CA Stock MarketDetailed Quotes

HBM Hudbay Minerals Inc

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  • 12.380
  • +0.060+0.49%
15min DelayMarket Closed Jun 28 16:00 ET
4.87BMarket Cap37.52P/E (TTM)

Hudbay Minerals Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
11.52%285.01M
11.01%250.52M
11.01%250.52M
-13.85%246.49M
-30.49%179.73M
19.78%255.56M
-16.73%225.67M
-16.73%225.67M
-3.81%286.12M
-12.14%258.56M
-Cash and cash equivalents
11.28%284.39M
10.69%249.79M
10.69%249.79M
-14.29%245.22M
-30.49%179.73M
19.78%255.56M
-16.73%225.67M
-16.73%225.67M
-3.81%286.12M
-12.14%258.56M
-Accounts receivable
102.06%150.28M
101.92%169.81M
101.92%169.81M
525.79%90.51M
-31.45%46.88M
-47.04%74.38M
-49.50%84.1M
-49.50%84.1M
-84.72%14.46M
-55.03%68.39M
-Notes receivable
81.95%5.79M
84.24%6.01M
84.24%6.01M
-51.60%7.77M
-78.26%2.91M
-70.47%3.18M
-47.82%3.26M
-47.82%3.26M
-1.47%16.05M
-31.17%13.4M
-Other receivables
----
26.24%19.98M
26.24%19.98M
----
----
----
-29.31%15.82M
-29.31%15.82M
----
----
Total current assets
22.43%700.48M
28.44%673.25M
28.44%673.25M
21.54%631.25M
-12.86%540.01M
-7.75%572.16M
-20.18%524.18M
-20.18%524.18M
-11.01%519.39M
-5.54%619.74M
Non current assets
-Accumulated depreciation
-17.37%-2.66B
-17.36%-2.58B
-17.36%-2.58B
-61.22%-2.79B
-17.32%-2.71B
24.06%-2.27B
23.68%-2.2B
23.68%-2.2B
38.01%-1.73B
15.69%-2.31B
Investment properties
-28.83%6.85M
-27.66%7.09M
-27.66%7.09M
-29.54%7.5M
-6.37%8.79M
-27.18%9.62M
-12.18%9.8M
-12.18%9.8M
-2.97%10.64M
-15.60%9.38M
-Long term equity investment
9.37%1.34B
9.76%1.35B
9.76%1.35B
17.33%1.44B
5.45%1.3B
-0.37%1.22B
0.35%1.23B
0.35%1.23B
0.83%1.23B
0.77%1.23B
-Including:Financial assets designated as fair value through profit or loss, Total
-36.20%6.14M
-34.16%6.45M
-34.16%6.45M
-36.12%6.8M
-6.37%8.79M
-27.18%9.62M
-12.18%9.8M
-12.18%9.8M
-2.97%10.64M
-15.60%9.38M
-Including:Available-for-sale securities
--709K
--637K
--637K
--700K
----
----
----
----
----
----
-Including:Held to maturity investments
-52.55%520K
145.41%1.42M
145.41%1.42M
-62.55%6.35M
-71.14%14.62M
-82.34%1.1M
-92.23%577K
-92.23%577K
-10.95%16.97M
178.89%50.65M
Non current note receivables
1.98%139.83M
20.94%151.95M
20.94%151.95M
32.33%142.79M
25.67%138.54M
4.67%137.11M
-5.95%125.64M
-5.95%125.64M
-7.94%107.9M
-9.85%110.24M
-Goodwill
2,602.57%124.26M
1,563.73%79.31M
1,563.73%79.31M
1,993.14%110.81M
1,936.77%113.61M
-20.19%4.6M
-19.18%4.77M
-19.18%4.77M
-4.87%5.29M
-3.01%5.58M
Regulatory assets
83.11%198.31M
68.17%205.73M
68.17%205.73M
73.59%121.61M
-1.18%101.92M
-41.53%108.3M
-40.06%122.34M
-40.06%122.34M
-44.23%70.06M
-41.99%103.14M
Non current deferred assets
-10.61%12.01M
-8.79%12.16M
-8.79%12.16M
-14.08%13.38M
-15.93%13.81M
-20.05%13.44M
-17.13%13.33M
-17.13%13.33M
-1.16%15.57M
0.29%16.43M
Total assets
-89.56%578K
-74.87%2.3M
-74.87%2.3M
-84.44%1.53M
649.33%12.38M
--5.54M
--9.15M
--9.15M
--9.83M
-87.14%1.65M
Liabilities
Current liabilities
Current debt and capital lease obligation
-44.60%31.92M
