Western Copper and Gold Corporation (WRN)
NYSE American
Price as at 1 Oct 2026, 03:58 UTC. Quotes are delayed.
Fundamentals
Valuation and ratings
Western Copper and Gold Corporation trades at $2.21. We do not hold enough of the inputs to value this company with the confidence the estimate implies, so we publish no fair value for it rather than a number we would not defend.
About Western Copper and Gold Corporation
Western Copper and Gold Corporation, an exploration stage company, engages in the exploration and development of mineral properties in Canada. It explores for gold, copper, silver, and molybdenum deposits. Its principal property is the Casino mineral property located in Yukon, Canada. The company was formerly known as Western Copper Corp. and changed its name to Western Copper and Gold Corporation in October 2011. Western Copper and Gold Corporation was incorporated in 2006 and is headquartered in Vancouver, Canada.
Company profile, industry and headcount are as reported by our data provider and can lag a company's own filings by a reporting period. The annual report is the authority.
Super investor ownership
9 of the funds we track reported a position in their latest SEC 13F filing. Largest first:
- Arrowstreet Capital, ARROWSTREET CAPITAL, LIMITED PARTNERSHIP$3.54M · 0.0% of book
- Two Sigma, TWO SIGMA INVESTMENTS, LP$3.05M · 0.0% of book
- Israel Englander, MILLENNIUM MANAGEMENT LLC$2.99M · 0.0% of book
- Renaissance Technologies, RENAISSANCE TECHNOLOGIES LLC$2.38M · 0.0% of book
- Steve Cohen, Point72 Asset Management, L.P.$2.01M · 0.0% of book
A word of warning on reading these figures: a 13F reports the market value of a holding, so a fund that traded nothing at all still appears to have sold when the price fell. We found 102 companies where the standard reading gives the opposite answer. Only the share count is honest.
Common questions
Which funds own WRN?
9 of the institutions we track reported a position in WRN in their most recent SEC 13F filing. A 13F is filed up to 45 days after quarter end, so it tells you what a fund held then, not what it holds now.
Where does SteadyShares get its WRN data?
Fundamentals for WRN come from company filings and exchange data, as listed on NYSE American; institutional ownership comes from SEC 13F filings. The share price shown was last refreshed on 1 Oct 2026, 03:58 UTC and is delayed. Metrics we do not hold are left out of the page rather than estimated.
The full research page for WRN, with financial statements, ownership detail, peer comparison and alerts, is free inside the app.
Data from company filings, exchange quotes and SEC EDGAR 13F disclosures. Quotes are delayed. Metrics we do not have are left out rather than estimated. Educational information, not financial advice.
