ALTAMIRA MANAGEMENT
FIERA CAPITAL CORPOR
MACKENZIE FINANCIAL
KENNEDY BRIAN JOHN
DOUGHERTY PETER C
BLACKROCK
NORTHWEST MUTUAL FUN
GLOBAL STRATEGY FINA
SMITH EDGAR A
CARMIGNAC GESTION
LOMBARD ODIER DARIER
TOCQUEVILLE ASSET MA
Firm Name
CIBC World Markets
Macquarie
Canaccord Genuity Corp
Stonecap Securities Inc
RBC Capital Markets
BMO Capital Markets
GMP
Cowen Securities LLC
Mackie Research Capital Corp.
Scotia Capital
Mine2Capital Inc
MLV & Co
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
TOCQUEVILLE ASSET MA
Analyst
CHITIMUKULU MUSONDA
MICHAEL SIPERCO
RAHUL PAUL
CHRISTOS DOULIS
SAM CRITTENDEN
ANDREW KAIP
ANDREW MIKITCHOOK
ADAM P GRAF
BARRY D ALLAN
OVAIS HABIB
ALKA SINGH
RICHARD TROTMAN
Source
ULT-AGG
Co File
SEDI
MF-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
SEDI
ULT-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
13F
Recommendation
sector perform
outperform
buy
outperform
outperform
outperform
buy
hold
buy
sector outperform
sell
suspended coverage
Amt Held
15'290'043
6'707'533
5'768'001
5'602'697
3'138'600
2'898'359
2'517'350
2'489'862
2'178'036
1'883'374
1'530'917
1'472'476
1'337'779
1'327'890
1'143'256
1'133'457
1'120'359
1'050'881
1'028'750
994'950
% Out
10.27
4.51
3.87
3.76
2.11
1.95
1.69
1.67
1.46
1.26
1.03
0.99
0.9
0.89
0.77
0.76
0.75
0.71
0.69
0.67
Weighting
Change
3
5
5
5
5
5
5
3
5
5
1
#N/A N/A
N
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
2'255'841
(117'000)
(64'299)
2'517'350
422'500
484'288
196'782
(8'500)
5'488
54'885
3'102
(60'470)
(54'000)
39'286
(99'119)
331'100
Target Price
8
9
12
11
11
12
15
#N/A N/A
12
14
8
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
30.09.2011
Investment Advisor
02.03.2012 Hedge Fund Manager
28.02.2013
Investment Advisor
30.06.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Unclassified
31.01.2013
Investment Advisor
31.01.2013
Investment Advisor
06.02.2013
n/a
06.02.2013
n/a
26.04.2013
Investment Advisor
28.02.2013
Investment Advisor
28.09.2012
Investment Advisor
14.02.2011
n/a
29.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
Date
18 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
Not Provided
Not Provided
Date
29.04.2013
25.04.2013
22.04.2013
22.04.2013
19.04.2013
16.04.2013
16.04.2013
09.04.2013
27.03.2013
26.03.2013
26.02.2013
16.07.2012
30.04.2013
Price/Volume
3
35.0 M
30.0 M
25.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
TXG CN EQUITY YTD Change
TXG CN EQUITY YTD % CHANGE
12/2012
10/yy
2.29
1.19
302'147.00
1.32
-42.36%
10.92%
14.55%
606.5
800.54
0.00
0.0
0.0
423.29
377.25
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
20.0 M
15.0 M
10.0 M
5.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.10.2009
31.10.2010
0.0
0.0
(1.1)
(18.0)
(1.0)
(16.4)
Profitability
LTM-4Q
31.10.2011
0.0
(34.1)
(33.9)
-
31.10.2012
0.0
(60.4)
(61.2)
-60.39
-60.89
-13.72%
-13.96%
0.00%
50.56
50.21
0.00%
0.00%
0.00
-
10/yy
0.0
#DIV/0!
(34.1)
0.00x
(33.9)
0.00x
LTM
10/yy
0.0
#DIV/0!
(60.4)
0.00x
(61.2)
0.00x
FY+1
.0 M
a-13
0.00
1.04
604.06
3.06
-23.26%
-40.00%
1.038
9
4.667
4'366'015
3'867'720
3'469'028
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
0.0
0.0
0.0
0.0
#DIV/0!
#DIV/0!
#DIV/0!
#DIV/0!
(61.7)
(60.9)
(15.2)
(15.2)
(57.6)
(64.1)
(12.7)
(13.0)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
0.0
0.0
0.0
0.80
0.0
0.60
0.0
0.40
0.0
0.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
TYRUS CAPITAL S.A.M.
VAN ECK ASSOCIATES C
TOCQUEVILLE ASSET MA
GCIC LTD/CANADA
FMR LLC
FRANKLIN RESOURCES
ROYAL BANK OF CANADA
INVESCO LTD
CARMIGNAC GESTION
RUFFER LLP
BLACKROCK
IA CLARINGTON INVEST
SPROTT INC
AMERICAN CENTURY COM
WELLS FARGO
FIRST CANADIAN MUTUA
GLOBAL STRATEGY FINA
LB SWISS INVESTMENT
BRISTOL INVESTMENT P
FALCON FUND MANAGEME
Firm Name
Stifel
Macquarie
Industrial Alliance Securities
TD Securities
BMO Capital Markets
GMP
Clarus Securities
RBC Capital Markets
Scotia Capital
Portfolio Name
n/a
n/a
TOCQUEVILLE ASSET MA
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
BRISTOL INVESTMENT P
Multiple Portfolios
Analyst
MICHAEL A SCOON
PIERRE VAILLANCOURT
MERRILL MCHENRY
DANIEL EARLE
ANDREW BREICHMANAS
GEORGE V ALBINO
JAMIE SPRATT
DAN ROLLINS
TREVOR TURNBULL
Source
Co File
ULT-AGG
13F
MF-AGG
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
13F
MF-AGG
Recommendation
buy
outperform
buy
hold
speculative outperform
buy
buy
outperform
sector outperform
Amt Held
86'300'000
61'342'470
34'109'990
25'141'050
22'706'997
21'734'500
18'057'177
11'268'788
6'062'900
5'808'000
5'274'116
5'250'000
5'133'800
5'129'653
5'036'452
4'640'031
3'217'000
2'949'500
2'809'056
2'784'900
% Out
14.23
10.11
5.62
4.15
3.74
3.58
2.98
1.86
1
0.96
0.87
0.87
0.85
0.85
0.83
0.77
0.53
0.49
0.46
0.46
Weighting
Change
5
5
5
3
4
5
5
5
5
Latest Chg
1'000'000
15'866'564
(42'200)
14'561'050
2'147'411
6'714'500
1'659'100
1'434'766
(1'969'100)
(931'500)
12'628
5'250'000
150'000
431'600
2'500'000
(245'778)
-
Target Price
M
M
M
M
M
M
N
M
M
File Dt
31.01.2013
29.04.2013
31.03.2013
31.01.2013
31.03.2013
31.01.2013
28.02.2013
29.04.2013
29.03.2013
27.12.2012
26.04.2013
31.12.2012
31.12.2012
31.12.2012
28.02.2013
29.04.2013
28.09.2012
28.02.2013
31.03.2013
28.02.2013
Date
3
3
2
2
3
3
3
3
3
Not Provided
12 month
12 month
12 month
Not Provided
12 month
12 month
12 month
12 month
Inst Type
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Date
26.04.2013
25.04.2013
25.04.2013
23.04.2013
15.04.2013
15.04.2013
07.03.2013
07.01.2013
31.10.2012
30.04.2013
Price/Volume
1
1
1
1
Valuation Analysis
03/2012
12/yy
1.30
0.96
15'119'000.00
1.145
-11.92%
19.27%
54.41%
921.9
1'055.62
31.11
0.0
(3.0)
31.66
1'017.00
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
LTM-4Q
31.03.2009
31.03.2010
79.8
70.4
0.56x
3.80x
(3.7)
3.1
84.96x
(5.0)
2.9
92.86x
Profitability
31.03.2011
83.9
6.95x
4.0
144.70x
0.9
740.91x
31.03.2012
98.0
7.95x
(5.3)
(27.8)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
-5.31
-6.26
-6.39%
-31.95%
-13.46%
-23.76%
0.55%
10.5%
1.5%
-1.4%
-28.4%
2.52
1.58
33.89%
93.42%
4.14
7.99
50.0 M
45.0 M
40.0 M
35.0 M
30.0 M
25.0 M
20.0 M
15.0 M
10.0 M
5.0 M
.0 M
a-13
12/yy
77.1
24.11x
(9.1)
0.00x
(15.1)
0.00x
LTM
12/yy
111.8
33.63x
(18.2)
0.00x
(18.5)
0.00x
FY+1
0.00
0.61
736.17
11.17%
4.57%
0.614
2
3.000
21'711'600
17'259'070
18'798'610
FY+2
FQ+1
FQ+2
03/13 Y
03/14 Y
03/13 Q4 06/13 Q1
111.0
143.0
4.9
10.1
190.83x
88.08x
S&P Issuer Ratings
-1.79
-2.01
-15.19
25.31
93.4%
50.7%
0.55
7.06
88.47
45.83
145.53
2.67
Sales/Revenue/Turnover
800.00
120.0
700.00
100.0
600.00
80.0
500.00
400.00
60.0
300.00
40.0
200.00
20.0
100.00
0.00
03.04.2009
0.0
03.10.2009
03.04.2010
03.10.2010
03.04.2011
03.10.2011
03.04.2012
03.10.2012
03.04.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ASIASONS INVESTMENT
VAN ECK ASSOCIATES C
MACQUARIE GROUP
VENATON HOLDINGS LIM
FORTE SERVICES LIMIT
NOMURA
CREDIT SUISSE AG
BIN ABDUL DAI MD WIR
DMG & PARTNERS SECUR
VANGUARD GROUP INC
DIMENSIONAL FUND ADV
NG YICK HING NICHOLA
BLACKROCK
JOHN HANCOCK INVESTM
STATE STREET
CHARLES SCHWAB INVES
SCANLAN GARY FRANCIS
INVESCO LTD
HARTFORD INVESTMENT
GLOBAL X MANAGEMENT
Firm Name
EVA Dimensions
SIAS Research Pte Ltd
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
CRAIG STERLING
JINSHU LIU
Source
EXCH
ULT-AGG
ULT-AGG
EXCH
EXCH
ULT-AGG
EXCH
EXCH
Co File
MF-AGG
MF-AGG
EXCH
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
EXCH
ULT-AGG
MF-AGG
MF-AGG
Recommendation
sell
overweight
Amt Held
77'500'000
59'245'000
48'666'000
42'100'000
40'000'000
39'154'410
29'800'996
16'425'000
7'600'000
4'232'691
2'721'000
2'000'000
1'829'000
566'000
420'000
303'000
135'005
120'000
39'622
35'809
% Out
8.41
6.43
5.28
4.57
4.34
4.25
3.23
1.78
0.82
0.46
0.3
0.22
0.2
0.06
0.05
0.03
0.01
0.01
0
0
Weighting
Change
1
5
M
M
Latest Chg
4'746'000
3'500'000
(2'001'000)
692'000
47'000
2'000'000
(110'000)
-
Target Price
#N/A N/A
1
File Dt
28.03.2013
29.04.2013
28.03.2013
06.11.2012
06.11.2012
09.04.2013
04.12.2012
06.11.2012
29.06.2012
31.03.2013
31.07.2012
14.02.2013
26.04.2013
28.02.2013
29.04.2013
29.04.2013
08.10.2012
29.04.2013
31.03.2013
26.04.2013
Date
Not Provided
12 month
Inst Type
Holding Company
Investment Advisor
Investment Advisor
Holding Company
Other
Unclassified
Investment Advisor
n/a
Unclassified
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Date
17.01.2013
10.07.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (31.07.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
CGG CN EQUITY YTD Change
CGG CN EQUITY YTD % CHANGE
12/2012
12/yy
4.74
2.30
24'315.00
2.76
-41.77%
20.00%
20.90%
396.4
1'093.95
212.93
0.0
8.1
181.74
1'123.84
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5
5
4
4
3
3
2
2
1
1
0
a-12
31.12.2009
31.12.2010
81.0
133.2
7.07x
15.60x
25.0
69.3
22.93x
29.97x
(9.3)
26.2
39.69x
Profitability
LTM-4Q
31.12.2011
311.3
2.82x
140.5
6.24x
79.4
13.23x
31.12.2012
332.4
4.21x
138.7
10.08x
70.9
19.15x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
138.66
99.49
29.93%
29.99%
4.00%
5.37%
5.34%
0.19%
37.6%
41.7%
29.9%
21.3%
1.57
1.26
11.79%
15.66%
26.30
6.33
12/yy
311.3
17.98x
140.5
6.24x
79.4
13.23x
LTM
12/yy
332.4
18.21x
138.7
10.08x
70.9
19.14x
FY+1
.0 M
a-13
0.00
1.35
240.39
1.71
-38.53%
-19.06%
1.347
7
3.857
347'838
365'571
329'176
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
354.5
636.3
3.64x
2.02x
153.5
244.5
7.40x
4.60x
65.3
95.3
17.29x
14.63x
S&P Issuer Ratings
11.05
-6.09
0.22
1.54
15.7%
13.5%
0.19
0.24
13.92
57.83
121.78
-50.04
Sales/Revenue/Turnover
160.00
350.0
140.00
300.0
120.00
250.0
100.00
200.0
80.00
150.0
60.00
100.0
40.00
50.0
20.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
CHINA NATIONAL GOLD
VAN ECK ASSOCIATES C
BLACKROCK
FRANKLIN RESOURCES
VANGUARD GROUP INC
DIMENSIONAL FUND ADV
JONES HEWARD INVESTM
HE YINGBIN
TD ASSET MANAGEMENT
SWISSCANTO FONDSLEIT
MARLBOROUGH FUND MAN
STATE STREET
DAIWA SB INVESTMENT
ROYAL BANK OF CANADA
OPPENHEIM KAPITALANL
INDEXIQ ADVISORS LLC
CIBC GLOBAL ASSET MA
DIMENSIONAL FUND ADV
BESSEMER GROUP INCOR
SUN LIFE FINANCIAL I
Firm Name
Argonaut Securities Pty Ltd
Guotai Junan
Credit Suisse
EVA Dimensions
BOCOM International Holdings
Citic Securities Co., Ltd
CCB International Securities Ltd
GuoSen Securities Co Ltd
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Analyst
CHRIS JIANG
KEVIN GUO
OWEN LIANG
CRAIG STERLING
BENJAMIN PEI
SONG XIAOQING
KIN CHUNG LI
CHENGMING GAO
Source
SEDI
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
Recommendation
buy
neutral
neutral
underweight
long-term buy
overweight
outperform
buy
Amt Held
155'794'830
19'544'034
1'926'970
1'685'900
842'343
835'296
167'874
160'000
151'700
150'000
146'950
124'448
100'000
97'155
90'000
78'294
74'886
67'440
59'705
56'133
% Out
39.31
4.93
0.49
0.43
0.21
0.21
0.04
0.04
0.04
0.04
0.04
0.03
0.03
0.02
0.02
0.02
0.02
0.02
0.02
0.01
Weighting
Change
5
3
3
1
5
5
5
5
U
D
M
U
M
N
M
M
Latest Chg
184'200
(88'164)
5'051
(100'000)
(14'500)
40'000
53'000
(1'515)
11'974
684
Target Price
4
3
3
#N/A N/A
4
4
4
5
File Dt
30.09.2011
29.04.2013
26.04.2013
31.01.2013
31.03.2013
31.07.2012
29.04.2013
09.01.2013
31.12.2012
28.02.2013
01.10.2012
29.04.2013
11.01.2013
31.12.2012
31.01.2013
29.04.2013
31.12.2012
31.01.2013
31.01.2013
28.02.2013
Date
12 month
Not Provided
Not Provided
Not Provided
Not Provided
6 month
Not Provided
12 month
Inst Type
Corporation
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
24.04.2013
22.04.2013
09.04.2013
02.04.2013
28.03.2013
14.01.2013
12.09.2012
02.02.2012
30.04.2013
Price/Volume
4
9.0 M
8.0 M
7.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (04.10.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 01.01.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
PRU CN EQUITY YTD Change
PRU CN EQUITY YTD % CHANGE
06/2012
12/yy
3.07
1.26
182'628.00
1.42
-53.75%
12.70%
13.26%
458.0
650.31
60.26
0.0
(0.6)
105.50
586.53
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
(5.5)
(4.8)
-
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
6.0 M
30.06.2009
(3.3)
(4.8)
Profitability
30.06.2010
0.0
(10.1)
(9.7)
-
LTM-4Q
30.06.2011
0.0
(32.0)
(48.2)
-
30.06.2012
144.7
7.53x
55.3
19.72x
47.2
55.28
45.11
31.18%
41.62%
12.17%
17.73%
32.6%
1.55
1.13
11.39%
16.72%
-
12/yy
0.0
#DIV/0!
(8.7)
0.00x
4.4
0.00x
LTM
12/yy
291.8
14.83x
127.3
7.27x
62.5
0.00x
FY+1
.0 M
a-13
1.45
449.49
0.43
-47.01%
-35.45%
1.448
23
4.348
1'714'036
1'613'489
1'525'926
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
03/13 Q3 06/13 Q4
314.9
403.4
96.1
96.1
1.86x
1.52x
128.5
172.4
4.60x
3.40x
61.2
88.9
26.0
26.0
10.30x
6.73x
7.43x
5.90x
S&P Issuer Ratings
28.41
26.49
-0.31
0.00
16.7%
14.3%
-
Sales/Revenue/Turnover
160.0
140.0
120.0
0.80
0.60
100.0
80.0
60.0
0.40
0.20
40.0
20.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
DUNDEE CORP
THE BANK OF NOVA SCO
VAN ECK ASSOCIATES C
GCIC LTD/CANADA
WELLINGTON MANAGEMEN
MACKENZIE FINANCIAL
JP MORGAN
SENTRY SELECT CAPITA
FMR LLC
FIRST CANADIAN MUTUA
IVY MANAGEMENT INCOR
SPROTT INC
UNITED SERVICES AUTO
MONTRUSCO BOLTON INV
SCOTIA ASSET MANAGEM
GLOBAL STRATEGY FINA
WELLS FARGO
LB SWISS INVESTMENT
CALDERWOOD MARK ANDR
BLACKROCK
Firm Name
Credit Suisse
Clarus Securities
Macquarie
Goldman Sachs
Morgan Stanley
Canaccord Genuity Corp
Cormark Securities Inc.
Argonaut Securities Pty Ltd
BMO Capital Markets
RBC Capital Markets
JPMorgan
CIBC World Markets
CIMB
GMP
Commonwealth Bank
Dundee Securities Corp
Nomura
EVA Dimensions
Bell Potter
Evans & Partners Pty Ltd
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Analyst
MICHAEL SLIFIRSKI
NANA SANGMUAH
PIERRE VAILLANCOURT
PAUL HISSEY
BRENDAN FITZPATRICK
REG SPENCER
MIKE KOZAK
PATRICK CHANG
ANDREW BREICHMANAS
STEUART MCINTYRE
JOSEPH KIM
COSMOS CHIU
JAMES STEWART
LEVI SPRY
ANDREW KNUCKEY
JOSH WOLFSON
DAVID RADCLYFFE
CRAIG STERLING
STEPHEN THOMAS
CATHY MOISES
Source
EXCH
EXCH
ULT-AGG
MF-AGG
EXCH
MF-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
EXCH
ULT-AGG
Recommendation
outperform
buy
outperform
neutral/attractive
Overwt/In-Line
buy
market perform
buy
outperform
sector perform
overweight
sector perform
outperform
buy
neutral
buy
suspended coverage
overweight
hold
Positive
Amt Held
50'889'000
44'475'800
43'695'232
38'629'803
24'286'071
13'439'700
10'980'300
10'294'000
8'160'134
6'787'860
6'159'171
5'531'332
5'421'800
5'295'993
4'921'700
4'610'900
4'180'243
4'000'000
3'600'000
3'142'710
% Out
11.11
9.71
9.54
8.44
5.3
2.93
2.4
2.25
1.78
1.48
1.34
1.21
1.18
1.16
1.07
1.01
0.91
0.87
0.79
0.69
Weighting
Change
5
5
5
3
5
5
3
5
5
3
5
3
5
5
3
5
#N/A N/A
5
3
4
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
M
U
M
U
Latest Chg
(5'997'500)
(5'324'430)
(44'197)
930'000
520'000
3'159'171
392'732
83'550
1'760
3'759
Target Price
2
3
2
2
2
2
3
2
3
2
2
3
3
3
2
3
#N/A N/A
#N/A N/A
3
#N/A N/A
File Dt
Inst Type
12.10.2011
Holding Company
22.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.01.2013
Investment Advisor
05.03.2013
Investment Advisor
31.01.2013
Investment Advisor
28.02.2013
Investment Advisor
30.06.2012
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
30.11.2012
Investment Advisor
28.02.2013
Investment Advisor
28.02.2013
Investment Advisor
28.09.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
31.01.2013
n/a
26.04.2013
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
12 month
6 month
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Date
29.04.2013
29.04.2013
25.04.2013
24.04.2013
22.04.2013
22.04.2013
22.04.2013
22.04.2013
19.04.2013
19.04.2013
19.04.2013
19.04.2013
19.04.2013
19.04.2013
16.04.2013
12.04.2013
12.04.2013
05.04.2013
16.01.2013
03.01.2013
30.04.2013
Price/Volume
4.5 M
14
4.0 M
12
3.5 M
3.0 M
10
2.5 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (05.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SSL CN EQUITY YTD Change
SSL CN EQUITY YTD % CHANGE
12/2012
12/yy
14.99
6.47
50'412.00
7.72
-47.90%
19.32%
18.54%
88.7
684.75
0.00
0.0
0.0
127.36
551.49
(0.1)
-
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
16
LTM-4Q
31.03.2009
31.12.2010
0.0
3.1
72.23x
(0.2)
(0.4)
(2.8)
80.46x
Profitability
31.12.2011
30.0
12.63x
19.1
19.80x
12.5
39.35x
31.12.2012
55.9
15.79x
36.6
24.12x
21.9
47.00x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
36.63
21.91
39.17%
45.00%
8.87%
8.98%
0.23%
78.7%
65.5%
39.2%
39.2%
27.97
24.35
0.00%
0.00%
274.90
-
12/yy
30.0
45.91x
19.1
19.80x
12.5
39.35x
LTM
12/yy
55.9
54.42x
36.6
24.12x
21.9
47.00x
FY+1
.0 M
a-13
0.00
1.23
81.21
3.24
-14.22%
-33.96%
1.234
9
4.000
405'009
411'501
452'377
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
76.2
99.0
16.0
40.52x
57.5
83.3
9.61x
6.62x
34.2
47.0
27.37x
17.68x
24.07x
19.65x
S&P Issuer Ratings
-3.48
0.00
0.0%
0.0%
0.23
0.36
1.33
23.45
-
Sales/Revenue/Turnover
700.00
60.0
600.00
50.0
500.00
40.0
400.00
30.0
300.00
20.0
200.00
10.0
100.00
0.00
03.04.2009
0.0
03.10.2009
03.04.2010
03.10.2010
03.04.2011
03.10.2011
03.04.2012
03.10.2012
03.04.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SENTRY SELECT CAPITA
LIBRA ADVISORS LLC
ARIAS RESOURCE CAPIT
WELLS FARGO
T ROWE PRICE ASSOCIA
ROYAL BANK OF CANADA
CIBC GLOBAL ASSET MA
AMERICAN CENTURY COM
IA CLARINGTON INVEST
OPPENHEIMERFUNDS INC
CARMIGNAC GESTION
BMO FINANCIAL CORP
WATSON NOLAN ALLAN
MONTRUSCO BOLTON INV
GBC ASSET MANAGEMENT
FIRST CANADIAN MUTUA
DE WITT DAVID E
AWRAM DAVID I
GREYSTONE MANAGED IN
Firm Name
TD Securities
Cormark Securities Inc.
RBC Capital Markets
Canaccord Genuity Corp
National Bank Financial
Casimir Capital
Paradigm Capital Inc
EVA Dimensions
Euro Pacific Capital Inc
Portfolio Name
n/a
SENTRY SELECT CAPITA
n/a
n/a
n/a
T ROWE PRICE ASSOCIA
n/a
CIBC GLOBAL ASSET MA
Multiple Portfolios
Multiple Portfolios
OPPENHEIMER FUNDS IN
Multiple Portfolios
BMO FINANCIAL CORP
n/a
MONTRUSCO BOLTON INV
Multiple Portfolios
Multiple Portfolios
n/a
n/a
GREYSTONE MANAGED IN
Analyst
DANIEL EARLE
RICHARD GRAY
DAN ROLLINS
NICHOLAS CAMPBELL
SHANE NAGLE
ERIC WINMILL
DON MACLEAN
CRAIG STERLING
HEIKO IHLE
Source
ULT-AGG
13F
SEDI
SEDI
ULT-AGG
13F
ULT-AGG
13F
MF-AGG
MF-AGG
13F
MF-AGG
13F
SEDI
13F
MF-AGG
MF-AGG
SEDI
SEDI
13F
Recommendation
hold
buy
outperform
speculative buy
outperform
strong buy
buy
underweight
neutral
Amt Held
6'344'691
5'899'720
4'928'760
4'840'000
3'119'705
2'634'762
1'453'580
1'150'440
1'085'659
1'065'600
1'042'300
1'009'660
1'005'674
930'000
856'750
777'820
767'280
767'000
759'100
688'100
% Out
7.15
6.65
5.56
5.46
3.52
2.97
1.64
1.3
1.22
1.2
1.18
1.14
1.13
1.05
0.97
0.88
0.87
0.86
0.86
0.78
Weighting
Change
3
5
5
4
5
5
5
1
3
M
M
M
M
M
M
M
U
M
Latest Chg
(28'572)
50'000
83'953
(86'410)
(9'516)
(101'600)
133'753
(314'400)
620'000
(163'340)
(92'716)
856'750
(22'700)
(3'400)
688'100
Target Price
9
14
10
11
13
15
16
#N/A N/A
13
File Dt
Inst Type
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
03.08.2011 Hedge Fund Manager
25.02.2010
Private Equity
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Bank
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
29.03.2013
Investment Advisor
31.03.2013
Investment Advisor
19.06.2012
n/a
31.12.2012
Investment Advisor
31.12.2011
Investment Advisor
30.11.2012
Investment Advisor
10.05.2012
n/a
04.01.2013
n/a
31.12.2012
Investment Advisor
Date
12 month
12 month
12 month
12 month
12 month
12 month
12 month
Not Provided
12 month
Date
23.04.2013
22.04.2013
19.04.2013
17.04.2013
09.04.2013
09.04.2013
01.04.2013
21.02.2013
29.01.2013
30.04.2013
OceanaGold Corp
OceanaGold Corporation is a gold mining and exploration company. The Company
currently owns interests in projects in New Zealand and the Philippines.
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (22.10.2012)
52-Week Low (23.05.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
OGC CN EQUITY YTD Change
OGC CN EQUITY YTD % CHANGE
12/2012
03/yy
3.70
1.70
102'614.00
2.14
-42.70%
25.88%
22.00%
293.5
628.13
266.87
0.0
0.0
96.50
793.07
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
237.1
305.6
1.89x
3.30x
106.6
141.1
4.20x
7.15x
54.5
44.4
5.68x
18.76x
Profitability
LTM-4Q
31.12.2011
395.6
1.61x
164.3
3.88x
44.2
13.02x
31.12.2012
385.4
2.62x
144.5
7.00x
20.7
35.81x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
144.50
53.12
13.78%
8.37%
2.24%
3.80%
4.57%
0.42%
17.7%
37.5%
13.8%
5.4%
0.93
0.56
25.87%
43.76%
34.08
5.63
03/yy
393.4
7.19x
145.7
5.58x
25.5
26.83x
LTM
03/yy
392.5
7.06x
119.7
0.00x
31.6
25.85x
FY+1
.0 M
a-13
0.00
2.10
287.46
0.82
-6.14%
-24.91%
2.101
5
5.000
840'291
1'000'844
1'152'360
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2 09/13 Q3
593.3
654.3
137.0
156.0
1.17x
0.90x
5.44x
4.69x
249.0
258.0
50.5
65.9
3.19x
3.07x
3.55x
3.55x
78.1
96.1
10.7
21.6
8.69x
6.24x
8.16x
7.70x
S&P Issuer Ratings
5.98
-6.04
1.18
1.85
43.8%
30.4%
0.42
0.59
10.71
64.88
58.44
17.15
Sales/Revenue/Turnover
35.00
450.0
30.00
400.0
350.0
25.00
300.0
20.00
250.0
15.00
200.0
150.0
10.00
100.0
5.00
0.00
01.01.2010
50.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
OceanaGold Corp
Holdings By:
All
Holder Name
BAKER STEEL CAPITAL
AMP CAPITAL INVESTOR
VAN ECK ASSOCIATES C
UNITED SERVICES AUTO
DIMENSIONAL FUND ADV
ROYAL BANK OF CANADA
OPPENHEIMERFUNDS INC
FMR LLC
NEW ZEALAND CENTRAL
BLACKROCK
INVESCO LTD
VANGUARD GROUP INC
BOND STREET CUSTODIA
YANDAL INVESTMENTS P
INTERNATIONAL MINING
ASKEW JAMES EDWARD
SFB INVESTMENTS PTY
DEUTSCHE BANK AG
DEN DUYTS CORP & ASS
SPROTT INC
Firm Name
GMP
BMO Capital Markets
Macquarie
Cormark Securities Inc.
Forsyth Barr
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
ANDREW MIKITCHOOK
BRIAN QUAST
MICHAEL SIPERCO
MIKE KOZAK
ANDREW HARVEY-GREEN
Source
PROXY
EXCH
ULT-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
ULT-AGG
PROXY
ULT-AGG
ULT-AGG
MF-AGG
PROXY
PROXY
SEDI
EXCH
PROXY
MF-AGG
PROXY
MF-AGG
Recommendation
buy
outperform
outperform
buy
buy
Amt Held
20'669'000
14'660'107
13'382'819
8'700'000
5'237'726
3'565'116
3'560'000
3'252'300
2'703'536
2'642'407
1'899'573
1'392'118
1'284'229
1'123'653
1'097'008
1'087'008
1'000'000
964'068
922'855
900'000
% Out
7.04
4.99
4.56
2.96
1.78
1.21
1.21
1.11
0.92
0.9
0.65
0.47
0.44
0.38
0.37
0.37
0.34
0.33
0.31
0.31
Weighting
Change
5
5
5
5
5
Latest Chg
(1'119'773)
(2'300'000)
(4'700)
43'200
6'133
(547'087)
44'200
10'000
48'360
890'327
-
Target Price
M
M
M
M
M
File Dt
Inst Type
11.05.2012
Investment Advisor
21.01.2013
Other
29.04.2013
Investment Advisor
30.11.2012
Investment Advisor
31.07.2012
Investment Advisor
28.02.2013
Bank
28.02.2013
Investment Advisor
31.03.2013
Investment Advisor
11.05.2012
Government
26.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
11.05.2012
Other
11.05.2012
Investment Advisor
30.12.2012
Other
07.02.2012
n/a
11.05.2012
Other
28.02.2013
Investment Advisor
11.05.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
Date
3
3
3
3
3
12 month
Not Provided
12 month
12 month
12 month
Date
30.04.2013
29.04.2013
25.04.2013
22.04.2013
17.02.2013
30.04.2013
Price/Volume
7
4.5 M
4.0 M
3.5 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (11.10.2012)
52-Week Low (16.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
MML AU EQUITY YTD Change
MML AU EQUITY YTD % CHANGE
06/2012
01/yy
6.70
2.68
1'449'061.00
3.27
-51.19%
22.01%
15.67%
188.9
617.72
0.00
0.0
0.0
12.47
630.53
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
30.06.2009
30.06.2010
42.6
93.9
5.99x
6.25x
30.4
73.0
8.41x
8.04x
28.5
65.8
8.88x
8.74x
Profitability
30.06.2011
148.7
8.51x
120.2
10.54x
110.4
12.02x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
80.8
11.40x
57.6
16.00x
49.2
18.94x
57.59
47.69
59.02%
59.50%
16.13%
16.84%
0.28%
74.3%
69.4%
56.7%
60.9%
5.30
0.79
0.00%
0.00%
1.88
2.41
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
0.61
1.04
169.35
2.90
-43.03%
-39.78%
1.038
10
4.400
1'627'513
1'507'872
1'402'497
FY+2
06/13 Y
06/14 Y
120.1
277.1
5.22x
1.90x
83.2
207.7
7.58x
3.04x
71.6
190.0
7.87x
3.47x
S&P Issuer Ratings
.0 M
a-13
FQ+1
FQ+2
-0.14
0.00
0.0%
0.0%
0.28
0.37
194.30
152.17
136.57
-
Sales/Revenue/Turnover
35.00
160.0
30.00
140.0
120.0
25.00
100.0
20.00
80.0
15.00
60.0
10.00
40.0
5.00
20.0
0.00
03.07.2009
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
M&G INVESTMENT MANAG
VANGUARD GROUP INC
VAN ECK ASSOCIATES C
FMR LLC
UCA FUNDS MANAGEMENT
DAVIS GEOFFREY JOHN
BLACKROCK
FORTY TRADERS LTD
GOODFELLOW WILLIAM D
CEDARDALE HOLDINGS P
FIRST EAGLE INVESTME
OPPENHEIMERFUNDS INC
YANDAL INVESTMENTS P
INVESTEC ASSET MANAG
BANQUE DE LUXEMBOURG
AFDAL SAMUEL G
OLD MUTUAL
DANIEL ROY PHILIP
UCA AG
BARING ASSET MANAGEM
Firm Name
RBC Capital Markets
Deutsche Bank
Goldman Sachs
Morgan Stanley
Ord Minnett
Blackswan Equities Ltd
Cantor Fitzgerald
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
Analyst
STEUART MCINTYRE
CHRIS TERRY
PAUL HISSEY
BRENDAN FITZPATRICK
DAVID BRENNAN
RHYS BRADLEY
ASA BRIDLE
CRAIG STERLING
Source
EXCH
EXCH
ULT-AGG
ULT-AGG
MF-AGG
Co File
ULT-AGG
Co File
Co File
Co File
MF-AGG
MF-AGG
Co File
MF-AGG
MF-AGG
Co File
ULT-AGG
Co File
Co File
MF-AGG
Recommendation
sector perform
buy
buy/attractive
Overwt/In-Line
buy
buy
buy
sell
Amt Held
20'602'900
19'455'000
15'309'037
14'850'063
4'183'483
4'052'750
3'928'721
3'660'631
3'210'425
3'187'673
2'613'520
2'000'000
2'000'000
1'750'000
1'600'000
1'450'000
1'448'400
1'425'000
1'300'000
1'166'975
% Out
10.91
10.3
8.1
7.86
2.21
2.15
2.08
1.94
1.7
1.69
1.38
1.06
1.06
0.93
0.85
0.77
0.77
0.75
0.69
0.62
Weighting
Change
3
5
5
5
5
5
5
1
M
M
M
M
M
N
M
M
Latest Chg
(1'760'000)
(2'045'000)
1'902'381
(2'760'620)
887'915
(989)
(31'235)
(46'992)
Target Price
5
5
4
6
6
7
#N/A N/A
#N/A N/A
File Dt
Inst Type
18.04.2013
Investment Advisor
22.04.2013
Investment Advisor
29.04.2013
Investment Advisor
19.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.08.2012
n/a
26.04.2013
Investment Advisor
17.09.2012
Unclassified
17.09.2012
n/a
17.09.2012
Unclassified
30.09.2012 Hedge Fund Manager
28.02.2013
Investment Advisor
17.09.2012
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
30.06.2012
n/a
28.02.2013
Unclassified
30.06.2012
n/a
17.09.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Date
30.04.2013
29.04.2013
24.04.2013
22.04.2013
18.04.2013
01.03.2013
27.02.2013
17.01.2013
30.04.2013
Price/Volume
12
7.0 M
10
6.0 M
5.0 M
12/2012
12/yy
9.94
5.45
76'489.00
6.22
-37.83%
14.13%
17.82%
125.7
781.69
81.77
0.0
7.0
123.36
747.11
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
3.0 M
2.0 M
2
0
a-12
1.0 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
4.0 M
Valuation Analysis
31.12.2009
31.12.2010
137.6
202.0
2.15x
5.56x
16.4
18.00x
5.1
22.9
44.88x
49.37x
Profitability
LTM-4Q
31.12.2011
338.5
2.84x
86.1
13.48x
31.12.2012
384.7
2.68x
54.4
21.72x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
76.66
19.93%
12.91%
5.73%
7.51%
4.04%
0.41%
40.8%
19.9%
14.1%
3.10
2.36
8.41%
10.94%
7.65
4.62
12/yy
336.3
11.75x
35.1
0.00x
85.8
13.52x
LTM
12/yy
385.5
10.23x
16.6
0.00x
54.5
21.68x
FY+1
.0 M
a-13
1.41
94.20
23.91
-19.12%
-26.56%
1.406
9
4.889
479'778
448'281
597'735
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
477.4
552.6
104.0
103.0
1.47x
1.28x
212.8
288.0
3.55x
2.59x
126.8
156.4
24.6
24.8
8.08x
7.54x
7.26x
7.30x
S&P Issuer Ratings
10.9%
9.8%
0.41
0.70
47.87
79.30
70.69
56.62
Sales/Revenue/Turnover
30.00
450.0
400.0
25.00
350.0
300.0
20.00
250.0
15.00
200.0
150.0
10.00
100.0
5.00
0.00
01.01.2010
50.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
-50.0
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
DUNDEE CORP
US GLOBAL INVESTORS
VAN ECK ASSOCIATES C
UNITED SERVICES AUTO
OPPENHEIMERFUNDS INC
TD ASSET MANAGEMENT
ROYAL BANK OF CANADA
IG INVESTMENT MANAGE
IA CLARINGTON INVEST
FIERA CAPITAL CORPOR
FIRST EAGLE INVESTME
NATCAN INVESTMENT MA
SPROTT INC
BRISTOL INVESTMENT P
DIMENSIONAL FUND ADV
MACKENZIE FINANCIAL
GLOBAL STRATEGY FINA
AMERICAN CENTURY COM
AGF INVESTMENTS INC
VANGUARD GROUP INC
Firm Name
Stifel
Scotia Capital
RBC Capital Markets
Cormark Securities Inc.
