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Seabridge Gold, Inc., also called Seabridge Gold, is a development stage company, which engages in the acquisition and exploration of gold properties located in North America. Its projects include the Courageous Lake property located in the Northwest Territories, and the Kerr-Sulphurets-Mitchell property located in British Columbia. Read More The company was founded by James S. Anthony and Rudi P. Fronk on September 14, 1979 and is headquartered in Toronto, Canada.
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Environmental Approval for Seabridge Gold's KSM Project Extended
Toronto, Ontario--(Newsfile Corp. - March 26, 2019) - Seabridge Gold (TSX: SEA) (NYSE: SA) announced today that the Environmental Assessment ("EA") certificate for its KSM Project issued by the Province of British Columbia has been extended to July 29, 2024. The original KSM EA certificate was issued by the Province for an initial five year term on July 29, 2014 following a comprehensive independent environmental assessment review. Seabridge initiated the renewal process in October, 2018 following a thoroug...
Seeking AlphaMar 15
Seabridge Reports Progress At Its KSM Project, But Higher Metals Prices Are Still Needed - Seabridge Gold Inc. (NYSE:SA)
Seabridge Gold (SA) reported results of an updated resource estimate for its KSM project. The new estimate was focused on Iron Cap, one of four copper-gold deposits discovered on Seabridge's KSM property (see map below). The KSM property contains huge copper and gold resources and reserves; the problem is that they are deep and they are low grade. Moreover, the projected capex to build the mine is really huge. This is why Seabridge Gold keeps on drilling, although the economic studies were completed and min...
Simply Wall StFeb 26
Seabridge Gold Inc. (TSE:SEA): What Does Its Beta Value Mean For Your Portfolio?
Anyone researching Seabridge Gold Inc. (TSE:SEA) might want to consider the historical volatility of the share price. Volatility is considered to be a measure of risk in modern finance theory. Investors may think of volatility as falling into two main categories. The first type is company specific volatility. Investors use diversification across uncorrelated stocks to reduce this kind of price volatility across the portfolio. The second type is the broader market volatility, which you cannot diversify away,...
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