Symbols / ODV Stock $3.05 -8.41% Osisko Development Corp.

Basic Materials • Gold • Canada • NYQ
ODV (Stock) Chart
O: — H: — L: — C: — V: —
SMA 20: SMA 50: SMA 200:
Stock Fundamentals
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Index EQUITY
Sector Basic Materials
Industry Gold
CEO Mr. Sean E. O. Roosen Eng.
Exch · Country NYQ · Canada
Market Cap 929.02M
Enterprise Value 491.08M
Income -93.79M
Sales 37.69M
FCF (ttm) -25.44M
Book/sh 1.94
Cash/sh 1.95
Employees
Insider 10d
IPO Apr 16, 2008
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 0.00%
P/E
Forward P/E
PEG
P/S 24.65
P/B 1.57
P/C
EV/EBITDA -11.34
EV/Sales 13.03
Quick Ratio 2.32
Current Ratio 2.37
Debt/Eq 15.89
LT Debt/Eq
EPS (ttm) -0.40
EPS next Y
EPS Growth
Revenue Growth
EPS Gr Q/Q
Rev Gr Q/Q
Earnings (next) 2026-05-11
Earnings (prior) 2026-05-11
ROA -2.58%
ROE -12.39%
ROIC
Gross Margin 61.46%
Oper. Margin -4.14%
Profit Margin -189.60%
Shs Outstand 304.60M
Shs Float 153.09M
Insider Own 27.55%
Instit Own 46.92%
Short Float
Short Ratio 4.27
Short Interest 9.13M
52W High 4.79
vs 52W High -36.39%
52W Low 1.79
vs 52W Low 70.39%
Beta 1.87
Impl. Vol. 31.19%
Rel Volume 0.81
Avg Volume 2.23M
Volume 1.80M
Target (mean) $6.50
Tgt Median $6.50
Tgt Low $6.50
Tgt High $6.50
# Analysts 1
Recom Strong_buy
Prev Close $3.33
Price $3.05
Change -8.41%
About

Osisko Development Corp., together with its subsidiaries, acquires, explores, and develops precious metals resource properties in Canada, Mexico, and the United States. The company explores for precious and base metal, gold, silver, lithium, copper, lead, and zinc deposits. Its flagship asset is the 100% owned Cariboo Gold Project, which covers an area of approximately 192,000 hectares consisting of 443 mineral and placer titles located in British Columbia, Canada. The company also holds a portfolio of marketable securities. Osisko Development Corp. is headquartered in Montreal, Canada.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$3.05
Low
$6.50
High
$6.50
Mean
$6.50
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-10 Dann (Alexander) Senior Officer of Issuer 15,348 $3.29 $50,464
2026-04-10 Farmer (Laurence) Senior Officer of Issuer 5,756 $3.29 $18,925
2026-04-10 Lodder, Chris Andrea Senior Officer of Issuer 18,610 $3.29 $61,189
2026-04-10 Roosen (Sean E O) Director of Issuer 30,132 $3.29 $99,074
2026-02-03 Brand Name GP, LLC 10% Security Holder of Issuer 8,080,000 $3.54 $28,603,200
2026-02-03 Double Zero Capital, LP 10% Security Holder of Issuer 8,080,000 $3.54 $28,603,200
2026-02-03 Hou (Wen) 10% Security Holder of Issuer 8,080,000 $3.54 $28,603,200
2026-02-02 Harrison (Harrison) Senior Officer of Issuer 0
2025-12-31 Dann (Alexander) Senior Officer of Issuer 7,405 $2.36 $17,483
2025-12-31 Farmer (Laurence) Senior Officer of Issuer 2,962 $2.36 $6,993
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
35.48
+678.03%
4.56
-85.58%
31.62
-50.62%
64.05
Operating Revenue
35.48
+678.03%
4.56
-85.58%
31.62
-50.62%
64.05
Cost Of Revenue
13.86
+172.84%
5.08
-84.38%
32.51
-42.77%
56.81
Reconciled Cost Of Revenue
13.86
+172.84%
5.08
-84.38%
32.51
-42.77%
56.81
Gross Profit
21.62
+4274.32%
-0.52
+41.60%
-0.89
-112.26%
7.24
Operating Expense
75.24
+34.05%
56.13
-20.02%
70.18
-26.20%
95.10
Selling General And Administration
28.38
+4.61%
27.13
-31.92%
39.85
+31.83%
30.23