BMO Capital Markets
Dundee Securities Corp
EVA Dimensions
CIBC World Markets
GMP
Paradigm Capital Inc
Portfolio Name
#N/A N/A
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
BRISTOL INVESTMENT P
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
MICHAEL A SCOON
LEILY OMOUMI
SAM CRITTENDEN
MIKE KOZAK
JOHN P HAYES
JOSH WOLFSON
CRAIG STERLING
LEON ESTERHUIZEN
GEORGE V ALBINO
DON MACLEAN
Source
SEDI
Research
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
13F
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
buy
sector outperform
outperform
top pick
speculative outperform
not rated
overweight
sector outperform
buy
buy
Amt Held
30'629'607
8'442'571
7'720'627
5'331'900
4'734'500
4'514'449
3'999'265
3'634'800
3'394'800
2'655'547
2'369'196
1'598'155
1'423'900
1'163'346
947'401
771'700
761'500
667'600
571'632
561'141
% Out
24.37
6.72
6.14
4.24
3.77
3.59
3.18
2.89
2.7
2.11
1.89
1.27
1.13
0.93
0.75
0.61
0.61
0.53
0.45
0.45
Weighting
Change
5
5
5
5
4
#N/A N/A
5
5
5
5
M
M
M
M
M
M
U
M
M
N
Latest Chg
35'000
(34'836)
4'124'249
(378'400)
(2'100)
1'314'000
(52'200)
(50'000)
4'773
10'000
43'784
(19'200)
(96'700)
227'172
6'300
Target Price
9
11
10
14
10
#N/A N/A
#N/A N/A
11
15
13
File Dt
Inst Type
26.04.2013
Holding Company
28.02.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Bank
31.01.2013
Investment Advisor
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
30.09.2012 Hedge Fund Manager
28.02.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.03.2013 Hedge Fund Manager
31.07.2012
Investment Advisor
31.01.2013
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012
Investment Advisor
28.09.2012
Investment Advisor
31.03.2013
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
12 month
Date
26.04.2013
23.04.2013
22.04.2013
22.04.2013
19.04.2013
19.04.2013
16.04.2013
11.04.2013
04.03.2013
03.12.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (02.11.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
RIO CN EQUITY YTD Change
RIO CN EQUITY YTD % CHANGE
12/2012
12/yy
6.00
3.37
38'852.00
3.71
-37.33%
10.09%
12.55%
175.9
652.54
3.26
0.0
0.0
38.61
617.18
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
(1.0)
(1.0)
-
14.0 M
12.0 M
10.0 M
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.05.2008
31.05.2009
0.0
0.0
(2.3)
(1.5)
(1.9)
(1.5)
Profitability
LTM-4Q
31.05.2010
0.0
(3.9)
(12.6)
-
31.05.2011
0.0
(8.0)
(8.0)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
173.12
151.44
47.85%
48.82%
38.61%
59.31%
1.22%
62.4%
54.7%
47.9%
31.7%
1.61
0.74
0.92%
1.43%
21.59
11.45
05/yy
0.0
#DIV/0!
(5.1)
0.00x
(4.0)
0.00x
LTM
12/yy
317.2
9.56x
173.5
4.94x
100.7
9.23x
FY+1
.0 M
a-13
0.00
1.08
160.58
4.39
-11.88%
-27.11%
1.076
10
4.200
1'310'458
726'045
739'869
FY+2
FQ+1
FQ+2
12/12 Y
12/13 Y
12/12 Q4 03/13 Q1
313.0
342.6
186.5
163.0
3.32x
3.79x
98.3
7.06x
6.77x
9.87x
8.96x
S&P Issuer Ratings
-0.20
0.02
1.4%
1.4%
1.22
1.91
26.87
50.64
114.13
-36.68
Sales/Revenue/Turnover
16.00
350.0
14.00
300.0
12.00
250.0
10.00
200.0
8.00
150.0
6.00
100.0
4.00
50.0
2.00
0.00
05.06.2009
0.0
05.12.2009
05.06.2010
05.12.2010
05.06.2011
05.12.2011
05.06.2012
05.12.2012
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SENTRY SELECT CAPITA
JP MORGAN
VAN ECK ASSOCIATES C
IG INVESTMENT MANAGE
ROYAL BANK OF CANADA
BLACKROCK
AUSCAN ASSETS LIMITE
NORWICH ROGER
HAWKSHAW ANTHONY GRA
BMO FINANCIAL CORP
OPPENHEIMERFUNDS INC
TD ASSET MANAGEMENT
INTACT INVESTMENT MA
US GLOBAL INVESTORS
SOLDI JAIME
VANGUARD GROUP INC
WELLS FARGO
ZEITLER KLAUS M
MD MANAGEMENT LTD
CIBC GLOBAL ASSET MA
Firm Name
Clarus Securities
Kallpa Securities SAB
Stonecap Securities Inc
CIBC World Markets
Desjardins Securities
GMP
BMO Capital Markets
Scotia Capital
Euro Pacific Capital Inc
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
BMO FINANCIAL CORP
Multiple Portfolios
Multiple Portfolios
INTACT INVESTEMENT M
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
MIKE BANDROWSKI
HUMBERTO LEON
CHRISTOS DOULIS
MATTHEW GIBSON
ADAM MELNYK
GEORGE V ALBINO
BRIAN QUAST
MARK TURNER
HEIKO IHLE
CRAIG STERLING
Source
13G
ULT-AGG
ULT-AGG
MF-AGG
ULT-AGG
ULT-AGG
SEDI
SEDI
SEDI
13F
MF-AGG
MF-AGG
13F
MF-AGG
SEDI
MF-AGG
ULT-AGG
SEDI
MF-AGG
MF-AGG
Recommendation
buy
overweight
sector perform
sector outperform
hold
buy
market perform
sector perform
buy
overweight
Amt Held
28'000'700
14'940'000
12'816'519
7'989'300
7'082'953
6'635'369
4'969'651
4'734'195
3'000'000
2'360'802
1'720'000
1'248'400
1'076'700
1'051'000
1'028'288
759'587
755'020
750'000
675'600
597'190
% Out
15.92
8.49
7.29
4.54
4.03
3.77
2.83
2.69
1.71
1.34
0.98
0.71
0.61
0.6
0.58
0.43
0.43
0.43
0.38
0.34
Weighting
Change
5
5
3
5
3
5
3
3
5
5
M
M
M
M
M
M
M
M
M
M
Latest Chg
8'960'000
(57'732)
102'600
3'918'649
50'000
265'000
2'360'802
500'000
978'500
1'076'700
201'000
126'000
39'604
591'190
Target Price
7
5
4
7
5
8
6
5
7
#N/A N/A
File Dt
31.12.2012
31.03.2013
29.04.2013
31.01.2013
31.12.2012
26.04.2013
07.12.2012
25.11.2011
19.10.2011
31.03.2013
28.02.2013
31.12.2012
31.03.2013
31.12.2012
02.01.2013
31.12.2012
28.02.2013
22.11.2011
28.02.2013
31.12.2012
Date
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Other
n/a
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Date
29.04.2013
29.04.2013
22.04.2013
17.04.2013
17.04.2013
17.04.2013
16.04.2013
08.04.2013
08.04.2013
17.01.2013
30.04.2013
Price/Volume
6
5
4
3
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (24.12.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AZK US EQUITY YTD Change
AZK US EQUITY YTD % CHANGE
12/2012
12/yy
5.57
3.19
171'550.00
4.181
-24.87%
31.07%
41.18%
164.6
688.04
0.00
0.0
0.0
204.71
489.28
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1
0
a-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
31.12.2009
31.12.2010
175.6
178.7
3.65x
5.82x
87.5
69.8
7.32x
14.90x
36.7
17.2
Profitability
LTM-4Q
31.12.2011
260.0
2.31x
124.9
4.81x
43.9
-
31.12.2012
223.6
1.61x
92.2
3.90x
31.8
92.23
54.50
24.38%
25.08%
7.33%
9.28%
9.42%
0.51%
41.0%
41.3%
24.4%
14.2%
7.30
6.49
0.00%
0.00%
28.73
9.10
12/yy
260.0
11.47x
124.9
4.81x
43.9
0.00x
LTM
12/yy
223.6
9.66x
92.2
3.90x
31.8
0.00x
FY+1
0.98
136.22
1.55
-22.72%
20.14%
0.979
5
3.000
628'997
722'442
886'202
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
206.2
266.3
40.2
46.6
94.0
139.0
5.21x
3.52x
27.9
51.1
3.2
3.4
24.95x
16.54x
30.78x
S&P Issuer Ratings
107.74
19.32
-2.22
0.00
0.0%
0.0%
0.51
1.18
12.74
40.24
38.79
14.19
Sales/Revenue/Turnover
1.20
300.0
1.00
250.0
0.80
200.0
0.60
m-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ALAMOS GOLD INC
VAN ECK ASSOCIATES C
UNITED SERVICES AUTO
MONTRUSCO BOLTON INV
GCIC LTD/CANADA
SUN VALLEY GOLD LLC
RENAISSANCE TECHNOLO
NWQ INVESTMENT MANAG
WELLS FARGO
INVESCO LTD
CANADA PENSION PLAN
FMR LLC
TOUCHSTONE ADVISORS
PUBLIC SECTOR PENSIO
BLACKROCK
LB SWISS INVESTMENT
MORGAN STANLEY
JP MORGAN
GEOLOGIC RESOURCE PA
FIRST EAGLE INVESTME
Firm Name
Global Hunter Securities
BMO Capital Markets
National Bank Financial
Desjardins Securities
EVA Dimensions
Mackie Research Capital Corp.
Euro Pacific Capital Inc
Raymond James
CIBC World Markets
Loewen, Ondaatje, McCutcheon Ltd
Scotia Capital
Portfolio Name
n/a
n/a
UNITED SERVICES AUTO
MONTRUSCO BOLTON INV
GOODMAN & COMPANY IN
SUN VALLEY GOLD LLC
RENAISSANCE TECHNOLO
NWQ INVESTMENT MANAG
n/a
n/a
CANADA PENSION PLAN
n/a
Multiple Portfolios
PUBLIC SECTOR PENSIO
n/a
Multiple Portfolios
n/a
n/a
GEOLOGIC RESOURCE PA
FIRST EAGLE INVESTME
Analyst
JEFF WRIGHT
BRIAN QUAST
PAOLO LOSTRITTO
ADAM MELNYK
CRAIG STERLING
RYAN HANLEY
HEIKO IHLE
FORBES GEMMELL
COSMOS CHIU
MICHAEL G FOWLER
OVAIS HABIB
Source
13D
ULT-AGG
13F
13F
13F
13F
13F
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
MF-AGG
13F
ULT-AGG
MF-AGG
ULT-AGG
ULT-AGG
13F
13F
Recommendation
neutral
underperform
tender
tender
underweight
tender
buy
Under Review
restricted
buy
restricted
Amt Held
26'507'283
22'005'946
7'000'000
6'138'783
5'947'500
5'751'260
4'806'500
4'430'833
3'678'543
3'537'956
2'931'135
2'190'600
1'655'218
1'539'910
1'436'486
1'400'000
1'289'081
1'264'143
1'251'251
1'121'404
% Out
16.11
13.37
4.25
3.73
3.61
3.49
2.92
2.69
2.24
2.15
1.78
1.33
1.01
0.94
0.87
0.85
0.78
0.77
0.76
0.68
Weighting
Change
3
1
#N/A N/A
#N/A N/A
1
#N/A N/A
5
#N/A N/A
#N/A N/A
5
#N/A N/A
M
M
M
M
D
M
M
M
M
M
M
Latest Chg
408'275
(6'022'500)
4'054'435
452'400
1'029'681
(1'265'127)
136'509
101'700
(176'300)
1'655'218
3'442
1'097'036
1'264'143
(73'649)
(1'183'046)
Target Price
5
4
5
4
#N/A N/A
5
5
#N/A N/A
#N/A N/A
6
#N/A N/A
File Dt
19.03.2013
29.04.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
28.03.2013
31.12.2012
26.04.2013
31.12.2012
31.03.2013
31.03.2013
31.12.2012
31.03.2013
Date
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Inst Type
Other
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Date
29.04.2013
14.04.2013
05.04.2013
20.03.2013
15.03.2013
05.03.2013
04.03.2013
05.02.2013
25.01.2013
23.01.2013
21.01.2013
30.04.2013
Price/Volume
12
3.5 M
10
3.0 M
2.5 M
12/2012
12/yy
10.73
4.31
275'626.00
5.08
-53.68%
17.87%
12.62%
99.7
506.42
9.00
0.0
0.0
27.14
488.28
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
0
a-12
31.12.2009
31.12.2010
50.8
86.5
3.98x
5.80x
11.3
30.7
17.91x
16.36x
(1.9)
(20.4)
Profitability
.5 M
m-12
LTM-4Q
31.12.2011
128.0
5.79x
64.8
11.43x
18.8
-
31.12.2012
208.1
3.68x
89.8
8.53x
42.1
89.81
59.85
28.76%
28.88%
11.59%
15.60%
15.47%
0.57%
41.6%
43.2%
28.8%
20.2%
2.07
1.00
1.88%
2.65%
14.91
3.24
12/yy
128.0
21.01x
64.8
11.43x
18.8
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
208.1
14.48x
89.8
8.53x
42.1
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
1.24
98.17
1.16
-45.20%
-35.61%
1.236
8
4.750
1'406'889
1'432'906
1'431'181
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
249.0
290.7
104.2
149.8
25.2
28.8
4.70x
3.27x
4.20x
46.3
74.4
10.43x
8.06x
17.82x
14.94x
S&P Issuer Ratings
185.55
48.70
-0.20
0.10
2.6%
2.6%
0.57
0.96
24.55
112.96
62.45
75.06
Sales/Revenue/Turnover
250.0
1.00
200.0
0.60
1.0 M
1.20
0.80
1.5 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
BLACKROCK
RENAISSANCE TECHNOLO
NEUBERGER BERMAN LLC
ROYCE AND ASSOCIATES
POLAR SECURITIES INC
GLOBAL X MANAGEMENT
AGF INVESTMENTS INC
COOKE BRADFORD JAMES
CANADA PENSION PLAN
PORTOLA GROUP INCORP
LB SWISS INVESTMENT
DEUTSCHE BANK AG
PUBLIC SECTOR PENSIO
BROOKFIELD ASSET MGM
CONNOR CLARK & LUNN
GLOBAL STRATEGY FINA
NORGES BANK
VANGUARD GROUP INC
TD ASSET MANAGEMENT
Firm Name
BMO Capital Markets
Raymond James
Haywood Securities Inc.
EVA Dimensions
CIBC World Markets
Salman Partners
GMP
Euro Pacific Capital Inc
Portfolio Name
n/a
n/a
RENAISSANCE TECHNOLO
NEUBERGER BERMAN GRO
ROYCE & ASSOCIATES L
POLAR SECURITIES INC
GLOBAL X MANAGEMENT
AGF INVESTMENTS INC
n/a
CANADA PENSION PLAN
PORTOLA GROUP INCORP
Multiple Portfolios
DEUTSCHE BANK AKTIEN
PUBLIC SECTOR PENSIO
BROOKFIELD ASSET MAN
CONNOR CLARK & LUNN
Multiple Portfolios
NORGES BANK
Multiple Portfolios
TD ASSET MANAGEMENT
Analyst
ANDREW KAIP
CHRIS THOMPSON
BENJAMIN ASUNCION
CRAIG STERLING
LEON ESTERHUIZEN
ASH GUGLANI
CHELSEA HAMILTON
HEIKO IHLE
Source
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
SEDI
13F
13F
MF-AGG
13F
13F
13F
13F
MF-AGG
13F
MF-AGG
13F
Recommendation
market perform
outperform
buy
overweight
sector outperform
buy
buy
buy
Amt Held
6'953'989
4'503'915
3'759'799
2'894'100
1'502'600
1'373'500
1'159'615
1'110'237
1'085'337
1'042'960
922'750
900'000
830'979
811'200
761'586
756'563
579'250
547'823
499'972
491'800
% Out
6.98
4.52
3.77
2.9
1.51
1.38
1.16
1.11
1.09
1.05
0.93
0.9
0.83
0.81
0.76
0.76
0.58
0.55
0.5
0.49
Weighting
Change
3
5
5
5
5
5
5
5
M
M
M
U
N
M
M
M
Latest Chg
72'847
(646'415)
(53'515)
2'894'100
95'000
1'373'500
115'522
(16'700)
(200'000)
200'400
(71'300)
400'000
(576'400)
761'586
(981'867)
4'210
51'503
(57'000)
Target Price
6
9
8
#N/A N/A
9
10
10
9
File Dt
Inst Type
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
22.04.2013
n/a
31.12.2012 Pension Fund (ERISA)
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012
Government
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
12 month
Date
29.04.2013
24.04.2013
16.04.2013
16.04.2013
11.04.2013
08.04.2013
08.04.2013
08.04.2013
30.04.2013
Price/Volume
12
6.0 M
1.20
4.0 M
3.0 M
12/2012
12/yy
10.03
3.78
45'493.00
4.81
-51.84%
27.25%
17.60%
126.3
607.31
0.00
0.0
0.0
83.89
499.19
2.0 M
2
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
5.0 M
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
7.0 M
Valuation Analysis
31.12.2008
0.0
(0.6)
(0.6)
-
8.0 M
10
31.12.2009
31.12.2010
0.0
0.0
(4.2)
(10.7)
(4.1)
(119.1)
Profitability
LTM-4Q
31.12.2011
0.0
(11.8)
18.2
38.93x
31.12.2012
12/yy
0.0
#DIV/0!
(8.8)
0.00x
18.2
38.93x
(7.9)
-11.77
-12.17
-4.13%
-4.55%
0.00%
8.87
8.87
0.00%
0.00%
0.00
-
LTM
12/yy
0.0
#DIV/0!
(7.8)
0.00x
(7.9)
0.00x
FY+1
.0 M
a-13
0.00
1.20
103.06
0.29
-34.74%
-45.65%
1.203
7
4.000
667'687
695'908
625'022
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
14.0
14.0
(9.6)
(9.6)
(9.6)
(12.8)
S&P Issuer Ratings
-141.81
-569.05
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
GCIC LTD/CANADA
WELLINGTON MANAGEMEN
VAN ECK ASSOCIATES C
BULLET HOLDING CORP
COASTAL FINANCING CO
ROYAL BANK OF CANADA
REINDEER CAPITAL LTD
SPROTT INC
IG INVESTMENT MANAGE
EXPERT FUNDING CORP
HARTFORD INVESTMENT
FMR LLC
CARMIGNAC GESTION
IA CLARINGTON INVEST
FRANKLIN RESOURCES
SUSSMAN ARI B
VANGUARD GROUP INC
FIRST CANADIAN MUTUA
PENTAGON PROPERTIES
QUANTEX AG
Firm Name
Clarus Securities
Stifel
Dundee Securities Corp
TD Securities
Raymond James
GMP
RBC Capital Markets
Interbolsa SA
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
JAMIE SPRATT
CRAIG P STANLEY
JOE FAZZINI
DANIEL EARLE
GARY J BASCHUK
GEORGE V ALBINO
DAN ROLLINS
GABRIEL BAYONA
Source
Co File
Co File
ULT-AGG
SEDI
SEDI
ULT-AGG
SEDI
MF-AGG
MF-AGG
SEDI
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
ULT-AGG
SEDI
MF-AGG
MF-AGG
SEDI
MF-AGG
Recommendation
speculative buy
hold
buy
speculative buy
Under Review
buy
sector perform
speculative buy
Amt Held
17'893'800
16'205'564
8'183'107
8'024'456
5'786'124
4'840'118
3'668'490
2'582'500
2'471'400
2'316'327
2'293'942
2'216'400
2'141'942
1'523'400
1'334'000
1'149'151
1'074'746
1'073'739
1'025'000
900'000
% Out
14.17
12.84
6.48
6.36
4.58
3.83
2.91
2.05
1.96
1.83
1.82
1.76
1.7
1.21
1.06
0.91
0.85
0.85
0.81
0.71
Weighting
Change
4
3
5
4
#N/A N/A
5
3
4
M
M
M
M
M
M
M
M
Latest Chg
116'400
1'985'981
(36'816)
(200'000)
(250'000)
109'700
(250'000)
485'700
(35'000)
353'535
(771'400)
(188'058)
1'523'400
254'000
10'606
660'800
58'800
500'000
90'000
Target Price
14
#N/A N/A
9
10
#N/A N/A
15
11
13
File Dt
Inst Type
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
05.10.2012
Holding Company
21.12.2012
Other
28.02.2013
Bank
21.12.2012
Other
31.12.2012 Hedge Fund Manager
31.01.2013
Investment Advisor
02.11.2012
Corporation
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
29.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
21.08.2012
n/a
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
23.04.2012
Other
29.03.2013
Investment Advisor
Date
12 month
Not Provided
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Date
29.04.2013
26.04.2013
24.04.2013
23.04.2013
18.04.2013
11.04.2013
07.01.2013
01.10.2012
30.04.2013
Price/Volume
4
25.0 M
20.0 M
3
3
12/2012
12/yy
3.80
1.44
93'923.00
1.74
-54.74%
20.83%
13.98%
288.5
501.94
0.44
0.0
0.0
171.99
330.38
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
5.0 M
1
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(4.6)
(25.4)
(0.6)
(25.5)
Profitability
m-12
LTM-4Q
31.12.2011
0.0
(21.6)
(21.4)
-
31.12.2012
0.0
(11.6)
(10.4)
-11.56
-11.63
-2.73%
-2.85%
0.00%
10.32
10.29
0.09%
0.10%
0.00
-
12/yy
0.0
#DIV/0!
(21.6)
0.00x
(21.4)
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
0.0
#DIV/0!
(11.6)
0.00x
(10.4)
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
.0 M
a-13
0.00
1.22
274.32
2.83
-42.19%
-31.76%
1.223
4
4.250
1'103'986
909'220
966'341
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
8.29x
S&P Issuer Ratings
1750.00x
-0.04
0.1%
0.1%
0.00
0.00
-
Sales/Revenue/Turnover
1.20
0.1
1.00
0.1
0.80
0.1
0.60
10.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
Valuation Analysis
0.1
0.0
0.40
0.0
0.20
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
WELLINGTON MANAGEMEN
IG INVESTMENT MANAGE
AGNICO-EAGLE MINES L
GREYWOLF CAPITAL MAN
SUN VALLEY GOLD LLC
TD ASSET MANAGEMENT
FMR LLC
INVESCO LTD
PUBLIC SECTOR PENSIO
BLACKROCK
CANADA PENSION PLAN
BRIDGER MANAGEMENT L
CAPITAL TACTICS ADVI
NORGES BANK
ROYAL BANK OF CANADA
ADAMSON DAVID W
VANGUARD GROUP INC
LOEWS CORPORATION
D E SHAW & COMPANY I
SHARE SICAV
Firm Name
TD Securities
BMO Capital Markets
GMP
Mackie Research Capital Corp.
Portfolio Name
WELLINGTON MANAGEMEN
IG INVESTMENT MANAGE
n/a
GREYWOLF CAPITAL MAN
SUN VALLEY GOLD LLC
TD ASSET MANAGEMENT
n/a
n/a
PUBLIC SECTOR PENSIO
n/a
CANADA PENSION PLAN
BRIDGER MANAGEMENT L
CAPITAL TACTICS ADVI
NORGES BANK
n/a
n/a
Multiple Portfolios
LOEWS CORPORATION
D E SHAW & CO
Multiple Portfolios
Analyst
DANIEL EARLE
ANDREW KAIP
GEORGE V ALBINO
BARRY D ALLAN
Source
13F
13F
13D
13F
13F
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
13F
13F
13F
13F
ULT-AGG
SEDI
MF-AGG
13F
13F
MF-AGG
Recommendation
speculative buy
market perform
buy
buy
Amt Held
22'735'867
13'783'100
10'671'827
9'125'000
7'263'300
4'838'017
3'656'352
3'244'428
2'695'400
2'508'962
2'412'466
2'170'000
2'028'610
1'560'601
1'537'646
1'535'189
1'503'175
1'401'817
1'392'537
1'244'300
% Out
7.88
4.78
3.7
3.16
2.52
1.68
1.27
1.12
0.93
0.87
0.84
0.75
0.7
0.54
0.53
0.53
0.52
0.49
0.48
0.43
Weighting
Change
4
3
5
5
Latest Chg
12'173'845
423'700
(11'000'000)
4'155'700
639'100
705'000
138'068
6'008
122'900
627'918
(247'212)
(3'356'720)
107'000
41'600
(127'000)
22'000
Target Price
M
M
M
M
File Dt
31.12.2012
31.12.2012
01.06.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
26.04.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
04.02.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
Date
4
3
8
6
12 month
Not Provided
12 month
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Corporation
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Hedge Fund Manager
Hedge Fund Manager
Government
Bank
n/a
Investment Advisor
Corporation
Hedge Fund Manager
Investment Advisor
Date
23.04.2013
15.04.2013
18.03.2013
29.01.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SVM US EQUITY YTD Change
SVM US EQUITY YTD % CHANGE
03/2012
12/yy
7.10
2.55
264'151.00
2.825
-60.14%
10.78%
6.37%
170.8
482.46
0.00
0.0
77.0
154.51
428.14
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
31.03.2009
31.03.2010
83.5
107.2
3.67x
9.86x
40.4
66.4
7.59x
15.92x
(16.0)
38.5
Profitability
LTM-4Q
31.03.2011
167.3
14.29x
110.3
21.68x
67.7
-
31.03.2012
238.0
4.61x
155.3
7.06x
73.8
155.30
141.60
59.50%
61.72%
5.24%
7.01%
9.37%
0.33%
74.3%
53.1%
45.1%
31.0%
4.48
4.16
0.00%
0.00%
32.88
9.50
12/yy
236.1
25.98x
158.2
6.33x
76.2
0.00x
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
LTM
12/yy
192.8
19.96x
102.5
8.01x
30.6
0.00x
FY+1
.0 M
a-13
1.01
164.96
4.43
-58.42%
-44.49%
1.014
4
4.500
1'559'688
1'573'657
1'433'444
FY+2
FQ+1
FQ+2
03/13 Y
03/14 Y
03/13 Q4 06/13 Q1
201.7
256.0
2.42x
93.2
141.0
4.58x
3.02x
29.5
53.8
10.35x
7.06x
8.56x
6.81x
S&P Issuer Ratings
1652.13
900.45
-1.27
0.00
0.0%
0.0%
0.33
0.54
11.13
38.51
156.53
-60.19
Sales/Revenue/Turnover
250.0
1.00
200.0
0.60
j-12
1.20
0.80
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
150.0
100.0
0.40
50.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
ROYCE AND ASSOCIATES
RENAISSANCE TECHNOLO
FENG RUI
AXA
GLOBAL X MANAGEMENT
SENTRY SELECT CAPITA
PUBLIC SECTOR PENSIO
CANADA PENSION PLAN
IG INVESTMENT MANAGE
TD ASSET MANAGEMENT
IA CLARINGTON INVEST
NORGES BANK
VANGUARD GROUP INC
LOMBARD ODIER DARIER
UBS
GAO JIANGUO
SUSQUEHANNA INTERNAT
GOLDMAN SACHS GROUP
DEUTSCHE BANK AG
Firm Name
Raymond James
Salman Partners
BMO Capital Markets
EVA Dimensions
Knight
Portfolio Name
n/a
ROYCE & ASSOCIATES L
RENAISSANCE TECHNOLO
n/a
n/a
GLOBAL X MANAGEMENT
SENTRY SELECT CAPITA
PUBLIC SECTOR PENSIO
CANADA PENSION PLAN
IG INVESTMENT MANAGE
TD ASSET MANAGEMENT
Multiple Portfolios
NORGES BANK
Multiple Portfolios
Multiple Portfolios
n/a
n/a
SUSQUEHANNA INTERNAT
GOLDMAN SACHS GROUP
DEUTSCHE BANK AKTIEN
Analyst
BRAD HUMPHREY
ASH GUGLANI
ANDREW KAIP
CRAIG STERLING
TEAM COVERAGE
Source
ULT-AGG
13F
13F
SEDI
ULT-AGG
13F
13F
13F
13F
13F
13F
MF-AGG
13F
MF-AGG
MF-AGG
ULT-AGG
SEDI
13F
13F
13F
Recommendation
outperform
buy
market perform
overweight
strong buy
Amt Held
17'488'211
4'484'200
4'205'000
4'169'500
2'259'386
2'210'787
1'697'900
1'599'960
1'393'690
1'333'300
1'105'313
1'083'600
976'053
916'580
888'000
819'019
803'713
781'858
694'729
681'544
% Out
10.24
2.63
2.46
2.44
1.32
1.29
0.99
0.94
0.82
0.78
0.65
0.63
0.57
0.54
0.52
0.48
0.47
0.46
0.41
0.4
Weighting
Change
5
5
3
5
5
M
M
M
U
M
Latest Chg
438'002
(1'325'850)
237'300
30'000
211'112
28'800
(240'000)
25'000
141'100
(301'811)
43'100
(517'588)
2'990
(30'382)
46'447
(125'875)
Target Price
7
7
5
#N/A N/A
13
File Dt
Inst Type
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
22.01.2013
n/a
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Government
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013
Unclassified
16.09.2011
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
Not Provided
12 month
Date
24.04.2013
17.04.2013
15.04.2013
09.04.2013
20.09.2011
30.04.2013
Price/Volume
3
18.0 M
16.0 M
14.0 M
12.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (23.10.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
EVN AU EQUITY YTD Change
EVN AU EQUITY YTD % CHANGE
06/2012
01/yy
2.14
0.83
3'943'563.00
0.975
-54.44%
17.47%
11.83%
708.1
690.39
35.85
0.0
0.0
141.78
725.47
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
(2.3)
(2.3)
-
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12
30.06.2009
(3.3)
(3.3)
Profitability
30.06.2010
22.3
13.04x
2.9
99.74x
5.5
41.35x
30.06.2011
121.9
2.11x
29.7
8.65x
(2.3)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
469.5
2.00x
190.4
4.92x
37.3
20.77x
190.41
95.24
20.29%
14.16%
7.60%
9.11%
9.13%
0.50%
28.1%
33.6%
21.2%
7.9%
1.60
1.17
2.82%
3.39%
23.51
9.08
j-12
j-12
LTM-4Q
LTM
01/yy
01/yy
-
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
FY+1
-
0.00
1.26
463.14
17.60
-44.29%
-42.98%
1.258
14
4.214
4'124'030
3'904'653
3'350'898
FY+2
06/13 Y
06/14 Y
619.8
713.4
1.29x
0.97x
237.5
301.0
3.05x
2.41x
60.0
92.7
11.08x
7.39x
S&P Issuer Ratings
FQ+1
FQ+2
27.52
-3.81
0.16
0.39
3.4%
3.3%
0.50
0.63
15.57
40.32
62.99
6.10
Sales/Revenue/Turnover
80.00
500.0
70.00
450.0
400.0
60.00
350.0
50.00
300.0
40.00
250.0
200.0
30.00
150.0
20.00
100.0
10.00
50.0
0.00
03.07.2009
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10.0 M
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
NEWCREST MINING LTD
ALLAN GRAY AUSTRALIA
VAN ECK ASSOCIATES C
BLACKROCK
RUFFER LLP
BANK OF AMERICA CORP
KLEIN JACOB
OPPENHEIMERFUNDS INC
LB SWISS INVESTMENT
FRANKLIN RESOURCES
JJ HOLDINGS (VIC) PT
FMR LLC
TOCQUEVILLE ASSET MA
VANGUARD GROUP INC
VANGUARD INVESTMENTS
SHARE SICAV
DIMENSIONAL FUND ADV
NESTOR INVESTMENT MA
POLLOCK MURRAY G
MALONEY PETER JOSEPH
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
TOCQUEVILLE ASSET MA
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Firm Name
Analyst
Investec
Macquarie
Goldman Sachs
RBC Capital Markets
JPMorgan
BBY Limited
Deutsche Bank
Credit Suisse
Paterson Securities
Nomura
EVA Dimensions
RBS Morgans
Ord Minnett
Evans & Partners Pty Ltd
Bell Potter
Hartleys
TIM GERRARD
MITCH RYAN
PAUL HISSEY
GEOFF BREEN
JOSEPH KIM
KURT WORDEN
CHRIS TERRY
MICHAEL SLIFIRSKI
MATTHEW TRIVETT
DAVID RADCLYFFE
CRAIG STERLING
JAMES WILSON
DAVID BRENNAN
CATHY MOISES
CHRIS WHITEHEAD
PETER GRAY
Source
Co File
EXCH
ULT-AGG
ULT-AGG
MF-AGG
EXCH
EXCH
MF-AGG
MF-AGG
ULT-AGG
Co File
ULT-AGG
13F
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
EXCH
EXCH
Recommendation
buy
outperform
neutral/attractive
outperform
neutral
strong buy
buy
outperform
hold
suspended coverage
buy
outperform
buy
negative
buy
buy
Amt Held
231'082'631
59'634'970
43'595'715
19'553'364
11'341'660
8'827'967
5'800'000
5'000'000
4'500'000
4'050'000
3'552'009
3'139'480
2'493'191
2'452'309
2'377'918
2'111'002
2'007'608
1'863'899
1'839'492
1'379'579
% Out
32.63
8.42
6.16
2.76
1.6
1.25
0.82
0.71
0.64
0.57
0.5
0.44
0.35
0.35
0.34
0.3
0.28
0.26
0.26
0.19
Weighting
Change
5
5
3
5
3
5
5
5
3
#N/A N/A
5
5
5
2
5
5
M
M
M
M
M
M
M
U
M
M
U
N
M
D
M
M
Latest Chg
8'000'579
(2'500)
(414'122)
50'000
67'263
(20'500)
53'649
(18'512)
(155'000)
3'180
75'000
-
Target Price
1
1
1
1
1
1
1
1
1
#N/A N/A
#N/A N/A
2
#N/A N/A
#N/A N/A
2
2
File Dt
Inst Type
17.09.2012
Corporation
17.04.2013
Investment Advisor
29.04.2013
Investment Advisor
26.04.2013
Investment Advisor
27.12.2012 Hedge Fund Manager
30.03.2011
Investment Advisor
05.02.2013
n/a
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
30.08.2012
Other
31.03.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
30.09.2012
Investment Advisor
31.12.2012
Investment Advisor
31.07.2012
Investment Advisor
28.02.2013
Investment Advisor
18.10.2011
n/a
18.10.2011
n/a
Date
12 month
12 month
12 month
12 month
9 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Not Provided
12 month
Not Provided
Date
26.04.2013
26.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
23.04.2013
23.04.2013
23.04.2013
12.04.2013
20.02.2013
27.11.2012
01.11.2012
26.10.2012
06.03.2012
02.02.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (26.11.2012)
52-Week Low (16.07.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
1194 HK EQUITY YTD Change
1194 HK EQUITY YTD % CHANGE
12/2012
01/yy
1.62
1.08
1'600'000.00
1.33
-17.90%
23.15%
42.59%
4'350.7
5'786.47
1'841.42
0.0
0.0
100.19
7'527.69
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
180.0 M
160.0 M
140.0 M
120.0 M
100.0 M
80.0 M
60.0 M
40.0 M
20.0 M
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
.0 M
a-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
19.4
168.2
167.09x
37.32x
5.1
116.1
639.25x
54.07x
(29.2)
21.9
72.08x
Profitability
31.12.2011
1'119.3
5.56x
824.5
7.55x
417.4
12.00x
31.12.2012
1'626.0
5.03x
1'119.6
7.31x
445.1
12.13x
1'119.57
850.89
52.33%
40.73%
5.76%
9.71%
8.93%
0.21%
63.9%
68.9%
52.3%
27.4%
0.42
0.23
19.79%
32.85%
12.48
9.33
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
0.00
0.62
3'550.71
-3.62%
-10.14%
0.621
3
5.000
6'301'540
10'726'670
7'774'551
FY+2
12/13 Y
12/14 Y
2'077.0
2'473.7
1'441.0
1'833.0
5.22x
4.11x
636.0
796.0
8.58x
7.27x
S&P Issuer Ratings
FQ+1
FQ+2
4.03
1.44
1.56
1.64
32.9%
24.7%
0.21
1.11
29.33
39.24
5.63
62.95
Sales/Revenue/Turnover
5'000.0
4'500.0
1.00
4'000.0
3'500.0
0.80
0.60
0.40
3'000.0
2'500.0
2'000.0
1'500.0
1'000.0
0.20
500.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
MUNSUN GL MINING INV
YIM YANG CHANG
ASWELL GROUP LTD
VAN ECK ASSOCIATES C
BANK OF NEW YORK MEL
PREMIUM WISE INC
DIMENSIONAL FUND ADV
SIMPLE BEST LTD
VANGUARD GROUP INC
ZHANG SHU GUANG
XIAOBING DAI
BLACKROCK
CHAM LAM
CHAM LAM
CLAYMORE ADVISORS LL
STATE STREET
DIMENSIONAL FUND ADV
XIMIN MEI
OPPENHEIM KAPITALANL
KIN SANG CHAN
Firm Name
Argonaut Securities Pty Ltd
BOCOM International Holdings
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Analyst
CHRIS JIANG
BENJAMIN PEI
CRAIG STERLING
Source
EXCH
EXCH
EXCH
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
MF-AGG
EXCH
EXCH
ULT-AGG
EXCH
Short
MF-AGG
ULT-AGG
MF-AGG
Co File
MF-AGG
Co File
Recommendation
Amt Held
% Out
438'766'000 10.08
307'206'000
7.06
257'196'670
5.91
223'024'000
5.13
217'908'000
5.01
187'636'382
4.31
21'864'000
0.5
16'682'000
0.38
14'414'000
0.33
10'300'000
0.24
10'000'000
0.23
9'200'000
0.21
7'400'000
0.17
(6'000'000) -0.14
4'968'000
0.11
3'528'000
0.08
2'826'000
0.06
2'000'000
0.05
1'920'000
0.04
800'000
0.02
Weighting
buy
buy
buy
Change
5
5
5
M
M
U
Latest Chg
7'190'000
24'900'000
(1'008'000)
(679'470'000)
(50'000'000)
1'034'000
1'120'000
(1'000'000)
-
Target Price
2
2
#N/A N/A
File Dt
25.02.2013
26.10.2012
16.10.2012
29.04.2013
22.01.2013
08.11.2012
31.07.2012
07.10.2011
31.12.2012
18.04.2012
10.04.2013
26.04.2013
16.10.2012
16.10.2012
29.04.2013
29.04.2013
31.01.2013
31.12.2011
31.01.2013
31.12.2011
Date
Not Provided
Not Provided
Not Provided
Inst Type
Investment Advisor
n/a
Other
Investment Advisor
Investment Advisor
Holding Company
Investment Advisor
Other
Investment Advisor
n/a
n/a
Investment Advisor
n/a
n/a
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
n/a
Date
19.04.2013
02.04.2013
17.01.2013
30.04.2013
Price/Volume
25
4.5 M
4.0 M
20
3.5 M
3.0 M
15
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (14.09.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SA US EQUITY YTD Change
SA US EQUITY YTD % CHANGE
12/2012
12/yy
20.34
9.63
96'232.00
10.73
-47.87%
11.42%
13.26%
45.6
488.82
0.00
0.0
0.0
52.04
441.03
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.5 M
10
31.12.2009
31.12.2010
0.0
0.0
(5.0)
(5.7)
(4.7)
3.3
Profitability
LTM-4Q
31.12.2011
0.0
(19.8)
(20.1)
-
31.12.2012
0.0
(15.8)
(12.5)
-15.82
-15.83
-5.08%
-5.37%
0.00%
5.11
5.11
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(19.8)
0.00x
(20.1)
0.00x
LTM
12/yy
0.0
#DIV/0!
