av/hecla-mining--big.svg

COM:HECLA

Hecla Mining Company

  • Stock

USD

Last Close

5.69

22/11 21:00

Market Cap

3.46B

Beta: -

Volume Today

9.10M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-25.13M
-
17.82M
170.93%
-86.97M
587.93%
69.55M
179.97%
-23.52M
133.82%
-26.56M
12.94%
-99.56M
274.80%
-16.79M
83.14%
35.09M
309.02%
-37.35M
206.42%
-84.22M
125.49%
depreciation and amortization
82.37M
-
112.17M
36.19%
107.92M
3.80%
117.41M
8.80%
121.93M
3.85%
140.91M
15.56%
204.47M
45.12%
164.03M
19.78%
179.18M
9.24%
145.15M
19.00%
163.67M
12.76%
deferred income tax
-5.89M
-
1.90M
132.16%
54.98M
2,801.21%
2.11M
96.16%
18.31M
766.86%
-9.70M
152.98%
-33.39M
244.23%
-5.50M
83.51%
-48.05M
772.82%
-26.22M
45.42%
-6.12M
76.68%
stock based compensation
4.46M
-
4.96M
11.30%
5.42M
9.26%
6.18M
13.99%
6.32M
2.25%
6.28M
0.71%
5.67M
9.72%
6.46M
13.94%
6.08M
5.82%
6.01M
1.15%
6.60M
9.75%
change in working capital
-33.12M
-
-51.10M
54.30%
9.62M
118.83%
22.52M
133.98%
-39.53M
275.56%
-10.58M
73.24%
10.07M
195.22%
22.39M
122.31%
18.90M
15.62%
-28.62M
251.48%
-38.90M
35.88%
accounts receivables
-1.31M
-
3.09M
335.42%
-6.83M
321.09%
4.23M
161.94%
-2.41M
157.03%
9.84M
507.75%
-10.94M
211.13%
-1.08M
90.13%
-5.41M
400.46%
8.67M
260.39%
25.13M
189.92%
inventory
-6.51M
-
1.12M
117.20%
-854K
176.32%
-5.70M
567.10%
-3.74M
34.28%
-27.51M
634.83%
16.15M
158.69%
-13.21M
181.80%
16.92M
228.10%
-18.23M
207.75%
-24.04M
31.84%
accounts payables
-10.93M
-
-19.70M
80.26%
-4.21M
78.62%
-6.54M
55.28%
-16.43M
151.32%
17.80M
208.28%
-24.36M
236.86%
19.38M
179.57%
-795K
104.10%
-24.98M
3,042.26%
598K
102.39%
other working capital
-14.37M
-
-35.62M
147.80%
21.52M
160.43%
30.52M
41.81%
-16.94M
155.50%
-10.71M
36.81%
29.22M
372.97%
17.30M
40.79%
8.18M
52.74%
5.92M
27.63%
-40.59M
785.89%
other non cash items
3.96M
-
-2.63M
166.39%
15.47M
688.47%
7.55M
51.17%
32.37M
328.49%
-6.12M
118.91%
33.59M
648.83%
10.21M
69.60%
29.13M
185.28%
30.93M
6.17%
34.46M
11.41%
net cash provided by operating activities
26.64M
-
83.12M
211.98%
106.44M
28.06%
225.33M
111.68%
115.88M
48.57%
94.22M
18.69%
120.87M
28.28%
180.79M
49.58%
220.34M
21.87%
89.89M
59.20%
75.50M
16.01%
investments in property plant and equipment
-150.74M
-
-122.54M
18.71%
-137.44M
12.16%
-164.79M
19.90%
-98.04M
40.51%
-136.93M
39.67%
-121.42M
11.33%
-91.02M
25.04%
-109.05M
19.81%
-149.38M
36.98%
-223.89M
49.88%
acquisitions net
-321.12M
-
-809K
-
-3.93M
385.91%
374K