General And Administrative Expense
28.38
+4.61%
27.13
-31.92%
39.85
+31.83%
30.23
Salaries And Wages
12.67
+6.40%
11.91
-45.91%
22.01
+29.86%
16.95
Other Gand A
10.90
+3.97%
10.48
-17.49%
12.71
+22.17%
10.40
Other Operating Expenses
46.86
+61.59%
29.00
-4.38%
30.33
-53.25%
64.87
Total Expenses
89.09
+45.56%
61.21
-40.40%
102.69
-32.40%
151.91
Operating Income
-53.62
+5.35%
-56.65
+20.29%
-71.07
+19.12%
-87.86
Total Operating Income As Reported
-81.72
-30.99%
-62.39
+70.21%
-209.44
+10.61%
-234.30
EBITDA
-146.59
-266.55%
-39.99
+77.72%
-179.49
-3.50%
-173.42
Normalized EBITDA
-37.38
+9.35%
-41.23
+26.97%
-56.46
+22.65%
-72.99
Reconciled Depreciation
6.28
-19.62%
7.81
-32.21%
11.53
-0.39%
11.57
EBIT
-152.87
-219.78%
-47.80
+74.97%
-191.01
-3.25%
-184.99
Total Unusual Items
-109.21
-8885.92%
1.24
+101.01%
-123.03
-22.50%
-100.43
Total Unusual Items Excluding Goodwill
-109.21
-8885.92%
1.24
+101.01%
-123.03
-22.50%
-100.43
Special Income Charges
-28.11
-389.60%
-5.74
+95.85%
-138.37
+5.51%
-146.44
Impairment Of Capital Assets
5.74
-95.85%
138.37
-1.16%
140.00
Restructuring And Mergern Acquisition
0.00
-100.00%
6.44
Write Off
28.11
+389.60%
5.74
-95.85%
138.37
-1.16%
140.00
Net Income
-169.01
-95.74%
-86.34
+52.53%
-181.87
+5.50%
-192.46
Pretax Income
-159.54
-181.85%
-56.60
+72.31%
-204.39
-7.15%
-190.75
Net Non Operating Interest Income Expense
2.16
+142.64%
-5.07
+40.71%
-8.54
-114.40%
-3.98
Interest Expense Non Operating
6.67
-24.19%
8.80
-34.21%
13.38
+132.22%
5.76
Net Interest Income
2.16
+142.64%
-5.07
+40.71%
-8.54
-114.40%
-3.98
Interest Expense
6.67
-24.19%
8.80
-34.21%
13.38
+132.22%
5.76
Interest Income Non Operating
8.83
+136.47%
3.73
-22.73%
4.83
+172.18%
1.78
Interest Income
8.83
+136.47%
3.73
-22.73%
4.83
+172.18%
1.78
Other Income Expense
-108.08
-2215.96%
5.11
+104.09%
-124.78
-26.16%
-98.91
Other Non Operating Income Expenses
1.02
-78.49%
4.73
+509.43%
-1.16
-153.37%
2.17
Gain On Sale Of Security
-81.10
-1261.24%
6.98
-54.49%
15.35
-66.65%
46.01
Tax Provision
-0.07
-110.19%
0.65
+102.88%
-22.52
-1419.87%
1.71
Tax Rate For Calcs
0.00
-99.72%
0.00
+36.16%
0.00
-57.97%
0.00
Tax Effect Of Unusual Items
-0.05
-124.23%
0.19
+101.38%
-13.55
+48.51%
-26.32
Net Income Including Noncontrolling Interests
-169.01
-95.74%
-86.34
+52.53%
-181.87
+5.50%
-192.46
Net Income From Continuing Operation Net Minority Interest
-159.47
-178.54%
-57.25
+68.52%
-181.87
+5.50%
-192.46
Net Income From Continuing And Discontinued Operation
-169.01
-95.74%
-86.34
+52.53%
-181.87
+5.50%
-192.46
Net Income Continuous Operations
-159.47
-178.54%
-57.25
+68.52%
-181.87
+5.50%
-192.46
Net Income Discontinuous Operations
-9.54
+67.21%
-29.09
Normalized Income
-50.31
+13.72%
-58.31
+19.46%
-72.40
+38.83%
-118.35
Net Income Common Stockholders
-169.01
-95.74%
-86.34
+52.53%
-181.87
+5.50%
-192.46
Diluted EPS
-0.92
+58.37%
-2.21
+26.82%
-3.02
Basic EPS
-0.92
+58.37%
-2.21
+26.82%
-3.02
Basic Average Shares
93.83
+13.78%
82.47
+29.26%
63.80
Diluted Average Shares
93.83
+13.78%
82.47
+29.26%
63.80
Diluted NI Availto Com Stockholders
-169.01
-95.74%
-86.34
+52.53%
-181.87
+5.50%
-192.46
Earnings From Equity Interest
0.11
+112.44%
-0.87
-44.91%
-0.60
+6.55%
-0.64
Gain On Sale Of PPE
0.00
Insurance And Claims
4.81
+1.54%
4.74
-7.66%
5.13
+78.28%
2.88
Line Item Trend 2023-12-31
Total Assets
763.88
Current Assets