(8.7)
0.00x
(12.5)
0.00x
0.98
41.57
3.63
-35.98%
-40.29%
0.980
3
4.333
344'180
374'141
367'678
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(15.0)
(16.0)
S&P Issuer Ratings
.0 M
a-13
-385.83
-1574.22
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
PAN ATLANTIC BANK
ROYCE AND ASSOCIATES
WEISS ASSET MANAGEME
FRONK RUDI P
ANTHONY JAMES S
FMR LLC
FCMI FINANCIAL CORP
BRISTOL INVESTMENT P
SUSQUEHANNA INTERNAT
FIDEURAM GESTIONS SA
FNDTN FOR STUDY OBJ
BLACKROCK
FOX LOUIS J
PORTOLA GROUP INCORP
THRELKELD WILLIAM E
BANFIELD A FREDERICK
NORGES BANK
DEUTSCHE BANK AG
VANGUARD GROUP INC
Firm Name
Cowen Securities LLC
Stonecap Securities Inc
Nomura
Portfolio Name
n/a
n/a
ROYCE & ASSOCIATES L
WEISS ASSET MANAGEME
n/a
n/a
n/a
n/a
BRISTOL INVESTMENT P
SUSQUEHANNA INTERNAT
Multiple Portfolios
n/a
n/a
n/a
PORTOLA GROUP INCORP
n/a
n/a
NORGES BANK
DEUTSCHE BANK AKTIEN
Multiple Portfolios
Analyst
ADAM P GRAF
CHRISTOS DOULIS
TYLER BRODA
Source
ULT-AGG
PROXY
13F
13F
SEDI
PROXY
ULT-AGG
PROXY
13F
13F
MF-AGG
SEDI
ULT-AGG
SEDI
13F
SEDI
PROXY
13F
13F
MF-AGG
Recommendation
buy
sector perform
buy
Amt Held
11'905'084
8'001'232
5'837'287
2'022'491
1'180'000
779'791
601'905
555'000
478'467
457'897
450'000
425'334
338'330
300'750
286'420
265'000
245'000
235'224
198'997
185'194
% Out
26.13
17.56
12.81
4.44
2.59
1.71
1.32
1.22
1.05
1.01
0.99
0.93
0.74
0.66
0.63
0.58
0.54
0.52
0.44
0.41
Weighting
Change
5
3
5
Latest Chg
3'512'313
(289'596)
2'022'491
10'000
(203'241)
129'117
(464'930)
(23'150)
(10'000)
(71'639)
2'534
6'435
Target Price
M
M
M
65
22
24
File Dt
Inst Type
29.04.2013
Investment Advisor
10.05.2012
Bank
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
16.11.2012
n/a
15.05.2012
n/a
31.03.2013
Investment Advisor
10.05.2012
Corporation
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
02.04.2013
Investment Advisor
06.02.2012
Other
26.04.2013
Investment Advisor
06.12.2011
n/a
31.03.2013
Investment Advisor
30.08.2011
n/a
15.05.2012
n/a
31.12.2012
Government
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
Date
Not Provided
12 month
Not Provided
Date
09.04.2013
08.03.2013
16.05.2012
30.04.2013
Price/Volume
12/2012
01/yy
1.14
0.52
12'021'836.00
0.705
-37.89%
35.58%
26.02%
786.5
554.47
132.84
0.0
0.0
5.38
681.93
31.12.2009
(3.9)
(3.9)
Profitability
31.12.2010
2.9
28.44x
(7.5)
(8.3)
-
31.12.2011
0.0
(35.3)
(34.8)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
20.0 M
15.0 M
10.0 M
5.0 M
0
a-12
m-12
j-12
j-12
LTM-4Q
LTM
01/yy
01/yy
31.12.2012
0.9
976.94x
(14.0)
(43.0)
-13.98
-14.11
-1612.69%
-4944.23%
-22.34%
-100.81%
0.00%
-1612.7%
-4913.5%
0.44
0.05
53.81%
407.55%
-
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
FY+1
-
0.00
1.29
667.98
26.84
1.44%
-28.06%
1.294
14
4.643
12'837'220
8'171'680
7'529'525
FY+2
12/13 Y
12/14 Y
315.6
335.9
1.70x
1.18x
161.3
184.6
4.23x
3.69x
130.4
144.0
4.83x
4.10x
S&P Issuer Ratings
FQ+1
FQ+2
-5.55
-16.00
407.5%
80.3%
0.00
0.01
-
Sales/Revenue/Turnover
70.00
3.5
60.00
3.0
50.00
2.5
40.00
2.0
30.00
1.5
20.00
1.0
10.00
0.5
0.00
03.07.2009
25.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
30.0 M
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
35.0 M
1
1
Valuation Analysis
31.12.2008
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
COLUMBIA WANGER ASSE
VAN ECK ASSOCIATES C
COUPLAND CARDIFF ASS
L1 CAPITAL PTY LTD
BOWLER PETER
FRANKLIN RESOURCES
BLACKROCK
OZ MINERALS INVESTME
AMP LIFE LTD
UNISUPER
FMR LLC
BRAIDWOOD INVESTMENT
LEIBOWITZ ANTHONY HO
BARRETT GREGORY MICH
ACORN CAPITAL LTD
HOOKIPA PTY LTD
WATKINS ROBERT
TWYNAM AGRICULTURAL
SUNSUPER FUND
AMERIPRISE FINANCIAL
Firm Name
Macquarie
Argonaut Securities Pty Ltd
Octa Phillip Securities Ltd
Hartleys
Ord Minnett
GMP
Shaw Stockbroking
Casimir Capital
EVA Dimensions
Blackswan Equities Ltd
RBS Morgans
Evans & Partners Pty Ltd
Bell Potter
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Source
EXCH
ULT-AGG
Co File
EXCH
EXCH
ULT-AGG
ULT-AGG
Co File
Co File
EXCH
ULT-AGG
Co File
EXCH
Co File
EXCH
Co File
EXCH
Co File
EXCH
EXCH
Analyst
MITCH RYAN
PATRICK CHANG
ANDREW SHEARER
TRENT BARNETT
DAVID BRENNAN
LEVI SPRY
VINCENT PISANI
ERIC ALLISON
CRAIG STERLING
RHYS BRADLEY
JAMES WILSON
CATHY MOISES
CHRIS WHITEHEAD
Recommendation
outperform
buy
buy
buy
buy
buy
buy
overweight
sell
buy
outperform
Positive
buy
Amt Held
61'627'671
57'959'639
37'132'343
23'660'753
21'043'333
19'652'465
17'101'565
12'800'000
12'331'993
12'137'228
11'653'618
9'100'001
8'586'457
8'351'651
7'556'401
7'254'650
6'150'001
5'975'000
4'733'422
4'672'306
% Out
7.84
7.37
4.72
3.01
2.68
2.5
2.17
1.63
1.57
1.54
1.48
1.16
1.09
1.06
0.96
0.92
0.78
0.76
0.6
0.59
Weighting
Change
5
5
5
5
5
5
5
5
1
5
5
4
5
M
N
M
M
M
M
M
M
M
N
N
N
M
Latest Chg
386'033
12'464'715
(21'000'000)
(4'000'000)
70'000
65'047
1'685'000
263'091
544'551
Target Price
1
1
1
1
1
1
1
2
#N/A N/A
1
1
#N/A N/A
1
File Dt
Inst Type
18.04.2013
Investment Advisor
29.04.2013
Investment Advisor
18.02.2013 Hedge Fund Manager
22.11.2012
Investment Advisor
30.11.2012
n/a
31.01.2013
Investment Advisor
26.04.2013
Investment Advisor
31.03.2012
Unclassified
31.03.2012
Investment Advisor
05.12.2011
Other
31.03.2013
Investment Advisor
31.03.2012
Unclassified
30.11.2012
n/a
31.12.2011
n/a
05.12.2011
Investment Advisor
31.03.2012
Unclassified
14.11.2012
n/a
31.12.2012
Other
05.12.2011
Other
18.04.2013
Investment Advisor
Date
12 month
Not Provided
Not Provided
12 month
Not Provided
12 month
Not Provided
12 month
Not Provided
12 month
12 month
Not Provided
12 month
Date
26.04.2013
26.04.2013
24.04.2013
23.04.2013
17.04.2013
28.03.2013
28.03.2013
16.01.2013
15.01.2013
21.12.2012
27.11.2012
24.10.2012
05.03.2012
30.04.2013
Price/Volume
3
2
2
Valuation Analysis
06/2012
01/yy
2.08
0.85
1'962'360.00
0.955
-54.09%
13.02%
12.96%
643.1
614.15
11.02
0.0
(33.3)
48.78
553.03
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
30.06.2009
30.06.2010
299.7
334.9
1.12x
1.49x
57.3
80.3
5.85x
6.23x
30.7
(37.2)
6.17x
Profitability
30.06.2011
445.1
1.36x
110.0
5.49x
59.7
8.72x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
576.7
1.37x
254.4
3.10x
105.1
7.25x
254.40
180.99
31.38%
21.58%
21.89%
25.34%
27.39%
0.90%
35.8%
42.1%
31.0%
18.2%
3.40
0.76
1.66%
1.91%
28.85
2.69
20.0 M
18.0 M
16.0 M
14.0 M
12.0 M
10.0 M
8.0 M
6.0 M
4.0 M
2.0 M
.0 M
a-13
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
5.24
1.27
314.96
2.49
-41.66%
-41.77%
1.269
13
3.769
3'244'231
3'201'467
4'246'114
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
12/11 Q2 03/12 Q3
656.9
600.2
0.74x
0.78x
276.0
239.0
2.00x
2.31x
144.4
105.1
4.17x
5.52x
S&P Issuer Ratings
24.36
22.02
-0.13
0.06
1.9%
2.0%
0.90
3.38
12.69
136.26
32.96
85.74
Sales/Revenue/Turnover
25.00
700.0
600.0
20.00
500.0
15.00
400.0
300.0
10.00
200.0
5.00
0.00
03.07.2009
100.0
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ICM LTD
UTILICO INVESTMENTS
M&G INVESTMENT MANAG
VANGUARD GROUP INC
BANK OF AMERICA CORP
VAN ECK ASSOCIATES C
VINVA INVESTMENT MGM
CF RUFFER BAKER STEE
RUFFER LLP
PERMANENT INVESTMENT
DIMENSIONAL FUND ADV
GENUS DYNAMIC GOLD F
JP MORGAN
BAKER STEEL CAPITAL
ECLECTIC INVEST TRUS
VANGUARD INVESTMENTS
SULLIVAN PETER ROSS
FMR LLC
GRANTHAM MAYO VAN OT
BLACKROCK
Firm Name
Canaccord Genuity Corp
Morgan Stanley
GMP
Bell Potter
Argonaut Securities Pty Ltd
BMO Capital Markets
Veritas Securities
EVA Dimensions
Westhouse Securities
Helmsec Global Capital Limited
Deutsche Bank
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
n/a
Analyst
REG SPENCER
BRENDAN FITZPATRICK
LEVI SPRY
STEPHEN THOMAS
PATRICK CHANG
DAVID HAUGHTON
MATTHEW BAILLIE
CRAIG STERLING
ROB BROKE
GAVIN VAN DER WATH
CHRIS TERRY
Source
EXCH
EXCH
EXCH
EXCH
EXCH
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
MF-AGG
EXCH
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
ULT-AGG
MF-AGG
ULT-AGG
Recommendation
sell
Equalwt/In-Line
buy
buy
buy
market perform
buy
buy
add
speculative buy
not rated
Amt Held
192'072'476
126'929'227
64'000'000
57'000'000
39'392'367
33'691'540
32'497'591
19'097'479
12'576'000
5'010'643
4'891'038
4'811'000
4'776'489
4'300'000
3'500'000
3'455'670
3'007'448
2'988'261
1'485'807
1'401'611
% Out
29.87
19.74
9.95
8.86
6.13
5.24
5.05
2.97
1.96
0.78
0.76
0.75
0.74
0.67
0.54
0.54
0.47
0.46
0.23
0.22
Weighting
Change
1
3
5
5
5
3
5
5
4
4
#N/A N/A
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
(5'037'500)
1'500'000
(5'700'000)
5'034'971
(9'442'393)
(3'846'391)
(4'989'357)
(77'000)
1'500'000
807'280
(500'000)
108'451
-
Target Price
1
1
2
2
2
2
2
#N/A N/A
2
2
#N/A N/A
File Dt
Inst Type
20.11.2012
Other
12.07.2012
Investment Advisor
08.02.2013
Investment Advisor
05.10.2012
Investment Advisor
10.05.2012
Investment Advisor
29.04.2013
Investment Advisor
31.01.2013
Investment Advisor
04.04.2012
n/a
27.12.2012 Hedge Fund Manager
12.07.2012
Other
31.07.2012
Investment Advisor
23.02.2012
n/a
28.02.2013
Investment Advisor
04.04.2012
Investment Advisor
12.07.2012
Investment Advisor
30.09.2012
Investment Advisor
02.01.2013
n/a
31.03.2013
Investment Advisor
31.05.2012
Investment Advisor
26.04.2013
Investment Advisor
Date
Not Provided
12 month
Not Provided
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Date
30.04.2013
24.04.2013
24.04.2013
24.04.2013
24.04.2013
15.04.2013
25.01.2013
17.01.2013
08.11.2012
31.07.2012
22.02.2012
30.04.2013
Price/Volume
3
8.0 M
7.0 M
6.0 M
5.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (10.10.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
EDV CN EQUITY YTD Change
EDV CN EQUITY YTD % CHANGE
12/2012
12/yy
2.56
0.83
181'570.00
1.03
-58.59%
24.10%
13.29%
412.5
424.86
201.83
0.0
75.0
113.67
587.99
30.06.2008
109.2
57.1
3.99x
4.0 M
3.0 M
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
9.0 M
30.06.2009
30.06.2010
(219.3)
167.1
(237.2)
130.7
(241.8)
125.3
1.70x
Profitability
LTM-4Q
31.12.2011
145.6
3.93x
43.3
13.22x
(23.5)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
346.1
2.81x
136.2
7.14x
(8.6)
136.25
62.12
17.95%
10.05%
-0.61%
-0.97%
-0.90%
0.25%
27.4%
39.4%
18.0%
-2.5%
2.48
1.17
11.50%
19.00%
16.54
4.08
12/yy
146.0
5.51x
42.7
13.22x
(26.5)
0.00x
LTM
12/yy
347.1
7.47x
136.6
7.12x
(8.3)
1993.13x
FY+1
.0 M
a-13
0.00
1.02
406.80
0.67
-49.26%
-50.24%
1.019
5
4.800
1'504'341
2'040'048
1'902'082
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
501.0
637.8
110.0
118.0
206.7
246.0
2.87x
2.39x
101.8
127.0
6.67x
5.02x
7.92x
6.23x
S&P Issuer Ratings
25.82
2.76
0.65
1.48
19.0%
15.1%
0.25
0.33
22.12
89.61
90.61
21.22
Sales/Revenue/Turnover
90.00
400.0
80.00
300.0
70.00
60.00
200.0
50.00
100.0
40.00
0.0
30.00
20.00
-100.0
10.00
-200.0
0.00
03.07.2009
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
-300.0
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SENTRY SELECT CAPITA
FMR LLC
RUFFER LLP
OPPENHEIMERFUNDS INC
ROYCE AND ASSOCIATES
JP MORGAN
ASHDELL LTD
DIMENSIONAL FUND ADV
BLACKROCK
VANGUARD GROUP INC
JONES HEWARD INVESTM
WELLS FARGO
CONNELLY MARK
LB SWISS INVESTMENT
SPROTT INC
WOODYER NEIL
LAING DAVID C
SMITH & WILLIAMSON H
BOWLBY DOUGLAS J
Firm Name
Raymond James
Canaccord Genuity Corp
CIBC World Markets
GMP
Goldman Sachs
BMO Capital Markets
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
n/a
Analyst
BRAD HUMPHREY
NICHOLAS CAMPBELL
LEON ESTERHUIZEN
ANDREW MIKITCHOOK
EUGENE KING
ANDREW BREICHMANAS
Source
ULT-AGG
Co File
ULT-AGG
MF-AGG
MF-AGG
13G
ULT-AGG
PROXY
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
ULT-AGG
SEDI
MF-AGG
MF-AGG
SEDI
SEDI
ULT-AGG
SEDI
Recommendation
outperform
speculative buy
sector outperform
buy
Buy/Neutral
not rated
Amt Held
33'005'638
20'147'799
14'061'830
9'321'000
6'778'475
4'850'000
4'757'617
2'800'000
2'587'277
2'248'448
1'790'523
1'303'796
983'104
855'000
700'000
541'001
447'127
388'618
323'601
266'357
% Out
8
4.88
3.41
2.26
1.64
1.18
1.15
0.68
0.63
0.55
0.43
0.32
0.24
0.21
0.17
0.13
0.11
0.09
0.08
0.06
Weighting
Change
5
4
5
5
5
#N/A N/A
M
M
M
M
M
M
Latest Chg
(148'896)
(7'178'000)
526'000
(500'000)
3'374
1'074'288
185'160
(171'161)
50'000
60'000
37'287
Target Price
3
3
2
3
2
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.10.2012
Investment Advisor
31.03.2013
Investment Advisor
27.12.2012 Hedge Fund Manager
28.02.2013
Investment Advisor
31.12.2011
Investment Advisor
31.12.2012
Investment Advisor
10.09.2012
Other
31.07.2012
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
28.02.2013
Investment Advisor
12.12.2011
n/a
28.02.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
19.04.2013
n/a
16.04.2013
n/a
28.02.2013
Investment Advisor
30.01.2013
n/a
Date
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
Date
24.04.2013
24.04.2013
11.04.2013
01.04.2013
15.03.2013
24.01.2013
30.04.2013
Price/Volume
6
6.0 M
5.0 M
12/2012
12/yy
5.85
2.67
105'370.00
3.13
-47.18%
17.23%
17.30%
125.3
392.13
326.70
4.0 M
3.0 M
2.0 M
1
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
7.0 M
Valuation Analysis
31.12.2008
24.8
1.39x
0.1
401.05x
(0.9)
-
8.0 M
31.12.2009
31.12.2010
51.4
74.1
3.01x
6.78x
21.3
34.1
7.25x
14.71x
0.6
16.0
99.42x
34.34x
Profitability
LTM-4Q
31.12.2011
110.0
5.78x
48.8
13.01x
19.5
32.35x
31.12.2012
161.0
70.7
31.5
15.45x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
70.72
49.34
30.64%
28.09%
10.70%
12.77%
12.75%
0.55%
43.9%
43.9%
30.6%
19.5%
6.97
7.48
12/yy
110.0
20.85x
48.8
13.01x
19.5
32.35x
LTM
12/yy
161.0
12.10x
70.7
6.51x
31.5
15.45x
FY+1
.0 M
a-13
0.00
1.46
124.51
2.84
-24.21%
-24.58%
1.462
10
4.100
500'342
467'754
474'240
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
175.2
202.0
39.4
38.1
80.5
102.2
16.7
20.0
4.05x
3.20x
3.75x
36.9
45.6
6.3
4.2
12.70x
10.24x
11.89x
10.76x
S&P Issuer Ratings
125.83
46.04
-0.88
0.04
0.55
0.83
52.51
48.91
39.64
-
Sales/Revenue/Turnover
35.00
180.0
30.00
160.0
140.0
25.00
120.0
20.00
100.0
15.00
80.0
60.0
10.00
40.0
5.00
0.00
01.01.2010
20.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SENTRY SELECT CAPITA
SPROTT INC
MASON HILL ADVISORS
MONTRUSCO BOLTON INV
BLACKROCK
TD ASSET MANAGEMENT
PUBLIC SECTOR PENSIO
AGF INVESTMENTS INC
GLOBAL STRATEGY FINA
INTACT INVESTMENT MA
CQS CAYMAN LP
MACKENZIE FINANCIAL
ROYAL BANK OF CANADA
FEDERATED INVESTORS
QUANTEX AG
VANGUARD GROUP INC
NORTHWEST MUTUAL FUN
CANADA PENSION PLAN
MD MANAGEMENT LTD
VEHRS THOMAS I
Firm Name
Global Hunter Securities
Raymond James
BMO Capital Markets
Cormark Securities Inc.
Haywood Securities Inc.
Canaccord Genuity Corp
Euro Pacific Capital Inc
EVA Dimensions
CIBC World Markets
Scotia Capital
Portfolio Name
SENTRY SELECT CAPITA
SPROTT INC
MASON HILL ADVISORS
MONTRUSCO BOLTON INV
n/a
TD ASSET MANAGEMENT
PUBLIC SECTOR PENSIO
AGF INVESTMENTS INC
Multiple Portfolios
INTACT INVESTEMENT M
CQS CAYMAN LP
MACKENZIE FINANCIAL
n/a
FEDERATED INVESTORS
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
CANADA PENSION PLAN
Multiple Portfolios
n/a
Analyst
JEFF WRIGHT
CHRIS THOMPSON
ANDREW KAIP
GRAEME JENNINGS
BENJAMIN ASUNCION
NICHOLAS CAMPBELL
HEIKO IHLE
CRAIG STERLING
LEON ESTERHUIZEN
TREVOR TURNBULL
Source
13F
13F
13F
13F
ULT-AGG
13F
13F
13F
MF-AGG
13F
13F
13F
ULT-AGG
13F
MF-AGG
MF-AGG
MF-AGG
13F
MF-AGG
SEDI
Recommendation
buy
market perform
market perform
market perform
buy
speculative buy
buy
buy
sector outperform
sector perform
Amt Held
10'524'500
8'370'809
7'932'400
2'507'190
2'187'340
1'397'800
1'174'200
1'169'500
1'137'189
997'900
850'000
711'800
683'198
600'000
600'000
571'980
505'241
498'091
462'200
425'000
% Out
8.4
6.68
6.33
2
1.75
1.12
0.94
0.93
0.91
0.8
0.68
0.57
0.55
0.48
0.48
0.46
0.4
0.4
0.37
0.34
Weighting
Change
5
3
3
3
5
4
5
5
5
3
M
M
M
M
M
M
M
U
N
M
Latest Chg
465'900
(356'649)
(543'900)
(162'200)
180'272
(10'100)
(239'800)
(289'500)
(470'000)
138'400
(294'511)
4'700
56'738
33'300
225'000
Target Price
5
4
5
4
5
6
4
#N/A N/A
6
4
File Dt
Inst Type
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.09.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Bank
31.03.2013
Investment Advisor
29.03.2013
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
28.02.2013
Investment Advisor
29.11.2011
n/a
Date
12 month
12 month
Not Provided
12 month
12 month
12 month
12 month
Not Provided
Not Provided
12 month
Date
29.04.2013
24.04.2013
22.04.2013
22.04.2013
22.04.2013
18.04.2013
17.04.2013
16.04.2013
11.04.2013
21.03.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.11.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 22.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
MUX US EQUITY YTD Change
MUX US EQUITY YTD % CHANGE
12/2012
12/yy
4.72
1.67
860'435.00
2.1601
-54.41%
29.35%
16.74%
215.3
627.28
0.00
0.0
0.0
70.92
556.35
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
18.0 M
16.0 M
14.0 M
12.0 M
10.0 M
8.0 M
6.0 M
4.0 M
2.0 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5
5
4
4
3
3
2
2
1
1
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(17.3)
(29.0)
(27.7)
(33.1)
Profitability
LTM-4Q
31.12.2011
0.0
(59.6)
(61.9)
-
31.12.2012
6.0
178.15x
(92.3)
(66.7)
-92.34
-93.37
-1565.02%
-1573.89%
-9.12%
-12.02%
0.04%
10.5%
-266.8%
-270.6%
-1117.2%
3.65
2.82
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(59.6)
0.00x
(61.9)
0.00x
LTM
12/yy
26.8
156.88x
(71.5)
0.00x
(66.7)
0.00x
FY+1
.0 M
a-13
0.00
1.48
141.17
27.54
-40.30%
-43.60%
1.481
4
4.000
3'756'986
3'467'154
3'162'507
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
150.0
217.0
32.6
34.8
83.0
137.0
6.70x
4.06x
70.9
114.0
14.7
16.1
22.74x
12.71x
9.39x
S&P Issuer Ratings
0.00
0.0%
0.0%
0.04
0.05
-
Sales/Revenue/Turnover
7.0
6.0
5.0
0.80
4.0
0.60
3.0
0.40
2.0
1.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
MCEWEN ROBERT R
BLACKROCK
VAN ECK ASSOCIATES C
STATE STREET
ROYCE AND ASSOCIATES
VANGUARD GROUP INC
JENNISON ASSOCIATES
NORTHERN TRUST CORPO
DIMENSIONAL FUND ADV
STALEY CAPITAL ADVIS
OPPENHEIMERFUNDS INC
GLOBAL X MANAGEMENT
MANUFACTURERS LIFE I
HORIZON KINETICS
SPROTT INC
BPI FUNDOS GFIM SA/P
WELLS FARGO
BANK OF NEW YORK MEL
TIAA CREF INVESTMENT
RAYMOND JAMES & ASSO
Firm Name
Stifel
EVA Dimensions
Cowen Securities LLC
Fraser Mackenzie Limited
Portfolio Name
n/a
n/a
n/a
n/a
ROYCE & ASSOCIATES L
VANGUARD GROUP INC
JENNISON ASSOCIATES
NORTHERN TRUST CORPO
DIMENSIONAL FUND ADV
STALEY CAPITAL ADVIS
OPPENHEIMER FUNDS IN
GLOBAL X MANAGEMENT
MANUFACTURERS LIFE I
n/a
SPROTT INC
Multiple Portfolios
n/a
BANK OF NEW YORK MEL
TIAA-CREF INVESTMENT
RAYMOND JAMES & ASSO
Analyst
CRAIG P STANLEY
CRAIG STERLING
ADAM P GRAF
ALEKSANDRA BUKACHEVA
Source
Form 4
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
MF-AGG
ULT-AGG
13F
13F
13F
Recommendation
buy
underweight
buy
buy
Amt Held
73'428'564
13'335'621
12'713'212
11'459'381
10'796'918
8'798'586
6'826'384
3'037'440
2'849'695
2'446'937
2'246'531
2'192'648
2'116'076
1'853'323
1'735'340
1'662'931
1'478'932
1'166'475
1'077'675
912'507
% Out
34.1
6.19
5.9
5.32
5.01
4.09
3.17
1.41
1.32
1.14
1.04
1.02
0.98
0.86
0.81
0.77
0.69
0.54
0.5
0.42
Weighting
Change
5
1
5
5
M
U
M
M
Latest Chg
380'310
(2'618'973)
(90'000)
(3'843'036)
755'211
353'723
1'584'177
366'137
486'048
564'871
195'158
23'185
(1'000'000)
313'982
153'696
73'405
63'377
132'810
Target Price
3
#N/A N/A
8
5
File Dt
Inst Type
18.04.2013
n/a
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Insurance Company
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
Not Provided
12 month
Not Provided
Date
26.04.2013
18.04.2013
12.04.2013
02.01.2013
30.04.2013
Price/Volume
14
.8 M
12
.7 M
.6 M
10
.5 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (06.11.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
MAG CN EQUITY YTD Change
MAG CN EQUITY YTD % CHANGE
12/2012
12/yy
13.32
6.57
19'500.00
7.8
-41.89%
18.72%
22.52%
60.1
469.01
0.00
0.0
0.0
41.05
427.96
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
(6.7)
(5.9)
-
.3 M
.2 M
.1 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
.4 M
31.12.2009
31.12.2010
0.0
0.0
(9.4)
(12.9)
(13.5)
(12.6)
Profitability
LTM-4Q
31.12.2011
0.0
(9.5)
(8.3)
-
31.12.2012
0.0
(13.4)
(12.3)
-13.45
-13.49
-10.53%
-10.72%
0.00%
31.79
31.65
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(9.5)
0.00x
(8.3)
0.00x
LTM
12/yy
0.0
#DIV/0!
(13.5)
0.00x
(12.3)
0.00x
0.00
1.71
48.03
0.21
-20.81%
-23.30%
1.709
4
4.500
139'821
179'561
180'432
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(3.4)
(3.4)
(4.4)
(9.2)
S&P Issuer Ratings
.0 M
a-13
(0.9)
(0.9)
-
(0.9)
(0.9)
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
FRESNILLO PLC
MASON HILL ADVISORS
TOCQUEVILLE ASSET MA
VAN ECK ASSOCIATES C
SPROTT INC
FRANKLIN RESOURCES
T ROWE PRICE ASSOCIA
CANADA PENSION PLAN
BLACKROCK
SUN VALLEY GOLD LLC
CARMAX ENTERPRISES
GLOBAL X MANAGEMENT
US GLOBAL INVESTORS
ANDREEFF EQUITY ADVI
FALCON FUND MANAGEME
WELLS FARGO
CARLSON ERIC H
RAFFLES ASSOCIATES L
AGF INVESTMENTS INC
PRUDENTIAL FINANCIAL
Firm Name
Macquarie
Raymond James
BMO Capital Markets
Canaccord Genuity Corp
Portfolio Name
n/a
MASON HILL ADVISORS
TOCQUEVILLE ASSET MA
n/a
SPROTT INC
n/a
T ROWE PRICE ASSOCIA
CANADA PENSION PLAN
n/a
SUN VALLEY GOLD LLC
n/a
GLOBAL X MANAGEMENT
US GLOBAL INVESTORS
ANDREEFF EQUITY ADVI
Multiple Portfolios
n/a
n/a
RAFFLES ASSOCIATES L
AGF INVESTMENTS INC
n/a
Analyst
MICHAEL GRAY
DAVID SADOWSKI
JOHN P HAYES
NICHOLAS CAMPBELL
Source
PROXY
13F
13F
ULT-AGG
13F
ULT-AGG
13F
13F
ULT-AGG
13F
Co File
13F
13F
13F
MF-AGG
ULT-AGG
SEDI
13F
13F
ULT-AGG
Recommendation
outperform
outperform
speculative outperform
speculative buy
Amt Held
9'746'193
5'227'561
4'329'250
3'894'653
2'755'754
1'626'550
1'372'900
1'116'298
994'030
986'206
946'300
799'080
760'000
520'582
432'000
402'144
379'200
372'900
370'978
340'400
% Out
16.21
8.69
7.2
6.48
4.58
2.71
2.28
1.86
1.65
1.64
1.57
1.33
1.26
0.87
0.72
0.67
0.63
0.62
0.62
0.57
Weighting
Change
5
5
4
4
M
M
M
M
Latest Chg
(227'749)
1'805'500
(17'544)
2'755'754
(544'950)
1'372'900
52'900
(408'125)
264'085
10'000
68'991
50'000
105'600
176'100
Target Price
14
14
#N/A N/A
15
File Dt
07.09.2012
31.12.2012
31.03.2013
29.04.2013
31.03.2013
31.03.2013
31.12.2012
31.12.2012
26.04.2013
31.12.2012
31.12.2010
31.12.2012
31.12.2012
31.12.2012
28.02.2013
28.02.2013
03.08.2012
31.12.2012
31.03.2013
28.03.2013
Date
12 month
12 month
Not Provided
12 month
Inst Type
Unclassified
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
Hedge Fund Manager
Corporation
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
n/a
Hedge Fund Manager
Investment Advisor
Investment Advisor
Date
25.04.2013
24.04.2013
15.04.2013
11.04.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (24.10.2012)
52-Week Low (28.06.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
P
CN EQUITY YTD Change
P
CN EQUITY YTD % CHANGE
12/2012
12/yy
7.89
2.43
108'784.00
5.87
-25.48%
141.56%
64.10%
97.2
570.60
40.00
0.0
0.0
139.24
466.43
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
0.0
60.3
8.68x
(0.6)
12.8
40.81x
(0.7)
(31.5)
Profitability
LTM-4Q
31.12.2011
156.5
1.80x
72.8
3.86x
49.6
5.81x
31.12.2012
182.9
2.88x
77.4
6.79x
49.6
11.91x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
77.44
49.39
27.00%
24.42%
7.74%
9.35%
0.29%
58.7%
42.3%
27.0%
27.1%
3.07
2.66
5.97%
7.00%
39.27
7.36
12/yy
156.5
8.77x
72.8
3.86x
49.6
5.51x
LTM
12/yy
182.9
7.32x
77.4
6.79x
49.6
12.37x
FY+1
.0 M
a-13
0.00
1.43
64.80
5.67
115.81%
-8.28%
1.433
11
4.636
406'916
339'797
403'272
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
213.5
279.7
44.1
63.1
2.17x
1.70x
10.65x
7.28x
106.5
168.3
17.6
36.5
4.39x
2.77x
4.60x
4.10x
50.2
90.1
6.8
20.5
15.84x
8.71x
14.88x
12.59x
S&P Issuer Ratings
26.82
13.06
-1.28
0.52
7.0%
6.5%
0.29
0.37
9.32
49.71
145.84
-86.81
Sales/Revenue/Turnover
7.00
200.0
180.0
6.00
160.0
5.00
140.0
120.0
4.00
100.0
80.0
3.00
60.0
2.00
40.0
1.00
0.00
01.01.2010
20.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
GOLDCORP INC
TOCQUEVILLE ASSET MA
FRANKLIN RESOURCES
BLACKROCK
CONNOR CLARK & LUNN
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
FMR LLC
O'SHAUGHNESSY ASSET
ACADIAN ASSET MANAGE
SPROTT INC
FALCON FUND MANAGEME
SUN VALLEY GOLD LLC
SENTRY SELECT CAPITA
HILLSDALE INVESTMENT
RENAISSANCE TECHNOLO
SPARK INVESTMENT MAN
MD MANAGEMENT LTD
CONWAY JOSEPH F
BATTERYMARCH FINANCI
Firm Name
CIBC World Markets
Macquarie
BMO Capital Markets
Cormark Securities Inc.
RBC Capital Markets
Cantor Fitzgerald
Canaccord Genuity Corp
EVA Dimensions
TD Securities
Mackie Research Capital Corp.
Scotia Capital
GMP
Portfolio Name
n/a
TOCQUEVILLE ASSET MA
n/a
n/a
CONNOR CLARK & LUNN
n/a
n/a
n/a
O'SHAUGHNESSY ASSET
ACADIAN ASSET MANAGE
SPROTT INC
Multiple Portfolios
SUN VALLEY GOLD LLC
SENTRY SELECT CAPITA
HILLSDALE INVESTMENT
RENAISSANCE TECHNOLO
SPARK INVESTMENT MAN
Multiple Portfolios
n/a
BATTERYMARCH FINANCI
Analyst
CHITIMUKULU MUSONDA
MICHAEL GRAY
BRIAN QUAST
RICHARD GRAY
DAN ROLLINS
ROB CHANG
STEVEN BUTLER
CRAIG STERLING
STEVEN J GREEN
BARRY D ALLAN
OVAIS HABIB
CHELSEA HAMILTON
Source
SEDI
13F
ULT-AGG
ULT-AGG
13F
ULT-AGG
ULT-AGG
ULT-AGG
13F
13F
13F
MF-AGG
13F
13F
13F
13F
13F
MF-AGG
SEDI
13F
Recommendation
sector outperform
outperform
outperform
buy
sector perform
buy
buy
hold
restricted
buy
sector outperform
buy
Amt Held
31'151'200
7'443'290
7'016'800
6'354'449
5'468'375
5'273'071
4'418'229
2'139'700
1'787'295
1'707'777
1'452'000
1'116'000
1'076'900
1'028'500
1'024'100
673'900
582'800
576'500
563'300
488'600
% Out
32.05
7.66
7.22
6.54
5.63
5.42
4.55
2.2
1.84
1.76
1.49
1.15
1.11
1.06
1.05
0.69
0.6
0.59
0.58
0.5
Weighting
Change
5
5
5
5
3
5
5
3
#N/A N/A
5
5
5
N
M
M
M
M
M
M
U
M
M
M
M
Latest Chg
(8'422'460)
(34'700)
68'800
(36)
(1'803'625)
(23'748)
2'393'237
1'635'400
1'270'148
(1'155'890)
(128'000)
(1'418'700)
1'028'500
(323'500)
241'500
70'000
(22'900)
50'000
488'600
Target Price
9
7
9
9
6
8
11
#N/A N/A
#N/A N/A
10
9
10
File Dt
12.10.2012
31.03.2013
31.03.2013
31.03.2013
31.12.2012
29.04.2013
28.02.2013
31.03.2013
31.12.2012
31.03.2013
31.03.2013
28.02.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.12.2012
28.02.2013
04.07.2012
31.12.2012
Date
18 month
12 month
Not Provided
12 month
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Inst Type
Corporation
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Date
29.04.2013
26.04.2013
22.04.2013
22.04.2013
19.04.2013
18.04.2013
15.04.2013
15.04.2013
04.04.2013
27.03.2013
26.03.2013
26.03.2013
30.04.2013
Price/Volume
7
4.5 M
4.0 M
3.5 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (30.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 12.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
KCN AU EQUITY YTD Change
KCN AU EQUITY YTD % CHANGE
06/2012
01/yy
6.33
2.09
1'586'782.00
2.16
-65.88%
3.35%
0.49%
152.2
328.73
157.54
0.0
0.0
90.62
460.40
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
30.06.2009
30.06.2010
113.0
176.1
5.46x
5.16x
(38.1)
84.7
10.74x
32.5
66.3
19.20x
12.59x
Profitability
30.06.2011
172.4
6.69x
66.8
17.26x
21.1
42.78x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
357.4
2.24x
164.9
4.86x
75.2
9.24x
164.86
97.31
27.23%
25.54%
4.93%
6.76%
6.48%
0.37%
33.2%
23.9%
21.0%
2.03
0.98
15.03%
20.31%
18.50
-
j-12
j-12
LTM-4Q
LTM
01/yy
01/yy
-
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
-
.0 M
a-13
6.94
1.33
146.95
12.09
-63.95%
-50.25%
1.329
12
2.583
1'526'533
1'126'347
1'205'522
FY+2
06/13 Y
06/14 Y
347.9
399.9
1.29x
1.11x
125.6
160.9
3.67x
2.86x
41.6
60.2
7.32x
6.05x
S&P Issuer Ratings
FQ+1
FQ+2
10.36
-0.38
20.3%
16.9%
0.37
0.47
19.78
42.36
Sales/Revenue/Turnover
50.00
400.0
45.00
350.0
40.00
300.0
35.00
250.0
30.00
25.00
200.0
20.00
150.0
15.00
100.0
10.00
50.0
5.00
0.00
03.07.2009
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
ALLIANZ ASSET MANAGE
VAN ECK ASSOCIATES C
FMR LLC
UNITED SERVICES AUTO
RUFFER LLP
FIRST EAGLE INVESTME
SMYTH-KIRK ROSS DONA
VANGUARD INVESTMENTS
DIMENSIONAL FUND ADV
THOMAS GAVIN
PRUDENTIAL FINANCIAL
ARINYA INVESTMENTS P
VANGUARD GROUP INC
AXA ROSENBERG INTL
ERSTE SPARINVEST KAG
FRANKLIN RESOURCES
SCHRODER INVESTMENT
PACIFIC INCOME ADVIS
HSBC TRINKAUS INVEST
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Firm Name
Analyst
BBY Limited
Goldman Sachs
RBC Capital Markets
Macquarie
BMO Capital Markets
E.L. & C. Baillieu
EVA Dimensions
Veritas Securities
Evans & Partners Pty Ltd
Deutsche Bank
Bell Potter
KURT WORDEN
PAUL HISSEY
STEUART MCINTYRE
MITCH RYAN
DAVID HAUGHTON
SOPHIE SPARTALIS
CRAIG STERLING
MATTHEW BAILLIE
CATHY MOISES
CHRIS TERRY
PETER CHAPMAN
Source
ULT-AGG
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
EXCH
MF-AGG
MF-AGG
EXCH
ULT-AGG
EXCH
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
strong buy
sell/attractive
underperform
neutral
market perform
hold
hold
buy
negative
not rated
Under Review
Amt Held
13'449'300
11'529'822
10'654'665
8'578'820
5'500'000
4'693'651
4'118'481
3'706'582
1'065'821
979'875
946'403
922'692
879'689
698'198
662'402
540'000
360'716
349'189
281'011
225'000
% Out
8.84
7.58
7
5.64
3.61
3.08
2.71
2.44
0.7
0.64
0.62
0.61
0.58
0.46
0.44
0.35
0.24
0.23
0.18
0.15
Weighting
Change
5
1
1
3
3
3
3
5
2
#N/A N/A
#N/A N/A
M
M
D
M
M
M
D
M
D
M
M
Latest Chg
(450'000)
2'130'110
(369'358)
310'561
16'822
11'731
10'853
523'974
(1'154'049)
312'360
-
Target Price
3
2
2
3
5
4
#N/A N/A
6
#N/A N/A
#N/A N/A
#N/A N/A
File Dt
Inst Type
26.04.2013
Investment Advisor
12.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
30.11.2012
Investment Advisor
27.12.2012 Hedge Fund Manager
30.09.2012 Hedge Fund Manager
03.04.2013
n/a
30.09.2012
Investment Advisor
31.07.2012
Investment Advisor
23.11.2012
n/a
28.03.2013
Investment Advisor
03.04.2013
Other
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
28.12.2012
Investment Advisor
31.01.2013
Investment Advisor
31.12.2012
Investment Advisor
28.03.2013
Investment Advisor
31.07.2012
Investment Advisor
Date
12 month
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
Date
30.04.2013
29.04.2013
29.04.2013
29.04.2013
15.04.2013
15.03.2013
04.03.2013
31.01.2013
02.11.2012
22.02.2012
02.11.2011
30.04.2013
Price/Volume
4
3.5 M
3.0 M
2.5 M
12/2012
12/yy
3.48
1.49
53'100.00
2.44
-29.89%
63.76%
50.75%
144.1
351.57
17.55
0.0
0.0
24.06
345.05
31.03.2008
0.0
(4.2)
(5.3)
-
1.5 M
2
1
1.0 M
.5 M
0
a-12
LTM-4Q
31.03.2009
31.03.2010
0.0
0.0
(3.5)
(6.7)
(3.4)
(8.6)
Profitability
31.03.2011
84.4
4.15x
43.5
8.05x
11.5
27.89x
31.12.2012
156.1
2.73x
68.5
6.22x
36.1
12.02x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
68.51
60.58
38.80%
36.58%
21.53%
32.20%
29.65%
0.93%
49.1%
43.9%
38.8%
23.1%
1.97
0.97
8.12%
11.93%
21.11
3.33
03/yy
84.4
14.70x
43.5
8.05x
11.5
27.89x
j-12
j-12
a-12
s-12
LTM
12/yy
155.7
8.93x
68.3
6.24x
35.9
12.04x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.00
1.09
137.45
0.28
0.83%
-18.39%
1.087
14
4.571
797'194
712'188
623'339
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
212.1
232.3
45.2
40.3
1.43x
1.03x
7.53x
8.25x
98.8
104.5
18.7
12.7
3.48x
3.30x
4.90x
5.02x
52.0
56.0
10.9
6.3
7.62x
7.51x
6.65x
6.46x
S&P Issuer Ratings
27.48
13.71
-0.10
0.26
11.9%
10.7%
0.93
1.38
30.37
192.30
70.83
151.43
Sales/Revenue/Turnover
500.00
180.0
450.00
160.0
400.00
140.0
350.00
120.0
300.00
100.0
250.00
80.0
200.00
60.0
150.00
40.0
100.00
20.0
50.00
0.00
03.04.2009
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
0.0
03.10.2009
03.04.2010
03.10.2010
03.04.2011
03.10.2011
03.04.2012
03.10.2012
03.04.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SENTRY SELECT CAPITA
VAN ECK ASSOCIATES C
ROYAL BANK OF CANADA
OPPENHEIMERFUNDS INC
CONNOR CLARK & LUNN
SPROTT INC
CIBC GLOBAL ASSET MA
RUFFER LLP
BRAGAGNOLO BRUCE
ROYCE AND ASSOCIATES
BONILLAS ZEPEDA F A
GCIC LTD/CANADA
INTACT INVESTMENT MA
CANADA PENSION PLAN
HILLSDALE INVESTMENT
CQS CAYMAN LP
MD MANAGEMENT LTD
BLACKROCK
US GLOBAL INVESTORS
BMO FINANCIAL CORP
Firm Name
Macquarie
TD Securities
PI Financial Corp.
