Metalla Royalty & Streaming


Primary ticker: NYSE:MTA, TSXV:MTA
Stage of development: Exploration, Development, Production
Primary minerals: Gold, Silver
Project to promote: Royalty Portfolio
Project location: Global
Corporate presentation: Click here

Metalla is a royalty and streaming company offering investors leveraged exposure to precious metals by acquiring royalties and streams. With an ever-growing portfolio of assets, our goal is to increase shareholder value by adding accretive acquisitions to our diversified portfolio of assets, focusing on strong counterparties.

Cash: U$5M
Debt: U$10M

Major shareholders:
Beedie Capital – 5.2%
Euro Pacific Asset Management – 5.0%
Van Eck Associates Corp – 4.8%
Adrian Day Asset – 4%
Brett Heath (CEO) – 3.2% 
Management Ownership – 5.5%

Management Profile

Brett Heath – President and CEO, Director
Mr. Heath has a comprehensive career in the royalty sector and public markets with two decades of experience. Over his career, he has founded and built over $1 billion in value using the royalty model in the public and private markets. He is currently the Chief Executive Officer of Metalla Royalty (NYSE: MTA) and Chairman of the Board of Nova Royalty (TSXV: NOVR) and Carbon Neutral Royalty (Private). He has completed over 50 royalty transactions in gold, silver, copper, nickel, and carbon markets with a diverse group of counterparties from major corporates, private equity, and private interests.

What is your rationale for taking part 121 Mining Investment?

Long term investors, investors interested in buying in the market, investors looking to obtain larger positions

What recent news would you like to highlight to investors attending?

15 new royalty assets acquired in 2022, many upcoming significant catalysts

What are your key goals in 3 months, 6 months, 12 months?

3 Months:
Complete additional royalty acquisitions

6 Months:
Complete additional royalty acqusitions

12 Months:
At least two additional royalty assets transitioning from development into production for added revenue. Restore dividend.

What do you see as the key risks and challenges facing your company at the moment and how are you overcoming these?

Gold/silver market volatility

What do you think makes your company such a compelling investment?

Trading at around 0.8x NAV vs. sector average of ~1.5x NAV. 18 months of share price consolidation, despite NAVPS doubling over the last four years.

What are the top 3 key investor takeaways?

  • Diversified portfolio of gold/silver royalty assets focused on top mining jurisdictions.
  • Focused on lower risk operating partners, ie Newmont, Teck, Kirkland Lake, Agnico Eagle, Pan America Silver etc. acquiring royalties from third party royalty holders.
  • Built in growth with at least one new asset transitioning from development to production each year for the next decade or more, and tier one operating partners funded to expand reserves and resources for additional organic growth.