# Ssr Mining Inc. (SSRM)

**Exchange:** NASDAQ  
**Sector:** Basic Materials  
**Market cap:** $5.48B  
**Price:** $25.27 (+2.89%)

> SSR Mining Inc. is an intermediate gold company focused on the acquisition, exploration, development, and operation of precious metal resource properties across four jurisdictions: the USA, Türkiye, Canada, and Argentina. It operates key assets including the Çöpler mine along the Tethyan belt in Türkiye, the Marigold mine in Nevada, USA, the Cripple Creek & Victor (CC&V) mine in Colorado, USA, the Seabee mine in Saskatchewan, Canada, and the Puna mine in Jujuy, Argentina. The company produces gold doré as well as copper, silver, lead, and zinc concentrates, leveraging expertise in open pit and underground mining, project construction, and processing methods such as pressure oxidation, heap leach, and flotation. SSR Mining Inc. maintains a diversified portfolio in prolific precious metal districts, emphasizing operational efficiency and stakeholder value in the global mining sector. Headquartered in Denver, Colorado, it supports its activities through a strong balance sheet and experienced leadership team.

## Income Statement (Annual, USD)

| Fiscal Year | Revenue | Gross Profit | Operating Income | Net Income | EPS (dil.) |
| --- | --- | --- | --- | --- | --- |
| 2025 | $1.60B | — | $461M | $396M | $1.85 |
| 2024 | $987M | — | -$322M | -$261M | $-1.29 |
| 2023 | $1.42B | — | -$130M | -$98M | $-0.48 |
| 2022 | $1.15B | — | $190M | $194M | $0.89 |
| 2021 | $1.47B | $803M | $444M | $368M | $1.63 |
| 2020 | $853M | $409M | $188M | $152M | $0.96 |
| 2019 | $607M | $257M | $118M | $103M | $0.78 |

## Balance Sheet (Annual, USD)

| Fiscal Year | Total Assets | Total Liabilities | Equity | Cash | Long-term Debt |
| --- | --- | --- | --- | --- | --- |
| 2025 | $6.09B | $1.78B | $3.51B | $525M | $51M |
| 2024 | $5.19B | $1.24B | $3.11B | $388M | $229M |
| 2023 | $5.39B | $1.08B | $3.37B | $492M | $228M |
| 2022 | $5.25B | $1.13B | $3.58B | $655M | $298M |
| 2021 | $5.21B | $1.16B | $3.54B | $1.02B | $367M |
| 2020 | $5.18B | $1.33B | $3.33B | $861M | $438M |
| 2019 | $1.69B | $648M | $1.04B | $504M | — |

## Cash Flow (Annual, USD)

| Fiscal Year | Operating Cash Flow | CapEx | Free Cash Flow |
| --- | --- | --- | --- |
| 2025 | $472M | $230M | $242M |
| 2024 | $40M | $144M | -$103M |
| 2023 | $422M | $223M | $198M |
| 2022 | $161M | $138M | $23M |
| 2021 | $609M | $165M | $444M |
| 2020 | $307M | $139M | $168M |
| 2019 | $118M | $111M | $8M |

Source: [CompaniesByCap](https://companiesbycap.com/company/SSRM)