Cormark Securities Inc.
Stonecap Securities Inc
RBC Capital Markets
Canaccord Genuity Corp
Dundee Securities Corp
Cowen Securities LLC
National Bank Financial
M Partners Inc
Casimir Capital
Scotia Capital
EVA Dimensions
MGI Securities
Portfolio Name
SENTRY SELECT CAPITA
n/a
n/a
Multiple Portfolios
CONNOR CLARK & LUNN
SPROTT INC
CIBC GLOBAL ASSET MA
Multiple Portfolios
n/a
ROYCE & ASSOCIATES L
n/a
GOODMAN & COMPANY IN
INTACT INVESTEMENT M
CANADA PENSION PLAN
HILLSDALE INVESTMENT
CQS CAYMAN LP
Multiple Portfolios
n/a
US GLOBAL INVESTORS
BMO FINANCIAL CORP
Analyst
MICHAEL SIPERCO
STEVEN J GREEN
PHILIP KER
KYLE MCPHEE
BRIAN SZETO
SAM CRITTENDEN
NICHOLAS CAMPBELL
JOE FAZZINI
ADAM P GRAF
SHANE NAGLE
INGRID RICO
STUART MCDOUGALL
OVAIS HABIB
CRAIG STERLING
MARC PAIS
Source
13F
ULT-AGG
ULT-AGG
MF-AGG
13F
13F
13F
MF-AGG
SEDI
13F
SEDI
13F
13F
13F
13F
13F
MF-AGG
ULT-AGG
13F
13F
Recommendation
neutral
buy
buy
buy
outperform
outperform
sell
buy
buy
outperform
buy
strong buy
sector outperform
overweight
buy
Amt Held
25'289'200
11'064'577
8'060'231
5'781'224
5'091'600
3'810'200
3'712'200
3'706'900
2'928'000
2'705'400
2'584'800
2'265'000
2'217'500
1'803'600
1'686'100
1'300'000
1'089'700
820'191
740'000
698'391
% Out
17.55
7.68
5.59
4.01
3.53
2.64
2.58
2.57
2.03
1.88
1.79
1.57
1.54
1.25
1.17
0.9
0.76
0.57
0.51
0.48
Weighting
Change
3
5
5
5
5
5
1
5
5
5
5
5
5
5
5
D
M
M
M
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
(829'400)
(49'920)
(69'956)
313'100
860'000
3'712'200
(25'000)
100'000
(34'729)
2'265'000
536'400
371'900
83'200
63'043
250'000
(4'915)
Target Price
3
4
3
3
4
4
2
4
3
4
4
4
4
#N/A N/A
5
File Dt
31.12.2012
29.04.2013
28.02.2013
28.02.2013
31.12.2012
31.03.2013
31.12.2012
27.12.2012
03.01.2013
31.03.2013
19.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
28.02.2013
31.03.2013
31.12.2012
31.03.2013
Date
12 month
12 month
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
12 month
Not Provided
12 month
Inst Type
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
n/a
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
25.04.2013
23.04.2013
23.04.2013
22.04.2013
22.04.2013
19.04.2013
16.04.2013
12.04.2013
11.04.2013
10.04.2013
10.04.2013
10.04.2013
20.03.2013
15.01.2013
05.07.2011
30.04.2013
St Barbara Ltd
St. Barbara Limited is a gold exploration and production company. The Company's
exploration projects include its Southern Cross and Leonora Operations which
are located in Western Australia.
Price/Volume
3
30.0 M
25.0 M
20.0 M
15.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (18.10.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SBM AU EQUITY YTD Change
SBM AU EQUITY YTD % CHANGE
06/2012
01/yy
2.40
0.57
3'349'615.00
0.6
-75.00%
6.19%
3.00%
488.1
292.84
4.26
0.0
0.0
185.40
443.59
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
5.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10.0 M
30.06.2009
30.06.2010
281.1
296.8
1.33x
2.01x
50.3
77.2
7.42x
7.74x
(76.3)
(40.2)
Profitability
30.06.2011
359.6
1.58x
109.3
5.21x
68.6
9.29x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
541.2
0.73x
224.1
1.76x
130.2
4.42x
224.06
133.19
24.61%
20.23%
9.10%
13.09%
0.55%
50.3%
38.5%
21.0%
24.1%
3.39
2.62
0.62%
0.75%
27.54
4.82
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
0.00
1.18
486.39
10.11
-73.80%
-58.48%
1.183
14
4.357
7'370'159
3'669'012
3'442'821
FY+2
06/13 Y
06/14 Y
534.4
631.5
0.79x
0.49x
162.3
249.7
2.73x
1.78x
42.5
85.4
6.90x
3.55x
S&P Issuer Ratings
FQ+1
FQ+2
15.03.2013
B
STABLE
308.62
164.28
0.75
1.08
0.8%
0.7%
0.55
0.71
13.29
75.96
69.88
-34.88
Sales/Revenue/Turnover
25.00
600.0
500.0
20.00
400.0
15.00
300.0
10.00
200.0
5.00
0.00
03.07.2009
100.0
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
St Barbara Ltd
Holdings By:
All
Holder Name
M&G INVESTMENT MANAG
FRANKLIN RESOURCES
VANGUARD GROUP INC
VAN ECK ASSOCIATES C
PARADICE INVESTMENT
UBS
TRADEWINDS GLOBAL IN
DIMENSIONAL FUND ADV
STATE STREET
RUFFER LLP
BLACKROCK
LSV ASSET MANAGEMENT
FMR LLC
COMMONWEALTH BANK OF
HUNTER HALL INVESTME
UNITED SERVICES AUTO
JP MORGAN
JCP INVESTMENT PARTN
CENTAURUS CAPITAL LT
NATIONAL AUSTRALIA B
Firm Name
Macquarie
Goldman Sachs
Canaccord Genuity Corp
Bell Potter
Deutsche Bank
RBC Capital Markets
E.L. & C. Baillieu
Ord Minnett
Nomura
EVA Dimensions
Evans & Partners Pty Ltd
Argonaut Securities Pty Ltd
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
Analyst
MITCH RYAN
IAN PRESTON
LUKE SMITH
STEPHEN THOMAS
CHRIS TERRY
STEUART MCINTYRE
SOPHIE SPARTALIS
DAVID BRENNAN
DAVID RADCLYFFE
CRAIG STERLING
CATHY MOISES
TROY IRVIN
Source
EXCH
ULT-AGG
EXCH
ULT-AGG
EXCH
ULT-AGG
EXCH
RNS-RUL8
ULT-AGG
MF-AGG
ULT-AGG
RNS-RUL8
ULT-AGG
RNS-RUL8
RNS-RUL8
MF-AGG
ULT-AGG
RNS-RUL8
Short
ULT-AGG
Recommendation
outperform
neutral/attractive
buy
buy
buy
outperform
buy
buy
neutral
buy
Positive
buy
Amt Held
% Out
93'372'398 19.13
71'596'827 14.67
60'536'881
12.4
38'851'254
7.96
19'990'864
4.1
16'608'948
3.4
16'240'544
3.33
13'247'660
2.71
12'749'179
2.61
12'528'000
2.57
11'381'043
2.33
11'363'061
2.33
10'598'053
2.17
8'897'062
1.82
7'754'662
1.59
6'400'000
1.31
6'200'627
1.27
6'032'951
1.24
(5'746'460) -1.18
5'603'376
1.15
Weighting
Change
5
3
5
5
5
5
5
5
3
5
4
5
M
M
U
M
M
M
M
M
M
M
U
U
Latest Chg
90'001
9'536'881
12'768'675
512'340
(1'270'413)
22'932
79'914
(1'335'100)
684'600
(536'807)
(8'245'338)
925'000
(2'413'751)
(326'553)
(506'570)
6'496
Target Price
1
1
1
1
2
1
2
1
1
#N/A N/A
#N/A N/A
3
File Dt
Inst Type
14.02.2013
Investment Advisor
31.01.2013
Investment Advisor
29.01.2013
Investment Advisor
29.04.2013
Investment Advisor
13.09.2012
Investment Advisor
06.09.2012
Unclassified
03.11.2011
Investment Advisor
07.09.2012
Investment Advisor
06.09.2012
Investment Advisor
27.12.2012 Hedge Fund Manager
26.04.2013
Investment Advisor
23.07.2012
Investment Advisor
31.03.2013
Investment Advisor
31.08.2012
Bank
12.07.2012
Investment Advisor
30.11.2012
Investment Advisor
31.12.2012
Investment Advisor
09.08.2012
Investment Advisor
06.09.2012
Investment Advisor
10.09.2012
Bank
Date
12 month
12 month
12 month
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
Date
26.04.2013
24.04.2013
24.04.2013
24.04.2013
23.04.2013
23.04.2013
23.04.2013
18.04.2013
08.03.2013
17.01.2013
19.07.2012
18.06.2012
30.04.2013
Price/Volume
8
7
6
5
4
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
PG CN EQUITY YTD Change
PG CN EQUITY YTD % CHANGE
12/2012
12/yy
6.79
1.57
325'341.00
1.98
-70.69%
26.11%
8.81%
149.3
295.67
18.50
0.0
40.6
85.10
269.71
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
2
1
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(6.2)
(13.2)
(3.7)
(10.9)
Profitability
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
LTM-4Q
31.12.2011
0.0
(11.9)
(16.8)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
0.0
(12.5)
(32.1)
-12.54
-12.60
-8.06%
-9.88%
0.00%
-1325.5%
-1366.1%
5.74
5.59
3.85%
4.95%
1.21
-
12/yy
0.0
#DIV/0!
(5.4)
0.00x
(16.8)
0.00x
LTM
12/yy
0.9
2932.95x
(12.2)
0.00x
(32.1)
0.00x
FY+1
0.00
1.81
144.28
5.34
-58.58%
-52.86%
1.814
12
4.167
2'017'713
1'223'417
1'045'760
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
0.0
0.0
(12.5)
(12.5)
(14.3)
(17.8)
S&P Issuer Ratings
-34.03
-100.44
-1.51
5.0%
4.3%
0.00
0.00
302.60
3549.64
-
Sales/Revenue/Turnover
450.00
1.0
400.00
0.9
350.00
0.8
0.7
300.00
0.6
250.00
200.00
0.5
0.4
150.00
0.3
100.00
0.2
50.00
0.1
0.00
01.01.2010
m-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
FMR LLC
GCIC LTD/CANADA
VAN ECK ASSOCIATES C
IG INVESTMENT MANAGE
DOWNIE EWAN S
LB SWISS INVESTMENT
AMERICAN CENTURY COM
BLACKROCK
TOCQUEVILLE ASSET MA
SHARE SICAV
CIBC GLOBAL ASSET MA
GLOBAL STRATEGY FINA
GBC ASSET MANAGEMENT
MIDDLEFIELD SECURITI
TD ASSET MANAGEMENT
US GLOBAL INVESTORS
VANGUARD GROUP INC
JONES HEWARD INVESTM
AGF INVESTMENTS INC
SPROTT INC
Firm Name
Stifel
Scotia Capital
Beacon Securities Ltd
Cantor Fitzgerald
Laurentian Bank Securities
CIBC World Markets
Canaccord Genuity Corp
Octagon Capital Corporation
Stonecap Securities Inc
RBC Capital Markets
Mackie Research Capital Corp.
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
TOCQUEVILLE ASSET MA
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
CRAIG P STANLEY
OVAIS HABIB
MICHAEL CURRAN
ROB CHANG
ERIC LEMIEUX
JEFF KILLEEN
STEVEN BUTLER
ANNIE ZHANG
CHRISTOS DOULIS
SAM CRITTENDEN
BARRY D ALLAN
CRAIG STERLING
Source
ULT-AGG
Co File
ULT-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
ULT-AGG
13F
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
buy
sector outperform
buy
buy
speculative buy
sector perform
speculative buy
speculative buy
outperform
outperform
speculative buy
sell
Amt Held
19'258'570
13'896'800
11'685'159
7'832'701
3'130'601
2'900'000
1'318'700
1'299'421
1'166'300
947'736
822'618
820'314
812'900
800'000
705'900
700'000
666'247
574'501
556'136
548'899
% Out
12.9
9.31
7.83
5.25
2.1
1.94
0.88
0.87
0.78
0.63
0.55
0.55
0.54
0.54
0.47
0.47
0.45
0.38
0.37
0.37
Weighting
Change
5
5
5
5
4
3
4
4
5
5
4
1
M
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
3'271'500
(52'716)
(10'800)
7'500
275'000
233'600
3'116
(502'900)
(148'500)
163'248
(100'000)
10'000
59'500
(15'100)
-
Target Price
4
6
6
6
4
7
7
6
6
5
#N/A N/A
#N/A N/A
File Dt
Inst Type
31.03.2013
Investment Advisor
31.10.2012
Investment Advisor
29.04.2013
Investment Advisor
31.01.2013
Investment Advisor
24.04.2013
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.09.2012
Investment Advisor
31.12.2011
Investment Advisor
28.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
Date
Not Provided
12 month
12 month
12 month
12 month
Not Provided
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Date
26.04.2013
23.04.2013
19.04.2013
18.04.2013
18.04.2013
11.04.2013
11.04.2013
02.04.2013
28.03.2013
12.03.2013
30.01.2013
17.01.2013
30.04.2013
Price/Volume
2
60.0 M
50.0 M
1
1
40.0 M
06/2012
01/yy
1.59
0.61
6'774'624.00
0.675
-57.41%
11.57%
13.78%
424.3
286.39
9.43
0.0
0.0
64.96
247.27
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
(0.1)
(0.1)
-
20.0 M
10.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
30.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (26.11.2012)
52-Week Low (16.05.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 11.01.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
NST AU EQUITY YTD Change
NST AU EQUITY YTD % CHANGE
30.06.2009
30.06.2010
(5.1)
(4.7)
Profitability
(1.3)
(1.3)
-
30.06.2011
114.9
1.11x
45.1
2.83x
16.3
7.80x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
99.5
2.55x
47.5
5.35x
22.0
12.62x
47.49
30.02
30.16%
31.60%
29.17%
42.20%
38.16%
1.05%
57.3%
50.7%
34.2%
22.1%
3.13
2.68
7.03%
9.97%
3404.63
5.45
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
5.19
0.64
373.08
4.10
-20.18%
-44.74%
0.636
6
4.333
5'027'763
4'205'051
4'110'107
FY+2
06/13 Y
06/14 Y
137.9
171.0
1.72x
1.25x
70.2
95.6
3.52x
2.59x
34.0
46.4
8.33x
6.25x
S&P Issuer Ratings
FQ+1
FQ+2
89.78
40.79
-0.68
0.20
10.0%
9.1%
1.05
2.27
0.11
67.11
67.12
-39.98
Sales/Revenue/Turnover
12.00
140.0
10.00
120.0
100.0
8.00
80.0
6.00
60.0
4.00
40.0
2.00
20.0
0.00
03.07.2009
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
INVESTMET LIMITED
PARADICE INVESTMENT
BEAMENT WILLIAM JAME
JP MORGAN
FOTIOS MICHAEL GEORG
ROWE CHRISTOPHER
GCIC LTD/CANADA
MORGAN STANLEY AUSTR
UOB ASSET MANAGEMENT
VANGUARD INVESTMENTS
DIMENSIONAL FUND ADV
VANGUARD GROUP INC
BROWN KAREN ELIZABET
MACQUARIE GROUP
O'CONNOR PETER EDMUN
BHR FUND ADVISORS LP
PARRY RAYMOND JOSEPH
OBERWEIS ASSET MANAG
Firm Name
RBC Capital Markets
Hartleys
Paterson Securities
Argonaut Securities Pty Ltd
Ord Minnett
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
STEUART MCINTYRE
MIKE MILLIKAN
TIM MCCORMACK
PATRICK CHANG
DAVID BRENNAN
CRAIG STERLING
Source
ULT-AGG
ULT-AGG
EXCH
EXCH
EXCH
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Co File
ULT-AGG
EXCH
MF-AGG
Co File
MF-AGG
Recommendation
sector perform
buy
buy
buy
buy
hold
Amt Held
30'270'942
26'706'283
21'946'900
18'915'010
12'134'735
11'803'850
7'103'474
3'986'195
3'350'000
3'202'580
2'250'000
2'095'462
1'588'462
1'377'303
1'191'666
1'168'772
850'000
500'000
378'334
316'200
% Out
7.13
6.29
5.17
4.46
2.86
2.78
1.67
0.94
0.79
0.75
0.53
0.49
0.37
0.32
0.28
0.28
0.2
0.12
0.09
0.07
Weighting
Change
3
5
5
5
5
3
M
M
M
M
N
U
Latest Chg
(230'268)
3'981'558
(18'089'000)
(2'872'573)
(1'584'461)
(7'400'000)
3'350'000
(36'529'953)
(15'180)
38'476
108'722
(310'278)
100'000
316'200
Target Price
1
1
1
1
1
#N/A N/A
File Dt
26.04.2013
29.04.2013
30.11.2012
08.01.2013
30.11.2012
28.02.2013
30.11.2012
30.11.2012
31.12.2012
04.12.2012
30.06.2012
30.09.2012
31.07.2012
31.03.2013
30.06.2012
30.06.2011
03.12.2012
31.01.2013
30.06.2012
31.12.2012
Date
12 month
12 month
12 month
12 month
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Corporation
Investment Advisor
n/a
Investment Advisor
n/a
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
n/a
Investment Advisor
n/a
Investment Advisor
Date
29.04.2013
29.04.2013
29.04.2013
29.04.2013
17.04.2013
28.02.2013
30.04.2013
Price/Volume
6
3.5 M
3.0 M
2.5 M
08/2012
02/yy
5.34
2.42
71'688.00
2.96
-45.13%
22.31%
20.89%
100.7
298.02
2.07
0.0
0.0
20.06
287.08
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
31.08.2009
31.08.2010
0.0
0.0
(3.4)
(3.0)
(4.7)
(3.4)
Profitability
LTM-4Q
31.08.2011
0.0
(4.3)
(11.1)
-
31.08.2012
0.0
(5.1)
(8.9)
-5.06
-5.44
-3.52%
-4.13%
0.00%
8.84
8.68
3.28%
4.09%
0.00
-
02/yy
0.0
#DIV/0!
(4.6)
0.00x
(14.6)
0.00x
LTM
02/yy
0.0
#DIV/0!
(5.0)
0.00x
(2.2)
0.00x
1.25
92.75
9.41
-33.78%
-32.88%
1.253
0
595'728
484'983
466'234
FY+1
FY+2
FQ+1
FQ+2
08/13 Y
08/14 Y
05/13 Q3
08/13 Q4
.0 M
a-13
-49.26
-133.96
-0.21
4.1%
3.9%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
GEIER GROUP LLC
BPI FUNDOS GFIM SA/P
SINCLAIR JAMES E
BPI GLOBAL INVESTMEN
BLACKROCK
MORROW ROSALIND
VANGUARD GROUP INC
CANADA PENSION PLAN
HARVEY WILLIAM M
BMO FINANCIAL CORP
JONES HEWARD INVESTM
CITIGROUP INCORPORAT
PORTOLA GROUP INCORP
SUSQUEHANNA INTERNAT
DEUTSCHE BANK AG
LUIS VICTORIA
VAN TONGEREN STEVEN
ALTUS CAPITAL INC
BANK OF AMERICA CORP
Firm Name
Portfolio Name
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
CANADA PENSION PLAN
n/a
BMO FINANCIAL CORP
Multiple Portfolios
CITIGROUP INCORPORAT
PORTOLA GROUP INCORP
SUSQUEHANNA INTERNAT
DEUTSCHE BANK AKTIEN
n/a
n/a
ALTUS CAPITAL INC
BANK OF AMERICA
Analyst
Source
ULT-AGG
13G
MF-AGG
SEDI
MF-AGG
ULT-AGG
SEDI
MF-AGG
13F
SEDI
13F
MF-AGG
13F
13F
13F
13F
20F
SEDI
13F
13F
Recommendation
Amt Held
13'522'725
4'879'743
4'088'532
1'885'543
673'902
515'272
429'429
419'292
367'112
340'090
334'811
318'244
287'556
212'810
167'687
145'569
144'045
124'119
104'500
97'451
% Out
13.43
4.85
4.06
1.87
0.67
0.51
0.43
0.42
0.36
0.34
0.33
0.32
0.29
0.21
0.17
0.14
0.14
0.12
0.1
0.1
Weighting
Change
Latest Chg
526'026
(4'801'048)
52'612
(1'000)
(37'877)
826
5'382
5'200
141'200
7'732
4'654
102'344
250
134'479
20'891
25'000
56'500
(17'701)
Target Price
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
10.11.2011
Other
31.12.2012
Investment Advisor
08.02.2013
n/a
28.09.2012
Investment Advisor
26.04.2013
Investment Advisor
11.03.2013
n/a
31.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
12.04.2013
n/a
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.10.2012
n/a
18.04.2013
n/a
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
Date
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (30.04.2012)
52-Week Low (30.04.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 21.09.2011
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
246 HK EQUITY YTD Change
246 HK EQUITY YTD % CHANGE
12/2010
06/yy
8.81
8.81
0.00
8.81
0.00%
0.00%
0.00%
908.8
8'006.41
0.00
0.0
135.1
2'965.19
3'855.28
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
(0.1)
(0.1)
-
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
31.12.2007
31.12.2008
8.0
312.3
(1.1)
190.4
(2.2)
103.9
Profitability
LTM-4Q
31.12.2009
1'011.2
5.88x
768.9
7.73x
526.7
13.02x
31.12.2010
1'368.2
5.55x
1'187.9
6.39x
798.0
12.06x
1'187.92
1'149.66
84.03%
80.97%
19.98%
22.56%
22.32%
0.34%
77.3%
86.8%
84.0%
58.3%
18.07
17.99
0.00%
0.00%
41.52
44.95
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
.0 M
a-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10
9
8
7
6
5
4
3
2
1
0
a-12
06/yy
1'185.7
0.00x
0.0
0.00x
650.8
0.00x
LTM
06/yy
1'523.7
0.00x
0.0
0.00x
831.3
0.00x
0.60
0.33
429.41
0.00%
0.00%
0.331
1
5.000
0
0
0
FY+1
FY+2
FQ+1
FQ+2
12/11 Y
12/12 Y
09/11 Q3
12/11 Q4
-2.50
0.00
0.0%
0.0%
0.34
3.23
8.79
8.12
0.25
16.66
Sales/Revenue/Turnover
18.00
1'600.0
16.00
1'400.0
14.00
1'200.0
12.00
1'000.0
10.00
800.0
8.00
600.0
6.00
400.0
4.00
200.0
2.00
0.00
04.01.200804.07.200804.01.200904.07.200904.01.201004.07.201004.01.201104.07.201104.01.201204.07.201204.01.2013
0.0
1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
30.04.2013
All
Holder Name
CITIGROUP INCORPORAT
LV DEZHI
LEAD HONEST MANAGEME
LEAD HONEST MANAGEME
SHI GUANGWEI
VALUE PARTNERS GROUP
VAN ECK ASSOCIATES C
GCIC LTD/CANADA
MANULIFE FUNDS DIREC
OPPENHEIMERFUNDS INC
INVESTEC ASSET MANAG
ROYAL BANK OF CANADA
JP MORGAN
MACQUARIE GROUP
DEKA INVESTMENT GMBH
DIMENSIONAL FUND ADV
FIDEURAM GESTIONS SA
ALLIANCE BERNSTEIN
CITIGROUP INCORPORAT
SANFORD C BERNSTEIN
Firm Name
EVA Dimensions
BOCOM International Holdings
Kingsway SW Securities
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Analyst
TEAM COVERAGE
RONGJIN LUO
ZIBO CHEN
Source
EXCH
EXCH
Research
Short
EXCH
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
Short
MF-AGG
Recommendation
buy
neutral
buy
Amt Held
% Out
245'182'757 26.98
226'250'667
24.9
140'000'000 15.41
(126'967'191) -13.97
113'125'333 12.45
77'678'000
8.55
19'288'900
2.12
17'816'505
1.96
16'916'500
1.86
10'673'000
1.17
9'609'000
1.06
7'861'000
0.86
6'089'500
0.67
4'353'500
0.48
4'103'427
0.45
4'097'000
0.45
2'762'500
0.3
2'500'500
0.28
(2'409'129) -0.27
1'788'000
0.2
Weighting
Change
5
3
5
N
D
M
Latest Chg
(234'376'000)
-
Target Price
#N/A N/A
9
19
File Dt
12.06.2012
27.09.2012
26.09.2012
31.12.2011
27.09.2012
26.09.2012
29.04.2013
31.12.2012
30.06.2012
28.02.2013
28.02.2013
31.12.2012
31.12.2012
30.06.2011
28.12.2012
31.07.2012
02.04.2013
28.02.2013
12.06.2012
28.02.2013
Date
Not Provided
12 month
Not Provided
Inst Type
Investment Advisor
n/a
Other
Other
n/a
Corporation
Investment Advisor
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Bank
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
14.07.2012
03.06.2011
14.03.2011
30.04.2013
Price/Volume
3
14.0 M
12.0 M
10.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (16.10.2012)
52-Week Low (23.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GSS US EQUITY YTD Change
GSS US EQUITY YTD % CHANGE
12/1997
12/yy
2.11
0.88
285'371.00
1.05
-50.47%
19.32%
13.82%
259.1
272.06
117.48
0.0
(2.0)
78.88
308.65
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
8.0 M
6.0 M
4.0 M
2.0 M
0
a-12
31.12.2009
Profitability
31.12.2010
432.7
2.72x
107.6
10.93x
(11.2)
-
LTM-4Q
31.12.2011
471.0
0.98x
91.8
5.00x
(2.1)
-
31.12.2012
550.5
0.95x
124.7
4.18x
(9.5)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
124.67
25.74
4.68%
1.20%
-1.31%
-2.17%
-4.61%
0.76%
9.6%
22.8%
4.7%
-1.7%
1.58
0.69
16.18%
27.10%
50.11
6.05
12/yy
471.0
4.90x
91.8
5.00x
(2.1)
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
550.5
3.58x
125.8
4.14x
(9.5)
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.00
1.08
257.68
11.99
-31.37%
-42.93%
1.076
10
2.800
1'844'036
1'951'951
1'863'731
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
540.0
584.5
131.8
129.0
0.69x
0.68x
2.43x
2.57x
116.2
186.8
25.9
28.9
2.66x
1.65x
2.74x
2.71x
11.5
51.3
1.5
2.1
6.52x
61.76x
14.00x
S&P Issuer Ratings
12.27
3.56
0.31
0.93
27.1%
21.4%
0.76
1.06
7.30
60.50
69.08
-1.28
Sales/Revenue/Turnover
30.00
600.0
25.00
500.0
20.00
400.0
15.00
300.0
10.00
200.0
5.00
100.0
0.00
01.01.2010
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
BLACKROCK
HILLSDALE INVESTMENT
STATE STREET
ACADIAN ASSET MANAGE
WELLINGTON MANAGEMEN
CANADA PENSION PLAN
PRINCIPAL FINANCIAL
NORTHERN TRUST CORPO
BATTERYMARCH FINANCI
TIAA CREF INVESTMENT
NORGES BANK
CITIGROUP INCORPORAT
MD MANAGEMENT LTD
NEW YORK STATE COMMO
SYSTEMATIC FINANCIAL
LEGG MASON CAPITAL M
GOLDMAN SACHS GROUP
Firm Name
Macquarie
Raymond James
Scotia Capital
Credit Suisse
BMO Capital Markets
Canaccord Genuity Corp
CIBC World Markets
National Bank Financial
EVA Dimensions
Portfolio Name
n/a
SENTRY SELECT CAPITA
HEARTLAND ADVISORS I
n/a
HILLSDALE INVESTMENT
n/a
ACADIAN ASSET MANAGE
WELLINGTON MANAGEMEN
CANADA PENSION PLAN
n/a
NORTHERN TRUST CORPO
BATTERYMARCH FINANCI
TIAA-CREF INVESTMENT
NORGES BANK
CITIGROUP INCORPORAT
Multiple Portfolios
NEW YORK STATE COMMO
SYSTEMATIC FINANCIAL
Multiple Portfolios
GOLDMAN SACHS GROUP
Analyst
PIERRE VAILLANCOURT
BRAD HUMPHREY
TREVOR TURNBULL
ANITA SONI
ANDREW BREICHMANAS
RAHUL PAUL
COSMOS CHIU
PAOLO LOSTRITTO
CRAIG STERLING
Source
ULT-AGG
13F
13F
ULT-AGG
13F
ULT-AGG
13F
13F
13F
ULT-AGG
13F
13F
13F
13F
13F
MF-AGG
13F
13F
MF-AGG
13F
Recommendation
neutral
market perform
sector underperform
underperform
market perform
hold
sector perform
outperform
overweight
Amt Held
39'316'268
30'238'600
25'985'870
10'793'356
6'281'374
4'897'831
4'819'436
3'713'690
3'486'925
3'093'334
3'064'953
2'625'741
2'259'552
1'934'059
1'870'572
1'845'827
1'725'479
1'647'710
1'467'781
1'164'787
% Out
15.17
11.67
10.03
4.17
2.42
1.89
1.86
1.43
1.35
1.19
1.18
1.01
0.87
0.75
0.72
0.71
0.67
0.64
0.57
0.45
Weighting
Change
3
3
1
1
3
3
3
5
5
M
M
D
M
M
M
M
M
U
Latest Chg
(350'000)
(1'326'930)
723'887
1'230'943
12'016
(1'475'687)
3'703'206
2'002'700
1'200'671
(52'441)
125'700
1'129'776
1'267'792
139'300
206'700
277'080
(51'919)
Target Price
1
2
1
1
2
2
2
3
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Government
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
12 month
Not Provided
Not Provided
12 month
Not Provided
12 month
Not Provided
Date
25.04.2013
24.04.2013
23.04.2013
22.04.2013
15.04.2013
15.04.2013
11.04.2013
09.04.2013
04.04.2013
30.04.2013
Price/Volume
1
25.0 M
20.0 M
12/2012
12/yy
1.40
0.39
281'624.00
0.445
-68.57%
13.38%
6.70%
585.0
260.32
0.00
0.0
0.0
64.78
193.29
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
10.0 M
5.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
Valuation Analysis
31.12.2009
31.12.2010
0.0
0.0
(7.3)
(65.4)
(7.2)
(66.2)
Profitability
LTM-4Q
31.12.2011
0.0
(15.3)
(15.7)
-
31.12.2012
0.0
(11.8)
(11.9)
-11.81
-12.13
-4.58%
-4.80%
0.00%
5.88
5.81
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(15.3)
0.00x
(15.7)
0.00x
LTM
12/yy
0.0
#DIV/0!
(11.8)
0.00x
(11.9)
0.00x
0.00
1.20
580.76
0.77
-55.94%
-42.21%
1.204
6
4.167
2'420'969
1'590'205
1'354'361
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(8.0)
(8.0)
(7.8)
(12.0)
S&P Issuer Ratings
-58.20
-263.13
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BLACKROCK
VAN ECK ASSOCIATES C
FRANKLIN RESOURCES
OPPENHEIMERFUNDS INC
TOCQUEVILLE ASSET MA
FMR LLC
JP MORGAN
COMMONWEALTH BANK OF
TD ASSET MANAGEMENT
RUFFER LLP
GAMCO
QUANTEX AG
ROYAL BANK OF CANADA
GLOBAL STRATEGY FINA
SHARE SICAV
VANGUARD GROUP INC
SPROTT INC
COLONIAL FIRST STATE
GARRETT DIANE RENEE
LOMBARD ODIER DARIER
Firm Name
Cormark Securities Inc.
BMO Capital Markets
National Bank Financial
RBC Capital Markets
Paradigm Capital Inc
Euro Pacific Capital Inc
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
TOCQUEVILLE ASSET MA
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
RICHARD GRAY
ANDREW KAIP
PAOLO LOSTRITTO
SAM CRITTENDEN
DON BLYTH
HEIKO IHLE
Source
ULT-AGG
ULT-AGG
ULT-AGG
MF-AGG
13F
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
Recommendation
buy
market perform
outperform
sector perform
speculative buy
buy
Amt Held
149'342'975
46'813'508
46'766'500
30'127'000
21'188'200
19'245'100
15'429'733
11'682'793
11'093'500
8'551'000
5'550'000
3'750'000
3'000'000
2'975'080
2'828'384
2'703'235
2'266'700
1'959'403
1'568'000
1'361'600
% Out
25.53
8
7.99
5.15
3.62
3.29
2.64
2
1.9
1.46
0.95
0.64
0.51
0.51
0.48
0.46
0.39
0.33
0.27
0.23
Weighting
Change
5
3
5
3
4
5
Latest Chg
28'590'375
(211'188)
(470'500)
53'500
85'000
(147'237)
(147'500)
(100'000)
(520'200)
205'500
31'500
-
Target Price
M
M
M
M
M
N
File Dt
Inst Type
26.04.2013
Investment Advisor
29.04.2013
Investment Advisor
31.01.2013
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.01.2013
Bank
31.12.2012
Investment Advisor
27.12.2012 Hedge Fund Manager
31.12.2012
Unclassified
29.03.2013
Investment Advisor
31.12.2012
Bank
28.09.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
19.10.2012
Investment Advisor
19.04.2013
n/a
28.02.2013
Investment Advisor
Date
1
1
2
1
2
2
12 month
Not Provided
12 month
12 month
12 month
12 month
Date
22.04.2013
15.04.2013
09.04.2013
02.04.2013
11.03.2013
28.09.2012
30.04.2013
Banro Corp
Banro Corporation, through its subsidiary, explores and develops gold
properties. The Company currently holds mining permits and mining concessions
in the Democratic Republic of Congo in Africa.
Price/Volume
6
5
4
3
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (07.09.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 25.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
BAA CN EQUITY YTD Change
BAA CN EQUITY YTD % CHANGE
12/2012
12/yy
5.03
1.03
429'314.00
1.23
-75.35%
19.42%
6.25%
252.1
310.08
154.69
0.0
0.0
27.05
435.05
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
0.0
0.0
(7.6)
(10.3)
(4.8)
(3.0)
Profitability
LTM-4Q
31.12.2011
0.0
(10.2)
(9.3)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
42.6
16.23x
6.0
114.64x
(4.6)
6.03
-2.06
-4.84%
-10.70%
-0.86%
-1.12%
0.08%
29.2%
14.2%
-4.8%
-10.7%
1.06
0.47
24.33%
36.54%
-
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
12/yy
0.0
#DIV/0!
(10.2)
0.00x
(9.3)
0.00x
LTM
12/yy
42.6
80.50x
6.0
114.64x
(4.6)
0.00x
FY+1
0.00
1.96
249.82
9.95
-70.71%
-55.76%
1.956
5
3.000
1'504'183
2'125'147
2'081'688
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
160.0
388.7
36.9
36.2
63.7
194.7
6.85x
2.23x
10.9
100.3
16.11x
2.14x
8.84x
4.48x
S&P Issuer Ratings
2.62
-57.93
21.15
25.64
36.5%
26.8%
0.08
0.11
-
Sales/Revenue/Turnover
700.00
45.0
600.00
40.0
35.0
500.00
30.0
400.00
25.0
300.00
20.0
15.0
200.00
10.0
100.00
0.00
01.01.2010
5.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Banro Corp
Holdings By:
All
Holder Name
BLACKROCK
JP MORGAN
VAN ECK ASSOCIATES C
IG INVESTMENT MANAGE
FRANKLIN RESOURCES
TOCQUEVILLE ASSET MA
FMR LLC
ACUITY INVESTMENT MA
WELLINGTON MANAGEMEN
TRADEWINDS GLOBAL IN
INVESTEC ASSET MANAG
INVESTEC ASSET MANAG
FIERA CAPITAL CORPOR
CANADA PENSION PLAN
FIERA CAPITAL CORPOR
DEUTSCHE BANK AG
BRISTOL INVESTMENT P
PUBLIC SECTOR PENSIO
CONNOR CLARK & LUNN
TD ASSET MANAGEMENT
Firm Name
CIBC World Markets
BMO Capital Markets
GMP
Cormark Securities Inc.
