HudBay Minerals Inc Financial Ratios for Analysis 2009-2024 | HBM

Fifteen years of historical annual and quarterly financial ratios and margins for HudBay Minerals Inc (HBM).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
1.251.171.291.681.692.361.611.391.151.232.704.875.294.95-
0.380.440.450.410.360.320.330.410.400.320.320.21---
0.620.790.850.710.580.480.500.710.710.470.480.27---
23.2318.958.723.5712.2525.3829.1819.7513.3611.3015.4828.1334.0642.08100.00
17.5814.661.22-3.40-23.3420.3025.1415.04-37.07-5.851.6416.3023.7819.97100.00
17.5814.661.22-3.40-23.3420.3025.1415.04-37.07-5.851.6416.3023.7819.97100.00
36.2732.8620.3023.11-1.4736.5840.0541.55-12.5110.7816.6427.2035.5233.24100.00
8.986.56-13.50-16.39-36.5911.6012.330.50-45.042.75-10.847.4223.4620.30100.00
3.934.82-16.27-13.24-27.785.809.96-3.12-37.4112.88-21.14-3.01-18.368.9915.60
0.320.340.330.230.280.310.300.250.200.100.140.200.360.36-
6.267.648.657.367.829.277.018.056.395.958.658.657.613.71-
8.2111.957.367.1110.9212.369.026.643.762.642.5913.2922.109.96-
44.4330.5549.5951.3433.4129.5440.4854.9497.0713814127.4716.5236.63-
3.154.48-16.55-8.51-18.603.926.61-2.00-18.543.09-2.092.0516.814.42-
3.344.62-16.77-8.61-18.713.936.63-2.00-18.643.40-2.212.1517.594.42-
1.311.63-5.29-3.10-7.711.822.95-0.79-7.401.35-0.891.0412.463.56-
1.962.51-9.05-5.05-11.932.664.42-1.18-11.082.12-1.421.6116.814.42-
6.296.005.656.517.078.348.087.437.609.038.89----
1.531.861.470.921.191.842.222.010.791.270.812.831.511.630.00
0.630.700.13-0.470.201.101.191.20-1.30-2.98-4.280.180.980.53-

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-31
1.861.861.401.251.260.901.211.171.241.411.351.291.381.501.531.682.221.651.521.692.092.312.642.362.442.151.941.611.741.271.291.391.431.361.341.151.181.301.061.231.631.772.572.703.463.833.544.875.623.734.095.295.655.585.504.956.13---
0.300.320.380.380.400.380.440.440.440.430.440.450.450.420.420.410.420.380.370.360.360.330.320.320.320.320.330.330.340.380.400.410.400.420.420.400.380.360.340.320.320.320.320.320.290.290.230.210.21-----------
0.450.480.620.620.690.700.810.790.800.780.810.850.840.750.740.710.740.620.600.580.570.500.490.480.480.490.490.500.520.630.670.710.680.740.740.710.640.600.530.470.470.480.470.480.400.400.290.270.27-----------
28.7818.2428.9432.6722.157.3322.5321.699.3721.5522.5219.23-23.8020.3316.7410.6612.43-6.06-8.977.9010.6313.1017.7321.3823.5224.9031.2334.1631.4526.1821.6424.7021.9819.5511.0117.5115.583.0110.096.1717.3110.099.40-0.4218.8910.3632.5123.4733.2827.1129.8826.2728.5238.9145.82100.0042.88100.00100.00100.00
21.7510.5121.2921.5723.95-0.0717.756.995.8711.0633.179.05-32.7714.4812.392.236.59-12.85-15.651.93-106.67-1.256.7815.5518.0921.1925.8328.0127.7523.3618.9718.8519.4614.305.58-87.92-0.11-19.83-1.76-34.912.00-1.59-8.71-4.6514.062.622.1311.1417.2519.2716.7430.4012.9726.8720.17100.0017.88100.00100.00100.00
21.7510.5121.2921.5723.95-0.0717.756.995.8711.0633.179.05-32.7714.4812.392.236.59-12.85-15.651.93-106.67-1.256.7815.5518.0921.1925.8328.0127.7523.3618.9718.8519.4614.305.58-87.92-0.11-19.83-1.76-34.912.00-1.59-8.71-4.6514.062.622.1311.1417.2519.2716.7430.4012.9726.8720.17100.0017.88100.00100.00100.00
------------------------------------------------------------
