Markets · Stocks & ETFs · ADR

Jaguar Mining (OTC: JAGGF)

$3.86-2.03%today

Brazilian ADR trading on the OTC, priced in US dollars. Key figures below are sourced from Yahoo Finance.

Market Cap
$329.38M
P/E (TTM)
P/B
1.3x
EPS (TTM)
$-0.13
Dividend Yield
52-Week Range
$2.75 – $7.05
Volume
2K
Previous Close
$3.94

TTM = trailing twelve months — the most recent 12 months (a rolling window), used for P/E, EPS and dividends. On the tables and charts below, the in-progress current year appears as a “Last 12M” column labelled with the quarter range it covers.

Performance

Today
-2.03%
1 Week
+0.52%
1 Month
-2.82%
YTD
-26.34%
1 Year
+38.85%
5 Years
-14.60%
Jaguar Mining logo

About Jaguar Mining

US Ticker
JAGGF
B3 Ticker
Exchange
OTC
Currency
USD
Sector
Basic Materials
Industry
Gold
Headquarters
Toronto, ON, Canada
Employees
1,146
CEO
Mr. Luis Albano Tondo
Founded

Jaguar Mining Inc., a junior gold mining company, engages in the acquisition, exploration, development, and operation of gold mineral properties in Brazil.

The company's principal project includes the Turmalina Gold Mine Complex and Caeté Gold Mine Complex with mineral claims covering an area of approximately 46,619.08 hectares located in the Iron Quadrangle in the state of Minas Gerais.

It also owns the Paciência Gold Mine complex.

Jaguar Mining Inc. is based in Toronto, Canada.

www.jaguarmining.com

Analyst Ratings

Wall Street consensus · sourced from Yahoo Finance

1.0Strong Buy

On a 1–5 scale: 1 = Strong Buy, 3 = Hold, 5 = Sell. Lower is more bullish.

Financial Results

Revenue, EBITDA and net profit (in USD) with net margin (net profit ÷ revenue).

Financial Health

Margins, leverage and cash-flow quality derived from Jaguar Mining's income statement, balance sheet and cash flow (absolute figures in USD).

ProfitabilityLeverageGrowth

Overall: Financially Strong

Net Margin
-6.2%
ROE
-3.8%
Rev Growth (YoY)
+12.80%
Net Debt / EBITDA
-4.72×
Current Ratio
1.29×
Interest Coverage
-0.17×
Free Cash Flow
616K
Payout Ratio

Income — Margins & Efficiency

MetricLast 12MQ2'25 – Q1'26Δ2025Δ2024Δ2023Δ2022
Revenue$152,471,000+12.8%$135,167,000-14.8%$158,630,000+16.2%$136,528,000-4.2%$142,500,000
Gross profit$86,517,000+19.2%$72,562,000+22.0%$59,500,000+83.2%$32,485,000-14.7%$38,096,000
Operating income$46,456,000+36.4%$34,055,000+24.3%$27,389,000+87.9%$14,575,000-18.4%$17,860,000
EBITDA$13,337,000+224.2%$4,114,000-88.4%$35,430,000-17.6%$42,974,000-13.5%$49,699,000
Net profit-$9,508,000+39.8%-$15,785,000-1126.5%-$1,287,000-108.1%$15,854,000-26.1%$21,440,000
Gross margin56.7%+3.1 p.p.53.7%+16.2 p.p.37.5%+13.7 p.p.23.8%-2.9 p.p.26.7%
Operating margin30.5%+5.3 p.p.25.2%+7.9 p.p.17.3%+6.6 p.p.10.7%-1.9 p.p.12.5%
EBITDA margin8.7%+5.7 p.p.3.0%-19.3 p.p.22.3%-9.1 p.p.31.5%-3.4 p.p.34.9%
Net margin-6.2%+5.4 p.p.-11.7%-10.9 p.p.-0.8%-12.4 p.p.11.6%-3.4 p.p.15.0%
Revenue growth (YoY)12.8%+27.6 p.p.-14.8%-31.0 p.p.16.2%+20.4 p.p.-4.2%
Effective tax rate3.6%-6.8 p.p.10.4%-110.9 p.p.121.2%+127.9 p.p.-6.7%-26.9 p.p.20.2%
Interest coverage-0.17×+90.3%-1.80×-164.5%2.80×-48.3%5.41×-52.6%11.41×

Newest column (“Last 12M”) = trailing 12 months, the last 4 reported quarters — shown with the quarter range it spans; earlier columns are full fiscal years.

Balance Sheet — Health & Leverage

MetricLast 12MQ2'25 – Q1'26Δ2025Δ2024Δ2023Δ2022
Net debt-$63,012,000-8.4%-$58,114,000-47.5%-$39,406,000-143.2%-$16,201,000+11.0%-$18,204,000
Net Debt / Equity-0.25×-6.1%-0.24×-44.3%-0.16×-144.0%-0.07×+19.6%-0.08×
Net Debt / EBITDA-4.72×+66.6%-14.13×-1170.1%-1.11×-195.0%-0.38×-2.9%-0.37×
Debt / Equity0.03×-4.2%0.03×+18.4%0.03×+19.4%0.02×-24.7%0.03×
Current ratio1.29×-4.4%1.34×+8.4%1.24×-10.0%1.38×-11.4%1.56×
Return on equity (ROE)-3.8%+2.6 p.p.-6.4%-5.9 p.p.-0.5%-7.1 p.p.6.6%-3.3 p.p.9.9%
Return on assets (ROA)-2.4%+1.7 p.p.-4.0%-3.7 p.p.-0.4%-5.5 p.p.5.1%-2.3 p.p.7.4%
Book value / share$2.93+2.1%$2.87-4.9%$3.02-0.6%$3.04+1.5%$3.00

Newest column (“Last 12M”) = trailing 12 months, the last 4 reported quarters — shown with the quarter range it spans; earlier columns are full fiscal years.

Net Debt & Leverage

Free Cash Flow

Margins

Dividend Payout Ratio

Capex ÷ Revenue

Cash Conversion (operating cash flow ÷ net income)

Ratios computed from company financial statements. Net Debt = total debt − cash & equivalents; FCF = operating cash flow − capital expenditure; absolute values in USD.

Valuation & Dividends

Dividend History

Dividends and yield from Yahoo Finance (per ADR share, in USD). The current-year figures are calendar year-to-date (dividends actually paid this year), not the trailing 12 months.

Listings

Jaguar Mining trades on 2 exchanges. Prices on this page are the OTC ADR (JAGGF).

ExchangeTickerCurrency
OTCpriced hereJAGGFUSD
Toronto (TSX)JAGCAD

Last updated: 22:07 BRT · Updated hourly during market hours