78.89%28.9M
78.89%28.9M
107.56%42.89M
602.29%175.9M
95.20%57.62M
-51.81%16.16M
-51.81%16.16M
-36.63%20.67M
-17.13%25.05M
-Current debt
----
----
----
--10M
--144.98M
--40M
----
----
----
----
-Current capital lease obligation
81.16%31.92M
78.89%28.9M
78.89%28.9M
59.17%32.89M
23.43%30.92M
-40.31%17.62M
-51.81%16.16M
-51.81%16.16M
-36.63%20.67M
-17.13%25.05M
-accounts payable
18.87%238.98M
-17.38%69.26M
-17.38%69.26M
10.44%233.57M
6.41%227.98M
8.62%201.04M
-0.54%83.82M
-0.54%83.82M
19.31%211.48M
1.79%214.25M
-Total tax payable
8.54%2.52B
11.36%2.57B
11.36%2.57B
13.09%2.6B
8.09%2.53B
-7.77%2.32B
-12.31%2.31B
-12.31%2.31B
-11.33%2.3B
-6.03%2.34B
-Other payable
-80.73%16.32M
-23.93%72.88M
-23.93%72.88M
-70.22%26.1M
4.42%42.33M
125.98%84.69M
84.89%95.8M
84.89%95.8M
84.77%87.65M
-0.31%40.54M
Current accrued expenses
----
34.07%149.92M
34.07%149.92M
----
----
----
10.59%111.82M
10.59%111.82M
----
----
Current provisions
32.67%26.33M
-7.47%22.29M
-7.47%22.29M
2.69%20.48M
-30.56%20.13M
-52.17%19.85M
-41.27%24.09M
-41.27%24.09M
-38.39%19.94M
-10.76%28.98M
Current deferred liabilities
-36.25%82.54M
9.55%98M
9.55%98M
11.80%89.85M
37.56%93.46M
55.19%129.47M
-16.13%89.46M
-16.13%89.46M
-13.77%80.37M
-18.02%67.94M
Current liabilities
6.04%499.63M
20.04%537.34M
20.04%537.34M
19.83%502.79M
36.87%601.37M
2.79%471.17M
-12.09%447.65M
-12.09%447.65M
-0.97%419.58M
0.71%439.37M
Non current liabilities
-Long term debt
54.27%60.24M
36.93%61.43M
36.93%61.43M
63.43%73.74M
50.69%69.33M
-17.81%39.05M
0.88%44.86M
0.88%44.86M
26.50%45.12M
22.30%46.01M
Non current accrued expenses
19.32%4.23B
21.49%4.32B
21.49%4.32B
21.95%4.32B
22.46%4.39B
-4.51%3.55B
-5.04%3.55B
-5.04%3.55B
-4.91%3.54B
-4.14%3.58B
Long term provisions
7.90%1.28B
8.73%1.29B
8.73%1.29B
15.57%1.37B
3.68%1.23B
0.33%1.19B
0.33%1.18B
0.33%1.18B
0.05%1.18B
0.08%1.18B
Employee benefits
10.28%103.65M
20.38%107.86M
20.38%107.86M
-10.58%93.83M
-5.59%98.16M
-21.31%93.99M
-33.55%89.6M
-33.55%89.6M
-21.43%104.93M
-27.47%103.97M
Preferred securities outside stock equity
6.16%8.05M
-6.58%7.13M
-6.58%7.13M
-29.91%7.48M
-35.75%7.58M
-39.97%7.58M
-45.51%7.63M
-45.51%7.63M
-24.01%10.67M
-29.97%11.8M
Total non current liabilities
8.12%3.02B
12.77%3.11B
12.77%3.11B
14.13%3.1B
12.64%3.13B
-6.14%2.79B
-12.27%2.75B
-12.27%2.75B
-9.87%2.72B
-5.03%2.78B
Shareholders'equity
Share capital
25.88%2.24B
25.80%2.24B
25.80%2.24B
25.26%2.23B
24.56%2.22B
0.04%1.78B
0.11%1.78B
0.11%1.78B
0.10%1.78B
0.10%1.78B
-common stock
25.88%2.24B
25.80%2.24B
25.80%2.24B
25.26%2.23B
24.56%2.22B
0.04%1.78B
0.11%1.78B
0.11%1.78B
0.10%1.78B
0.10%1.78B
Retained earnings
10.29%536K
304.12%1.96M
304.12%1.96M
2,238.60%9.03M
1,682.61%7.79M
11.21%486K
11.21%486K
11.21%486K
14.54%386K
29.67%437K
Gains losses not affecting retained earnings
-23.69%19.52M
13.71%30.18M
13.71%30.18M
118.87%19.04M
8.77%31.42M
16.85%25.58M
14,681.32%26.54M
14,681.32%26.54M
183.20%8.7M
4,663.35%28.89M
Other equity interest
-26.64%14.14M
-68.72%6.29M
