Sprott Inc

Sprott Inc(SII)股票分析

$127.070

-4.613 (-3.63%)收盘时

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High
131.380
Open
128.310
VWAP
128.35
Vol
159.02K
Mkt Cap
1.06B
Low
126.595
Amount
20.41M
EV/EBITDA, TTM
12.22

Sprott Inc. is a Canada-based global asset manager focused on precious metals and critical materials investments. Its investment strategies include exchange-listed products, managed equities and private strategies. Its segments include Exchange listed products, Managed equities, Private strategies and Corporate. The Exchange listed products segment provides management services to its closed-end physical trusts and exchange-traded funds (ETFs). The Managed equities segment provides management services to its alternative investment strategies managed in-house and on a sub-advisory basis. The Private strategies segment provides lending and streaming activities through limited partnership vehicles. Its Corporate segment provides capital, balance sheet management and enterprise shared services to its subsidiaries. Its subsidiaries include Sprott Asset Management LP, Sprott U.S. Holdings Inc., Sprott Resource Streaming and Royalty Corporation, Sprott Resource Lending Corp. and others.

sprott.com

AI analysis of Sprott Inc (SII)

buy

Sprott Inc. is a good buy right now due to its strong financial performance and positive market sentiment. The current price is $132.95, and the company reported a significant net income of $34.26 million for Q2, translating to an EPS of $1.33, which is a substantial increase from last year's $0.52. Additionally, the forward P/E ratio is 26.11, suggesting reasonable valuation compared to its growth potential. The main risk is the recent decline in Assets Under Management (AUM), which decreased by 15% to $55.6 billion, primarily due to market volatility in precious metals.

估值指标

The current forward P/E ratio for Sprott Inc (SII) is 26.04, compared to its 5-year average forward P/E of 23.54.

Forward P/E

Fair
5Y Average P/E
23.54
Current P/E
26.04
高估
26.96
低估
20.11

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
13.68
Current EV/EBITDA
12.22
高估
16.39
低估
10.96

Forward P/S

Fair
5Y Average P/S
6.18
Current P/S
7.42
高估
7.49
低估
4.87

Whales holding SII

C

CWA Asset Management Group, LLC

+ HoldingSII

+2.94%

3M Return

H

Horizon Kinetics Holding Corporation

+ HoldingSII

-2.78%

3M Return

事件时间线

2026-08-05 (ET)

07:30:00

Sprott Reports Q2 Revenue of $80.22M, Below Consensus

2026-05-06 (ET)

07:40:00

Sprott Reports Q1 Revenue of $142.95M, Beating Consensus

2026-03-06 (ET)

07:10:00

Sprott Receives Approval for Normal Course Issuer Bid from Toronto Stock Exchange

2026-02-19 (ET)

07:10:00

Sprott Reports Q4 Revenue of $111.4M

2025-11-05 (ET)

07:12:51

Sprott announces Q3 earnings per share of 51 cents, below consensus estimate of 66 cents.

资讯

SII FAQ — answered by Alphio AI

Sprott Inc. is a Canada-based global asset manager focused on precious metals and critical materials investments. Its investment strategies include exchange-listed products, managed equities and private strategies. Its segments include Exchange listed products, Managed equities, Private strategies and Corporate. The Exchange listed products segment provides management services to its closed-end physical trusts and exchange-traded funds (ETFs). The Managed equities segment provides management services to its alternative investment strategies managed in-house and on a sub-advisory basis. The Private strategies segment provides lending and streaming activities through limited partnership vehicles. Its Corporate segment provides capital, balance sheet management and enterprise shared services to its subsidiaries. Its subsidiaries include Sprott Asset Management LP, Sprott U.S. Holdings Inc., Sprott Resource Streaming and Royalty Corporation, Sprott Resource Lending Corp. and others. It operates in the Financials sector.

Sprott Inc. is a good buy right now due to its strong financial performance and positive market sentiment. The current price is $132.95, and the company reported a significant net income of $34.26 million for Q2, translating to an EPS of $1.33, which is a substantial increase from last year's $0.52. Additionally, the forward P/E ratio is 26.11, suggesting reasonable valuation compared to its growth potential. The main risk is the recent decline in Assets Under Management (AUM), which decreased by 15% to $55.6 billion, primarily due to market volatility in precious metals.

本页仅供研究参考,不构成投资建议。模型可能出错。过往表现不代表未来结果。

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