67.71
Cash Cash Equivalents And Short Term Investments
43.45
Cash And Cash Equivalents
43.45
Cash Financial
43.45
Receivables
3.95
Accounts Receivable
2.71
Other Receivables
0.24
Taxes Receivable
0.85
Accrued Interest Receivable
0.15
Inventory
7.20
Raw Materials
6.75
Work In Process
0.46
Finished Goods
0.46
Restricted Cash
2.42
Assets Held For Sale Current
5.37
Other Current Assets
5.31
Total Non Current Assets
696.17
Net PPE
625.19
Gross PPE
764.46
Accumulated Depreciation
-139.27
Land And Improvements
31.62
Machinery Furniture Equipment
88.56
Construction In Progress
11.40
Other Properties
Investments And Advances
32.43
Long Term Equity Investment
13.03
Other Investments
Non Current Accounts Receivable
20.71
Non Current Deferred Assets
0.47
Non Current Prepaid Assets
6.08
Other Non Current Assets
17.37
Total Liabilities Net Minority Interest
178.69
Current Liabilities
57.33
Payables And Accrued Expenses
25.38
Payables
15.81
Accounts Payable
10.58
Other Payable
5.23
Current Accrued Expenses
9.57
Total Tax Payable
0.00
Income Tax Payable
0.00
Current Debt And Capital Lease Obligation
12.87
Current Debt
11.82
Other Current Borrowings
11.82
Current Capital Lease Obligation
1.05
Current Deferred Liabilities
3.33
Current Deferred Revenue
0.02
Other Current Liabilities
11.55
Total Non Current Liabilities Net Minority Interest
121.36
Long Term Debt And Capital Lease Obligation
5.73
Long Term Debt
5.10
Long Term Capital Lease Obligation
0.62
Long Term Provisions
72.53
Non Current Deferred Liabilities
42.24
Non Current Deferred Revenue
31.70
Non Current Deferred Taxes Liabilities
0.00
Other Non Current Liabilities
0.86
Stockholders Equity
585.19
Common Stock Equity
585.19
Capital Stock
1,080.05
Common Stock
1,080.05
Share Issued
84.10
Ordinary Shares Number
84.10
Treasury Shares Number
0.00
Additional Paid In Capital
18.72
Retained Earnings
-510.91
Gains Losses Not Affecting Retained Earnings
-14.53
Other Equity Adjustments
-14.53
Total Equity Gross Minority Interest
585.19
Total Capitalization
590.29
Working Capital
10.38
Invested Capital
602.11
Total Debt
18.60
Capital Lease Obligations
1.67
Net Tangible Assets
585.19
Tangible Book Value
585.19
Available For Sale Securities
19.39
Current Provisions
4.20
Derivative Product Liabilities
11.55
Financial Assets Designatedas Fair Value Through Profitor Loss Total
0.00
Investmentin Financial Assets
19.39
Investmentsin Associatesat Cost
13.03
Other Equity Interest
11.86
Other Inventories
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
-25.00
+52.21%
-52.30
-19.46%
-43.78
+12.88%
-50.26
Cash Flow From Continuing Operating Activities
-27.87
+35.54%
-43.24
+1.25%
-43.78
+12.88%
-50.26
Cash From Discontinued Operating Activities
2.87
+131.68%
-9.07
Net Income From Continuing Operations
-159.47
-178.54%
-57.25
+68.52%
-181.87
+5.50%
-192.46
Depreciation Amortization Depletion
6.28
-19.62%
7.81
-32.21%
11.53
-0.39%
11.57
Depreciation
6.28
-19.62%
7.81
-32.21%
11.53
-0.39%
11.57
Depreciation And Amortization
6.28
-19.62%
7.81
-32.21%
11.53
-0.39%
11.57
Other Non Cash Items
24.63
+376.18%
5.17
+123.94%
-21.60
-179.29%
27.24
Stock Based Compensation
4.00
+17.05%
3.41
-56.54%
7.86
+5.63%
7.44
Provisionand Write Offof Assets
0.00
Asset Impairment Charge
28.11
+389.60%
5.74
-96.66%
171.97
+22.84%
140.00
Deferred Tax
-0.54
-183.80%
0.65
+102.86%
