Basic Materials
Live Price
Offline$215.14
+2.45% today
1Y Change
+33.76%
Window
Jun 30, 2025 โ Jun 18, 2026
Coverage: 244 bars ยท Jun 30, 2025 โ Jun 18, 2026
Research Briefing
A compact read on the setup, peer context, quarterly changes, and recent earnings reaction.
Research Snapshot
Franco-Nevada Corp (FNV) is a Basic Materials stock with a market cap of $45.21B and listed on NYSE. The stock last traded around $215.14 and up 33.8% across the available one-year price window (Jun 30, 2025 โ Jun 18, 2026). Baseline metrics include revenue growth of +63.7%, EPS growth of +101.0%, a dividend yield of 0.7%. What stands out right now is revenue +63.7%, EPS +101.0%, free cash flow -266.8% with operating margin 71.4% and ROIC 13.2%. The dividend is present but secondary, with a yield around 0.7%. Valuation already assumes a fairly strong business story at P/E 40.4 and price/sales 24.7. Stock Foundry combines FNV price history, valuation, growth, dividend context, earnings, analyst forecasts, news, related Basic Materials peers on this page.
Benchmark Edge
Normalized return, excess return, max drawdown, and calendar-year wins against the benchmarks investors actually use.
Relative Read
FNV is 12.90 pts ahead over the shared 1Y window.
FNV had 16.83 pts deeper max drawdown than SPY.
FNV beat SPY in 1 of 2 calendar years shown and trailed in 1.
FNV
+33.76%
Normalized return
SPY
+20.86%
S&P 500
Excess Return
+12.90 pts
Relative to SPY
FNV Max Drawdown
-25.96%
Trailing 1Y
SPY Max Drawdown
-9.13%
Trailing 1Y
Uses the longest available daily history for FNV and SPY.
| Year | FNV | SPY | Excess | Leader |
|---|---|---|---|---|
| 2026 | +5.12% | +6.71% | -1.59 pts | SPY |
| 2025 | +27.06% | +11.19% | +15.87 pts | FNV |
Powered by FMP stock_dividend. Includes historical ex-dates, pay dates, and payout amounts.
Dividend Yield
0.67%
Trailing 12M Payout
$0.44
Last Payout
| Ex-Date | Record | Pay | Dividend | Adj | Frequency |
|---|---|---|---|---|---|
| Jun 11, 2026 | โ | โ | $0.44 | โ | โ |
Next Step
Dividend yield means more when it is matched with payout durability, earnings quality, and sector context.