Overall verdict
Neutral
6.4/10
1-year performance
+9.69%
Score breakdown
Up 9.7% over 1 year, 64% of the 52-week range.
Strongest: Financial strength 9.7/10. Weakest: Profitability 4.4/10.
13 analysts, target +0.3% vs the price.
B2Gold Corp. operates as a gold producer company in Canada. The company operates the Fekola Mine in Mali; the Masbate Mine in the Philippines; the Otjikoto Mine in Namibia; the Goose Mine in Canada. It also owns 100% interest in the Gramalote gold project in Colombia. In addition, the company has a portfolio of other evaluation and exploration assets in Mali, Canada and Finland. The company was incorporated in 2006 and is headquartered in Vancouver, Canada.
Sector
Materials
Industry
Metals and Mining
Primary listing
Tsx
Canada
CEO
Michael Cinnamond
Founded
2006
Employees
6 327
Revenue / employee
492 307 USD
Next earnings
November 4, 2026 (estimated)
Research uses the underlying stock’s market history. The purchase quote is calculated separately when you review your order.
52-week high
6.29 USD
52-week low
3.57 USD
1-year performance
9.69%
Rising
Year-to-date performance
18.22%
Rising
Drawdown
-15.35%
Marked drawdown
Position in the 52-week range
64% of range
Against the world ETF
Over 17 years, from September 2009 to August 2026, the share did not do better than the world ETF once risk is accounted for. It earned more, but shaking 4.1 times harder: for the risk taken, the ETF paid better.
10,000 € placed at the end of September 2009 are worth today
| B2Gold | 119 180 € |
| World ETF | 74 620 € |
| S&P 500 | 123 025 € |
| Risk-free placement | 11 288 € |
The risk
- Shaking:the share moves 4.1 times as much as the world ETF.
- Worst fall:-78 % between October 2012 and January 2016. 10,000 € placed at the top fell to 2 165 €. The world ETF, at worst: -34 %. Back to its high in 43 months.
B2Gold earned more than the world ETF since 2009
Value of 10,000 euros placed at the end of September 2009, dividends reinvested, in euros
- B2Gold: 119 180 €
- World ETF: 74 620 €
- S&P 500: 123 025 €
- Risk-free placement: 11 288 €
Based on past performance. This is not a recommendation.
Range: 12.27 USD - 13.91 USD (comparables only)
The price implies growth of 15.42% per year; the company grows at -10.00%.
Gross margin 49.1%, net margin 21.3%, ROIC 19.8%, ROE 22.1%.
Net margin
21.35%
Fair
Sector 26.62%|S&P 12.97%
Gross margin
49.13%
Fair
Return on equity (ROE)
22.11%
Fair
Sector 19.72%|S&P 16.52%
Return on invested capital (ROIC)
19.83%
Fair
Free cash flow margin (FCF)
4.33%
Low
Profit-to-cash conversion (FCF conversion)
0.20x
Low
Margin stability
19.9 pts
Very uneven
Revenue to net income
Growth
6.3/10Revenue up 14.0% over 1 year, 12.3% a year over 5.
Revenue (trailing 12 months)
3.7Md USD
Revenue growth (1y)
14.00%
Moderate
Revenue growth (3y)
89.64%
Strong
EPS growth (1y)
—
EPS CAGR (5y)
—
EPS revisions (3 months)
-24.89%
Sharply revised down
Valuation
7.6/10P/E 10.0x, forward P/E 6.5x, EV/EBITDA 3.3x, PEG 0.06. The multiple sits in the 73th percentile of its own 5-year history.
P/E (TTM)
10.0x
Fair
Sector 14.7x|S&P 23.0x
Forward P/E
6.5x
Fair
EV / EBITDA
3.3x
Cheap
Sector 8.4x|S&P 14.5x
PEG
0.06
Growth unpriced
Sector 0.11|S&P 0.86
Fair value (reverse DCF)
13.09 USD
Deeply undervalued
P/E vs its own 5-year history
among the 27% highest valuations
Pricier than usual
Market cap
7.1Md USD
Financial strength
9.7/10Cash covers 63.6% of the debt, net debt/EBITDA 0.1x.
Net debt / EBITDA
0.1x
Very solid
Gearing (net debt / equity)
4.15%
Very solid
Cash
290M USD
Cash / market cap
4.10%
Tight
Cash / total debt
63.59%
Very solid
Interest coverage
197.5x
Very solid
Net debt
166M USD
Equity
4.0Md USD
Closed daily candles, 2 years
Last close on September 24, 2026: 5.32 USD
- MM205.43
- MM504.89
- MM2004.76
- RSI 1451.0
Top panel: closed candles, 20, 50 and 200-day moving averages, with volume in grey. Bottom panel: 14-day RSI with dashed 30 and 70 levels.
200-day average slope, 1 month
+2.85%
200-day average slope, 3 months
+0.13%
50-day average slope, 1 month
+14.21%
Price structure
Lower lows
Bullish RSI divergence
Yes
20-day volatility
3.09 % per day
Volatility change
-17.53%
Forecasts by fiscal year
| Fiscal year | EPS | Normalised EPS | Revenue | EBITDA | Net income |
|---|---|---|---|---|---|
| 2026 | 0.82 (4) | 0.52 (10) | 3 781 (8) | 2 150 (8) | 1 049 (6) |
| 2027 | 1.20 (6) | 1.07 (11) | 4 517 (8) | 2 819 (8) | 1 524 (6) |
Amounts in millions of USD, EPS in USD per share. In brackets, the number of analysts. Consensus as of September 21, 2026.
Same sub-industry: 150 companies behind the medians.
| # | Company | Code | Country | Overall / 10 | Fundamentals / 10 | Mkt cap | P/E | Net margin | Revenue growth | ROIC | Net debt / EBITDA | FCF yield | 1-year perf. |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1 | AU | 7.7 | 8.0 | 49.9Md USD | 13.2x | 32.2 % | 27.0 % | 37.6 % | -0.1x | 8.5 % | 41.8 % | ||
| 2 | GFI | 7.1 | 8.8 | 36.0Md USD | 8.1x | 39.6 % | 64.0 % | 44.0 % | 0.3x | 12.6 % | -8.4 % | ||
| 3 | 2259 | 7.0 | 8.2 | 50.0Md USD | 19.0x | 34.3 % | 79.9 % | 36.7 % | -0.9x | 6.2 % | 27.1 % | ||
| 4 | ABX | 6.8 | 7.6 | 69.8Md USD | 11.1x | 31.6 % | 44.6 % | 21.1 % | -0.2x | 7.9 % | 24.9 % | ||
| 5 | NEM | 6.7 | 6.3 | 130Md USD | 15.6x | 34.0 % | 16.9 % | 21.4 % | -0.2x | 7.5 % | 43.5 % | ||
| 6 | AEM | 6.5 | 6.9 | 99.6Md USD | 17.2x | 40.4 % | 29.4 % | 22.4 % | -0.3x | 4.4 % | 21.6 % | ||
| 7 | BTO | 6.4 | 6.6 | 7.1Md USD | 10.0x | 21.3 % | 14.0 % | 19.8 % | 0.1x | 2.3 % | 9.7 % | ||
| 8 | FNV | 5.5 | 5.4 | 50.1Md USD | 34.7x | 63.8 % | 57.2 % | 19.7 % | -0.4x | 1.8 % | 23.7 % | ||
| 9 | WPM | 5.4 | 5.0 | 66.0Md USD | 32.9x | 64.6 % | 84.6 % | 20.9 % | -0.6x | -4.3 % | 36.5 % |