EVA Dimensions
Goldman Sachs
Portfolio Name
n/a
n/a
n/a
IG INVESTMENT MANAGE
n/a
TOCQUEVILLE ASSET MA
n/a
ACUITY INVESTMENT MA
WELLINGTON MANAGEMEN
TRADEWINDS GLOBAL IN
INVESTEC ASSET MANAG
Multiple Portfolios
Multiple Portfolios
CANADA PENSION PLAN
FIERA CAPITAL CORPOR
DEUTSCHE BANK AKTIEN
BRISTOL INVESTMENT P
PUBLIC SECTOR PENSIO
CONNOR CLARK & LUNN
TD ASSET MANAGEMENT
Analyst
COSMOS CHIU
ANDREW BREICHMANAS
BROCK SALIER
MIKE KOZAK
CRAIG STERLING
EUGENE KING
Source
ULT-AGG
ULT-AGG
ULT-AGG
13F
ULT-AGG
13F
ULT-AGG
13F
13F
13F
13F
MF-AGG
MF-AGG
13F
13F
13F
13F
13F
13F
13F
Recommendation
sector perform
market perform
buy
restricted
underweight
neutral/neutral
Amt Held
29'151'624
24'223'469
16'155'784
14'067'000
12'785'907
10'721'545
9'020'360
8'156'000
4'835'785
4'085'541
4'023'371
3'887'474
3'824'682
2'304'615
2'152'177
2'051'416
2'026'058
1'879'400
1'842'700
1'715'800
% Out
11.56
9.61
6.41
5.58
5.07
4.25
3.58
3.24
1.92
1.62
1.6
1.54
1.52
0.91
0.85
0.81
0.8
0.75
0.73
0.68
Weighting
Change
3
3
5
#N/A N/A
1
3
M
M
M
M
U
M
Latest Chg
72'185
(72'888)
4'088'200
651'407
41'100
(1'648'935)
3'531'100
778'978
1'766'536
1'791'580
(135'897)
(593'900)
(316'700)
(4'660'861)
(1'218'959)
(41'296)
(641'000)
(266'100)
Target Price
4
2
2
#N/A N/A
#N/A N/A
3
File Dt
Inst Type
26.04.2013
Investment Advisor
31.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.01.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Date
29.04.2013
25.04.2013
25.04.2013
22.04.2013
10.04.2013
15.03.2013
30.04.2013
Price/Volume
7
6
5
4
Valuation Analysis
12/2012
12/yy
6.03
1.73
183'456.00
2.24
-63.35%
29.48%
14.42%
107.0
239.58
72.14
0.0
2.7
63.59
248.75
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.07.2009
31.07.2010
0.0
0.0
(2.7)
(9.5)
(4.6)
(9.7)
Profitability
LTM-4Q
31.12.2011
0.0
(29.3)
(32.1)
-
31.12.2012
0.0
(32.9)
(30.1)
-32.86
-33.29
-11.68%
-23.01%
0.00%
4.66
4.55
25.80%
62.37%
0.00
0.00
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
12/yy
0.0
#DIV/0!
(29.3)
0.00x
(32.1)
0.00x
LTM
12/yy
0.0
#DIV/0!
(32.9)
0.00x
(30.1)
0.00x
FY+1
0.00
1.58
90.39
2.74
-51.62%
-51.41%
1.585
5
4.600
1'562'971
1'499'240
1'464'254
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
41.6
285.7
5.01x
0.11x
11.9
204.0
(6.8)
(6.8)
20.90x
1.22x
20.76x
4.27x
(6.6)
135.7
(8.6)
(8.6)
2.67x
6.51x
S&P Issuer Ratings
-7.02
-26.45
-2.20
62.4%
37.9%
0.00
0.00
3704.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
ARIAS RESOURCE CAPIT
ACUITY INVESTMENT MA
SPROTT ASSET MANAGEM
VAN ECK ASSOCIATES C
FRANKLIN RESOURCES
FMR LLC
SUSSMAN ARI B
MCLEAN BUDDEN LTD
MANULIFE ASSET MANAG
CIBC GLOBAL ASSET MA
JP MORGAN
KISHIDA AUGUSTO
BLACKROCK
DEUTSCHE BANK AG
US GLOBAL INVESTORS
VANGUARD GROUP INC
GLOBAL STRATEGY FINA
FROSTIAK JOHN
FIRST CANADIAN MUTUA
TD ASSET MANAGEMENT
Firm Name
Clarus Securities
Stifel
Macquarie
Canaccord Genuity Corp
GMP
Portfolio Name
#N/A N/A
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
JAMIE SPRATT
CRAIG P STANLEY
MICHAEL GRAY
NICHOLAS CAMPBELL
GEORGE V ALBINO
Source
Co File
Co File
Co File
ULT-AGG
ULT-AGG
ULT-AGG
SEDI
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
SEDI
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
Recommendation
speculative buy
buy
outperform
speculative buy
buy
Amt Held
13'223'900
10'530'371
9'947'500
9'252'403
4'883'500
3'860'635
1'761'401
1'459'400
1'151'864
1'060'133
1'049'000
958'000
699'201
527'115
525'000
486'563
321'612
229'800
207'600
180'500
% Out
12.36
9.85
9.3
8.65
4.57
3.61
1.65
1.36
1.08
0.99
0.98
0.9
0.65
0.49
0.49
0.45
0.3
0.21
0.19
0.17
Weighting
Change
4
5
5
4
5
Latest Chg
(1'572'900)
(37'308)
29'000
397'528
50'000
(37'490)
(6'989)
4
871
(6'612)
50'000
-
Target Price
M
M
M
M
M
8
4
3
8
12
File Dt
22.04.2013
31.10.2012
28.02.2013
29.04.2013
31.01.2013
31.03.2013
27.06.2012
28.02.2013
28.02.2013
31.12.2012
31.12.2012
09.08.2012
26.04.2013
28.02.2013
31.12.2012
31.03.2013
28.09.2012
16.02.2013
30.11.2012
31.12.2012
Date
12 month
Not Provided
12 month
12 month
Not Provided
Inst Type
Private Equity
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Date
29.04.2013
26.04.2013
25.04.2013
11.04.2013
01.04.2013
30.04.2013
Price/Volume
7
9.0 M
8.0 M
7.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (10.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
RR CN EQUITY YTD Change
RR CN EQUITY YTD % CHANGE
12/2012
12/yy
6.17
1.97
28'650.00
2.31
-63.05%
17.26%
9.52%
99.9
230.87
0.13
0.0
0.0
102.12
128.88
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
6.0 M
30.09.2008
30.09.2009
0.0
0.0
(2.6)
(4.2)
(1.0)
(3.6)
Profitability
LTM-4Q
30.09.2010
0.0
(9.1)
(6.8)
-
30.09.2011
0.0
(16.1)
(13.5)
-64.60
-64.98
-33.90%
-35.35%
0.00%
15.73
15.71
0.08%
0.09%
0.00
-
09/yy
0.0
#DIV/0!
(16.1)
0.00x
(13.5)
0.00x
LTM
12/yy
0.0
#DIV/0!
(64.6)
0.00x
(65.9)
0.00x
FY+1
.0 M
a-13
0.00
1.16
97.74
0.79
-50.22%
-53.52%
1.156
9
4.000
705'084
523'794
713'661
FY+2
FQ+1
FQ+2
12/12 Y
12/13 Y
12/12 Q4 03/13 Q1
1.0
133.27x
(15.2)
(22.2)
S&P Issuer Ratings
-10003.84
-12740.42
0.00
0.1%
0.1%
0.00
0.00
-
Sales/Revenue/Turnover
4.5
4.0
1.00
0.80
3.5
3.0
2.5
0.60
2.0
1.5
0.40
0.20
1.0
0.5
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SALIDA CAPITAL LP
FMR LLC
JP MORGAN
IG INVESTMENT MANAGE
BEREZAN LEO
QUANTEX AG
LB SWISS INVESTMENT
BLACKROCK
GLOBAL X MANAGEMENT
INVESTEC ASSET MANAG
CIBC GLOBAL ASSET MA
LOMBARD ODIER DARIER
VANGUARD GROUP INC
AVERILL STUART ALLAN
LAZARIDIS MICHAEL
GLOBAL STRATEGY FINA
JONES HEWARD INVESTM
UOB ASSET MANAGEMENT
SOCIETE GENERALE
Firm Name
Stifel
Scotia Capital
BMO Capital Markets
CIBC World Markets
Desjardins Securities
Casimir Capital
RBC Capital Markets
National Bank Financial
Paradigm Capital Inc
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
CRAIG P STANLEY
LEILY OMOUMI
JOHN P HAYES
JEFF KILLEEN
ADAM MELNYK
ERIC WINMILL
SAM CRITTENDEN
PAOLO LOSTRITTO
DON BLYTH
Source
ULT-AGG
Co File
ULT-AGG
ULT-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
SEDI
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
hold
sector outperform
speculative outperform
sector perform
buy
speculative buy
sector perform
outperform
speculative buy
Amt Held
10'085'221
8'043'070
3'380'400
3'170'900
1'756'100
1'334'048
830'000
800'000
624'538
539'677
538'228
453'100
401'000
399'600
360'000
355'000
343'467
315'943
300'000
255'600
% Out
10.09
8.05
3.38
3.17
1.76
1.33
0.83
0.8
0.62
0.54
0.54
0.45
0.4
0.4
0.36
0.36
0.34
0.32
0.3
0.26
Weighting
Change
3
5
4
3
5
4
3
5
4
M
M
M
M
M
M
M
M
M
Latest Chg
920'049
(655'430)
359'000
313'000
17'000
118'000
800'000
823
14'692
(409'100)
(2'600)
5'000
(25'700)
Target Price
#N/A N/A
6
#N/A N/A
7
6
7
5
8
9
File Dt
29.04.2013
30.11.2011
31.03.2013
28.02.2013
31.01.2013
22.05.2012
29.03.2013
31.12.2012
26.04.2013
26.04.2013
28.02.2013
31.12.2012
28.02.2013
31.03.2013
06.02.2013
14.03.2012
28.09.2012
29.04.2013
30.06.2012
31.12.2012
Date
Not Provided
12 month
Not Provided
Not Provided
12 month
12 month
12 month
12 month
12 month
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Bank
Date
26.04.2013
23.04.2013
14.04.2013
12.04.2013
12.04.2013
12.04.2013
11.04.2013
11.04.2013
17.09.2012
30.04.2013
Price/Volume
2
18.0 M
16.0 M
14.0 M
12.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (23.08.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 23.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SUE CN EQUITY YTD Change
SUE CN EQUITY YTD % CHANGE
04/2012
01/yy
1.44
0.66
124'250.00
0.91
-37.59%
37.88%
30.69%
270.7
246.38
0.00
0.0
0.0
47.34
226.55
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
6.0 M
4.0 M
2.0 M
0
a-12
30.04.2009
30.04.2010
0.0
0.0
(6.2)
(2.6)
(4.4)
Profitability
m-12
LTM-4Q
30.04.2011
0.0
(8.8)
(10.3)
-
30.04.2012
0.0
(11.9)
(13.3)
-11.95
-11.95
-2.59%
-2.69%
0.00%
23.62
23.62
0.00%
0.00%
0.00
-
01/yy
0.0
#DIV/0!
(11.8)
0.00x
(13.6)
0.00x
j-12
j-12
a-12
s-12
LTM
01/yy
0.0
#DIV/0!
(4.3)
0.00x
(4.9)
0.00x
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
0.00
1.46
236.71
0.06
-14.95%
-2.15%
1.457
9
4.778
670'720
765'046
681'550
FY+1
FY+2
FQ+1
FQ+2
04/13 Y
04/14 Y
04/13 Q4
07/13 Q1
(5.2)
(7.4)
(3.6)
(11.3)
S&P Issuer Ratings
-0.05
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.20
0.3
1.00
0.3
0.80
0.2
0.60
8.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10.0 M
0.2
0.1
0.40
0.1
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
AGNICO-EAGLE MINES L
VAN ECK ASSOCIATES C
ABERDEEN INTERNATION
ROYAL BANK OF CANADA
MACKENZIE FINANCIAL
FMR LLC
BEUTEL GOODMAN & COM
IG INVESTMENT MANAGE
ACUITY INVESTMENT MA
BHARTI STAN
FERNANDEZ-CONCHA STU
COLEMAN JAMES H
FIRST TRUST ADVISORS
HUMPHREY RAYMOND BRU
MOORE GEOFFREY S
UOB ASSET MANAGEMENT
FRONT BARNETT ASSOCI
AMIREAULT STEPHANE
SWISSCANTO FONDSLEIT
NCF SOC ADMIN DE FON
Firm Name
Cormark Securities Inc.
Raymond James
BMO Capital Markets
Desjardins Securities
Haywood Securities Inc.
GMP
Kallpa Securities SAB
National Bank Financial
Mine2Capital Inc
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
FRONT BARNETT ASSOCI
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
RICHARD GRAY
GARY J BASCHUK
ANDREW KAIP
ADAM MELNYK
KERRY SMITH
GEORGE V ALBINO
HUMBERTO LEON
STEPHEN PARSONS
ALKA SINGH
Source
SEDI
ULT-AGG
Co File
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
SEDI
SEDI
MF-AGG
PROXY
SEDI
MF-AGG
13F
SEDI
MF-AGG
MF-AGG
Recommendation
buy
Under Review
speculative outperform
buy
buy
buy
overweight
outperform
buy
Amt Held
26'966'292
19'129'502
15'904'572
9'517'800
5'573'512
5'403'200
5'166'300
2'907'900
2'341'926
1'563'955
1'435'000
1'108'614
920'363
862'978
829'423
800'000
609'700
516'500
510'000
375'000
% Out
9.96
7.07
5.87
3.52
2.06
2
1.91
1.07
0.87
0.58
0.53
0.41
0.34
0.32
0.31
0.3
0.23
0.19
0.19
0.14
Weighting
Change
5
#N/A N/A
4
5
5
5
5
5
5
M
M
M
M
M
M
M
M
N
Latest Chg
(86'160)
12
2'332'800
(730'700)
(325'000)
250'000
46'526
100'000
200'000
-
Target Price
2
#N/A N/A
1
2
2
2
2
2
2
File Dt
09.04.2013
29.04.2013
31.07.2012
31.12.2012
31.01.2013
31.03.2013
28.02.2013
31.01.2013
28.09.2012
08.02.2013
20.10.2011
21.10.2011
28.03.2013
05.09.2012
04.10.2012
30.06.2012
31.12.2012
30.03.2013
28.02.2013
03.08.2011
Date
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
Inst Type
Corporation
Investment Advisor
Unclassified
Bank
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
n/a
n/a
Investment Advisor
n/a
n/a
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Date
22.04.2013
18.04.2013
16.04.2013
16.04.2013
16.04.2013
16.04.2013
12.04.2013
10.04.2013
24.12.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (09.11.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AKG CN EQUITY YTD Change
AKG CN EQUITY YTD % CHANGE
03/2012
12/yy
4.39
2.26
13'136.00
2.57
-41.69%
13.72%
19.25%
85.0
218.54
0.00
0.0
0.0
197.61
30.84
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5
5
4
4
3
3
2
2
1
1
0
a-12
31.03.2009
31.03.2010
0.0
0.0
(3.2)
(6.3)
(3.7)
(6.4)
Profitability
LTM-4Q
31.03.2011
0.0
(38.4)
(34.9)
-
31.03.2012
0.0
(35.6)
(38.2)
-35.61
-36.23
-8.07%
-8.49%
0.00%
41.24
41.05
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(49.2)
0.00x
(41.4)
0.00x
LTM
12/yy
0.0
#DIV/0!
(31.2)
0.00x
(21.6)
0.00x
0.00
1.45
75.26
0.45
-19.69%
-34.94%
1.446
8
3.625
157'068
213'376
294'699
FY+1
FY+2
FQ+1
FQ+2
03/13 Y
03/14 Y
03/13 Q4
06/13 Q1
(11.3)
(14.0)
(12.3)
(24.8)
S&P Issuer Ratings
.0 M
a-13
-628.60
-658.98
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
0.0
0.0
0.0
0.80
0.60
0.0
0.0
0.0
0.40
0.20
0.0
0.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
HIGHLAND PARK SA
BLACKROCK
BEUTEL GOODMAN & COM
SPROTT INC
MACKENZIE FINANCIAL
JP MORGAN
SPROTT INC
IG INVESTMENT MANAGE
SALI ROBERT J
ROYAL BANK OF CANADA
BANK OF AMERICA CORP
LOMBARD ODIER DARIER
VANGUARD GROUP INC
LB SWISS INVESTMENT
SEAMANS CAPITAL MANA
JONES HEWARD INVESTM
BMO FINANCIAL CORP
CANADA PENSION PLAN
TECHNICAL FINANCIAL
Firm Name
Clarus Securities
Scotia Capital
Canaccord Genuity Corp
Cormark Securities Inc.
CIBC World Markets
RBC Capital Markets
Jennings Capital
BMO Capital Markets
Portfolio Name
n/a
n/a
n/a
n/a
n/a
MACKENZIE FINANCIAL
n/a
SPROTT INC
IG INVESTMENT MANAGE
n/a
n/a
BANK OF AMERICA
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
SEAMANS CAPITAL MANA
Multiple Portfolios
BMO FINANCIAL CORP
CANADA PENSION PLAN
TFS CAPITAL LLC
Analyst
NANA SANGMUAH
LEILY OMOUMI
NICHOLAS CAMPBELL
MIKE KOZAK
JEFF KILLEEN
JONATHAN GUY
DAN HRUSHEWSKY
ANDREW BREICHMANAS
Source
ULT-AGG
SEDI
ULT-AGG
13G
13G
13F
ULT-AGG
13F
13F
SEDI
ULT-AGG
13F
MF-AGG
MF-AGG
MF-AGG
13F
MF-AGG
13F
13F
13F
Recommendation
buy
sector perform
speculative buy
speculative buy
sector perform
sector perform
buy
Speculative Underperform
Amt Held
8'861'057
8'191'174
5'720'748
5'457'500
3'702'527
3'640'600
3'234'225
3'195'867
1'248'900
830'000
668'544
558'000
451'000
372'849
350'000
318'200
268'862
267'599
243'326
240'667
% Out
10.42
9.63
6.73
6.42
4.35
4.28
3.8
3.76
1.47
0.98
0.79
0.66
0.53
0.44
0.41
0.37
0.32
0.31
0.29
0.28
Weighting
Change
5
3
4
4
3
3
5
2
Latest Chg
898'582
477'500
(546'938)
1'480'300
(506'660)
382'700
150'000
652'571
515'800
5'600
318'200
(12'274)
(311'900)
(79'196)
Target Price
M
M
M
M
M
M
M
D
File Dt
Inst Type
29.04.2013
Investment Advisor
13.11.2012
Other
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.03.2013
Investment Advisor
31.03.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
16.05.2012
n/a
31.12.2012
Bank
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.12.2012
Investment Advisor
Date
6
5
5
4
5
3
6
3
12 month
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Date
29.04.2013
23.04.2013
22.04.2013
22.04.2013
11.04.2013
25.02.2013
21.02.2013
19.02.2013
30.04.2013
Price/Volume
4
1.8 M
1.6 M
1.4 M
1.2 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.10.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 01.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
BCM CN EQUITY YTD Change
BCM CN EQUITY YTD % CHANGE
12/2012
12/yy
3.81
2.00
25'400.00
2.6
-32.28%
30.00%
33.15%
92.2
239.78
0.00
0.0
0.0
68.45
169.27
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
.8 M
.6 M
.4 M
.2 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1.0 M
31.12.2009
31.12.2010
0.0
0.0
(8.7)
(16.8)
(8.7)
(16.3)
Profitability
LTM-4Q
31.12.2011
0.0
(29.5)
(29.7)
-
31.12.2012
0.0
(31.2)
(31.0)
-31.20
-31.32
-19.68%
-20.20%
0.00%
32.85
32.66
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(29.5)
0.00x
(29.7)
0.00x
LTM
12/yy
0.0
#DIV/0!
(31.2)
0.00x
(31.0)
0.00x
0.00
1.12
75.40
0.10
-22.39%
-22.85%
1.118
4
4.000
86'864
121'931
137'947
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(19.4)
(21.7)
(19.1)
(18.1)
S&P Issuer Ratings
.0 M
a-13
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SILVER WHEATON CORP
SPROTT INC
TOCQUEVILLE ASSET MA
ATLANTIC INVESTMENT
VAN ECK ASSOCIATES C
ROYCE AND ASSOCIATES
KEM CAPITAL LLC
GLOBAL X MANAGEMENT
MCLEOD-SELTZER CATHE
SWARTHOUT ANDREW
VANGUARD GROUP INC
TD ASSET MANAGEMENT
FALCON FUND MANAGEME
LOMBARD ODIER DARIER
DE WITT DAVID E
GLOBAL STRATEGY FINA
AGF INVESTMENTS INC
DEAN COREY M
FALCON FUND MANAGEME
NATIXIS ASSET MANAGE
Firm Name
Raymond James
Canaccord Genuity Corp
BMO Capital Markets
Scotia Capital
Paradigm Capital Inc
Portfolio Name
n/a
n/a
TOCQUEVILLE ASSET MA
ATLANTIC INVESTMENT
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
BRAD HUMPHREY
NICHOLAS CAMPBELL
ANDREW KAIP
TREVOR TURNBULL
DON BLYTH
Source
PROXY
Co File
13F
13F
ULT-AGG
MF-AGG
SEDI
MF-AGG
PROXY
SEDI
MF-AGG
MF-AGG
MF-AGG
MF-AGG
PROXY
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
Recommendation
outperform
speculative buy
speculative outperform
sector perform
speculative buy
Amt Held
13'264'305
9'772'057
9'422'575
8'367'550
6'122'709
1'542'800
1'081'262
993'162
966'562
879'592
750'000
660'000
559'000
457'000
375'650
240'867
204'600
185'000
146'500
132'000
% Out
14.38
10.6
10.22
9.07
6.64
1.67
1.17
1.08
1.05
0.95
0.81
0.72
0.61
0.5
0.41
0.26
0.22
0.2
0.16
0.14
Weighting
Change
5
4
4
3
4
Latest Chg
1'478'600
20'000
2'308'300
(27'576)
31'100
5'000
35'000
20'100
-
Target Price
M
M
M
M
M
File Dt
Inst Type
17.04.2012
Corporation
31.01.2013 Hedge Fund Manager
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
21.03.2012
Investment Advisor
26.04.2013
Investment Advisor
17.04.2012
n/a
06.12.2012
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
28.02.2013
Investment Advisor
17.04.2012
n/a
28.09.2012
Investment Advisor
28.09.2012
Investment Advisor
11.11.2010
n/a
28.02.2013
Investment Advisor
28.03.2013
Investment Advisor
Date
4
5
3
4
6
12 month
12 month
Not Provided
12 month
12 month
Date
24.04.2013
16.04.2013
15.04.2013
04.04.2013
16.11.2011
30.04.2013
Price/Volume
3
3.5 M
3.0 M
2.5 M
06/2012
12/yy
2.82
1.44
127'995.00
1.57
-44.50%
9.03%
13.04%
147.6
231.71
0.00
0.0
0.0
20.00
217.42
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
30.06.2009
30.06.2010
0.0
0.0
(7.3)
(8.6)
(7.2)
(5.4)
Profitability
LTM-4Q
30.06.2011
0.2
2370.69x
(11.6)
(28.5)
-
30.06.2012
0.1
4555.15x
(17.9)
(12.1)
-17.95
-18.02
-24647.56%
-16534.40%
-16.27%
-19.70%
0.00%
-29165.2%
-29280.4%
-16534.4%
1.82
1.77
0.00%
0.00%
0.05
-
LTM
12/yy
12/yy
0.1
0.1
16235.53x 22190.34x
(14.9)
(17.9)
0.00x
0.00x
(0.9)
(11.0)
0.00x
0.00x
1.17
115.70
15.28
-35.66%
-32.33%
1.166
1
5.000
726'363
895'813
809'040
FY+1
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
03/13 Q3
06/13 Q4
(7.9)
(7.9)
S&P Issuer Ratings
.0 M
a-13
-1685.54
-1699.47
0.00
0.0%
0.0%
0.00
0.00
7443.11
-
Sales/Revenue/Turnover
0.2
0.2
1.00
0.2
0.1
0.80
0.60
0.40
0.1
0.1
0.1
0.1
0.0
0.20
0.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
FCMI FINANCIAL CORP
VAN ECK ASSOCIATES C
VANGUARD GROUP INC
BLACKROCK
CRUPI CHRISTOPHER
STATE STREET
NORTHERN TRUST CORPO
FRONK RUDI P
ROTHSCHILD & COMPAGN
GLOBAL X MANAGEMENT
MACKELLER IAN
PORTOLA GROUP INCORP
TIAA CREF INVESTMENT
AMERICAN INTERNATION
PORTER PARTNERS LP
BANK OF NEW YORK MEL
BARD ASSOCIATES INC
TALKOT CAPITAL LLC
KENNEDY SHAWN M
CALIFORNIA PUBLIC EM
Firm Name
Cowen Securities LLC
Stonecap Securities Inc
Portfolio Name
n/a
n/a
VANGUARD GROUP INC
n/a
n/a
n/a
NORTHERN TRUST CORPO
n/a
Multiple Portfolios
GLOBAL X MANAGEMENT
n/a
PORTOLA GROUP INCORP
TIAA-CREF INVESTMENT
n/a
n/a
BANK OF NEW YORK MEL
BARD ASSOCIATES INC
TALKOT CAPITAL LLC
n/a
CALIFORNIA PUBLIC EM
Analyst
ADAM P GRAF
CHRISTOS DOULIS
Source
13D
ULT-AGG
13F
ULT-AGG
Form 4
ULT-AGG
13F
SEDI
MF-AGG
13F
424B
13F
13F
ULT-AGG
424B
13F
13F
13F
Form 4
13F
Recommendation
buy
not rated
Amt Held
24'444'234
8'290'578
6'329'298
5'522'962
3'992'766
2'114'725
1'592'580
1'025'000
1'000'000
717'088
577'500
577'010
566'159
462'554
446'250
444'859
420'450
400'000
364'735
336'400
% Out
16.56
5.62
4.29
3.74
2.71
1.43
1.08
0.69
0.68
0.49
0.39
0.39
0.38
0.31
0.3
0.3
0.28
0.27
0.25
0.23
Weighting
Change
5
#N/A N/A
M
M
Latest Chg
1'170'732
(985'288)
(110'324)
451'575
29'500
(484)
3'339
800'000
92'007
(43'050)
13'813
13'936
(4'130)
(2'000)
400'000
(59'011)
200
Target Price
4
#N/A N/A
File Dt
Inst Type
12.03.2013
Corporation
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
26.04.2013
Investment Advisor
17.04.2013
n/a
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
10.01.2011
n/a
31.01.2013
Investment Advisor
31.12.2012
Investment Advisor
19.04.2012
n/a
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Government
19.04.2012
Other
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
04.03.2013
n/a
31.12.2012 Pension Fund (ERISA)
Date
12 month
Not Provided
Date
25.04.2013
24.04.2013
30.04.2013
Price/Volume
16
6.0 M
14
5.0 M
12
4.0 M
10
8
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (23.08.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
KGI CN EQUITY YTD Change
KGI CN EQUITY YTD % CHANGE
04/2012
01/yy
14.57
2.64
81'428.00
3.24
-77.90%
22.73%
5.28%
70.2
227.29
8.83
0.0
0.0
30.17
287.87
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
30.04.2009
30.04.2010
43.5
51.2
10.98x
9.15x
(6.8)
(7.6)
(10.5)
(12.3)
Profitability
1.0 M
2
0
a-12
m-12
LTM-4Q
30.04.2011
103.3
9.01x
26.4
35.24x
19.9
48.55x
30.04.2012
159.8
5.53x
55.7
15.86x
41.3
22.63x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
55.73
41.94
26.24%
26.48%
-2.83%
-4.15%
-11.87%
0.40%
38.5%
17.6%
5.4%
25.8%
2.09
1.48
3.27%
3.79%
26.25
6.90
01/yy
149.6
22.77x
49.3
24.58x
45.1
38.76x
j-12
j-12
a-12
s-12
LTM
01/yy
139.2
20.90x
24.5
19.82x
(9.8)
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.00
1.55
60.86
8.45
-74.88%
-44.62%
1.548
10
3.900
716'267
816'916
762'235
FY+2
FQ+1
FQ+2
04/13 Y
04/14 Y
04/13 Q4 07/13 Q1
153.4
261.9
47.9
38.2
2.24x
1.28x
7.43x
9.39x
30.0
105.7
16.2
4.6
9.66x
2.72x
6.02x
5.91x
(0.0)
46.2
10.2
(1.2)
6.32x
8.29x
7.09x
S&P Issuer Ratings
224.70
-62.85
2.48
6.07
3.8%
3.7%
0.40
0.56
13.94
53.02
82.70
-22.72
Sales/Revenue/Turnover
800.00
180.0
700.00
160.0
600.00
140.0
120.0
500.00
100.0
400.00
80.0
300.00
60.0
200.00
40.0
100.00
20.0
0.00
01.05.2009
2.0 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
0.0
01.11.2009
01.05.2010
01.11.2010
01.05.2011
01.11.2011
01.05.2012
01.11.2012
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
RESOLUTE FUNDS LTD
VAN ECK ASSOCIATES C
OPPENHEIMERFUNDS INC
DOBSON DAVID HARRY
INVESTEC ASSET MANAG
HORIZON INVESTMENTS
JP MORGAN
MILTON GEORGE A
COLUMBIA WANGER ASSE
IA MICHAEL INVESTMEN
ROYCE AND ASSOCIATES
SPROTT INC
HINCHCLIFFE BRIAN A
GAMCO
MONTRUSCO BOLTON INV
FMR LLC
BLACKROCK
EMPIRE LIFE INSURANC
LB SWISS INVESTMENT
CIBC GLOBAL ASSET MA
Firm Name
Macquarie
Investec
BMO Capital Markets
Dundee Securities Corp
CIBC World Markets
National Bank Financial
Desjardins Securities
Mirabaud Securities
Panmure Gordon & Co Limited
Raymond James
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
MICHAEL SIPERCO
HUNTER HILLCOAT
BRIAN QUAST
JOE FAZZINI
COSMOS CHIU
PAOLO LOSTRITTO
ADAM MELNYK
RICHARD MORGAN
ALISON TURNER
FORBES GEMMELL
CRAIG STERLING
Source
RNS-MAJ
ULT-AGG
Research
Research
Research
Research
ULT-AGG
SEDI
Research
MF-AGG
MF-AGG
Research
PROXY
ULT-AGG
MF-AGG
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
neutral
buy
market perform
buy
sector perform
outperform
buy
speculative buy
buy
Under Review
sell
Amt Held
4'950'000
4'643'659
4'160'300
3'765'000
3'469'303
3'153'493
2'804'148
2'723'036
2'525'000
2'300'000
1'611'100
1'517'666
1'113'000
905'000
708'690
706'000
570'455
544'236
395'000
386'705
% Out
7.06
6.62
5.93
5.37
4.95
4.5
4
3.88
3.6
3.28
2.3
2.16
1.59
1.29
1.01
1.01
0.81
0.78
0.56
0.55
Weighting
Change
3
5
3
5
3
5
5
4
5
#N/A N/A
1
M
M
M
M
M
M
M
M
M
M
M
Latest Chg
557'500
(551'900)
40'000
2'300'000
(38'500)
396'600
11'175
(85'000)
1'297
76'236
(5'000)
356'807
Target Price
4
11
7
11
6
18
9
15
8
#N/A N/A
#N/A N/A
File Dt
Inst Type
19.02.2013
Investment Advisor
29.04.2013
Investment Advisor
01.01.2013
Investment Advisor
01.01.2013
n/a
01.01.2013
Investment Advisor
01.01.2013
Investment Advisor
01.01.2013
Investment Advisor
13.01.2012
n/a
01.01.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
30.06.2012 Hedge Fund Manager
05.09.2012
n/a
31.12.2012
Unclassified
28.02.2013
Investment Advisor
31.03.2013
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
Date
25.04.2013
18.04.2013
14.04.2013
12.04.2013
11.04.2013
09.04.2013
12.03.2013
11.03.2013
11.03.2013
05.02.2013
15.01.2013
30.04.2013
Price/Volume
5
6.0 M
5.0 M
4
3
4.0 M
10/2012
01/yy
4.40
1.52
90'616.00
1.78
-60.45%
17.11%
9.72%
126.1
224.50
0.00
0.0
0.0
37.62
194.03
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
2.0 M
1.0 M
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (14.01.2013)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GUY CN EQUITY YTD Change
GUY CN EQUITY YTD % CHANGE
31.10.2009
31.10.2010
0.0
0.0
(4.9)
(7.7)
(6.7)
(6.3)
Profitability
LTM-4Q
31.10.2011
0.0
(9.8)
(5.1)
-
31.10.2012
0.0
(8.0)
(9.8)
-8.04
-8.07
-4.88%
-4.94%
0.00%
16.74
16.74
0.00%
0.00%
0.00
-
01/yy
0.0
#DIV/0!
(7.8)
0.00x
(10.1)
0.00x
LTM
01/yy
0.0
#DIV/0!
(8.3)
0.00x
(9.5)
0.00x
FY+1
.0 M
a-13
0.00
1.57
118.37
2.63
-35.04%
-43.31%
1.570
10
4.400
489'013
578'428
635'778
FY+2
FQ+1
FQ+2
10/13 Y
10/14 Y
04/13 Q2 07/13 Q3
414.0
(10.5)
(10.5)
(9.8)
(10.5)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BAUPOST GROUP LLC
FRANKLIN RESOURCES
ACUITY INVESTMENT MA
VAN ECK ASSOCIATES C
SHERIDAN JR JOHN PAT
FMR LLC
LB SWISS INVESTMENT
FIRST EAGLE INVESTME
SPROTT INC
CARMIGNAC GESTION
QUANTEX AG
LOMBARD ODIER DARIER
MMA INVESTMENT MANAG
TD ASSET MANAGEMENT
BLACKROCK
VANGUARD GROUP INC
GLOBAL STRATEGY FINA
US GLOBAL INVESTORS
FERRY ALAN L H
SWISSCANTO FONDSLEIT
Firm Name
Raymond James
TD Securities
Cormark Securities Inc.
BMO Capital Markets
Cowen Securities LLC
Casimir Capital
Scotia Capital
RBC Capital Markets
Paradigm Capital Inc
Salman Partners
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
BRAD HUMPHREY
DANIEL EARLE
RICHARD GRAY
ANDREW KAIP
ADAM P GRAF
STUART MCDOUGALL
TREVOR TURNBULL
SAM CRITTENDEN
DON BLYTH
DAVID WEST
Source
SEDI
ULT-AGG
Co File
ULT-AGG
SEDI
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
Recommendation
outperform
speculative buy
buy
speculative outperform
buy
speculative buy
sector perform
outperform
speculative buy
buy
Amt Held
24'878'669
23'717'550
8'051'804
7'949'935
6'600'103
5'032'198
2'300'000
1'831'603
1'237'322
1'166'650
950'000
590'000
550'000
550'000
430'148
397'680
330'000
300'000
228'000
220'000
% Out
19.73
18.8
6.38
6.3
5.23
3.99
1.82
1.45
0.98
0.92
0.75
0.47
0.44
0.44
0.34
0.32
0.26
0.24
0.18
0.17
Weighting
Change
5
4
5
4
5
4
3
5
4
5
Latest Chg
83'000
(3'647'450)
(35'868)
345'000
299'858
500'000
995'700
(310'000)
1'166'650
(2'988'804)
(49'951)
16'000
-
Target Price
M
M
M
M
M
M
D
U
M
M
File Dt
Inst Type
28.02.2013 Hedge Fund Manager
28.02.2013
Investment Advisor
30.11.2010
Investment Advisor
29.04.2013
Investment Advisor
22.02.2013
n/a
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
30.09.2012 Hedge Fund Manager
31.12.2012 Hedge Fund Manager
29.03.2013
Investment Advisor
29.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.12.2011
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012
Investment Advisor
23.04.2012
n/a
28.02.2013
Investment Advisor
Date
5
4
5
5
8
8
4
6
9
6
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
12 month
12 month
Date
24.04.2013
23.04.2013
22.04.2013
15.04.2013
09.04.2013
09.04.2013
06.03.2013
15.01.2013
15.01.2013
14.01.2013
30.04.2013
Price/Volume
140
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
120
100
80
Valuation Analysis
60
12/2012
01/yy
128.91
75.50
285'346.00
82
-36.20%
8.61%
15.91%
325.2
266.68
8.75
0.0
2.2
61.35
363.82
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
20
0
a-12 m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
40
31.12.2009
31.12.2010
164.7
243.6
2.05x
3.16x
56.5
120.3
5.97x
6.40x
78.8
122.3
5.92x
7.81x
Profitability
31.12.2011
300.2
2.75x
156.5
5.27x
103.8
9.14x
31.12.2012
351.8
1.31x
161.8
2.84x
122.9
4.15x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
161.81
125.00
35.53%
43.67%
14.63%
16.59%
16.59%
0.42%
41.6%
46.0%
35.5%
34.9%
5.40
1.80
0.96%
1.11%
3.25
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
6.12
0.94
63.68
-31.07%
-15.03%
0.939
13
4.231
960'633
1'012'634
914'145
FY+2
12/13 Y
12/14 Y
383.7
459.6
1.48x
1.31x
160.1
197.5
2.27x
1.84x
87.4
107.8
4.65x
3.87x
S&P Issuer Ratings
FQ+1
FQ+2
123.05
27.97
-0.33
0.05
1.1%
1.1%
0.42
0.77
112.73
128.73
Sales/Revenue/Turnover
25.00
400.0
350.0
20.00
300.0
250.0
15.00
200.0
10.00
150.0
100.0
5.00
0.00
01.01.2010
50.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
MILLHOUSE LLC
BARRICK GOLD CORP
SHVIDLER EVGENY MARK
PROTSVETANIYE HOLDIN
JP MORGAN
KOULAKOV IVAN EUGENE
HAKANSSON PETER ELAM
VAN ECK ASSOCIATES C
LANCRENAN INVESTMENT
EAST CAPITAL ASSET M
BNP PARIBAS INV PART
FLEMING FAMILY & PAR
LEGAL & GENERAL
BESSEMER GROUP INCOR
URALSIB JSC
DWS FINANZ SERVICE G
PARVEST INVESTMENT M
CARNEGIE ASSET MANAG
DEUTSCHE ASSET MANAG
VANGUARD GROUP INC
Firm Name
RBC Capital Markets
Otkritie Capital
Numis Securities Ltd
Westhouse Securities
Deutsche Bank
VSA Capital Ltd
Uralsib
VTB Capital
Alfa-Bank
Sberbank CIB
EVA Dimensions
Aton LLC
Portfolio Name
n/a
n/a
n/a
#N/A N/A
n/a
n/a
n/a
n/a
#N/A N/A
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
JONATHAN GUY
ANDY JONES
CAILEY BARKER
NICK HATCH
ERIK DANEMAR
CHARLIE LONG
VALENTINA BOGOMOLOVA
NIKOLAY SOSNOVSKIY
BARRY EHRLICH
MIKHAIL STISKIN
CRAIG STERLING
ILYA MAKAROV
Source
Co File
Co File
RNS-DIR
RNS-MAJ
ULT-AGG
Co File
RNS-MAJ
ULT-AGG
RNS-MAJ
MF-AGG
ULT-AGG
RNS-MAJ
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
sector perform
buy
buy
buy
buy
buy
hold
sell
equalweight
buy
buy
buy
Amt Held
105'910'000
66'235'264
28'057'794
22'879'845
20'996'780
17'552'500
11'101'386
10'934'903
9'786'032
8'289'000
5'496'428
4'211'883
1'977'736
1'850'620
1'580'000
1'384'600
900'000
830'000
815'400
801'501
% Out
32.57
20.37
8.63
7.04
6.46
5.4
3.41
3.36
3.01
2.55
1.69
1.3
0.61
0.57
0.49
0.43
0.28
0.26
0.25
0.25
Weighting
Change
3
5
5
5
5
5
3
1
3
5
5
5
M
M
M
M
M
M
M
D
M
M
M
M
Latest Chg
2'037'794
3'371'722
(254'398)
(48'624)
200'000
(10'700'000)
1'850'620
1'580'000
(1'083'333)
Target Price
120
122
170
135
135
175
131
82
126
183
#N/A N/A
136
File Dt
18.04.2011
18.04.2011
13.07.2012
24.04.2013
28.02.2013
26.04.2011
30.04.2012
29.04.2013
12.04.2013
31.12.2012
28.02.2013
29.09.2010
31.01.2013
31.01.2013
31.05.2012
20.08.2012
30.11.2012
30.09.2012
22.10.2012
31.03.2013
Date
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
12 month
Inst Type
Holding Company
Corporation
n/a
Holding Company
Investment Advisor
n/a
n/a
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Investment Advisor
Unclassified
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
24.04.2013
24.04.2013
23.04.2013
23.04.2013
17.04.2013
16.04.2013
09.04.2013
04.04.2013
26.02.2013
25.02.2013
17.01.2013
28.06.2012
30.04.2013
Indophil Resources NL
Indophil Resources NL is a mineral exploration company that acquires, explores
and develops gold and copper-gold resources in the Asia-Pacific region.