16.410.1012.9113.4517.51-9.845.90-4.45-0.085.1823.47-0.03-41.183.67-22.190.28-7.57-35.71-33.23-13.05-119.60-13.34-6.205.028.3513.4118.9118.7514.1410.401.77-8.2313.492.65-6.66-96.73-5.98-30.37-8.92-22.5932.044.89-22.56-26.266.81-29.026.6313.063.44-0.3713.1711418.27-60.4618.66100.0017.93100.00100.00100.00
10.24-3.904.265.109.39-4.781.85-5.43-2.357.7416.85-2.46-47.47-0.84-19.162.30-7.58-24.84-31.06-0.45-94.34-16.44-4.59-1.006.296.6510.7222.229.555.70-3.83-14.9310.78-2.31-6.22-75.89-4.39-29.35-15.4138.6126.560.18-25.41-45.182.29-40.321.674.11-3.91-16.034.8814.05-18.61-69.649.4713.367.146.929.804.30
0.090.080.100.110.090.060.070.070.080.090.080.090.080.090.070.070.070.050.060.070.070.070.060.080.080.080.080.090.080.080.060.070.070.050.060.080.050.030.030.020.030.030.020.030.040.040.030.050.040.080.080.100.090.100.070.090.08---
1.761.871.851.961.571.311.221.622.341.691.472.173.332.081.432.012.051.551.952.151.611.941.582.331.891.771.671.971.831.811.472.122.041.532.022.311.601.011.481.402.201.251.192.661.842.391.362.411.132.081.772.341.601.350.76-0.94---
1.962.322.652.933.953.062.732.634.944.032.042.082.862.271.872.102.271.812.602.862.273.571.872.952.392.703.112.732.873.152.331.861.841.641.181.431.260.650.660.541.211.410.910.641.171.591.383.382.354.162.386.236.085.893.262.482.59---
45.8738.8234.0030.7522.7829.3933.0234.2818.2122.3444.0343.2031.4939.5848.0342.9139.6649.6934.5931.4239.6625.2148.0330.4937.6133.3028.9132.9831.4028.5538.7148.2948.8854.7576.3463.0071.4113713716774.4363.7698.6914176.8156.7265.0826.6138.3221.6537.7914.4614.8015.2927.6436.2634.72---
1.91-0.790.841.522.12-0.710.35-1.11-0.522.014.09-0.71-11.44-0.20-3.620.44-1.42-3.04-4.28-0.08-14.79-2.54-0.62-0.161.041.141.934.461.771.07-0.57-2.681.87-0.32-0.89-14.29-0.58-2.12-0.931.792.050.01-1.46-3.590.20-3.310.120.42-0.32-1.750.511.94-0.78-9.250.851.480.69---
2.00-0.830.891.612.23-0.750.36-1.15-0.542.034.14-0.72-11.59-0.21-3.670.44-1.44-3.08-4.34-0.08-14.87-2.55-0.62-0.161.041.141.944.481.781.07-0.57-2.691.88-0.32-0.90-14.36-0.65-2.32-1.032.092.260.01-1.54-3.870.21-3.490.130.44-0.34-1.830.532.03-0.82-9.650.881.480.69---
0.91-0.370.350.630.87-0.280.12-0.40-0.190.731.41-0.23-3.78-0.07-1.320.16-0.52-1.15-1.74-0.03-6.26-1.14-0.28-0.070.490.530.881.990.790.44-0.23-1.060.75-0.13-0.35-5.70-0.24-0.88-0.390.820.860.01-0.62-1.550.09-1.470.060.21-0.16-1.230.371.44-0.58-7.140.681.190.57---
1.33-0.540.520.941.27-0.440.20-0.62-0.291.142.29-0.39-6.29-0.12-2.100.26-0.83-1.90-2.71-0.05-9.51-1.71-0.42-0.110.710.771.302.991.170.66-0.34-1.581.12-0.19-0.51-8.54-0.37-1.35-0.621.301.400.01-1.00-2.480.14-2.370.090.33-0.25-1.750.511.94-0.78-9.250.851.480.69---
6.706.566.306.296.166.096.016.006.006.115.965.655.706.346.356.516.456.536.817.077.118.168.278.348.408.308.218.087.847.567.437.437.617.507.537.60---9.03---8.89----------------
1.080.760.401.530.710.350.271.861.530.870.241.471.100.570.200.920.450.150.031.190.810.650.241.841.310.870.502.221.721.020.472.011.421.020.430.790.490.050.001.121.120.500.560.730.790.65-0.102.923.020.07-0.161.470.910.44-0.051.621.230.000.000.00
0.440.340.220.630.14-0.130.020.700.710.370.040.130.15-0.14-0.12-0.47-0.48-0.22-0.160.200.160.290.071.100.800.540.331.191.040.620.291.200.790.600.23-1.30-1.18-1.070.00-2.66-1.97-1.63-0.45-3.83-2.93-1.87-1.260.191.10-0.93-0.610.960.80-0.11-0.330.530.48---