Hudbay Minerals
TSX:HBM
C$ 24,75
C$-0,83 (-3,24%)
24,75 C$
C$-0,83 (-3,24%)
End-of-day quote: 03/20/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

C$0,92
Earnings Per Share
C$7,64
Revenue Per Share
53,50%
Gross Margin %
C$9,82 B
Market Cap
C$0,83 B
Long-Term Debt
Earnings Per Share
C$0,92
Revenue Per Share
C$7,64
Gross Margin %
53,50%
Market Cap
C$9,82 B
Long-Term Debt
C$0,83 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share C$0,92 C$0,69 C$0,23 C$0,10 C$0,09 C$-0,46 C$-0,19 C$0,38 C$0,58 C$0,13 C$0,09 C$-0,10 C$0,01 C$0,22 C$0,51 C$0,49 C$0,71 C$0,54 C$1,88 C$3,12
Earnings Earnings C$365,10M C$272,51M C$80,67M C$26,20M C$23,54M C$-120,18M C$-49,64M C$99,28M C$151,54M C$30,85M C$21,17M C$-23,36M C$1,72M C$37,84M C$87,69M C$73,22M C$109,23M C$82,63M C$287,64M C$393,15M
RPS Revenue Per Share C$7,64 C$7,36 C$4,82 C$5,58 C$5,74 C$4,18 C$4,74 C$5,64 C$5,22 C$4,76 C$3,77 C$1,92 C$2,72 C$4,02 C$5,18 C$5,37 C$4,56 C$4,98 C$8,34 C$7,59
Revenue Revenue C$3,03B C$2,91B C$1,69B C$1,46B C$1,50B C$1,09B C$1,24B C$1,47B C$1,36B C$1,13B C$886,05M C$447,54M C$468,31M C$691,01M C$891,06M C$803,07M C$701,02M C$761,57M C$1,28B C$956,46M
OCF Operating Cash Flow C$990,97M C$958,56M C$476,85M C$487,80M C$383,82M C$239,48M C$310,86M C$479,55M C$539,58M C$475,07M C$185,67M C$232,39M C$130,60M C$533,74M C$250,29M C$263,55M C$103,29M C$182,01M C$500,88M C$359,63M
FCF Free Cash Flow C$247,18M C$454,82M C$198,20M C$178,84M C$6,38M C$-121,71M C$51,65M C$288,65M C$289,78M C$282,27M C$-305,00M C$-551,89M C$-686,76M C$34,73M C$8,60M C$90,69M C$0,00M C$0,00M C$0,00M C$0,00M
OM Operating Margin 25,60% 20,70% 17,76% 20,74% 1,82% -3,26% 4,84% 20,47% 24,27% 14,81% -1,41% -1,58% -1,45% 14,05% 24,55% 13,75% 8,28% 10,65% 27,16% 37,65%
GM % Gross Margin % 53,50% 48,51% 46,40% 42,05% 45,43% 36,69% 40,09% 47,98% 50,39% 46,21% 37,85% 27,79% 30,32% 38,39% 46,50% 44,75% 29,75% 30,07% 42,45% 47,03%
FCFS Free Cash Flow Per Share C$0,82 C$1,21 C$0,63 C$0,68 C$0,13 C$-0,47 C$0,20 C$1,10 C$1,19 C$1,20 C$-1,30 C$-2,99 C$-4,42 C$0,19 C$0,05 C$0,52 C$0,03 C$0,75 C$3,01 C$2,87
LT Debt Long-Term Debt C$826,10M C$1,68B C$1,30B C$1,18B C$1,18B C$1,14B C$985,26M C$981,03M C$979,58M C$1,22B C$1,21B C$972,29M C$779,33M C$479,54M N/A N/A N/A N/A C$3,21M C$10,21M
Sha. Stocks 396,85M 394,94M 350,73M 262,03M 261,6M 261,27M 261,27M 261,27M 261,27M 237,27M 235,23M 233,62M 172,08M 171,98M 171,94M 149,43M 153,85M 153,02M 153M 126,01M
×