-68.72%6.29M
-16.45%9.86M
8.28%15.47M
22.28%19.27M
31.09%20.11M
31.09%20.11M
49.22%11.8M
32.78%14.28M
Total equity
19.76%5.23B
22.81%5.31B
22.81%5.31B
22.45%5.25B
19.61%5.24B
-3.75%4.37B
-6.29%4.33B
-6.29%4.33B
-4.81%4.29B
-4.47%4.38B
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 11.52%285.01M11.01%250.52M11.01%250.52M-13.85%246.49M-30.49%179.73M19.78%255.56M-16.73%225.67M-16.73%225.67M-3.81%286.12M-12.14%258.56M
-Cash and cash equivalents 11.28%284.39M10.69%249.79M10.69%249.79M-14.29%245.22M-30.49%179.73M19.78%255.56M-16.73%225.67M-16.73%225.67M-3.81%286.12M-12.14%258.56M
-Accounts receivable 102.06%150.28M101.92%169.81M101.92%169.81M525.79%90.51M-31.45%46.88M-47.04%74.38M-49.50%84.1M-49.50%84.1M-84.72%14.46M-55.03%68.39M
-Notes receivable 81.95%5.79M84.24%6.01M84.24%6.01M-51.60%7.77M-78.26%2.91M-70.47%3.18M-47.82%3.26M-47.82%3.26M-1.47%16.05M-31.17%13.4M
-Other receivables ----26.24%19.98M26.24%19.98M-------------29.31%15.82M-29.31%15.82M--------
Total current assets 22.43%700.48M28.44%673.25M28.44%673.25M21.54%631.25M-12.86%540.01M-7.75%572.16M-20.18%524.18M-20.18%524.18M-11.01%519.39M-5.54%619.74M
Non current assets
-Accumulated depreciation -17.37%-2.66B-17.36%-2.58B-17.36%-2.58B-61.22%-2.79B-17.32%-2.71B24.06%-2.27B23.68%-2.2B23.68%-2.2B38.01%-1.73B15.69%-2.31B
Investment properties -28.83%6.85M-27.66%7.09M-27.66%7.09M-29.54%7.5M-6.37%8.79M-27.18%9.62M-12.18%9.8M-12.18%9.8M-2.97%10.64M-15.60%9.38M
-Long term equity investment 9.37%1.34B9.76%1.35B9.76%1.35B17.33%1.44B5.45%1.3B-0.37%1.22B0.35%1.23B0.35%1.23B0.83%1.23B0.77%1.23B
-Including:Financial assets designated as fair value through profit or loss, Total -36.20%6.14M-34.16%6.45M-34.16%6.45M-36.12%6.8M-6.37%8.79M-27.18%9.62M-12.18%9.8M-12.18%9.8M-2.97%10.64M-15.60%9.38M
-Including:Available-for-sale securities --709K--637K--637K--700K------------------------
-Including:Held to maturity investments -52.55%520K145.41%1.42M145.41%1.42M-62.55%6.35M-71.14%14.62M-82.34%1.1M-92.23%577K-92.23%577K-10.95%16.97M178.89%50.65M
Non current note receivables 1.98%139.83M20.94%151.95M20.94%151.95M32.33%142.79M25.67%138.54M4.67%137.11M-5.95%125.64M-5.95%125.64M-7.94%107.9M-9.85%110.24M
-Goodwill 2,602.57%124.26M1,563.73%79.31M1,563.73%79.31M1,993.14%110.81M1,936.77%113.61M-20.19%4.6M-19.18%4.77M-19.18%4.77M-4.87%5.29M-3.01%5.58M
Regulatory assets 83.11%198.31M68.17%205.73M68.17%205.73M73.59%121.61M-1.18%101.92M-41.53%108.3M-40.06%122.34M-40.06%122.34M-44.23%70.06M-41.99%103.14M
Non current deferred assets -10.61%12.01M-8.79%12.16M-8.79%12.16M-14.08%13.38M-15.93%13.81M-20.05%13.44M-17.13%13.33M-17.13%13.33M-1.16%15.57M0.29%16.43M
Total assets -89.56%578K-74.87%2.3M-74.87%2.3M-84.44%1.53M649.33%12.38M--5.54M--9.15M--9.15M--9.83M-87.14%1.65M
Liabilities
Current liabilities
Current debt and capital lease obligation -44.60%31.92M78.89%28.9M78.89%28.9M107.56%42.89M602.29%175.9M95.20%57.62M-51.81%16.16M-51.81%16.16M-36.63%20.67M-17.13%25.05M