Price/Volume
0
25.0 M
0
20.0 M
0
0
15.0 M
0
0
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (02.05.2012)
52-Week Low (22.11.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
IRN AU EQUITY YTD Change
IRN AU EQUITY YTD % CHANGE
12/2012
01/yy
0.43
0.22
406'239.00
0.265
-37.65%
23.26%
11.90%
1'203.1
318.83
0.00
0.0
0.0
235.04
83.80
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
5.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
10.0 M
31.12.2009
31.12.2010
0.0
0.0
(17.1)
(7.7)
(10.6)
2.3
196.30x
Profitability
31.12.2011
0.0
(7.9)
1.0
319.23x
104.48
103.72
0.00%
0.00%
-
707'793
1'154'702
1'248'740
LTM-4Q
LTM
FY+1
FY+2
FQ+1
01/yy
01/yy
12/13 Y
12/14 Y
31.12.2012
0.0
(17.7)
5.5
52.17x
-17.66
-17.70
1.16%
1.17%
1.17%
0.00%
0.00
1.03
668.60
1.07
-33.75%
10.42%
1.031
1
5.000
FQ+2
-
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Indophil Resources NL
Holdings By:
All
Holder Name
ALSONS DEVELOPMENT &
XSTRATA PLC
L1 CAPITAL PTY LTD
BANK OF AMERICA CORP
VAN ECK ASSOCIATES C
UBS
SAN MIGUEL CORP
MORGAN STANLEY
ACORN CAPITAL LTD
UNISUPER
WESTOZ FUNDS MANAGEM
SUNSUPER FUND
HEALTH SUPER
MICROCAP INVESTMENT
CBA OFFICERS SUPER F
FMR LLC
DIMENSIONAL FUND ADV
QLD LOCAL GOVT SUPER
AUSCOAL SUPER FUND
MILITARY SUPER & BEN
Firm Name
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
Analyst
CRAIG STERLING
Source
EXCH
EXCH
EXCH
EXCH
ULT-AGG
ULT-AGG
EXCH
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
EXCH
EXCH
EXCH
ULT-AGG
MF-AGG
EXCH
EXCH
EXCH
Recommendation
buy
Amt Held
240'508'334
157'189'422
77'094'557
59'777'753
53'887'244
52'235'438
48'016'960
26'097'859
20'419'416
19'610'481
16'200'000
13'290'433
9'408'868
9'086'904
8'280'549
7'192'750
5'392'977
5'326'550
4'856'892
4'371'077
% Out
19.99
13.06
6.41
4.97
4.48
4.34
3.99
2.17
1.7
1.63
1.35
1.1
0.78
0.76
0.69
0.6
0.45
0.44
0.4
0.36
Weighting
Change
5
Latest Chg
141'041'667
(12'125'963)
(11'905'784)
(245'700)
(27'664'747)
-
Target Price
#N/A N/A
File Dt
06.02.2012
06.02.2012
10.04.2013
28.08.2012
29.04.2013
17.06.2011
17.06.2011
10.10.2011
09.02.2012
09.02.2012
30.06.2011
09.02.2012
09.02.2012
09.02.2012
09.02.2012
31.10.2012
31.07.2012
09.02.2012
09.02.2012
09.02.2012
Date
Not Provided
Inst Type
Corporation
Corporation
Investment Advisor
Investment Advisor
Investment Advisor
Unclassified
Corporation
Investment Advisor
Investment Advisor
Other
Investment Advisor
Other
Other
Other
Other
Investment Advisor
Investment Advisor
Other
Other
Other
Date
02.04.2013
30.04.2013
Price/Volume
3
8.0 M
7.0 M
6.0 M
2
12/2012
12/yy
2.56
1.43
21'900.00
1.55
-37.89%
8.39%
15.93%
126.9
196.63
0.00
0.0
0.0
20.11
105.41
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
31.12.2009
-
4.0 M
3.0 M
2.0 M
1
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
Valuation Analysis
31.12.2010
(1.9)
Profitability
(3.4)
(5.9)
-
LTM-4Q
31.12.2011
0.0
(5.9)
-
31.12.2012
0.0
(6.4)
-5.92
-14.30%
-16.44%
0.00%
5.62
5.51
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(3.6)
0.00x
(5.9)
0.00x
LTM
12/yy
0.0
#DIV/0!
(2.9)
0.00x
(6.4)
0.00x
0.00
1.36
99.24
0.47
-34.04%
-25.84%
1.362
9
4.778
189'485
401'889
379'826
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(6.4)
(5.0)
(9.5)
(7.3)
S&P Issuer Ratings
.0 M
a-13
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
INTERNATIONAL FINANC
EUROPEAN BANK FOR RE
NEWMONT MINING CORP
FRANKLIN RESOURCES
GCIC LTD/CANADA
ROYAL BANK OF CANADA
INVESCO LTD
HAYK ALOYAN
FMR LLC
MACKENZIE FINANCIAL
HENDERSON MARC C
MULLENS PETER
ANDROSS LIMITED
GLOBAL X MANAGEMENT
LOMBARD ODIER DARIER
TARGET GENERATION SO
QUANTEX AG
SPROTT INC
GLOBAL STRATEGY FINA
Firm Name
Stifel
Scotia Capital
TD Securities
Cormark Securities Inc.
Haywood Securities Inc.
BMO Capital Markets
National Bank Financial
GMP
RBC Capital Markets
Portfolio Name
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
CRAIG P STANLEY
LEILY OMOUMI
DANIEL EARLE
MIKE KOZAK
TARA HASSAN
JOHN P HAYES
SHANE NAGLE
ANDREW MIKITCHOOK
JONATHAN GUY
Source
ULT-AGG
SEDI
Research
SEDI
ULT-AGG
MF-AGG
ULT-AGG
ULT-AGG
SEDI
ULT-AGG
MF-AGG
SEDI
SEDI
SEDI
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
MF-AGG
Recommendation
buy
sector outperform
speculative buy
buy
buy
speculative outperform
outperform
buy
outperform
Amt Held
13'148'278
10'309'771
9'038'780
8'650'000
5'775'000
3'790'000
2'351'900
2'000'000
1'791'500
1'625'300
1'567'700
1'502'500
1'430'000
1'340'450
1'248'559
1'179'400
1'007'500
950'000
941'400
903'610
% Out
10.36
8.13
7.12
6.82
4.55
2.99
1.85
1.58
1.41
1.28
1.24
1.18
1.13
1.06
0.98
0.93
0.79
0.75
0.74
0.71
Weighting
Change
5
5
4
5
5
4
5
5
5
M
M
M
M
M
M
M
M
M
Latest Chg
1'419'732
500'000
800'000
1'890'000
2'000
100'000
392'600
(100'000)
(90'500)
200'000
34'284
500'000
(344'000)
Target Price
3
4
4
3
4
#N/A N/A
4
5
3
File Dt
Inst Type
29.04.2013
Investment Advisor
28.03.2013
Government
29.03.2012
Bank
24.09.2010
Corporation
31.01.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Bank
31.12.2012
Investment Advisor
22.02.2013
n/a
31.03.2013
Investment Advisor
31.01.2013
Investment Advisor
12.03.2013
n/a
07.02.2013
n/a
12.10.2012
Other
26.04.2013
Investment Advisor
28.02.2013
Investment Advisor
21.09.2010
Other
29.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
28.09.2012
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
12 month
12 month
12 month
Date
26.04.2013
23.04.2013
23.04.2013
22.04.2013
16.04.2013
14.04.2013
09.04.2013
05.03.2013
07.01.2013
30.04.2013
Price/Volume
4
3.5 M
3.0 M
2.5 M
12/2012
12/yy
3.55
1.11
19'530.00
1.2
-66.20%
8.11%
4.51%
173.6
208.29
0.00
0.0
0.0
116.39
91.90
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.5 M
2
1
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.0 M
Valuation Analysis
31.12.2009
31.12.2010
0.0
0.0
(4.5)
(5.4)
(1.1)
(8.8)
Profitability
LTM-4Q
31.12.2011
0.0
(10.0)
(12.7)
-
31.12.2012
0.0
(11.9)
(14.1)
-11.86
-11.90
-4.29%
-4.80%
0.00%
42.88
41.36
0.00%
0.00%
0.00
0.00
12/yy
0.0
#DIV/0!
(10.0)
0.00x
(12.7)
0.00x
LTM
12/yy
0.0
#DIV/0!
(11.9)
0.00x
(14.1)
0.00x
0.00
1.55
110.19
0.57
-56.36%
-54.72%
1.552
7
4.286
677'359
420'272
443'292
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(5.7)
(6.1)
(5.8)
(6.1)
S&P Issuer Ratings
.0 M
a-13
0.00
0.0%
0.0%
0.00
0.00
350.34
-
Sales/Revenue/Turnover
0.0
0.0
1.00
0.80
0.0
0.0
0.0
0.60
0.0
0.0
0.40
0.20
0.0
0.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
GCIC LTD/CANADA
GOODMAN INVESTMENT C
DUNDEE PRECIOUS META
VAN ECK ASSOCIATES C
DUNDEE CORP
FMR LLC
QUANTEX AG
LOMBARD ODIER DARIER
TOCQUEVILLE ASSET MA
SHARE SICAV
GLOBAL X MANAGEMENT
US GLOBAL INVESTORS
FALCON FUND MANAGEME
GLOBAL STRATEGY FINA
VANGUARD GROUP INC
AMERICAN CENTURY COM
WHITTON JOHN F
SPROTT INC
WILKES LEROY E
PACIFIC INCOME ADVIS
Firm Name
Cormark Securities Inc.
BMO Capital Markets
RBC Capital Markets
National Bank Financial
Salman Partners
Desjardins Securities
Paradigm Capital Inc
Portfolio Name
n/a
#N/A N/A
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
TOCQUEVILLE ASSET MA
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
RICHARD GRAY
ANDREW KAIP
STEPHEN D WALKER
PAOLO LOSTRITTO
DAVID WEST
ADAM MELNYK
DON MACLEAN
Source
SEDI
SEDI
PROXY
ULT-AGG
SEDI
ULT-AGG
MF-AGG
MF-AGG
13F
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
SEDI
MF-AGG
Recommendation
buy
speculative outperform
outperform
sector perform
speculative buy
buy
speculative buy
Amt Held
20'350'304
19'728'304
18'539'713
10'523'240
2'828'700
2'780'000
1'140'000
1'122'000
1'034'100
945'100
936'866
899'400
838'000
725'400
643'657
642'400
628'042
560'700
343'373
300'000
% Out
11.72
11.37
10.68
6.06
1.63
1.6
0.66
0.65
0.6
0.54
0.54
0.52
0.48
0.42
0.37
0.37
0.36
0.32
0.2
0.17
Weighting
Change
5
4
5
3
4
5
4
Latest Chg
1'491'804
(368'000)
(47'472)
2'151'700
50'000
1'034'100
45'000
25'740
75'000
5'000
-
Target Price
M
M
M
M
M
M
M
File Dt
Inst Type
06.03.2013
Investment Advisor
26.04.2013
Investment Advisor
08.05.2012
Corporation
29.04.2013
Investment Advisor
29.06.2012
Holding Company
31.03.2013
Investment Advisor
29.03.2013
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013 Hedge Fund Manager
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
28.09.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
01.11.2011
n/a
31.12.2012 Hedge Fund Manager
02.01.2013
n/a
28.03.2013
Investment Advisor
Date
3
3
3
4
5
7
6
12 month
Not Provided
12 month
12 month
12 month
12 month
12 month
Date
22.04.2013
15.04.2013
14.04.2013
09.04.2013
22.02.2013
21.02.2013
12.11.2012
30.04.2013
Price/Volume
1
30.0 M
25.0 M
20.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (13.06.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
LSG CN EQUITY YTD Change
LSG CN EQUITY YTD % CHANGE
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
10.0 M
5.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
12/2012
12/yy
1.17
0.35
236'972.00
0.395
-66.24%
12.86%
6.10%
416.6
164.55
142.44
0.0
0.0
48.72
258.27
31.12.2009
31.12.2010
0.0
0.0
(9.6)
(19.4)
2.1
(6.5)
413.00x
Profitability
LTM-4Q
31.12.2011
66.2
7.86x
7.3
70.97x
(10.9)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
133.0
3.05x
37.9
10.70x
(317.9)
37.91
-4.90
-3.69%
-187.52%
-34.24%
-40.51%
0.14%
7.8%
28.5%
-3.7%
-239.0%
1.49
0.83
17.31%
22.22%
7.55
12/yy
66.2
55.56x
7.3
70.97x
(10.9)
0.00x
LTM
12/yy
133.0
12.58x
37.9
10.70x
(317.9)
0.00x
FY+1
.0 M
a-13
0.00
1.38
415.20
1.94
-58.85%
-47.33%
1.385
9
3.667
7'788'587
2'852'278
2'362'000
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
199.8
270.0
43.0
1.18x
0.69x
79.4
124.4
3.25x
2.08x
(5.2)
28.7
9.63x
39.50x
S&P Issuer Ratings
11.55
-37.76
2.47
3.76
22.2%
18.2%
0.14
0.16
48.46
20.00
-
Sales/Revenue/Turnover
80.00
140.0
70.00
120.0
60.00
100.0
50.00
80.0
40.00
60.0
30.00
40.0
20.00
20.0
10.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
GEOLOGIC RESOURCE PA
TD ASSET MANAGEMENT
FIRST EAGLE INVESTME
RUFFER LLP
FMR LLC
BLACKROCK
LIBRA ADVISORS LLC
SHARE SICAV
CANADA PENSION PLAN
ROYAL BANK OF CANADA
VANGUARD GROUP INC
TORONTO DOMINION BAN
NORGES BANK
DIMENSIONAL FUND ADV
BMO FINANCIAL CORP
JONES HEWARD INVESTM
HAUCK & AUFHAUSER IN
GBC ASSET MANAGEMENT
JULIUS BAER MULTICOO
Firm Name
TD Securities
Mackie Research Capital Corp.
RBC Capital Markets
Haywood Securities Inc.
BMO Capital Markets
CIBC World Markets
National Bank Financial
M Partners Inc
EVA Dimensions
Portfolio Name
n/a
GEOLOGIC RESOURCE PA
TD ASSET MANAGEMENT
FIRST EAGLE INVESTME
Multiple Portfolios
n/a
n/a
LIBRA ADVISORS LLC
Multiple Portfolios
CANADA PENSION PLAN
n/a
Multiple Portfolios
TORONTO DOMINION BAN
NORGES BANK
Multiple Portfolios
BMO FINANCIAL CORP
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
DANIEL EARLE
BARRY D ALLAN
STEPHEN D WALKER
KERRY SMITH
BRIAN QUAST
COSMOS CHIU
PAOLO LOSTRITTO
INGRID RICO
CRAIG STERLING
Source
ULT-AGG
13F
13F
13F
MF-AGG
ULT-AGG
ULT-AGG
13F
MF-AGG
13F
ULT-AGG
MF-AGG
13F
13F
MF-AGG
13F
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
buy
buy
sector perform
buy
underperform
sector perform
outperform
buy
underweight
Amt Held
31'652'748
23'388'000
14'870'645
12'114'420
10'803'000
5'160'900
4'299'914
3'489'300
3'475'500
3'303'624
3'245'296
3'060'065
2'956'500
2'746'733
1'933'350
1'614'955
1'316'864
1'100'000
963'900
945'080
% Out
7.6
5.61
3.57
2.91
2.59
1.24
1.03
0.84
0.83
0.79
0.78
0.73
0.71
0.66
0.46
0.39
0.32
0.26
0.23
0.23
Weighting
Change
5
5
3
5
1
3
5
5
1
M
M
M
M
M
M
M
M
M
Latest Chg
(142'800)
8'876'000
667'313
(1'574'400)
1'199'300
(896'343)
(489'300)
412'000
3'051'527
29'385
1'300'000
(50'500)
(117'621)
(19'268)
Target Price
1
2
1
2
1
1
2
2
#N/A N/A
File Dt
29.04.2013
31.12.2012
31.12.2012
31.03.2013
27.12.2012
31.03.2013
26.04.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.07.2012
31.03.2013
29.04.2013
28.02.2013
31.12.2011
30.11.2012
Date
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
12 month
12 month
Not Provided
Inst Type
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Pension Fund (ERISA)
Bank
Investment Advisor
Investment Advisor
Government
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
23.04.2013
23.04.2013
19.04.2013
16.04.2013
14.04.2013
11.04.2013
09.04.2013
09.04.2013
15.01.2013
30.04.2013
Price/Volume
1
1
1
1
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
BRD US EQUITY YTD Change
BRD US EQUITY YTD % CHANGE
12/2012
12/yy
1.09
0.53
209'716.00
0.663
-38.64%
26.26%
22.46%
231.5
153.46
93.20
0.0
0.0
29.81
216.85
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
47.0
85.9
4.84x
13.8
32.7
12.72x
(61.7)
(55.5)
Profitability
LTM-4Q
31.12.2011
71.9
3.27x
14.3
16.46x
15.8
-
31.12.2012
117.7
2.36x
48.5
5.72x
18.9
48.49
23.35
19.84%
15.79%
4.77%
9.12%
0.30%
30.9%
41.2%
19.8%
16.1%
1.15
0.76
22.12%
40.06%
30.94
9.59
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
12/yy
71.9
16.56x
14.3
16.46x
15.8
0.00x
LTM
12/yy
117.7
8.29x
48.5
5.72x
18.9
0.00x
FY+1
1.16
225.88
0.99
-21.18%
-29.47%
1.159
8
4.750
879'537
1'032'086
897'610
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
156.5
168.0
42.8
31.2
82.7
100.2
2.63x
2.16x
30.9
44.9
5.9
0.1
5.13x
4.91x
3.55x
3.66x
S&P Issuer Ratings
5.34
-0.55
1.31
1.92
40.1%
28.6%
0.30
0.37
11.83
38.15
98.53
-48.56
Sales/Revenue/Turnover
140.0
120.0
100.0
0.80
80.0
0.60
60.0
0.40
40.0
20.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SPROTT INC
WEISS ASSET MANAGEME
RUFFER LLP
INTACT INVESTMENT MA
HILLSDALE INVESTMENT
ROYAL BANK OF CANADA
DAWE WADE K
CONNOR CLARK & LUNN
GROSS MICHAEL
LIBRA ADVISORS LLC
CANADA PENSION PLAN
BLACKROCK
BMO FINANCIAL CORP
DIMENSIONAL FUND ADV
CITY OF LONDON INVES
KELLIGREW INC
THE BANK OF NOVA SCO
COE CAPITAL MANAGEME
TECHNICAL FINANCIAL
Firm Name
Casimir Capital
Global Hunter Securities
Cormark Securities Inc.
Haywood Securities Inc.
Canaccord Genuity Corp
BMO Capital Markets
Paradigm Capital Inc
EVA Dimensions
Portfolio Name
n/a
SPROTT INC
WEISS ASSET MANAGEME
Multiple Portfolios
INTACT INVESTEMENT M
HILLSDALE INVESTMENT
n/a
n/a
CONNOR CLARK & LUNN
n/a
LIBRA ADVISORS LLC
CANADA PENSION PLAN
n/a
BMO FINANCIAL CORP
Multiple Portfolios
CITY OF LONDON INVES
n/a
THE BANK OF NOVA SCO
COE CAPITAL MANAGEME
TFS CAPITAL LLC
Analyst
ERIC WINMILL
JEFF WRIGHT
RICHARD GRAY
KERRY SMITH
STEVEN BUTLER
BRIAN QUAST
DON BLYTH
TEAM COVERAGE
Source
ULT-AGG
13F
13F
MF-AGG
13F
13F
ULT-AGG
SEDI
13F
PROXY
13F
13F
ULT-AGG
13F
MF-AGG
13F
SEDI
13F
13F
13F
Recommendation
strong buy
buy
buy
buy
buy
market perform
buy
overweight
Amt Held
15'749'424
10'394'351
8'214'500
7'027'000
4'428'400
3'814'200
3'542'114
2'438'422
2'331'800
1'578'085
1'430'200
1'189'700
1'128'900
1'000'000
914'868
912'000
655'289
500'000
499'380
422'021
% Out
6.8
4.49
3.55
3.04
1.91
1.65
1.53
1.05
1.01
0.68
0.62
0.51
0.49
0.43
0.4
0.39
0.28
0.22
0.22
0.18
Weighting
Change
5
5
5
5
5
3
5
5
M
M
M
M
M
M
M
U
Latest Chg
529'589
(4'720'868)
8'214'500
1'084'200
2'073'500
3'503'207
16'025
573'900
(595'900)
(391'900)
(71'100)
(10'948)
30'000
(215'250)
80'394
Target Price
2
1
1
2
2
1
2
#N/A N/A
File Dt
29.04.2013
31.03.2013
31.12.2012
27.12.2012
31.03.2013
31.12.2012
31.12.2012
03.04.2013
31.12.2012
13.04.2012
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.07.2012
31.12.2012
29.09.2011
31.12.2012
31.03.2013
31.12.2012
Date
12 month
12 month
12 month
Not Provided
12 month
Not Provided
12 month
Not Provided
Inst Type
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Bank
n/a
Investment Advisor
n/a
Hedge Fund Manager
Pension Fund (ERISA)
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Corporation
Investment Advisor
Investment Advisor
Investment Advisor
Date
30.04.2013
29.04.2013
22.04.2013
16.04.2013
15.04.2013
14.04.2013
03.04.2013
29.06.2012
30.04.2013
Price/Volume
12/2012
12/yy
2.48
0.94
115'752.00
1.02
-58.87%
8.51%
5.84%
137.9
140.62
0.00
0.0
0.0
25.90
115.94
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
31.7
42.2
2.85x
7.67x
4.9
14.2
18.35x
22.73x
(0.9)
10.7
Profitability
LTM-4Q
31.12.2011
57.8
4.05x
22.0
10.65x
11.5
-
31.12.2012
61.1
3.05x
15.6
11.93x
5.5
15.63
6.74
11.02%
15.88%
5.02%
5.72%
5.74%
0.56%
32.0%
25.6%
11.0%
9.0%
6.23
5.17
0.00%
0.00%
3.80
7.21
12/yy
57.8
25.22x
22.0
10.65x
11.5
0.00x
LTM
12/yy
61.1
15.51x
15.6
11.93x
5.5
0.00x
FY+1
.0 M
a-13
1.17
134.83
0.55
-53.21%
-33.33%
1.172
4
3.500
562'674
515'050
588'568
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
60.0
66.0
17.15x
12.86x
S&P Issuer Ratings
459.68
-325.97
-1.66
0.00
0.0%
0.0%
0.56
1.17
96.31
50.73
60.30
86.73
Sales/Revenue/Turnover
70.0
60.0
50.0
0.80
40.0
0.60
30.0
0.40
20.0
10.0
0.20
0.0
0.00
2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
LB SWISS INVESTMENT
ARCHER ROBERT A
SANCHEZ FRANCISCO RA
TECHNICAL FINANCIAL
BROWN CHARLES P
PUPLAVA FINANCIAL SE
CANADA PENSION PLAN
KOPCHEFF JOHN THOMAS
OPPENHEIM KAPITALANL
WAY FUND MANAGERS
BLACKROCK
JANE STREET HOLDING
NATIXIS ASSET MANAGE
NATIXIS ASSET MANAGE
SCHOELLERBANK INVEST
IFOS INTERNATIONALE
SPARK INVESTMENT MAN
CITADEL ADVISORS LLC
BPI FUNDOS GFIM SA/P
Firm Name
Stonecap Securities Inc
Euro Pacific Capital Inc
EVA Dimensions
Salman Partners
Portfolio Name
n/a
Multiple Portfolios
n/a
n/a
TFS CAPITAL LLC
n/a
PUPLAVA FINANCIAL SE
CANADA PENSION PLAN
n/a
Multiple Portfolios
Multiple Portfolios
n/a
JANE STREET HOLDING
NATIXIS ASSET MANAGE
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
SPARK INVESTMENT MAN
CITADEL ADVISORS LLC
Multiple Portfolios
Analyst
CHRISTOS DOULIS
HEIKO IHLE
CRAIG STERLING
ASH GUGLANI
Source
ULT-AGG
MF-AGG
SEDI
20F
13F
SEDI
13F
13F
SEDI
MF-AGG
MF-AGG
ULT-AGG
13F
13F
MF-AGG
MF-AGG
MF-AGG
13F
13F
MF-AGG
Recommendation
sector perform
buy
underweight
buy
Amt Held
9'532'859
1'387'500
1'191'300
1'075'000
896'193
448'000
429'301
293'101
280'000
200'000
200'000
193'930
191'922
188'000
153'000
130'000
100'000
93'500
88'245
86'500
% Out
6.91
1.01
0.86
0.78
0.65
0.32
0.31
0.21
0.2
0.15
0.15
0.14
0.14
0.14
0.11
0.09
0.07
0.07
0.06
0.06
Weighting
Change
3
5
1
5
M
M
D
M
Latest Chg
(1'219'935)
587'500
(61'200)
(120'468)
36'000
429'301
235'100
200'000
(73'288)
188'000
4'000
(38'700)
14'272
-
Target Price
1
1
#N/A N/A
2
File Dt
Inst Type
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
14.09.2011
n/a
29.02.2012
n/a
31.12.2012
Investment Advisor
18.11.2011
n/a
31.12.2012 Hedge Fund Manager
31.12.2012 Pension Fund (ERISA)
25.08.2011
n/a
31.01.2013
Investment Advisor
28.03.2013
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.03.2013
Investment Advisor
28.03.2013
Investment Advisor
27.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
12 month
Date
16.04.2013
15.04.2013
11.04.2013
15.03.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (23.07.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 12.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
IAU AU EQUITY YTD Change
IAU AU EQUITY YTD % CHANGE
12/2012
03/yy
0.89
0.19
2'759'656.00
0.265
-70.22%
39.47%
5.71%
555.8
147.29
0.00
0.0
0.0
9.65
144.92
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
90.0 M
80.0 M
70.0 M
60.0 M
50.0 M
40.0 M
30.0 M
20.0 M
10.0 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1
1
1
1
1
1
0
0
0
0
0
a-12
31.12.2009
31.12.2010
0.0
0.0
1.9
(24.2)
39.18x
(9.9)
(5.0)
Profitability
LTM-4Q
31.12.2011
0.0
(39.2)
(30.0)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
0.0
(47.7)
(71.8)
-47.73
-47.76
-50.47%
-51.74%
0.00%
57.06
5.01
0.00%
0.00%
-
03/yy
0.0
#DIV/0!
(30.7)
0.00x
(29.4)
0.00x
LTM
03/yy
0.0
#DIV/0!
(17.3)
0.00x
(63.9)
0.00x
0.00
1.64
486.83
16.56
-69.19%
26.19%
1.637
5
2.400
1'417'762
2'207'529
2'483'458
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
06/13 Q2
09/13 Q3
(9.3)
(7.6)
(6.2)
(8.9)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
20.00
60.0
18.00
50.0
16.00
14.00
40.0
12.00
30.0
10.00
8.00
20.0
6.00
4.00
10.0
2.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
TAURUS SM HOLDINGS P
VAN ECK ASSOCIATES C
QUANTUM PACIFIC INVE
COMMONWEALTH BANK OF
FIRST EAGLE INVESTME
BANK OF AMERICA CORP
FMR LLC
UNISUPER
ACORN CAPITAL LTD
MACQUARIE GROUP
SUNSUPER FUND
MICROCAP INVESTMENT
HEALTH SUPER
CBA OFFICERS SUPER F
VANGUARD INVESTMENTS
VANGUARD GROUP INC
QLD LOCAL GOVT SUPER
AUSCOAL SUPER FUND
GORDON BRADLEY AUSTI
COMMONWEALTH SUPER C
Firm Name
National Bank Financial
Wilson HTM Investment Group
Hartleys
RBC Capital Markets
Canaccord Genuity Corp
RBS Morgans
Cormark Securities Inc.
Canaccord Genuity Corp
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
n/a
Analyst
STEPHEN PARSONS
CAMERON JUDD
PETER GRAY
GEOFF BREEN
GARY LAMPARD
CHRIS BROWN
MIKE KOZAK
JEAN-FRANCOIS BERTINCOURT
TEAM COVERAGE
Source
Co File
ULT-AGG
EXCH
EXCH
MF-AGG
EXCH
ULT-AGG
EXCH
EXCH
ULT-AGG
EXCH
EXCH
EXCH
EXCH
MF-AGG
MF-AGG
EXCH
EXCH
EXCH
EXCH
Recommendation
Under Review
sell
speculative buy
underperform
suspended coverage
outperform
Under Review
buy
sell
Amt Held
48'192'131
41'772'440
29'982'667
25'513'559
19'156'073
17'837'142
9'529'798
8'304'156
7'545'656
6'348'158
5'436'384
3'995'655
3'920'180
3'537'176
2'706'075
2'551'202
2'225'422
2'091'335
1'970'295
1'830'425
% Out
8.67
7.52
5.39
4.59
3.45
3.21
1.71
1.49
1.36
1.14
0.98
0.72
0.71
0.64
0.49
0.46
0.4
0.38
0.35
0.33
Weighting
Change
#N/A N/A
1
4
1
#N/A N/A
5
#N/A N/A
5
1
M
D
M
D
M
N
M
N
M
Latest Chg
7'384'262
(1'063'213)
(2'399'347)
(12'563'151)
1'263'247
700'425
(179'360)
878'800
478'000
602'600
530'300
(16'476)
340'300
327'800
235'000
-
Target Price
#N/A N/A
0
0
0
#N/A N/A
1
#N/A N/A
2
#N/A N/A
File Dt
Inst Type
16.03.2012
Holding Company
29.04.2013
Investment Advisor
23.04.2013
Unclassified
21.09.2011
Bank
30.09.2012 Hedge Fund Manager
26.09.2011
Investment Advisor
31.03.2013
Investment Advisor
06.06.2012
Other
06.06.2012
Investment Advisor
31.08.2011
Investment Advisor
06.06.2012
Other
06.06.2012
Other
06.06.2012
Other
06.06.2012
Other
30.09.2012
Investment Advisor
31.03.2013
Investment Advisor
06.06.2012
Other
06.06.2012
Other
01.03.2013
n/a
06.06.2012
n/a
Date
Not Provided
Not Provided
12 month
12 month
Not Provided
12 month
Not Provided
12 month
Not Provided
Date
27.03.2013
21.03.2013
19.03.2013
27.02.2013
19.02.2013
27.11.2012
23.07.2012
17.04.2012
31.01.2012
30.04.2013
Price/Volume
5
6.0 M
5.0 M
4
3
4.0 M
12/2007
12/yy
4.09
1.47
30'793.00
1.62
-61.00%
10.20%
6.11%
81.6
132.13
0.00
0.0
0.0
88.40
43.74
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
2.0 M
1.0 M
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
3.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (21.09.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
VGZ US EQUITY YTD Change
VGZ US EQUITY YTD % CHANGE
31.12.2009
31.12.2010
0.0
0.0
(6.1)
(17.7)
(1.9)
(20.0)
Profitability
LTM-4Q
31.12.2011
0.0
(28.1)
51.5
-
31.12.2012
0.0
(35.6)
(70.7)
-35.63
-36.22
-44.30%
-57.29%
0.00%
2.94
2.84
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
(28.1)
0.00x
51.5
0.00x
LTM
12/yy
0.0
#DIV/0!
(34.5)
0.00x
(69.5)
0.00x
FY+1
.0 M
a-13
0.00
1.17
68.11
1.50
-46.36%
-40.00%
1.172
4
5.000
421'010
443'484
494'367
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
0.0
(20.4)
(19.1)
(5.8)
(5.8)
(20.1)
(13.7)
(6.3)
(6.3)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.6
1.4
1.2
0.80
0.60
1.0
0.8
0.6
0.40
0.20
0.4
0.2
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SUN VALLEY GOLD LLC
SUN VALLEY GOLD LLC
VAN ECK ASSOCIATES C
SPROTT INC
BLACKROCK
LOEWS CORPORATION
ANDREEFF EQUITY ADVI
STATE STREET
ROYCE AND ASSOCIATES
PERRITT CAPITAL MANA
CANADA PENSION PLAN
NORTHERN TRUST CORPO
PARKER FREDERICK H E
TIAA CREF INVESTMENT
SUSQUEHANNA INTERNAT
CITIGROUP INCORPORAT
BANK OF NEW YORK MEL
AQR CAPITAL MANAGEME
RICHINGS MICHAEL B
IFM - INDEPENDENT FU
Firm Name
Global Hunter Securities
National Bank Financial
Cowen Securities LLC
Roth Capital Partners
Stonegate Securities Inc
Portfolio Name
SUN VALLEY GOLD LLC
n/a
n/a
SPROTT INC
n/a
LOEWS CORPORATION
ANDREEFF EQUITY ADVI
n/a
ROYCE & ASSOCIATES L
PERRITT CAPITAL MANA
CANADA PENSION PLAN
NORTHERN TRUST CORPO
n/a
TIAA-CREF INVESTMENT
SUSQUEHANNA INTERNAT
CITIGROUP INCORPORAT
BANK OF NEW YORK MEL
AQR CAPITAL MANAGEME
n/a
Multiple Portfolios
Analyst
JEFF WRIGHT
PAOLO LOSTRITTO
ADAM P GRAF
BRIAN W POST
MARCO RODRIGUEZ
Source
13F
Research
ULT-AGG
13F
ULT-AGG
13F
13F
ULT-AGG
13F
13F
13F
13F
Form 4
13F
13F
13F
13F
13F
Form 4
MF-AGG
Recommendation
buy
outperform
buy
buy
no rating system
Amt Held
12'084'310
12'084'310
11'374'527
6'145'260
2'577'504
1'758'748
1'586'026
888'193
871'929
822'000
732'415
709'055
556'325
283'993
271'783
248'473
201'025
193'800
188'121
180'750
% Out
14.82
14.82
13.95
7.53
3.16
2.16
1.94
1.09
1.07
1.01
0.9
0.87
0.68
0.35
0.33
0.3
0.25
0.24
0.23
0.22
Weighting
Change
5
5
5
5
#N/A N/A
M
M
M
M
M
Latest Chg
1'272'000
(430'462)
268'822
(20'971)
(20'701)
343'929
21'681
(24'847)
160'360
88'467
11'051
137'400
(33'250)
Target Price
5
4
13
7
#N/A N/A
File Dt
31.12.2012
31.12.2012
29.04.2013
31.03.2013
26.04.2013
31.12.2012
31.12.2012
26.04.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
05.09.2012
31.12.2012
31.12.2012
31.03.2013
31.03.2013
31.12.2012
08.01.2013
28.02.2013
Date
12 month
12 month
Not Provided
12 month
Not Provided
Inst Type
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Corporation
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
n/a
Investment Advisor
Date
29.04.2013
09.04.2013
09.04.2013
28.03.2013
19.03.2013
30.04.2013
Price/Volume
7
1.6 M
1.4 M
1.2 M
1.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (23.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 23.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AXU US EQUITY YTD Change
AXU US EQUITY YTD % CHANGE
12/2012
12/yy
6.61
1.92
71'166.00
2.05
-68.68%
6.77%
3.84%
62.6
128.28
0.00
0.0
0.0
23.09
106.30
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
.6 M
.4 M
.2 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
.8 M
31.12.2009
31.12.2010
5.8
4.6
14.71x
32.68x
(6.1)
(6.0)
(9.6)
(5.2)
Profitability
LTM-4Q
31.12.2011
45.1
8.09x
9.8
37.41x
3.5
-
31.12.2012
84.7
2.27x
25.4
7.55x
3.4
25.44
1.26
1.49%
9.42%
1.62%
2.42%
2.44%
0.40%
21.2%
30.0%
1.5%
4.0%
2.57
2.01
0.00%
0.00%
10.53
7.28
06/yy
45.1
33.40x
9.8
37.41x
3.5
0.00x
LTM
12/yy
84.7
12.36x
25.4
7.55x
3.4
0.00x
FY+1
.0 M
a-13
1.06
51.82
0.87
-67.92%
-42.58%
1.062
5
3.800
635'785
481'828
393'053
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
77.0
112.1
16.8
20.5
(11.1)
12.2
8.71x
2.0
21.6
(0.4)
0.3
25.85x
S&P Issuer Ratings
553.04
-174.91
-0.91
0.00
0.0%
0.0%
0.40
0.57
52.22
75.58
110.73
17.06
Sales/Revenue/Turnover
90.0
80.0
1.00
0.80
70.0
60.0
50.0
0.60
40.0
30.0
0.40
0.20
20.0
10.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SPROTT INC
SPROTT INC
VAN ECK ASSOCIATES C
COLUMBIA WANGER ASSE
ASSET LIABILITY MANA
NAUMAN CLYNTON R
RAFFLES ASSOCIATES L
PATHSTONE FAMILY OFF
GLOBAL X MANAGEMENT
BLACKROCK
THRALL BRADLEY A
LB SWISS INVESTMENT
SEMAPHORE MANAGEMENT
FORUM INVESTMENT ADV
TECHNICAL FINANCIAL
VANGUARD GROUP INC
UNIVERSAL INS HOLDIN
NOMURA
GROUP ONE TRADING LP
RENAISSANCE TECHNOLO
Firm Name
Global Hunter Securities
Stonecap Securities Inc
Cormark Securities Inc.