-22.64
-1427.32%
1.71
Deferred Income Tax
-0.54
-183.80%
0.65
+102.86%
-22.64
-1427.32%
1.71
Operating Gains Losses
77.54
+1133.23%
-7.50
+45.58%
-13.79
+61.93%
-36.22
Gain Loss On Investment Securities
88.44
+553.60%
-19.50
-329.92%
-4.54
+87.70%
-36.86
Unrealized Gain Loss On Investment Securities
-1.09
-197.81%
-0.37
-2714.29%
0.01
-97.08%
0.48
Net Foreign Currency Exchange Gain Loss
-10.79
-196.96%
11.12
+212.88%
-9.86
0.00
Change In Working Capital
-7.32
-713.44%
-0.90
-118.93%
4.75
+147.49%
-10.01
Change In Receivables
-6.78
-530.46%
1.58
-80.99%
8.29
+12.01%
7.40
Change In Inventory
2.57
+281.60%
0.67
+133.27%
-2.03
-164.09%
3.16
Change In Payables And Accrued Expense
-2.73
+7.61%
-2.96
+10.26%
-3.29
+73.53%
-12.44
Change In Other Current Assets
-0.38
-94.36%
-0.20
-110.93%
1.78
+121.94%
-8.13
Investing Cash Flow
-102.79
-191.72%
-35.23
+46.66%
-66.06
+54.73%
-145.92
Cash Flow From Continuing Investing Activities
-102.78
-178.16%
-36.95
+44.07%
-66.06
+54.73%
-145.92
Cash From Discontinued Investing Activities
-0.01
-100.64%
1.71
Net PPE Purchase And Sale
-95.34
-204.46%
-31.32
+43.22%
-55.15
+28.71%
-77.36
Purchase Of PPE
-95.87
-164.10%
-36.30
+34.18%
-55.15
+28.71%
-77.36
Sale Of PPE
0.53
-89.33%
4.99
0.00
Capital Expenditure
-95.87
-164.10%
-36.30
+34.18%
-55.15
+28.71%
-77.36
Net Investment Purchase And Sale
1.87
-39.19%
3.08
-27.49%
4.24
-81.04%
22.37
Purchase Of Investment
-1.20
0.00
0.00
+100.00%
-0.21
Sale Of Investment
3.07
-0.16%
3.08
-27.49%
4.24
-81.22%
22.59
Net Business Purchase And Sale
-2.00
-346.43%
-0.45
0.00
+100.00%
-67.43
Purchase Of Business
-2.00
-346.43%
-0.45
0.00
+100.00%
-67.43
Net Other Investing Changes
-7.31
+11.56%
-8.26
+45.47%
-15.15
+35.52%
-23.50
Financing Cash Flow
446.84
+207.17%
145.47
+204.40%
47.79
-81.22%
254.53
Cash Flow From Continuing Financing Activities
446.86
+207.16%
145.48
+204.42%
47.79
-81.22%
254.53
Net Issuance Payments Of Debt
102.99
+349.00%
22.94
+9024.90%
-0.26
-104.31%
5.97
Issuance Of Debt
141.70
+112.16%
66.79
+905.24%
6.64
-62.62%
17.77
Repayment Of Debt
-38.71
+11.73%
-43.85
-535.43%
-6.90
+41.54%
-11.80
Long Term Debt Issuance
141.70
+112.16%
66.79
+905.24%
6.64
-62.62%
17.77
Long Term Debt Payments
-38.71
+11.73%
-43.85
-535.43%
-6.90
+41.54%
-11.80
Net Long Term Debt Issuance
102.99
+349.00%
22.94
+9024.90%
-0.26
-104.31%
5.97
Net Common Stock Issuance
362.95
+185.88%
126.96
+144.64%
51.90
-79.72%
255.86
Proceeds From Stock Option Exercised
3.57
0.00
0.00
Net Other Financing Charges
-22.64
-412.79%
-4.42
-14.70%
-3.85
+47.25%
-7.30
Changes In Cash
319.06
+450.76%
57.93
+193.35%
-62.06
-206.35%
58.35
Effect Of Exchange Rate Changes
-3.34
-163.48%
5.27
+1319.44%
-0.43
-103.05%
14.18
Beginning Cash Position
106.65
+145.43%
43.45
-58.98%
105.94
+217.13%
33.41
End Cash Position
422.28
+295.94%
106.65
+145.43%
43.45
-58.98%
105.94
Free Cash Flow
-120.87
-36.41%
-88.61
+10.44%
-98.94
+22.48%
-127.62
Common Stock Issuance
362.95
+185.88%
126.96
+144.64%
51.90
-79.72%
255.86
Earnings Losses From Equity Investments
-0.11
-112.44%
0.87
+44.91%
0.60
-6.55%
0.64
Issuance Of Capital Stock
362.95
+185.88%
126.96
+144.64%
51.90
-79.72%
255.86
Other Cash Adjustment Outside Changein Cash
-0.08
0.00
Cash From Discontinued Financing Activities
-0.02
-80.00%
-0.01
SEC Filings

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