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If You Invested in Orvana Mnrls Cp (ORVMF)

Basic Materials · Other Precious Metals & Mining · OTC Link
Looking for the current price? See the ORVMF quote & overview
$1,000 invested 1 Year Ago
$3,110
+211.0% total 212.2% CAGR
Bought on Jul 29, 2025 at $0.4180
$1,000 invested 5 Years Ago
N/A
Trading since 2021-12-31

What $1,000 or $10,000 in ORVMF Would Be Worth Now

Real historical value by amount invested and how long ago
If you invested 1 year ago 5 years ago 10 years ago Since Dec 31, 2021
$1,000 $3,110 +211% $5,417 +442%
$10,000 $31,100 +211% $54,167 +442%

Based on real historical closing prices, dividend- and split-adjusted, through 2026-07-28. Past performance does not guarantee future results.

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$1,000 Investment Over Time

ORVMF vs S&P 500

Year-by-Year Returns

ORVMF annual performance
Year Start Price End Price Annual Return Cumulative
2021 $0.24 $0.24 +0.0% +0.0%
2022 $0.25 $0.1530 -38.8% -36.3%
2023 $0.1490 $0.1141 -23.4% -52.5%
2024 $0.1205 $0.1609 +33.5% -33.0%
2025 $0.1799 $1.51 +739.4% +529.2%
2026 $1.4725 $1.30 -11.7% +441.7%

About Orvana Mnrls Cp

Basic Materials · OTC Link

Orvana Minerals Corp (ORVMF) is a mining and exploration company in the basic materials sector, classified within the other precious metals and mining industry. According to available information, Orvana focuses on the development of gold, copper, and silver assets in Europe and South America, giving it exposure to multiple metals and geographic regions.

The company is described as a growing mining and exploration business with a producing mine in Spain, a near-term development project in Bolivia, and an exploration property in Argentina's Andean belt. This combination of production, development, and exploration projects provides Orvana with multi-asset leverage to precious and base metal prices, as well as potential exploration upside.

Business focus and asset base

Orvana’s activities center on precious and base metals, specifically gold, copper, and silver. The company states that it is focused on delivering value through the development of these assets. Its portfolio includes:

  • A producing mine in Spain.
  • A near-term development project in Bolivia.
  • An exploration property in Argentina's Andean belt.

This mix of assets positions Orvana across different stages of the mining lifecycle, from exploration to production.

Geographic footprint

Based on current disclosures, Orvana’s projects are located in Europe and South America. The producing mine in Spain represents its European presence, while the Bolivian development project and the exploration property in Argentina indicate its South American focus. This regional diversification may influence the company’s exposure to different regulatory, geological, and economic environments, as reflected in its public communications.

Commodity exposure

Orvana’s emphasis on gold, copper, and silver means its prospects are closely tied to the markets for these metals. The company highlights multi-asset leverage to rising precious metal prices and notes strong exploration upside associated with its portfolio. Investors and observers often look at such statements to understand how a mining issuer frames the potential of its assets and the role of exploration in its strategy.

Stage of operations

Information provided indicates that Orvana is not solely an exploration company. With one producing mine, one near-term development project, and one exploration property, it spans several stages of the mining value chain. The producing mine in Spain is already in operation, while the Bolivian project is described as near-term development, and the Argentine property is characterized as an exploration asset in the Andean belt.

Stock information

Orvana Minerals trades in the over-the-counter market under the symbol ORVMF. It is also referenced with a listing on the Toronto Stock Exchange under the symbol ORV. As with any security, trading characteristics, liquidity, and regulatory oversight depend on the specific market where the shares are listed or quoted.

Position within the basic materials sector

Within the basic materials sector, Orvana falls under other precious metals and mining. This categorization reflects its focus on extracting and developing mineral resources rather than downstream processing or manufacturing. The company’s public statements emphasize growth through development and exploration of its gold, copper, and silver assets.

Investment considerations

According to its own descriptions, Orvana presents itself as a company with both producing and growth-oriented assets. The producing mine in Spain may provide operational exposure, while the Bolivian and Argentine projects represent potential future contributions if they advance as planned. The reference to multi-asset leverage and exploration upside underscores the company’s focus on both current operations and longer-term project development.

As with other mining and exploration issuers, investors often review project locations, commodity mix, and the balance between production and exploration when evaluating a company. For Orvana, the emphasis on Europe and South America, and on gold, copper, and silver, are key elements of its profile as disclosed in public communications.

Use of public information

The information summarized here is based on public descriptions of Orvana Minerals as a growing mining and exploration company with a producing mine in Spain, a near-term development project in Bolivia, and an exploration property in Argentina’s Andean belt. No additional details on reserves, resources, or specific project names are provided in the available data.

Market Cap
$0.2B
Current Price
$1.30
View full ORVMF overview

Frequently Asked Questions

Orvana Mnrls Cp investment returns

How much would $1,000 invested in Orvana Mnrls Cp be worth today?

If you invested $1,000 in Orvana Mnrls Cp (ORVMF) 1 years ago on 2025-07-29, your investment would be worth $3,110 as of 2026-07-28, representing a +211.0% total return, growing at a compounded rate of 212.2% per year (CAGR).

Has Orvana Mnrls Cp outperformed the S&P 500?

Comparison data requires at least 10 years of trading history. Use the calculator above to compare ORVMF performance over available time periods.

What is Orvana Mnrls Cp's average annual return?

The compound annual growth rate (CAGR) of ORVMF over the past 1 years is 212.2%, growing at a compounded rate each year. Individual years vary significantly — ORVMF's best recent year was 2025 (+739.4%) and worst was 2022 (-38.8%).

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