Canaccord Genuity Corp
EVA Dimensions
Portfolio Name
n/a
SPROTT INC
n/a
COLUMBIA WANGER ASSE
n/a
n/a
RAFFLES ASSOCIATES L
PATHSTONE FAMILY OFF
GLOBAL X MANAGEMENT
n/a
n/a
Multiple Portfolios
SEMAPHORE MANAGEMENT
Multiple Portfolios
TFS CAPITAL LLC
Multiple Portfolios
n/a
n/a
GROUP ONE TRADING LP
RENAISSANCE TECHNOLO
Analyst
JEFF WRIGHT
CHRISTOS DOULIS
GRAEME JENNINGS
NICHOLAS CAMPBELL
CRAIG STERLING
Source
Co File
13F
ULT-AGG
13F
PROXY
SEDI
13F
13F
13F
ULT-AGG
SEDI
MF-AGG
13F
MF-AGG
13F
MF-AGG
ULT-AGG
ULT-AGG
13F
13F
Recommendation
neutral
outperform
market perform
hold
buy
Amt Held
6'445'350
6'235'350
3'481'444
2'683'000
1'940'299
1'725'001
1'203'671
814'919
648'832
586'930
523'200
500'000
409'942
381'904
309'416
251'242
137'613
115'766
113'050
112'000
% Out
10.3
9.96
5.56
4.29
3.1
2.76
1.92
1.3
1.04
0.94
0.84
0.8
0.66
0.61
0.49
0.4
0.22
0.19
0.18
0.18
Weighting
Change
3
5
3
3
5
M
M
M
M
U
Latest Chg
(624'500)
(361'629)
(6'000)
225'000
61'066
(425'145)
3'200
(30'000)
14'810
35'740
57'107
(24'419)
10'830
66'400
Target Price
4
3
4
4
#N/A N/A
File Dt
28.02.2013
31.03.2013
29.04.2013
31.12.2012
09.05.2012
30.05.2012
31.12.2012
31.12.2012
31.12.2012
26.04.2013
20.02.2013
28.02.2013
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.12.2012
Date
12 month
12 month
12 month
12 month
Not Provided
Inst Type
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
Other
n/a
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Insurance Company
Unclassified
Investment Advisor
Hedge Fund Manager
Date
29.04.2013
26.04.2013
22.04.2013
16.04.2013
15.04.2013
30.04.2013
Price/Volume
4
3.0 M
2.5 M
3
2.0 M
3
2
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (05.06.2012)
52-Week Low (04.03.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 01.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
ATC CN EQUITY YTD Change
ATC CN EQUITY YTD % CHANGE
12/2012
12/yy
3.50
0.91
40'150.00
1.15
-66.29%
26.37%
11.97%
113.2
130.13
0.00
0.0
0.0
15.04
115.09
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
1.0 M
1
.5 M
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1.5 M
31.12.2009
31.12.2010
0.0
0.0
(1.1)
(3.1)
(1.1)
(2.2)
Profitability
LTM-4Q
31.12.2011
0.0
(24.8)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
0.0
(7.5)
-6.54
-8.85%
-10.04%
0.00%
18.93
18.66
0.00%
0.00%
-
12/yy
0.0
#DIV/0!
0.0
0.00x
(24.8)
0.00x
LTM
12/yy
0.0
#DIV/0!
0.0
0.00x
(7.5)
0.00x
0.00
1.67
90.30
0.21
-58.93%
-33.91%
1.673
2
5.000
121'947
287'490
344'856
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(5.4)
(5.4)
(3.5)
(3.5)
S&P Issuer Ratings
.0 M
a-13
(1.0)
(0.9)
-
(1.0)
(1.0)
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
300.00
1.0
0.9
250.00
0.8
0.7
200.00
0.6
150.00
0.5
0.4
100.00
0.3
0.2
50.00
0.00
01.01.2010
0.1
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
TOCQUEVILLE ASSET MA
AGNICO-EAGLE MINES L
STRATEGIC METALS LTD
VAN ECK ASSOCIATES C
CARNE ROBERT C
GLOBAL X MANAGEMENT
AMERICAN CENTURY COM
TD ASSET MANAGEMENT
SPROTT INC
GOSS DOUGLAS O
YEADON GLENN ROBERT
KENWAY BRUCE J
FALCON FUND MANAGEME
LB SWISS INVESTMENT
GESIURIS SA SGIIC
DOWNS GRAHAM NOLAN
NEXGEN FINANCIAL LP
NATIXIS ASSET MANAGE
TALBOT IAN J
FALCON FUND MANAGEME
Firm Name
Macquarie
Raymond James
GMP
Paradigm Capital Inc
Portfolio Name
TOCQUEVILLE ASSET MA
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Analyst
MICHAEL GRAY
GARY J BASCHUK
ANDREW MIKITCHOOK
DON MACLEAN
Source
13F
Co File
SEDI
ULT-AGG
SEDI
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
SEDI
PROXY
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
SEDI
MF-AGG
Recommendation
outperform
Under Review
buy
hold
Amt Held
14'971'600
9'600'000
9'556'286
6'529'100
1'987'126
1'531'428
1'124'700
558'195
523'000
482'588
424'667
400'000
370'900
300'000
300'000
255'000
225'000
193'000
111'400
97'200
% Out
13.23
8.48
8.45
5.77
1.76
1.35
0.99
0.49
0.46
0.43
0.38
0.35
0.33
0.27
0.27
0.23
0.2
0.17
0.1
0.09
Weighting
Change
5
#N/A N/A
5
3
M
M
M
M
Latest Chg
30'100
(250'000)
(29'460)
20'000
42'032
(1'400)
(463'800)
28'300
70'000
135'000
75'000
(5'000)
13'300
Target Price
2
#N/A N/A
5
4
File Dt
Inst Type
31.03.2013 Hedge Fund Manager
20.03.2013
Corporation
05.04.2011
Corporation
29.04.2013
Investment Advisor
22.02.2013
n/a
26.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
25.02.2013
n/a
08.03.2012
n/a
13.04.2012
n/a
28.02.2013
Investment Advisor
28.02.2013
Investment Advisor
31.03.2013
Investment Advisor
17.02.2012
n/a
30.06.2012
Investment Advisor
28.03.2013
Investment Advisor
07.06.2012
n/a
28.02.2013
Investment Advisor
Date
12 month
Not Provided
12 month
12 month
Date
25.04.2013
18.04.2013
19.03.2013
06.03.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (04.10.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SPM CN EQUITY YTD Change
SPM CN EQUITY YTD % CHANGE
12/2012
12/yy
1.28
0.46
86'300.00
0.48
-62.50%
5.49%
3.03%
198.4
95.23
0.00
0.0
0.0
31.05
64.19
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
19.4
34.2
4.59x
5.75x
6.6
11.9
13.58x
16.54x
13.5
30.7
6.00x
9.00x
Profitability
LTM-4Q
31.12.2011
61.1
5.89x
29.4
12.25x
12.6
32.50x
31.12.2012
45.8
3.78x
14.2
12.23x
7.1
25.75x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
14.18
10.32
22.52%
24.11%
4.85%
4.98%
5.00%
0.31%
41.6%
30.9%
22.5%
15.5%
21.39
18.19
0.00%
0.00%
7.06
4.45
12/yy
61.1
18.97x
29.4
12.25x
12.6
32.50x
LTM
12/yy
45.8
14.77x
14.2
12.23x
7.1
25.75x
FY+1
.0 M
a-13
0.00
1.42
196.42
0.00
-54.29%
-53.40%
1.425
4
5.000
1'411'019
614'209
481'204
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
81.2
113.0
16.7
28.6
3.84x
2.24x
9.06x
3.69x
S&P Issuer Ratings
-2.19
0.00
0.0%
0.0%
0.31
0.54
51.87
82.23
27.78
106.31
Sales/Revenue/Turnover
80.00
70.0
70.00
60.0
60.00
50.0
50.00
40.0
40.00
30.0
30.00
20.0
20.00
10.0
10.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
TOCQUEVILLE ASSET MA
VAN ECK ASSOCIATES C
JP MORGAN
ROYCE AND ASSOCIATES
GLOBAL X MANAGEMENT
SPROTT INC
HAWLEY PETER J
GLOBAL STRATEGY FINA
FALCON FUND MANAGEME
OPPENHEIM KAPITALANL
FALCON FUND MANAGEME
MATRIX FUND MANAGEME
DIMENSIONAL FUND ADV
FACTOR ADVISORS LLC
SADEK JOHN
BESSEMER GROUP INCOR
BLACKROCK
DIMENSIONAL FUND ADV
IFOS INTERNATIONALE
SCHOELLERBANK INVEST
Firm Name
Clarus Securities
Casimir Capital
Mackie Research Capital Corp.
MLV & Co
EVA Dimensions
Portfolio Name
TOCQUEVILLE ASSET MA
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
MIKE BANDROWSKI
ERIC WINMILL
BARRY D ALLAN
RICHARD TROTMAN
TEAM COVERAGE
Source
13F
ULT-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Co File
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Co File
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
buy
buy
buy
suspended coverage
buy
Amt Held
34'089'105
15'901'925
9'523'000
3'800'000
3'357'841
1'941'000
1'843'436
1'639'600
1'400'000
1'322'400
424'600
295'000
156'048
131'178
79'150
75'011
64'206
59'540
45'000
40'000
% Out
17.18
8.02
4.8
1.92
1.69
0.98
0.93
0.83
0.71
0.67
0.21
0.15
0.08
0.07
0.04
0.04
0.03
0.03
0.02
0.02
Weighting
Change
5
5
5
#N/A N/A
5
M
M
M
M
U
Latest Chg
(203'900)
(71'628)
150'500
(2'341'300)
295'000
20'000
Target Price
2
1
2
#N/A N/A
#N/A N/A
File Dt
Inst Type
31.03.2013 Hedge Fund Manager
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
26.04.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
n/a
28.09.2012
Investment Advisor
28.02.2013
Investment Advisor
31.01.2013
Investment Advisor
28.02.2013
Investment Advisor
30.11.2012
Investment Advisor
31.07.2012
Investment Advisor
29.11.2012
Unclassified
31.12.2012
n/a
31.01.2013
Investment Advisor
26.04.2013
Investment Advisor
31.01.2013
Investment Advisor
27.03.2013
Investment Advisor
28.03.2013
Investment Advisor
Date
12 month
12 month
12 month
Not Provided
Not Provided
Date
29.04.2013
29.04.2013
19.03.2013
16.07.2012
12.06.2012
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (18.10.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 01.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
MDW US EQUITY YTD Change
MDW US EQUITY YTD % CHANGE
12/2010
12/yy
1.80
0.87
30'702.00
0.9706
-46.66%
11.31%
11.64%
128.5
124.67
0.00
44.3
0.0
75.05
94.97
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2
2
2
1
1
1
1
1
0
0
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(3.8)
(6.3)
(2.6)
(5.8)
Profitability
LTM-4Q
31.12.2011
0.0
(18.2)
(15.5)
-
31.12.2012
0.0
(14.3)
(15.3)
-14.33
-14.73
-15.54%
-26.88%
0.00%
43.98
43.90
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(18.2)
0.00x
(15.5)
0.00x
LTM
12/yy
0.0
#DIV/0!
(14.3)
0.00x
(15.3)
0.00x
0.00
1.03
95.26
3.77
-32.60%
-30.17%
1.035
7
4.429
291'310
310'703
340'170
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(10.5)
(7.5)
(14.0)
(14.6)
S&P Issuer Ratings
.0 M
a-13
(5.0)
-
(5.0)
-5311.80
-8155.64
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
SHEERIN MATT
HALE JR MARTIN M
HAWES GEORGE T
FRANKLIN RESOURCES
BLACKROCK
DISBROW ROBERT
VANGUARD GROUP INC
YU FRANK S
STATE STREET
WOLFUS DANIEL EDWARD
NORTHERN TRUST CORPO
DAVENPORT & COMPANY
GILDER GAGNON HOWE
DEANS KNIGHT CAPITAL
KUDU PARTNERS LP
US GLOBAL INVESTORS
LOMBARD ODIER DARIER
SUN VALLEY GOLD LLC
TIAA CREF INVESTMENT
Firm Name
Stifel
Canaccord Genuity Corp
Jacob Securities Inc
Cormark Securities Inc.
Cowen Securities LLC
RBC Capital Markets
Stonecap Securities Inc
MLV & Co
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
VANGUARD GROUP INC
n/a
n/a
n/a
NORTHERN TRUST CORPO
DAVENPORT & COMPANY
n/a
n/a
n/a
US GLOBAL INVESTORS
Multiple Portfolios
SUN VALLEY GOLD LLC
TIAA-CREF INVESTMENT
Analyst
MICHAEL A SCOON
JOE MAZUMDAR
MATTHEW SHEPPARD
KYLE MCPHEE
ADAM P GRAF
SAM CRITTENDEN
BRIAN SZETO
RICHARD TROTMAN
Source
ULT-AGG
PROXY
13D
SEDI
ULT-AGG
ULT-AGG
13G
13F
PROXY
ULT-AGG
SEDI
13F
13F
13G
13G
SEDI
13F
MF-AGG
13F
13F
Recommendation
buy
speculative buy
buy
speculative buy
hold
outperform
outperform
suspended coverage
Amt Held
9'931'302
8'200'906
8'080'435
7'361'064
6'557'700
5'299'564
5'072'200
2'914'011
1'709'646
1'645'010
1'570'117
1'481'758
1'470'179
1'219'343
1'144'360
815'536
571'863
558'000
445'429
435'535
% Out
7.73
6.38
6.29
5.73
5.11
4.13
3.95
2.27
1.33
1.28
1.22
1.15
1.14
0.95
0.89
0.63
0.45
0.43
0.35
0.34
Weighting
Change
5
4
5
4
3
5
5
#N/A N/A
M
M
M
M
M
M
M
M
Latest Chg
2'604'621
(27'300)
60'000
467'767
(75'800)
(1'449'218)
(26'204)
(8'876)
14'700
(161'701)
306'063
(17'965)
Target Price
2
2
2
2
#N/A N/A
2
2
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
07.03.2012
n/a
13.12.2012
n/a
31.10.2011
n/a
31.03.2013
Investment Advisor
26.04.2013
Investment Advisor
31.12.2011
n/a
31.03.2013
Investment Advisor
07.03.2012
n/a
26.04.2013
Investment Advisor
12.09.2011
n/a
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
30.04.2009
Investment Advisor
31.12.2012
Investment Advisor
08.11.2007
Other
31.12.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.12.2012
Investment Advisor
Date
Not Provided
12 month
12 month
12 month
Not Provided
12 month
12 month
Not Provided
Date
26.04.2013
23.04.2013
23.04.2013
22.04.2013
09.04.2013
05.02.2013
08.01.2013
16.07.2012
30.04.2013
Price/Volume
40
9.0 M
35
8.0 M
30
7.0 M
6.0 M
25
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (30.04.2012)
52-Week Low (26.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 11.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
PGD LN EQUITY YTD Change
PGD LN EQUITY YTD % CHANGE
12/2012
01/yy
37.25
9.75
1'459'241.00
12.25
-67.79%
25.64%
4.55%
854.6
104.69
0.38
0.0
4.0
7.49
104.38
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
4.0 M
15
3.0 M
10
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
5.0 M
20
31.12.2009
31.12.2010
0.0
0.0
(7.3)
(11.3)
(7.3)
(11.3)
Profitability
31.12.2011
0.0
(32.6)
(33.2)
-
1.83
0.98
0.94%
1.36%
0.00
1'950'398
1'643'504
1'409'530
LTM
FY+1
FY+2
FQ+1
01/yy
01/yy
12/13 Y
12/14 Y
(20.8)
-32.55
-33.37
-89.33%
-107.68%
0.00%
0.00
0.86
561.11
-66.67%
-45.56%
0.864
2
4.500
LTM-4Q
31.12.2012
.0 M
a-13
FQ+2
-
-1085.03
-1335.13
0.00
1.4%
1.2%
0.00
0.00
441.36
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
DIRECTOR & RELATED H
BLACKROCK
MIGUENS CARLOS JOSE
UBS
CINCO VIENTOS URUGUA
VAN ECK ASSOCIATES C
VAN ECK GLOBAL
MIGUENS DIEGO
TAHEH INTERNATIONAL
BARRICK GOLD CORP
MIGUENS CRISTINA
HUMPHRIES WILLIAM HE
HARGREAVE
PRIVATE INDIVIDUALS
COUTTS PRIVATE BANKI
F&C FUND MANAGEMENT
F&C ASSET MANAGEMENT
CRAVEN JOHN ANTHONY
WALKER CRIPS STOCKBR
INVESTEC WEALTH & IN
Firm Name
Fraser Mackenzie Limited
Mirabaud Securities
Portfolio Name
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
ALEKSANDRA BUKACHEVA
NICHOLAS CHALMERS
Source
REG
ULT-AGG
Co File
ULT-AGG
REG
ULT-AGG
REG
Co File
REG
REG
Co File
RNS-DIR
ULT-AGG
REG
REG
MF-AGG
REG
Co File
REG
REG
Recommendation
buy
speculative buy
Amt Held
149'037'867
140'531'949
103'653'116
96'575'359
50'361'585
42'107'312
36'986'715
29'562'152
28'353'264
28'323'264
24'485'645
23'296'857
14'767'188
13'399'969
12'894'789
9'941'137
9'722'734
9'455'190
9'385'378
7'247'490
% Out
17.44
16.44
12.13
11.3
5.89
4.93
4.33
3.46
3.32
3.31
2.87
2.73
1.73
1.57
1.51
1.16
1.14
1.11
1.1
0.85
Weighting
Change
5
4
Latest Chg
2'753'684
(116'604)
590'460
9'636'316
(189'648)
(1'116'233)
4'403'000
2'125'000
(908'112)
(2'554'143)
(231'500)
(38'500)
Target Price
M
M
59
35
File Dt
02.01.2013
26.04.2013
24.04.2012
02.01.2013
02.01.2013
29.04.2013
02.01.2013
24.04.2012
02.01.2013
02.01.2013
24.04.2012
27.06.2012
02.01.2013
02.01.2013
02.01.2013
28.02.2013
02.01.2013
24.04.2012
02.01.2013
02.01.2013
Date
Not Provided
12 month
Inst Type
Other
Investment Advisor
n/a
Unclassified
Other
Investment Advisor
Unclassified
n/a
Other
Corporation
n/a
n/a
Unclassified
Other
Unclassified
Investment Advisor
Investment Advisor
n/a
Other
Investment Advisor
Date
02.01.2013
04.12.2012
30.04.2013
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (24.09.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GRY AU EQUITY YTD Change
GRY AU EQUITY YTD % CHANGE
Price/Volume
06/2012
01/yy
0.99
0.19
1'850'597.00
0.205
-79.29%
7.89%
3.75%
400.5
82.10
0.00
0.0
0.0
46.22
31.44
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
30.0 M
25.0 M
20.0 M
15.0 M
10.0 M
5.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
30.06.2009
30.06.2010
0.0
0.0
(2.7)
(3.9)
(2.3)
(3.2)
Profitability
30.06.2011
0.0
(15.9)
(8.9)
-
LTM-4Q
LTM
01/yy
01/yy
30.06.2012
0.0
(8.0)
(5.9)
-8.04
-8.20
-1.76%
-1.82%
0.00%
3.81
3.75
0.00%
0.00%
0.00
-
FY+1
-
0.00
1.42
390.17
14.49
-78.42%
-60.19%
1.415
13
4.000
3'267'009
3'925'552
3'487'923
FY+2
06/13 Y
06/14 Y
0.8
1.4
48.90x
79.41x
(10.2)
(8.8)
(8.6)
(6.7)
S&P Issuer Ratings
FQ+1
FQ+2
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
GENESIS ASSET MANAGE
COMMONWEALTH BANK OF
AMP LTD
ROYAL BANK OF CANADA
JP MORGAN
PARSONS STEPHEN
GCIC LTD/CANADA
FMR LLC
MACQUARIE GROUP
GLOBAL X MANAGEMENT
WELLS FARGO
LOMBARD ODIER DARIER
QUANTEX AG
DIMENSIONAL FUND ADV
NETHERWAY DAVID GEOR
VANGUARD INVESTMENTS
SHARE SICAV
VANGUARD GROUP INC
ASHTON NORMAN MEL
Firm Name
Clarus Securities
Macquarie
RBC Capital Markets
GMP
Morgan Stanley
Argonaut Securities Pty Ltd
Canaccord Genuity Corp
BMO Capital Markets
Credit Suisse
RBS Morgans
EVA Dimensions
Paradigm Capital Inc
Deutsche Bank
DJ Carmichael Pty Ltd
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Analyst
NANA SANGMUAH
MITCH RYAN
GEOFF BREEN
LEVI SPRY
BRENDAN FITZPATRICK
TROY IRVIN
REG SPENCER
ANDREW BREICHMANAS
MICHAEL SLIFIRSKI
JAMES WILSON
CRAIG STERLING
DON MACLEAN
CHRIS TERRY
PAUL ADAMS
Source
ULT-AGG
EXCH
EXCH
EXCH
ULT-AGG
ULT-AGG
EXCH
MF-AGG
ULT-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
Co File
MF-AGG
MF-AGG
MF-AGG
EXCH
Recommendation
buy
neutral
sector perform
buy
Equalwt/In-Line
speculative buy
buy
speculative outperform
outperform
outperform
underweight
speculative buy
not rated
speculative buy
Amt Held
47'385'165
20'682'524
19'591'128
16'488'127
14'803'493
9'593'063
6'990'601
6'850'000
5'590'010
5'507'628
4'493'276
3'934'525
3'498'398
2'360'000
1'988'755
1'847'374
1'820'050
1'634'666
1'589'497
1'000'000
% Out
11.83
5.16
4.89
4.12
3.7
2.4
1.75
1.71
1.4
1.38
1.12
0.98
0.87
0.59
0.5
0.46
0.45
0.41
0.4
0.25
Weighting
Change
5
3
3
5
3
4
5
4
5
5
1
4
#N/A N/A
4
M
M
M
M
M
M
M
M
M
M
U
M
M
M
Latest Chg
681'722
(985'067)
(160'194)
2'154'872
1'850'000
1'032'776
123'200
(10'410)
(530'000)
(200'000)
Target Price
1
1
0
0
0
1
1
1
1
1
#N/A N/A
1
#N/A N/A
#N/A N/A
File Dt
29.04.2013
12.03.2013
20.11.2012
22.10.2012
05.04.2011
28.02.2013
18.12.2012
31.12.2012
31.03.2013
31.08.2011
26.04.2013
28.02.2013
28.02.2013
29.03.2013
31.07.2012
30.06.2012
30.09.2012
31.12.2012
31.03.2013
28.08.2012
Date
12 month
12 month
12 month
Not Provided
12 month
Not Provided
Not Provided
Not Provided
Not Provided
12 month
Not Provided
12 month
Not Provided
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Bank
Insurance Company
Bank
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Date
29.04.2013
26.04.2013
25.04.2013
24.04.2013
22.04.2013
19.04.2013
17.04.2013
15.04.2013
03.04.2013
06.03.2013
01.03.2013
01.02.2013
22.02.2012
24.08.2011
30.04.2013
DRDGOLD Ltd
DRDGOLD Limited is a mid-tier, unhedged gold producer with a mix of assets. The
Company's assets include underground mines and surface re-treatment operation
and exploration activities in South Africa.
Price/Volume
9
1.2 M
1.0 M
7
6
.8 M
06/2012
03/yy
8.59
5.35
10'507.00
6.6
-23.86%
23.36%
39.81%
38.5
254.35
30.69
0.0
136.7
298.51
-
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
.4 M
.2 M
1
0
a-12
30.06.2009
30.06.2010
1'910.7
1'990.5
1.10x
0.64x
6.9
212.5
301.94x
6.03x
129.1
207.8
Profitability
LTM-4Q
30.06.2011
1'379.5
0.79x
225.7
4.83x
(287.9)
-
30.06.2012
1'764.2
1.09x
370.8
5.21x
308.7
370.76
249.91
14.17%
14.79%
10.71%
19.27%
0.75%
20.6%
20.4%
13.8%
17.5%
1.80
1.15
1.23%
2.05%
-
03/yy
2'000.9
2.92x
408.0
4.50x
(117.3)
0.00x
j-12
j-12
a-12
s-12
LTM
03/yy
2'031.9
4.62x
411.6
6.72x
291.8
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
0.80
0.07
0.98%
-16.37%
0.803
2
5.000
78'774
104'949
130'100
FY+2
FQ+1
FQ+2
06/13 Y
06/14 Y
06/13 Q4 09/13 Q1
2'129.1
2'545.8
526.4
795.5
307.1
462.1
7.46x
4.94x
S&P Issuer Ratings
23.65
2.40
-0.58
0.42
2.0%
1.8%
0.75
1.17
-
Sales/Revenue/Turnover
1.20
3'000.0
1.00
2'500.0
0.80
2'000.0
0.60
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
.6 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (19.02.2013)
52-Week Low (31.08.2012)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
DRD US EQUITY YTD Change
DRD US EQUITY YTD % CHANGE
1'500.0
1'000.0
0.40
500.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
DRDGOLD Ltd
Holdings By:
All
Holder Name
SKAGEN AS
VAN ECK ASSOCIATES C
ACADIAN ASSET MANAGE
RENAISSANCE TECHNOLO
OPPENHEIM KAPITALANL
BRANCH BANKING & TRU
US GLOBAL INVESTORS
ROTHSCHILD & COMPAGN
MORGAN STANLEY
JANE STREET HOLDING
FRANK RUSSELL TRUST
RUFFER LLP
APERIO GROUP LLC
BANK OF AMERICA CORP
FMR LLC
SCHRODER INVESTMENT
COMMONWEALTH OF PENN
BLACKROCK
OXFORD ASSET MANAGEM
DIMENSIONAL FUND ADV
Firm Name
EVA Dimensions
Portfolio Name
Multiple Portfolios
n/a
ACADIAN ASSET MANAGE
RENAISSANCE TECHNOLO
Multiple Portfolios
BRANCH BANKING AND T
US GLOBAL INVESTORS
Multiple Portfolios
n/a
JANE STREET HOLDING
FRANK RUSSELL COMPAN
RUFFER LLP
APERIO GROUP LLC
BANK OF AMERICA
n/a
SCHRODER INVESTMENT
COMMONWEALTH OF PENN
n/a
OXFORD ASSET MANAGEM
DIMENSIONAL FUND ADV
Analyst
CRAIG STERLING
Source
MF-AGG
ULT-AGG
13F
13F
MF-AGG
13F
13F
MF-AGG
ULT-AGG
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
ULT-AGG
13F
13F
Recommendation
overweight
Amt Held
3'724'701
931'970
536'792
390'470
115'000
110'000
110'000
100'000
49'176
44'799
36'297
34'015
33'383
28'307
28'300
28'300
26'529
20'181
17'976
16'227
% Out
9.66
2.42
1.39
1.01
0.3
0.29
0.29
0.26
0.13
0.12
0.09
0.09
0.09
0.07
0.07
0.07
0.07
0.05
0.05
0.04
Weighting
Change
5
Latest Chg
(49'424)
(58'369)
59'200
10'000
17'676
(6'532)
3'750
27'529
28'300
(9'576)
20'133
6'940
7'860
Target Price
#N/A N/A
File Dt
Inst Type
27.03.2013
Investment Advisor
29.04.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.01.2013
Investment Advisor
31.03.2013
Bank
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
31.12.2012 Pension Fund (ERISA)
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
Not Provided
Date
16.04.2013
30.04.2013
Red 5 Ltd
Red 5 Limited is a minieral exploration and development company. The Company's
principal asset is the Siana Gold Project in the Philippines held under a
Mineral Production Sharing Agreement by a Red5 Philippine compliant company.
Red 5's second asset is the Mapawa MPSA, located north of Siana.
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (18.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 31.12.2012
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
RED AU EQUITY YTD Change
RED AU EQUITY YTD % CHANGE
Price/Volume
06/2012
01/yy
1.84
0.56
68'467.00
0.62
-66.30%
11.71%
5.06%
135.5
84.00
0.00
0.0
(0.4)
13.46
92.27
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
(1.4)
(0.6)
-
30.06.2009
30.06.2010
(1.5)
(0.9)
Profitability
(2.2)
(0.4)
-
30.06.2011
0.0
(5.2)
(8.1)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
LTM-4Q
LTM
01/yy
01/yy
30.06.2012
4.3
42.84x
(2.9)
(1.7)
-2.93
-3.46
-80.96%
-39.34%
-5.70%
-6.67%
0.10%
38.2%
-29.5%
-32.7%
-40.8%
2.36
1.34
0.00%
0.00%
4.83
-
FY+1
-
0.00
1.52
134.28
0.80
-65.56%
-50.40%
1.521
3
2.667
89'422
279'226
305'705
FY+2
06/13 Y
06/14 Y
50.0
127.0
1.75x
0.31x
14.8
78.1
6.25x
1.18x
(5.3)
39.7
2.07x
S&P Issuer Ratings
FQ+1
FQ+2
-4.91
0.0%
0.0%
0.10
0.28
75.80
-
Sales/Revenue/Turnover
500.00
4.5
450.00
4.0
400.00
3.5
350.00
3.0
300.00
2.5
250.00
2.0
200.00
1.5
150.00
1.0
100.00
0.5
50.00
0.00
03.07.2009
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2
2
2
1
1
1
1
1
0
0
0
a-12
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Red 5 Ltd
Holdings By:
All
Holder Name
FRANKLIN RESOURCES
BAKER STEEL GOLD FUN
JP MORGAN
VAN ECK ASSOCIATES C
RUFFER LLP
DEUTSCHE BANK AG
GAMCO
FMR LLC
EDWARDS GREGORY CHAR
VANGUARD INVESTMENTS
EIM CAPITAL MANAGERS
SPROTT INC
DIMENSIONAL FUND ADV
SCANLAN GARY FRANCIS
MOBILIA JOE
BLACKROCK
MILAZZO MARK FRANCIS
JACKSON COLIN GEORGE
BESSEMER GROUP INCOR
DIMENSIONAL FUND ADV
Firm Name
Wilson HTM Investment Group
Canaccord Genuity Corp
Evans & Partners Pty Ltd
Bell Potter
Casimir Capital
Portfolio Name
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
CAMERON JUDD
REG SPENCER
CATHY MOISES
CHRIS WHITEHEAD
JAMES CROSBY
Source
ULT-AGG
Co File
ULT-AGG
ULT-AGG
MF-AGG
EXCH
ULT-AGG
ULT-AGG
Co File
MF-AGG
MF-AGG
MF-AGG
MF-AGG
EXCH
Co File
ULT-AGG
Co File
Co File
MF-AGG
MF-AGG
Recommendation
sell
speculative buy
neutral
buy
overweight
Amt Held
17'841'590
11'095'633
9'638'245
9'206'232
6'663'000
3'958'183
2'208'823
1'326'000
1'065'111
679'951
301'926
260'849
53'740
50'000
44'958
41'803
25'000
22'500
17'274
12'704
% Out
13.17
8.19
7.11
6.79
4.92
2.92
1.63
0.98
0.79
0.5
0.22
0.19
0.04
0.04
0.03
0.03
0.02
0.02
0.01
0.01
Weighting
Change
1
4
3
5
5
M
M
D
M
M
Latest Chg
40'000
(1'034'479)
(3'160'399)
(100'000)
(2'137'799)
-
Target Price
1
1
#N/A N/A
3
3
File Dt
Inst Type
31.01.2013
Investment Advisor
24.09.2012
n/a
31.12.2012
Investment Advisor
29.04.2013
Investment Advisor
27.12.2012 Hedge Fund Manager
24.06.2011
Investment Advisor
31.12.2012
Unclassified
31.03.2013
Investment Advisor
15.11.2012
n/a
30.09.2012
Investment Advisor
30.11.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
31.01.2013
Investment Advisor
31.12.2012
n/a
30.06.2012
n/a
26.04.2013
Investment Advisor
26.09.2012
n/a
26.09.2012
n/a
31.01.2013
Investment Advisor
31.07.2012
Investment Advisor
Date
Not Provided
Not Provided
Not Provided
12 month
12 month
Date
17.04.2013
15.04.2013
03.01.2013
01.03.2012
06.02.2012
30.04.2013
Price/Volume
4
7.0 M
6.0 M
5.0 M
12/2012
06/yy
3.99
2.23
396'910.00
2.29
-42.61%
2.69%
1.14%
297.3
1'771.94
4'216.29
0.0
46.7
267.94
5'402.75
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.00
3.0 M
2
1
2.0 M
1.0 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
4.0 M
Valuation Analysis
31.12.2009
31.12.2010
3'961.7
4'834.6
0.99x
1.40x
738.8
777.4
5.29x
8.71x
118.0
266.5
17.38x
16.59x
Profitability
LTM-4Q
31.12.2011
5'720.8
0.83x
824.5
5.75x
310.6
5.74x
31.12.2012
6'393.3
0.93x
739.3
8.05x
165.3
12.10x
739.33
469.78
7.35%
3.51%
2.28%
7.05%
5.53%
0.88%
12.6%
11.6%
7.3%
2.6%
1.10
0.20
53.24%
176.56%
13.52
2.11
06/yy
0.0
#DIV/0!
0.0
0.00x
0.0
0.00x
LTM
06/yy
0.0
#DIV/0!
0.0
0.00x
0.0
0.00x
FY+1
.0 M
a-13
3.85
0.80
297.27
-38.57%
-27.53%
0.796
4
2.500
744'800
499'234
541'238
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
09/12 Q3 12/12 Q4
6'921.5
6'595.0
0.71x
0.74x
754.0
811.0
7.17x
6.66x
140.0
141.0
10.11x
9.83x
S&P Issuer Ratings
3.06
2.68
5.33
5.70
176.6%
63.4%
0.88
2.55
27.06
173.83
26.52
174.37
Sales/Revenue/Turnover
7'000.0
6'000.0
5'000.0
0.80
4'000.0
0.60
3'000.0
0.40
2'000.0
1'000.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
BANK OF NEW YORK MEL
VAN ECK ASSOCIATES C
VALUE PARTNERS GROUP
DIMENSIONAL FUND ADV
BLACKROCK
VANGUARD GROUP INC
MACQUARIE GROUP
DIMENSIONAL FUND ADV
SCHOELLERBANK INVEST
BESSEMER GROUP INCOR
OPPENHEIM KAPITALANL
HANDELSBANKEN FONDER
NOMURA INTERNATIONAL
GLOBAL X MANAGEMENT
DIMENSIONAL FUND ADV
Firm Name
Guotai Junan
Credit Suisse
EVA Dimensions
BOCOM International Holdings
First Shanghai Securities Ltd
Portfolio Name
n/a
n/a
n/a
Multiple Portfolios
n/a
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
KEVIN GUO
OWEN LIANG
CRAIG STERLING
RONGJIN LUO
ZHANG ZHIBIN
Source
EXCH
ULT-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
neutral
underperform
underweight
long-term buy
buy
Amt Held
27'842'000
23'808'000
14'844'000
6'712'000
2'242'000
1'608'558
1'310'000
736'000
230'000
190'000
160'000
122'000
68'000
58'910
54'000
% Out
9.37
8.01
4.99
2.26
0.75
0.54
0.44
0.25
0.08
0.06
0.05
0.04
0.02
0.02
0.02
Weighting
Change
3
1
1
5
5
M
D
D
M
N
Latest Chg
(120'000)
(136'000)
(580'000)
30'000
-
Target Price
2
2
#N/A N/A
7
6
File Dt
20.03.2013
29.04.2013
02.06.2011
31.07.2012
26.04.2013
31.12.2012
30.06.2011
31.01.2013
28.03.2013
31.01.2013
31.01.2013
31.03.2013
31.03.2012
26.04.2013
31.01.2013
Date
Not Provided
Not Provided
Not Provided
12 month
12 month
Inst Type
Investment Advisor
Investment Advisor
Corporation
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Date
22.04.2013
09.04.2013
02.04.2013
13.07.2012
28.03.2012
30.04.2013
Price/Volume
5
2.5 M
4
2.0 M
4
3
1.5 M
3
2
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 22.04.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
THM US EQUITY YTD Change
THM US EQUITY YTD % CHANGE
12/2012
12/yy
4.16
0.88
30'850.00
1.01
-75.96%
14.77%
3.35%
98.1
99.05
0.00
0.0
0.0
30.35
69.56
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1
0
a-12
31.12.2009
31.12.2010
0.0
0.0
(7.3)
(12.1)
(9.8)
(17.9)
Profitability
m-12
LTM-4Q
31.12.2011
0.0
(9.9)
(10.2)
-
31.12.2012
0.0
(55.5)
(56.6)
-55.52
-55.55
-40.55%
-45.46%
0.00%
8.39
8.17
0.00%
0.00%
0.00
-
05/yy
0.0
#DIV/0!
(9.9)
0.00x
(10.2)
0.00x
j-12
j-12
a-12
s-12
LTM
12/yy
0.0
#DIV/0!
(55.5)
0.00x
(56.6)
0.00x
o-12
n-12
d-12
j-13
f-13
m-13
FY+1
.0 M
a-13
1.09
85.66
0.37
-73.70%
-53.46%
1.091
3
2.667
251'049
252'193
248'041
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
0.0
0.0
#DIV/0!
#DIV/0!