-Current debt --------------10M--144.98M--40M----------------
-Current capital lease obligation 81.16%31.92M78.89%28.9M78.89%28.9M59.17%32.89M23.43%30.92M-40.31%17.62M-51.81%16.16M-51.81%16.16M-36.63%20.67M-17.13%25.05M
-accounts payable 18.87%238.98M-17.38%69.26M-17.38%69.26M10.44%233.57M6.41%227.98M8.62%201.04M-0.54%83.82M-0.54%83.82M19.31%211.48M1.79%214.25M
-Total tax payable 8.54%2.52B11.36%2.57B11.36%2.57B13.09%2.6B8.09%2.53B-7.77%2.32B-12.31%2.31B-12.31%2.31B-11.33%2.3B-6.03%2.34B
-Other payable -80.73%16.32M-23.93%72.88M-23.93%72.88M-70.22%26.1M4.42%42.33M125.98%84.69M84.89%95.8M84.89%95.8M84.77%87.65M-0.31%40.54M
Current accrued expenses ----34.07%149.92M34.07%149.92M------------10.59%111.82M10.59%111.82M--------
Current provisions 32.67%26.33M-7.47%22.29M-7.47%22.29M2.69%20.48M-30.56%20.13M-52.17%19.85M-41.27%24.09M-41.27%24.09M-38.39%19.94M-10.76%28.98M
Current deferred liabilities -36.25%82.54M9.55%98M9.55%98M11.80%89.85M37.56%93.46M55.19%129.47M-16.13%89.46M-16.13%89.46M-13.77%80.37M-18.02%67.94M
Current liabilities 6.04%499.63M20.04%537.34M20.04%537.34M19.83%502.79M36.87%601.37M2.79%471.17M-12.09%447.65M-12.09%447.65M-0.97%419.58M0.71%439.37M
Non current liabilities
-Long term debt 54.27%60.24M36.93%61.43M36.93%61.43M63.43%73.74M50.69%69.33M-17.81%39.05M0.88%44.86M0.88%44.86M26.50%45.12M22.30%46.01M
Non current accrued expenses 19.32%4.23B21.49%4.32B21.49%4.32B21.95%4.32B22.46%4.39B-4.51%3.55B-5.04%3.55B-5.04%3.55B-4.91%3.54B-4.14%3.58B
Long term provisions 7.90%1.28B8.73%1.29B8.73%1.29B15.57%1.37B3.68%1.23B0.33%1.19B0.33%1.18B0.33%1.18B0.05%1.18B0.08%1.18B
Employee benefits 10.28%103.65M20.38%107.86M20.38%107.86M-10.58%93.83M-5.59%98.16M-21.31%93.99M-33.55%89.6M-33.55%89.6M-21.43%104.93M-27.47%103.97M
Preferred securities outside stock equity 6.16%8.05M-6.58%7.13M-6.58%7.13M-29.91%7.48M-35.75%7.58M-39.97%7.58M-45.51%7.63M-45.51%7.63M-24.01%10.67M-29.97%11.8M
Total non current liabilities 8.12%3.02B12.77%3.11B12.77%3.11B14.13%3.1B12.64%3.13B-6.14%2.79B-12.27%2.75B-12.27%2.75B-9.87%2.72B-5.03%2.78B
Shareholders'equity
Share capital 25.88%2.24B25.80%2.24B25.80%2.24B25.26%2.23B24.56%2.22B0.04%1.78B0.11%1.78B0.11%1.78B0.10%1.78B0.10%1.78B
-common stock 25.88%2.24B25.80%2.24B25.80%2.24B25.26%2.23B24.56%2.22B0.04%1.78B0.11%1.78B0.11%1.78B0.10%1.78B0.10%1.78B
Retained earnings 10.29%536K304.12%1.96M304.12%1.96M2,238.60%9.03M1,682.61%7.79M11.21%486K11.21%486K11.21%486K14.54%386K29.67%437K
Gains losses not affecting retained earnings -23.69%19.52M13.71%30.18M13.71%30.18M118.87%19.04M8.77%31.42M16.85%25.58M14,681.32%26.54M14,681.32%26.54M183.20%8.7M4,663.35%28.89M
Other equity interest -26.64%14.14M-68.72%6.29M-68.72%6.29M-16.45%9.86M8.28%15.47M22.28%19.27M31.09%20.11M31.09%20.11M49.22%11.8M32.78%14.28M
Total equity 19.76%5.23B22.81%5.31B22.81%5.31B22.45%5.25B19.61%5.24B-3.75%4.37B-6.29%4.33B-6.29%4.33B-4.81%4.29B-4.47%4.38B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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