OR
Next earnings: Aug 4, 2026
Signal
Mixed11
Price
1
Move-5.08%Selling pressure
Volume
1
Volume1.4× avgNormal activity
Technical
1
RSIRSI 52Momentum positive
PRICE
Prev Close
38.37
Open
36.73
Day Range35.80 – 36.83
35.80
36.83
52W Range23.37 – 48.06
23.37
48.06
53% of range
VOLUME & SIZE
Avg Volume
1.2M
FUNDAMENTALS
P/E Ratio
27.2x
EPS (TTM)
Div Yield
0.02%
Beta
0.55
Low vol
Performance
1D
-5.08%
5D
-3.45%
1M
-9.24%
3M
-14.69%
6M
+12.41%
YTD
+2.91%
1Y
+57.53%
Best: 1Y (+57.53%)Worst: 3M (-14.69%)
Quick Read
TrendInsufficient MA data
Momentum
BULLISH
revenue +52% YoY · 87% gross margin
Valuation
EXPENSIVE
P/E 27x vs ~20x sector
Health
STRONG
CR 4.1 · FCF $0.76/sh
Bullish
Key MetricsTTM
Market Cap$6.83B
Revenue TTM$325.18M
Net Income TTM$253.96M
Free Cash Flow$142.54M
Gross Margin86.9%
Net Margin78.1%
Operating Margin73.3%
Return on Equity16.6%
Return on Assets15.8%
Debt / Equity0.00
Current Ratio4.11
EPS TTM$1.35

Intelligence analysis not yet available for this stock. Full AI-powered analysis may be available on the intelligence page.

Health Radar
4 strong2 watch
71/100
Liquidity
4.11Strong
Leverage
0.00Strong
Coverage
68.0xStrong
ROE
16.6%Strong
ROIC
12.9%Watch
Cash
$142MWatch
ANALYST COVERAGE8 analysts
BUY
+22.2%upside to target
L $38.00
Med $44.50consensus
H $51.00
Buy
563%
Hold
338%
5 Buy (63%)3 Hold (38%)0 Sell (-1%)
Full report →
Stock Health
Composite Score
4 of 5 signals bullish
7/10
Technicals
RSI RangeRSI 52 — Bullish momentum
Volume
Volume FlowDistribution — institutional selling
Fundamentals
Last EarningsBeat estimates
Analyst ConsensusBuy
LiquidityCurrent Ratio 4.11 — healthy liquidity
Upcoming Events
EEarnings ReportMay 17, 2026
Tomorrow
DEx-Dividend DateAug 14, 2026
In 90 days
PDividend PaymentAug 27, 2026
In 103 days
Technicals
Technical SetupBEARISH
Technicals →

Trend

DowntrendGolden Cross · 50D leads 200D by 4.6%

-6.2% vs SMA 50 · -1.9% vs SMA 200

Momentum

RSI52.0
Neutral territory
MACD-0.10
Below zero — bearish pulse · expanding
Market Position
Price Levels
52W High
$48.06+32.0%
EMA 50
$39.11+7.4%
Current
$36.42
EMA 200
$35.93-1.4%
52W Low
$23.37-35.8%
52-Week RangeMid-range
$23.3753th %ile$48.06
Squeeze SetupVolume-based
Distribution Pressure

Distribution pattern detected. More selling days than accumulation over the past 20 sessions. Not a conducive environment for a squeeze.

20-Day Money Flow
Acc days:0
Dist days:2
Edge:+2 dist
Volume Context
Avg Vol (50D)1.2M
Recent Vol (5D)
847K-28%

Based on volume distribution analysis. Direct short interest data (short float %, days to cover) is not available in current data sources.