(17.2)
(19.3)
(13.2)
(14.6)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.20
0.0
1.00
0.0
0.80
0.0
0.60
.5 M
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1.0 M
0.0
0.0
0.40
0.0
0.20
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
TOCQUEVILLE ASSET MA
ANGLOGOLD ASHANTI LT
PAULSON & CO
VAN ECK ASSOCIATES C
TEXAS TEACHER RETIRE
WEISS ASSET MANAGEME
ROYCE AND ASSOCIATES
INVESCO LTD
FALCON FUND MANAGEME
FMR LLC
DRESCHER ANTON J
PONTIUS JEFFREY A
VANGUARD GROUP INC
UNIVERSAL INS HOLDIN
CARRIERE DANIEL A
TECHNICAL FINANCIAL
DEUTSCHE BANK AG
RENAISSANCE TECHNOLO
TD ASSET MANAGEMENT
LOMBARD ODIER DARIER
Firm Name
Credit Suisse
BMO Capital Markets
Cowen Securities LLC
Salman Partners
Portfolio Name
TOCQUEVILLE ASSET MA
n/a
PAULSON & CO
n/a
TEACHER RETIREMENT S
WEISS ASSET MANAGEME
ROYCE & ASSOCIATES L
n/a
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
TFS CAPITAL LLC
DEUTSCHE BANK AKTIEN
RENAISSANCE TECHNOLO
TD ASSET MANAGEMENT
Multiple Portfolios
Analyst
ANITA SONI
JOHN P HAYES
ADAM P GRAF
DAVID WEST
Source
13F
SEDI
13F
ULT-AGG
13F
13F
13F
ULT-AGG
MF-AGG
ULT-AGG
SEDI
SEDI
MF-AGG
ULT-AGG
SEDI
13F
13F
13F
13F
MF-AGG
Recommendation
underperform
Speculative Underperform
buy
Under Review
Amt Held
17'207'269
11'073'323
8'949'654
6'413'116
2'099'836
1'926'411
1'014'000
900'425
607'000
546'700
489'218
383'566
345'617
345'555
294'735
266'450
241'109
233'600
220'000
208'228
% Out
17.55
11.29
9.13
6.54
2.14
1.96
1.03
0.92
0.62
0.56
0.5
0.39
0.35
0.35
0.3
0.27
0.25
0.24
0.22
0.21
Weighting
Change
1
2
5
#N/A N/A
M
D
M
M
Latest Chg
37'800
277'201
(1'923'077)
34'847
(50'000)
(195'600)
114'825
(71'809)
110'867
106'100
(224'772)
Target Price
1
#N/A N/A
8
#N/A N/A
File Dt
31.03.2013
07.08.2012
31.12.2012
29.04.2013
31.12.2012
31.12.2012
31.03.2013
31.12.2012
28.02.2013
31.03.2013
21.12.2012
07.01.2013
31.03.2013
31.12.2012
22.11.2011
31.12.2012
31.12.2012
31.12.2012
31.12.2012
28.02.2013
Date
Not Provided
Not Provided
Not Provided
Not Provided
Inst Type
Hedge Fund Manager
Holding Company
Hedge Fund Manager
Investment Advisor
Pension Fund (ERISA)
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
n/a
Investment Advisor
Insurance Company
n/a
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Date
22.04.2013
14.04.2013
09.04.2013
08.11.2012
30.04.2013
Price/Volume
1
40.0 M
35.0 M
30.0 M
25.0 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (24.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 06.02.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
SAR AU EQUITY YTD Change
SAR AU EQUITY YTD % CHANGE
06/2012
01/yy
0.62
0.14
15'969'121.00
0.145
-76.61%
3.57%
0.00%
595.3
86.31
3.06
0.0
0.0
20.31
93.89
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
15.0 M
10.0 M
5.0 M
0
a-12
30.06.2009
(9.5)
(10.0)
Profitability
30.06.2010
31.4
5.26x
14.7
11.26x
(25.4)
-
30.06.2011
155.7
1.58x
59.5
4.15x
47.7
5.49x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
183.8
1.70x
63.1
4.96x
18.7
16.82x
63.08
36.49
19.86%
14.53%
-5.47%
-7.16%
0.74%
27.8%
7.1%
10.2%
3.39
0.96
1.21%
1.47%
37.26
-
j-12
j-12
LTM-4Q
LTM
01/yy
01/yy
-
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
FY+1
-
0.00
1.13
532.79
7.70
-75.00%
-61.84%
1.134
7
3.714
13'721'500
7'299'250
5'399'178
FY+2
06/13 Y
06/14 Y
211.2
238.7
0.49x
0.33x
61.6
83.3
1.53x
1.13x
16.6
35.7
4.26x
2.13x
S&P Issuer Ratings
FQ+1
FQ+2
492.83
-271.65
0.15
0.28
1.5%
1.4%
0.74
1.33
9.82
-
Sales/Revenue/Turnover
90.00
200.0
80.00
180.0
70.00
160.0
140.0
60.00
120.0
50.00
40.00
100.0
80.0
30.00
60.0
20.00
40.0
10.00
20.0
0.00
03.07.2009
m-12
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
20.0 M
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
RENAISSANCE SMALL CO
VINVA INVESTMENT MGM
COMMONWEALTH BANK OF
SPROTT INC
ARVE CHARLES
JCP INVESTMENT PARTN
BANK OF AMERICA CORP
STALTARI GUIDO
CF RUFFER BAKER STEE
JP MORGAN
GAMCO
UOB ASSET MANAGEMENT
FMR LLC
GENUS DYNAMIC GOLD F
DIMENSIONAL FUND ADV
VANGUARD GROUP INC
VANGUARD INVESTMENTS
VON DER HEYDT KERSTE
SNS INVESTMENT FUND
Firm Name
Canaccord Genuity Corp
Ord Minnett
Argonaut Securities Pty Ltd
EVA Dimensions
RBS Morgans
Evans & Partners Pty Ltd
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Analyst
REG SPENCER
DAVID BRENNAN
TROY IRVIN
CRAIG STERLING
JAMES WILSON
CATHY MOISES
Source
ULT-AGG
EXCH
EXCH
EXCH
EXCH
EXCH
EXCH
EXCH
Co File
EXCH
ULT-AGG
ULT-AGG
MF-AGG
ULT-AGG
EXCH
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
Recommendation
hold
buy
buy
hold
outperform
Positive
Amt Held
42'407'248
37'893'341
30'177'676
29'318'248
28'800'451
28'685'450
26'084'770
22'796'021
14'407'252
14'000'000
12'874'879
6'500'000
5'000'000
4'816'787
4'100'000
3'267'666
2'896'045
2'671'902
1'100'000
1'043'794
% Out
7.12
6.37
5.07
4.93
4.84
4.82
4.38
3.83
2.42
2.35
2.16
1.09
0.84
0.81
0.69
0.55
0.49
0.45
0.18
0.18
Weighting
Change
3
5
5
3
5
4
D
M
M
U
N
U
Latest Chg
6'250'328
7'527'707
662'238
(1'361'474)
(841'000)
(320'000)
(5'314'150)
(2'168'808)
(4'949'162)
4'500'000
1'824'299
(1'739'000)
6'847
(43'038)
(20'201)
335
Target Price
0
0
0
#N/A N/A
1
#N/A N/A
File Dt
Inst Type
29.04.2013
Investment Advisor
27.03.2013
Other
18.03.2013
Investment Advisor
08.03.2012
Bank
27.01.2012 Hedge Fund Manager
19.07.2011
n/a
09.02.2012
Investment Advisor
04.05.2011
Investment Advisor
31.08.2012
n/a
26.05.2011
n/a
31.12.2012
Investment Advisor
31.12.2012
Unclassified
30.06.2012
Investment Advisor
31.03.2013
Investment Advisor
26.05.2011
n/a
31.07.2012
Investment Advisor
31.03.2013
Investment Advisor
30.09.2012
Investment Advisor
28.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
Not Provided
Not Provided
Not Provided
12 month
Not Provided
Date
24.04.2013
19.04.2013
19.04.2013
16.04.2013
27.11.2012
27.09.2012
30.04.2013
Price/Volume
3
1.8 M
1.6 M
1.4 M
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (23.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
XRA US EQUITY YTD Change
XRA US EQUITY YTD % CHANGE
12/2011
12/yy
2.62
0.85
15'740.00
0.91
-65.73%
7.06%
3.95%
88.4
80.45
0.00
0.0
0.0
55.52
24.93
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
1.0 M
.8 M
.6 M
.4 M
.2 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1.2 M
31.12.2009
31.12.2010
0.0
0.0
(27.6)
(29.9)
(27.3)
83.8
Profitability
LTM-4Q
31.12.2011
0.0
(31.8)
(30.9)
-
31.12.2012
0.0
(26.0)
(25.2)
-25.97
-26.09
-39.05%
-39.92%
0.00%
60.65
60.55
0.00%
0.00%
0.00
-
12/yy
0.0
#DIV/0!
(31.8)
0.00x
(31.0)
0.00x
LTM
12/yy
0.0
#DIV/0!
(25.9)
0.00x
(25.2)
0.00x
0.00
0.78
82.23
0.53
-62.08%
-24.79%
0.777
4
2.750
118'094
177'438
206'128
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(11.7)
(11.5)
(11.7)
(11.5)
S&P Issuer Ratings
.0 M
a-13
0.00
0.0%
0.0%
0.00
0.00
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
VAN ECK ASSOCIATES C
GEOLOGIC RESOURCE PA
ROWEN COMPANY LTD
SUN VALLEY GOLD LLC
TSP CAPITAL MANAGEME
POLYGON MANAGEMENT L
SIMPSON YALE R
SPROTT INC
LIBRA ADVISORS LLC
ROXBURGH BRYCE G
RENAISSANCE TECHNOLO
WELLS FARGO
LOEWS CORPORATION
UNIVERSAL INS HOLDIN
ROYCE AND ASSOCIATES
LB SWISS INVESTMENT
OPPENHEIMER & CO INC
TECHNICAL FINANCIAL
FMR LLC
PERKINS SIMON RICHAR
Firm Name
TD Securities
Salman Partners
BMO Capital Markets
Mine2Capital Inc
Portfolio Name
n/a
GEOLOGIC RESOURCE PA
n/a
SUN VALLEY GOLD LLC
TSP CAPITAL MANAGEME
POLYGON MANAGEMENT L
n/a
SPROTT INC
LIBRA ADVISORS LLC
n/a
RENAISSANCE TECHNOLO
n/a
LOEWS CORPORATION
n/a
ROYCE & ASSOCIATES L
Multiple Portfolios
OPPENHEIMER & CO INC
TFS CAPITAL LLC
n/a
n/a
Analyst
DANIEL EARLE
DAVID WEST
JOHN P HAYES
ALKA SINGH
Source
ULT-AGG
13F
SEDI
13F
13F
13F
SEDI
13F
13F
SEDI
13F
ULT-AGG
13F
ULT-AGG
13F
MF-AGG
13F
13F
ULT-AGG
SEDI
Recommendation
speculative buy
speculative buy
Speculative Underperform
sell
Amt Held
5'857'880
3'050'700
2'600'000
2'445'758
2'413'000
2'062'713
1'709'350
1'643'300
1'546'988
1'409'450
807'700
785'000
642'545
537'725
530'200
500'000
402'861
395'202
272'400
270'652
% Out
6.63
3.45
2.94
2.77
2.73
2.33
1.93
1.86
1.75
1.59
0.91
0.89
0.73
0.61
0.6
0.57
0.46
0.45
0.31
0.31
Weighting
Change
4
4
2
1
M
M
D
M
Latest Chg
(694'273)
1'012'800
100'000
381'741
691'500
2'062'713
13'600
(1'684'900)
(186'800)
305'300
329'447
530'200
(739)
(90'298)
100
77'000
Target Price
1
8
#N/A N/A
1
File Dt
29.04.2013
31.12.2012
09.02.2012
31.12.2012
31.12.2012
31.12.2012
26.12.2012
31.03.2013
31.12.2012
02.05.2011
31.12.2012
28.02.2013
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.03.2013
02.02.2011
Date
12 month
Not Provided
Not Provided
Not Provided
Inst Type
Investment Advisor
Hedge Fund Manager
Corporation
Hedge Fund Manager
Investment Advisor
Investment Advisor
n/a
Hedge Fund Manager
Hedge Fund Manager
n/a
Hedge Fund Manager
Investment Advisor
Corporation
Insurance Company
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
n/a
Date
23.04.2013
17.04.2013
14.04.2013
04.02.2013
30.04.2013
Price/Volume
8
1.4 M
1.2 M
1.0 M
12/2008
12/yy
7.38
1.80
19'661.00
2.06
-72.12%
14.44%
4.12%
39.6
81.57
1.63
0.0
0.0
59.84
24.07
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
.6 M
3
2
.4 M
.2 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
.8 M
Valuation Analysis
31.12.2009
31.12.2010
71.9
90.5
1.15x
1.31x
6.9
19.7
11.99x
5.99x
0.3
9.3
16.48x
Profitability
LTM-4Q
31.12.2011
118.6
2.51x
40.5
7.36x
25.9
14.78x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
101.7
0.59x
8.2
7.34x
(45.0)
8.18
-2.59
-2.54%
-2.56%
-28.47%
-35.66%
0.66%
27.5%
7.6%
-2.8%
-44.2%
3.63
3.04
1.10%
1.38%
34.87
10.00
12/yy
118.5
7.75x
40.5
7.36x
25.9
14.99x
LTM
12/yy
104.3
4.73x
7.9
7.62x
(45.0)
0.00x
FY+1
.0 M
a-13
0.00
1.20
33.26
0.60
-70.49%
-31.56%
1.204
3
4.333
113'017
127'476
139'416
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
111.0
135.0
8.0
17.0
7.29x
4.89x
2.70x
S&P Issuer Ratings
12.48
-45.23
-7.38
0.21
1.4%
1.4%
0.66
1.46
10.50
36.58
69.77
-23.79
Sales/Revenue/Turnover
50.00
140.0
45.00
120.0
40.00
35.00
100.0
30.00
80.0
25.00
60.0
20.00
40.0
15.00
10.00
20.0
5.00
0.00
01.01.2010
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
OXBRIDGE BANK & TRUS
RESOLUTE FUNDS LTD
CAISSE DE DEPOT ET P
VAN ECK ASSOCIATES C
RENAISSANCE TECHNOLO
WEISS ASSET MANAGEME
CHAMANDY H GREGORY
FIERA CAPITAL CORPOR
PARADIGM CAPITAL MAN
SPROTT INC
CITIGROUP INCORPORAT
TECHNICAL FINANCIAL
US GLOBAL INVESTORS
CANADA PENSION PLAN
FMR LLC
CONNOR CLARK & LUNN
BOGLE INVESTMENT MAN
HOULE REJEAN
CARMEL PAUL R
ROYCE AND ASSOCIATES
Firm Name
Desjardins Securities
CIBC World Markets
Casimir Capital
Portfolio Name
n/a
n/a
CAISSE DE DEPOT ET P
n/a
RENAISSANCE TECHNOLO
n/a
n/a
FIERA CAPITAL CORPOR
PARADIGM CAPITAL MAN
SPROTT INC
CITIGROUP INCORPORAT
TFS CAPITAL LLC
US GLOBAL INVESTORS
CANADA PENSION PLAN
n/a
CONNOR CLARK & LUNN
BOGLE INVESTMENT MAN
n/a
n/a
ROYCE & ASSOCIATES L
Analyst
ADAM MELNYK
KEVIN CHIEW
ERIC ALLISON
Source
PROXY
13G
13F
ULT-AGG
13F
13G
SEDI
13F
13F
13F
13F
13F
13F
13F
ULT-AGG
13F
13F
SEDI
SEDI
13F
Recommendation
buy
sector perform
overweight
Amt Held
5'016'363
3'617'600
2'730'000
2'645'068
2'060'300
1'968'700
995'509
710'095
675'305
549'500
416'816
318'842
260'000
185'200
145'300
137'000
120'105
76'500
63'000
60'900
% Out
12.67
9.14
6.89
6.68
5.2
4.97
2.51
1.79
1.71
1.39
1.05
0.81
0.66
0.47
0.37
0.35
0.3
0.19
0.16
0.15
Weighting
Change
5
3
5
Latest Chg
487'600
159'157
(198'400)
(31'300)
14
420'295
2'325
(96'000)
415'383
17'183
(194'200)
115'300
(33'700)
(112'503)
10'000
(862'865)
Target Price
M
M
M
File Dt
28.03.2013
28.01.2013
31.12.2012
29.04.2013
31.12.2012
29.01.2013
11.01.2012
31.03.2013
31.03.2013
31.03.2013
31.03.2013
31.12.2012
31.12.2012
31.12.2012
31.03.2013
31.12.2012
31.12.2012
09.03.2012
11.03.2013
31.03.2013
Date
5
4
5
12 month
Not Provided
12 month
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
n/a
Investment Advisor
Investment Advisor
Hedge Fund Manager
Investment Advisor
Investment Advisor
Investment Advisor
Pension Fund (ERISA)
Investment Advisor
Investment Advisor
Hedge Fund Manager
n/a
n/a
Investment Advisor
Date
12.04.2013
11.04.2013
04.12.2012
30.04.2013
Price/Volume
1
25.0 M
1
20.0 M
1
1
06/2012
01/yy
0.81
0.20
1'495'532.00
0.2
-75.31%
0.00%
2.48%
337.6
67.53
4.24
0.0
0.0
48.76
28.22
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
10.0 M
0
0
5.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
.0 M
a-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
1
0
Valuation Analysis
30.06.2009
30.06.2010
19.9
61.3
0.81x
11.8
38.0
1.30x
5.0
20.2
19.23x
5.93x
Profitability
30.06.2011
148.1
1.95x
108.6
2.66x
62.4
5.98x
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
30.06.2012
84.3
1.40x
12.8
9.27x
2.3
66.44x
12.78
1.64
1.94%
5.19%
-6.80%
-9.34%
0.40%
32.6%
-9.1%
-19.7%
2.8%
3.17
1.53
1.49%
2.09%
18.20
6.00
LTM-4Q
LTM
01/yy
01/yy
-
FY+1
-
0.00
0.93
306.69
6.01
-74.03%
-54.55%
0.933
4
4.000
890'064
2'240'173
2'025'984
FY+2
06/13 Y
06/14 Y
128.0
167.0
0.35x
0.02x
25.2
54.4
1.12x
0.52x
2.8
28.1
25.00x
2.35x
S&P Issuer Ratings
FQ+1
FQ+2
6.84
-31.59
-0.36
2.1%
2.0%
0.40
0.71
20.11
61.01
65.93
130.79
Sales/Revenue/Turnover
60.00
160.0
140.0
50.00
120.0
40.00
100.0
80.0
30.00
60.0
20.00
40.0
10.00
0.00
03.07.2009
20.0
0.0
03.01.2010
03.07.2010
03.01.2011
03.07.2011
03.01.2012
03.07.2012
03.01.2013
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SPROTT INC
VAN ECK ASSOCIATES C
PARADICE INVESTMENT
BEACH ENERGY LTD
MANDURANG PTY LTD
NELSON REGINALD GEOR
DIMENSIONAL FUND ADV
MACQUARIE GROUP
HOULDSWORTH JOSEPH F
VANGUARD INVESTMENTS
KENNEDY ROBERT MICHA
SCHRODER INVESTMENT
GORDON IAN JAMES
FMR LLC
PRUDENTIAL FINANCIAL
SCHRODER INVESTMENT
SCHRODER INVESTMENT
MERRICKS CAPITAL SPE
VANGUARD GROUP INC
BESSEMER GROUP INCOR
Firm Name
Argonaut Securities Pty Ltd
Ord Minnett
EVA Dimensions
Casimir Capital
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
Multiple Portfolios
n/a
n/a
Multiple Portfolios
n/a
SCHRODER GLOBAL QUAN
n/a
n/a
n/a
SISF GLOBAL ACTIVE V
SCHRODER DIVERSIFIED
n/a
Multiple Portfolios
Multiple Portfolios
Analyst
PATRICK CHANG
DAVID BRENNAN
TEAM COVERAGE
ERIC ALLISON
Source
EXCH
ULT-AGG
EXCH
EXCH
EXCH
Co File
MF-AGG
ULT-AGG
EXCH
MF-AGG
EXCH
UT-UK
EXCH
ULT-AGG
ULT-AGG
MF-LUX
UT-UK
EXCH
MF-AGG
MF-AGG
Recommendation
buy
buy
underweight
overweight
Amt Held
23'947'605
23'646'913
15'269'179
14'053'269
6'442'856
5'331'984
2'687'685
2'510'025
2'374'259
1'787'654
1'557'144
1'236'775
1'099'021
980'000
608'253
412'353
389'960
279'000
180'600
156'786
% Out
7.09
7
4.52
4.16
1.91
1.58
0.8
0.74
0.7
0.53
0.46
0.37
0.33
0.29
0.18
0.12
0.12
0.08
0.05
0.05
Weighting
Change
5
5
1
5
M
M
D
M
Latest Chg
(5'818'592)
(3'686'804)
(6'046'734)
(197'128)
1'526
90'000
(17'722)
500'000
273'933
(1'500'049)
-
Target Price
0
0
#N/A N/A
1
File Dt
Inst Type
06.02.2013 Hedge Fund Manager
29.04.2013
Investment Advisor
16.04.2013
Investment Advisor
21.06.2011
Corporation
27.02.2013
Other
27.08.2012
n/a
31.07.2012
Investment Advisor
31.08.2011
Investment Advisor
26.05.2011
n/a
30.09.2012
Investment Advisor
27.02.2013
n/a
31.12.2012
Investment Advisor
26.11.2012
n/a
31.03.2013
Investment Advisor
28.03.2013
Investment Advisor
31.12.2012
Investment Advisor
28.09.2012
Investment Advisor
28.07.2010
Other
31.12.2012
Investment Advisor
31.01.2013
Investment Advisor
Date
12 month
Not Provided
Not Provided
12 month
Date
22.04.2013
17.04.2013
05.09.2012
06.05.2012
30.04.2013
Golden Minerals Co
Golden Minerals Company is a mining company with a focus on exploration,
development, providing mining services, and growth through strategic business
transactions. The Company manages the San Cristobal silver and zinc mine in
Bolivia.
Price/Volume
8
7
6
5
4
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (17.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 26.02.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
AUMN US EQUITY YTD Change
AUMN US EQUITY YTD % CHANGE
12/2012
12/yy
7.53
1.46
48'415.00
1.8076
-75.96%
23.81%
7.41%
43.3
78.21
0.00
0.0
0.0
44.65
33.56
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
2
1
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
31.12.2009
31.12.2010
12.4
11.2
1.87x
25.16x
(14.2)
(32.0)
211.3
(33.3)
1.31x
Profitability
LTM-4Q
31.12.2011
1.8
86.44x
(63.8)
(62.7)
-
31.12.2012
26.1
5.90x
(34.7)
(92.0)
-34.71
-44.73
-171.46%
-383.50%
-24.18%
-29.54%
0.07%
-66.3%
-133.1%
-171.5%
-352.8%
4.12
3.45
0.00%
0.00%
20.00
9.97
5.0 M
4.5 M
4.0 M
3.5 M
3.0 M
2.5 M
2.0 M
1.5 M
1.0 M
.5 M
.0 M
a-13
12/yy
1.8
418.31x
(63.8)
0.00x
(62.7)
0.00x
LTM
12/yy
26.1
27.94x
(34.7)
0.00x
(92.0)
0.00x
FY+1
0.00
1.68
33.77
5.09
-75.80%
-60.62%
1.682
4
3.750
474'950
329'707
377'698
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
36.1
55.8
7.3
7.7
(20.8)
(5.0)
(6.5)
(6.2)
(29.0)
(20.7)
(7.7)
(7.5)
S&P Issuer Ratings
0.00
0.0%
0.0%
0.07
0.09
18.30
36.70
63.13
-8.14
Sales/Revenue/Turnover
450.0
400.0
1.00
0.80
350.0
300.0
250.0
0.60
200.0
150.0
0.40
0.20
100.0
50.0
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
Golden Minerals Co
Holdings By:
All
Holder Name
SENTIENT GLB RES IV
SENTIENT GLB FND III
VAN ECK ASSOCIATES C
GILDER GAGNON HOWE
BLACKROCK
VANGUARD GROUP INC
SENTRY SELECT CAPITA
CLEVENGER JEFFREY G
SPROTT INC
STATE STREET
NORTHERN TRUST CORPO
GLOBAL X MANAGEMENT
SUSQUEHANNA INTERNAT
PEAK6 INVESTMENTS LP
SGRF III PARALLEL I
SPOT TRADING LLC
DIMENSIONAL FUND ADV
GLOBAL STRATEGY FINA
BPI FUNDOS GFIM SA/P
GROUP ONE TRADING LP
Firm Name
TD Securities
Canaccord Genuity Corp
Stonegate Securities Inc
Cowen Securities LLC
EVA Dimensions
Portfolio Name
n/a
n/a
n/a
GILDER GAGNON HOWE
n/a
VANGUARD GROUP INC
Multiple Portfolios
n/a
SPROTT INC
n/a
NORTHERN TRUST CORPO
GLOBAL X MANAGEMENT
SUSQUEHANNA INTERNAT
PEAK6 INVESTMENTS LP
n/a
SPOT TRADING LLC
DIMENSIONAL FUND ADV
Multiple Portfolios
Multiple Portfolios
GROUP ONE TRADING LP
Analyst
DANIEL EARLE
NICHOLAS CAMPBELL
MARCO RODRIGUEZ
ADAM P GRAF
CRAIG STERLING
Source
Form 4
13D
ULT-AGG
13F
ULT-AGG
13F
MF-AGG
Form 4
13F
ULT-AGG
13F
13F
13F
13F
13D
13F
13F
MF-AGG
MF-AGG
13F
Recommendation
reduce
hold
no rating system
buy
overweight
Amt Held
4'483'944
3'582'746
2'392'464
1'707'720
1'477'047
1'065'344
706'350
540'756
513'400
494'651
465'908
448'749
410'887
409'864
357'044
301'696
290'947
223'748
204'626
204'198
% Out
10.36
8.28
5.53
3.95
3.41
2.46
1.63
1.25
1.19
1.14
1.08
1.04
0.95
0.95
0.83
0.7
0.67
0.52
0.47
0.47
Weighting
Change
2
3
#N/A N/A
5
5
M
M
N
M
U
Latest Chg
1'365'794
715'584
(185'445)
62'733
(449'632)
285'700
(48'900)
(200)
61'833
193'061
(372'712)
221'660
164'191
35'275
(127'252)
97'999
Target Price
1
4
#N/A N/A
10
#N/A N/A
File Dt
Inst Type
19.09.2012
Other
19.09.2012
n/a
29.04.2013
Investment Advisor
31.12.2012
Investment Advisor
26.04.2013
Investment Advisor
31.03.2013
Investment Advisor
30.06.2012
Investment Advisor
14.12.2012
n/a
31.03.2013 Hedge Fund Manager
31.03.2013
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012 Hedge Fund Manager
19.09.2012
Other
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
Date
12 month
12 month
Not Provided
Not Provided
Not Provided
Date
23.04.2013
16.04.2013
10.04.2013
09.04.2013
25.03.2013
30.04.2013
Price/Volume
2
25.0 M
20.0 M
1
1
12/2012
12/yy
1.61
0.16
157'500.00
0.19
-87.89%
18.75%
2.41%
335.2
63.69
3.12
0.0
0.0
11.58
55.23
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
10.0 M
1
0
5.0 M
0
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
15.0 M
Valuation Analysis
31.12.2009
31.12.2010
27.8
58.0
34.61x
19.66x
(29.7)
(18.9)
(29.5)
(24.6)
Profitability
LTM-4Q
31.12.2011
114.1
5.05x
12.5
46.18x
(5.1)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
31.12.2012
142.1
1.76x
35.9
6.96x
(13.2)
35.89
-12.41
-8.73%
-12.29%
-5.23%
-5.91%
0.56%
14.5%
25.2%
-8.7%
-9.3%
1.46
0.86
1.17%
1.34%
11.21
8.33
12/yy
114.1
25.74x
12.5
46.18x
(5.1)
0.00x
LTM
12/yy
142.1
9.22x
35.9
6.96x
(13.2)
0.00x
FY+1
.0 M
a-13
0.00
1.43
323.58
0.65
-86.52%
-75.32%
1.433
7
2.429
1'762'097
1'582'326
2'725'203
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
130.5
169.5
35.3
48.2
1.57x
1.15x
(19.4)
6.3
S&P Issuer Ratings
91.77
-106.87
-0.24
0.09
1.3%
1.3%
0.56
0.72
32.64
43.94
34.65
41.93
Sales/Revenue/Turnover
600.00
160.0
140.0
500.00
120.0
400.00
100.0
80.0
300.00
60.0
200.00
40.0
100.00
0.00
01.01.2010
20.0
0.0
01.07.2010
01.01.2011
01.07.2011
01.01.2012
01.07.2012
01.01.2013
1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
GCIC LTD/CANADA
VAN ECK ASSOCIATES C
UNITED SERVICES AUTO
JOHN HANCOCK ADVISER
SPROTT INC
IG INVESTMENT MANAGE
WYNNE HUGH
FRANKLIN RESOURCES
MANULIFE ASSET MANAG
GLOBAL STRATEGY FINA
TD ASSET MANAGEMENT
FMR LLC
LB SWISS INVESTMENT
SCOTIA ASSET MANAGEM
BHR FUND ADVISORS LP
VANGUARD GROUP INC
GINN DALE
SHARE SICAV
FORUM INVESTMENT ADV
HUBERT BENJAMIN ARTH
Firm Name
BMO Capital Markets
TD Securities
Stonecap Securities Inc
Mackie Research Capital Corp.
CIBC World Markets
National Bank Financial
Cowen Securities LLC
EVA Dimensions
Raymond James
Portfolio Name
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
Multiple Portfolios
Multiple Portfolios
n/a
Analyst
BRIAN QUAST
DANIEL EARLE
CHRISTOS DOULIS
BARRY D ALLAN
COSMOS CHIU
PAOLO LOSTRITTO
ADAM P GRAF
CRAIG STERLING
FORBES GEMMELL
Source
Co File
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
ULT-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
MF-AGG
MF-AGG
SEDI
Recommendation
underperform
hold
underperform
buy
sector underperform
Under Review
hold
hold
Under Review
Amt Held
41'625'000
26'287'480
13'600'000
12'158'575
9'190'700
9'041'600
8'160'002
8'001'200
5'856'803
3'188'303
1'875'000
1'866'900
1'600'000
1'600'000
1'400'000
1'378'186
1'336'140
1'306'600
1'214'755
1'181'200
% Out
12.42
7.84
4.06
3.63
2.74
2.7
2.43
2.39
1.75
0.95
0.56
0.56
0.48
0.48
0.42
0.41
0.4
0.39
0.36
0.35
Weighting
Change
1
3
1
5
1
#N/A N/A
3
3
#N/A N/A
M
M
M
M
M
M
M
U
M
Latest Chg
(1'406'400)
(118'596)
3'200'000
3'980'808
20'500
300'000
45'000
368'089
(193'600)
(140'000)
(300'000)
(40'000)
30'000
176'300
796'340
(50'000)
Target Price
0
0
0
0
1
#N/A N/A
#N/A N/A
#N/A N/A
#N/A N/A
File Dt
Inst Type
30.11.2012
Investment Advisor
29.04.2013
Investment Advisor
30.11.2012
Investment Advisor
28.02.2013
Investment Advisor
31.12.2012 Hedge Fund Manager
31.01.2013
Investment Advisor
24.05.2011
n/a
31.01.2013
Investment Advisor
31.01.2013
Investment Advisor
28.09.2012
Investment Advisor
31.12.2012
Investment Advisor
31.03.2013
Investment Advisor
28.02.2013
Investment Advisor
28.02.2013
Investment Advisor
31.01.2013
Investment Advisor
31.03.2013
Investment Advisor
21.06.2012
n/a
31.12.2012
Investment Advisor
31.12.2012
Investment Advisor
03.05.2011
n/a
Date
Not Provided
12 month
12 month
12 month
Not Provided
Not Provided
Not Provided
Not Provided
Not Provided
Date
24.04.2013
23.04.2013
22.04.2013
19.04.2013
17.04.2013
17.04.2013
09.04.2013
13.02.2013
05.02.2013
30.04.2013
Price/Volume
3
4.0 M
3.5 M
3.0 M
2
12/2012
12/yy
2.47
0.67
31'137.00
0.74
-70.04%
10.45%
3.89%
85.7
63.41
0.00
0.0
0.0
16.83
46.03
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
Price/ Cash Flow
1.20
2.0 M
1.5 M
1.0 M
1
.5 M
0
a-12
m-12
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
Market Data
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
2.5 M
Valuation Analysis
31.12.2009
31.12.2010
0.0
0.0
(2.0)
(8.4)
(1.8)
(8.9)
Profitability
LTM-4Q
31.12.2011
0.0
(31.6)
(30.3)
-
31.12.2012
0.0
(28.5)
(4.8)
-28.53
-29.71
-13.42%
-14.02%
0.00%
9.69
8.98
0.00%
0.00%
0.00
12/yy
0.0
#DIV/0!
(31.6)
0.00x
(30.3)
0.00x
LTM
12/yy
0.0
#DIV/0!
(28.5)
0.00x
(4.8)
0.00x
0.00
1.23
80.61
0.34
-56.73%
-56.47%
1.227
9
4.333
1'509'000
357'094
255'307
FY+1
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1
06/13 Q2
(16.8)
12.7
3.62x
(15.7)
(12.2)
S&P Issuer Ratings
.0 M
a-13
-1875.44
-1968.91
0.00
0.0%
0.0%
0.00
4771.61
-
Sales/Revenue/Turnover
1.0
0.9
1.00
0.8
0.7
0.80
0.60
0.40
0.6
0.5
0.4
0.3
0.2
0.20
0.1
0.0
0.00
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
SUN VALLEY GOLD LLC
VAN ECK ASSOCIATES C
PASSPORT CAPITAL LLC
JP MORGAN
TOCQUEVILLE ASSET MA
FIRST EAGLE INVESTME
BEUTEL GOODMAN & COM
GLOBAL STRATEGY FINA
LITTLE RONALD
HALVORSON MICHAEL
FIRST CANADIAN MUTUA
LOMBARD ODIER DARIER
AGF INVESTMENTS INC
IG INVESTMENT MANAGE
QUANTEX AG
FALCON FUND MANAGEME
MARQUIS PASCAL
FMR LLC
SMITH & WILLIAMSON H
GCIC LTD/CANADA
Firm Name
BMO Capital Markets
Canaccord Genuity Corp
National Bank Financial
Raymond James
CIBC World Markets
Casimir Capital
RBC Capital Markets
Desjardins Securities
GMP
Portfolio Name
n/a
n/a
n/a
n/a
TOCQUEVILLE ASSET MA
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
Multiple Portfolios
n/a
n/a
n/a
Multiple Portfolios
Analyst
ANDREW BREICHMANAS
NICHOLAS CAMPBELL
PAOLO LOSTRITTO
BRAD HUMPHREY
JEFF KILLEEN
STUART MCDOUGALL
JONATHAN GUY
ADAM MELNYK
ANDREW MIKITCHOOK
Source
SEDI
ULT-AGG
Co File
ULT-AGG
13F
MF-AGG
MF-AGG
MF-AGG
SEDI
SEDI
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
MF-AGG
SEDI
ULT-AGG
ULT-AGG
MF-AGG
Recommendation
market perform
speculative buy
outperform
outperform
sector outperform
speculative buy
sector perform
buy
buy
Amt Held
12'024'600
11'225'518
7'183'500
6'459'738
3'425'087
3'307'970
2'117'000
1'926'187
1'840'639
1'431'798
1'121'600
993'762
987'425
899'800
890'000
739'625
658'519
372'100
360'319
302'000
% Out
14.03
13.1
8.38
7.54
4
3.86
2.47
2.25
2.15
1.67
1.31
1.16
1.15
1.05
1.04
0.86
0.77
0.43
0.42
0.35
Weighting
Change
3
4
5
5
5
4
3
5
5
Latest Chg
3'654'500
(1'894'100)
31'400
(18)
6'178
50'000
(12'600)
(20'000)
27'270
302'000
Target Price
M
M
M
M
M
M
M
M
M
File Dt
13.07.2012
29.04.2013
31.12.2011
31.12.2012
31.03.2013
30.09.2012
28.02.2013
28.09.2012
26.04.2012
10.05.2012
30.11.2012
28.02.2013
28.09.2012
31.01.2013
29.03.2013
28.02.2013
17.02.2012
31.03.2013
28.02.2013
31.12.2012
Date
2
2
3
2
3
3
1
4
3
Not Provided
Not Provided
12 month
12 month
Not Provided
12 month
12 month
12 month
12 month
Inst Type
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Investment Advisor
Hedge Fund Manager
Hedge Fund Manager
Investment Advisor
Investment Advisor
n/a
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
n/a
Investment Advisor
Investment Advisor
Investment Advisor
Date
29.04.2013
29.04.2013
29.04.2013
24.04.2013
11.04.2013
09.04.2013
28.03.2013
28.03.2013
28.03.2013
30.04.2013
Price/Volume
Valuation Analysis
Latest Fiscal Year:
LTM as of:
52-Week High (01.05.2012)
52-Week Low (15.04.2013)
Daily Volume
Current Price (4/dd/yy)
52-Week High % Change
52-Week Low % Change
% 52 Week Price Range High/Low
Shares Out 28.03.2013
Market Capitalization
Total Debt
Preferred Stock
Minority Interest
Cash and Equivalents
Enterprise Value
Relative Stock Price Performance
GCM CN EQUITY YTD Change
GCM CN EQUITY YTD % CHANGE
12/2012
12/yy
0.48
0.15
302'940.00
0.17
-64.58%
13.33%
9.09%
382.0
64.94
188.45
0.0
1.0
1.30
252.53
Total Revenue
TEV/Revenue
EBITDA
TEV/EBITDA
Net Income
P/E
31.12.2009
31.12.2010
0.0
0.0
(0.2)
(0.2)
(0.3)
(0.1)
Profitability
j-12
j-12
a-12
s-12
o-12
n-12
d-12
j-13
f-13
m-13
31.12.2012
168.2
1.94x
14.8
22.07x
(36.2)
14.79
-2.07
-1.23%
-23.28%
-5.19%
-8.38%
0.24%
10.8%
8.8%
-1.2%
-21.5%
1.39
0.28
24.61%
44.33%
8.94
7.79
10.0 M
9.0 M
8.0 M
7.0 M
6.0 M
5.0 M
4.0 M
3.0 M
2.0 M
1.0 M
.0 M
a-13
Market Data
LTM-4Q
31.12.2011
137.7
1.81x
1.5
164.64x
(37.0)
-
EBITDA
EBIT
Operating Margin
Pretax Margin
Return on Assets
Return on Common Equity
Return on Capital
Asset Turnover
Margin Analysis
Gross Margin
EBITDA Margin
EBIT Margin
Net Income Margin
Structure
Current Ratio
Quick Ratio
Debt to Assets
Tot Debt to Common Equity
Accounts Receivable Turnover
Inventory Turnover
12/yy
137.7
8.74x
1.5
164.64x
(37.0)
0.00x
LTM
12/yy
168.2
5.87x
14.8
22.09x
(36.2)
0.00x
FY+1
0.00
1.56
310.99
0.18
-62.22%
-52.78%
1.556
2
4.000
581'726
1'055'143
857'060
FY+2
FQ+1
FQ+2
12/13 Y
12/14 Y
03/13 Q1 06/13 Q2
174.0
211.0
2.03x
2.44x
10.0
48.0
25.25x
5.26x
(22.0)
11.0
5.62x
S&P Issuer Ratings
1.68
-4.04
12.67
12.75
44.3%
30.7%
0.24
0.30
40.95
47.00
121.85
-33.90
Sales/Revenue/Turnover
40.00
180.0
35.00
160.0
30.00
140.0
120.0
25.00
100.0
20.00
80.0
15.00
60.0
10.00
40.0
5.00
20.0
0.00
01.05.2009
m-12
Dividend Yield
Beta
Equity Float
Short Int
1 Yr Total Return
YTD Return
Adjusted BETA
Analyst Recs
Consensus Rating
Average Daily Trading Volume
Average Volume 5 Day
- Average Volume 30 Day
- Average Volume 3 Month
1
0
0
0
0
0
0
0
0
0
0
a-12
0.0
01.11.2009
01.05.2010
01.11.2010
01.05.2011
01.11.2011
01.05.2012
01.11.2012
2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011 2012
30.04.2013
All
Holder Name
US GLOBAL INVESTORS
CAPITAL GROUP COMPAN
VAN ECK ASSOCIATES C
FRANKLIN RESOURCES
ICE ROSE HOLDINGS
IACONO SERAFINO
LA CAMPA MIGUEL DE
FMR LLC
TARIBO HOLDINGS
LOPEZ AUGUSTO
TOSCA ASSETS CORP
ORINOQUIA BELT CA
DAVIES MICHAEL MONIE
HOLLENCREST SECURITI
TD ASSET MANAGEMENT
TORINO CONSULTANTS
MARTINEZ TO HERNAN J
VOLK PETER
PACHECO MARIO
EAST DONALD
Firm Name
GMP
Interbolsa SA
Portfolio Name
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
n/a
HOLLENCREST SECURITI
Multiple Portfolios
n/a
n/a
n/a
n/a
n/a
Analyst
GEORGE V ALBINO
GABRIEL BAYONA
Source
PROXY
ULT-AGG
ULT-AGG
ULT-AGG
SEDI
SEDI
SEDI
ULT-AGG
SEDI
SEDI
SEDI
SEDI
SEDI
13F
MF-AGG
SEDI
Co File
SEDI
Co File
SEDI
Recommendation
speculative buy
speculative buy
Amt Held
47'135'169
30'175'000
24'420'817
12'500'000
8'150'000
4'700'416
3'803'773
1'765'000
1'284'500
1'090'250
1'000'000
665'621
591'873
466'500
439'086
400'000
360'000
334'500
325'000
258'000
% Out
12.34
7.9
6.39
3.27
2.13
1.23
1
0.46
0.34
0.29
0.26
0.17
0.15
0.12
0.11
0.1
0.09
0.09
0.09
0.07
Weighting
Change
4
4
Latest Chg
(110'040)
(826'700)
99'000
165'000
133'000
23'500
586'500
130'000
20'000
60'000
Target Price
M
M
File Dt
17.04.2012
31.03.2013
29.04.2013
31.01.2013
25.09.2012
27.09.2012
20.02.2013
31.03.2013
28.01.2013
12.09.2012
30.08.2012
23.08.2012
21.08.2012
31.12.2012
31.12.2012
15.11.2010
26.03.2013
30.08.2012
26.03.2013
06.02.2012
Date
1
2
12 month
Not Provided
Inst Type
Investment Advisor
Investment Advisor
Investment Advisor
Investment Advisor
Holding Company
n/a
n/a
Investment Advisor
Holding Company
n/a
Other
Other
n/a
Investment Advisor
Investment Advisor
Other
n/a
n/a
n/a
n/a
Date
16.04.2013
23.10.2012