Earnings & Analysts

ANALYST ESTIMATES

Consensus of 7 analysts
Analyst revisions:EPS↓ Revised DownRevenue↓ Revised Down

Analyst consensus estimates · Actuals replace estimates as reported

YearRevenue Est.Rev GthEPS Est.EPS GthRangeAnalysts
FY2025
$381.6M
$363.1M$400.2M
$1.21
±2%
High7
FY2026(current)
$628.0M
$597.6M$658.7M
+64.6%$2.12+74.6%
±13%
High5
FY2027
$692.0M
$658.5M$725.8M
+10.2%$2.36+11.4%
±13%
High5
Range confidence:Tight (high)ModerateWide (low)
Earnings HistoryOR
Last 8Q
+7.4%avg beat
Beat 6 of 8 quartersMissed 1 Estimates rising
+8%
Q3'24
Q4'24
+14%
Q1'25
+23%
Q2'25
-24%
Q3'25
+16%
Q4'25
+3%
Q1'26
+18%
Q2'26
Beat
Miss
Estimate
Deeper color = bigger beat/miss
Analyst Activity
All ratings →
No recent activity
Raymond JamesMarket Perform → Outperform
Nov 6
UPGRADE
ScotiabankOutperform → Sector Perform
Oct 23
DOWNGRADE
Raymond JamesOutperform → Market Perform
Oct 10
DOWNGRADE
ScotiabankSector Perform → Outperform
Apr 14
UPGRADE
JefferiesBuy
Jul 11
UPGRADE
Zacks Investment Re…Hold
Apr 26
DOWNGRADE
Financials
Dividends0.61% yield
+18.8% avg annual growth
Annual Yield0.61%
Quarterly Div.$0.0650
Est. Annual / Share$0.26
FrequencyQuarterly
Q3'24
Q4'24
Q1'25
Q2'25
Q3'25
Q4'25
Q1'26
Q2'26

Dividend per payment — last 8 periods

INSTITUTIONAL OWNERSHIP

1
ARROWSTREET CAPITAL, LIMITED PARTNERSHIP
3.7M
2
PICTON MAHONEY ASSET MANAGEMENT
3.3M
3
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC
2.4M
4
SPROTT INC.
2.4M
5
Invesco Ltd.
2.1M
6
MACKENZIE FINANCIAL CORP
2.1M
7
Connor, Clark & Lunn Investment Management Ltd.
1.9M
8
VANGUARD FIDUCIARY TRUST CO
1.7M
News & Activity

OR News

20 articles · 4h ago

About

osisko gold royalties ltd is an intermediate precious metal royalty company focused on the americas that commenced activities in june 2014. osisko holds a north american focused portfolio of over 130 royalties, streams and precious metal offtakes. osisko’s portfolio is anchored by five cornerstone assets, including a 5% net smelter return royalty on the canadian malartic mine, which is the largest gold mine in canada. osisko also owns a portfolio of publicly held resource companies, including a 15.5% interest in osisko mining inc., a 12.8% interest in osisko metals incorporated, a 12.7% interest in falco resources ltd. and a 32.7% interest in barkerville gold mines ltd. redevances aurifères osisko ltée est une société de redevances intermédiaire de métaux précieux axée sur les amériques ayant débuté ses activités en juin 2014. osisko détient un portefeuille concentré en amérique du nord qui se compose de plus de 130 redevances, flux de métaux et conventions d’achat de la production de

CEO
Sean Roosen
Country
Canada
Andre Le BelVice President of Legal Affairs & Corporate Secretary
Frederic RuelChief Financial Officer & Vice President of Finance
Grant MoentingVice President of Capital Markets
Peers(7 companies)
Screen sector →
SymbolPriceDay %Mkt CapP/ERev GrwMarginELO
OR
$36.42-5.08%$6.8B26.9+4752.0%7430.1%1500
$404.35-3.20%$2.1T30.5+3296.8%4510.0%1500
$132.58-6.05%$307.9B20.7-44.8%1012.0%1500
$88.38-2.58%$303.7B13.6+318.8%1510.7%1500
$148.08-1.13%$282.6B21.0+597.3%2564.4%1500
$181.58-1.83%$281.6B26.9+862.9%1745.9%1500
$183.40-0.23%$256.1B16.8+213.3%1482.4%1500
Sector avg-2.87%22.3+1428.0%2893.6%1500