109.51%
-139.33M
37,352.94%
183K
100.13%
331K
80.87%
1.08M
225.38%
-16.05M
1,589.97%
228K
101.42%
purchases of investments
-6.00M
-
-580K
90.33%
-947K
63.28%
-48.94M
5,068.22%
-56.61M
15.67%
-31.97M
43.53%
-389K
98.78%
-2.22M
469.67%
-1.08M
51.40%
-31.97M
2,868.52%
-8.96M
71.97%
sales maturities of investments
1.77M
-
14K
-
18.65M
133,107.14%
49.97M
167.94%
64.89M
29.87%
1.76M
97.29%
-331K
118.81%
1.81M
647.13%
9.38M
417.67%
-228K
102.43%
other investing activites
585K
-
4.76M
714.02%
579K
87.84%
348K
39.90%
8.91M
2,461.21%
6.79M
23.84%
331K
-
208K
37.16%
748K
259.62%
1.56M
108.16%
net cash used for investing activites
-475.50M
-
-118.36M
75.11%
-138.61M
17.11%
-198.66M
43.33%
-95.39M
51.98%
-236.55M
147.97%
-119.87M
49.33%
-92.90M
22.50%
-107.03M
15.21%
-187.27M
74.97%
-231.29M
23.51%
debt repayment
-7.04M
-
-9.14M
29.81%
-10.85M
18.76%
-11.16M
2.81%
-6.99M
37.38%
-113.38M
1,522.89%
-286.66M
152.84%
-722.45M
152.03%
-7.29M
98.99%
-32.63M
347.95%
-121.61M
272.64%
common stock issued
490.06M
-
54.42M
88.90%
8.12M
-
9.61M
18.34%
6.74M
29.82%
328.52M
4,771.28%
716.33M
118.05%
17.28M
-
56.68M
228.07%
common stock repurchased
-286K
-
-3.74M
1,207.69%
-1.87M
49.89%
-4.44M
136.93%
-2.87M
35.41%
-2.69M
6.07%
-2.23M
17.19%
-2.75M
23.04%
-4.53M
64.85%
-3.68M
18.74%
111M
3,118.77%
dividends paid
-6.54M
-
-4.10M
37.35%
-4.29M
4.68%
-4.42M
2.98%
-4.53M
2.47%
-4.95M
9.21%
-5.47M
10.54%
-9.15M
67.44%
-20.67M
125.87%
-12.93M
37.44%
-15.71M
21.50%
other financing activites
-1.24M
-
-938K
24.60%
-127K
86.46%
-127K
0%
-476K
274.80%
99.39M
20,979.41%
-976K
100.98%
-1.36M
38.93%
-116K
91.45%
24.46M
21,189.66%
125.96M
414.90%
net cash used provided by financing activities
474.95M
-
36.50M
92.31%
-17.14M
146.96%
-12.02M
29.88%
-5.25M
56.34%
-14.88M
183.61%
33.19M
322.98%
-19.38M
158.39%
-32.60M
68.21%
-7.50M
76.99%
156.33M
2,184.40%
effect of forex changes on cash
-4.91M
-
-3.78M
22.87%
-5.15M
36.19%
-74K
98.56%
1.09M
1,579.73%
-1.51M
238.36%
875K
157.76%
-1.11M
226.51%
-530K
52.12%
-273K
48.49%
1.09M
501.10%
net change in cash
21.19M
-
-2.51M
111.84%
-54.46M
2,069.56%
14.57M
126.75%
16.33M
12.10%
-158.72M
1,071.98%
35.06M
122.09%
67.41M
92.24%
80.18M
18.95%
-105.16M
231.15%
1.63M
101.55%
cash at beginning of period
190.98M
-
212.18M
11.10%
209.66M
1.18%
155.21M
25.97%
169.78M
9.39%
187.14M
10.23%
28.41M
84.82%
63.48M
123.40%
130.88M
106.19%
211.06M
61.26%
105.91M
49.82%
cash at end of period
212.18M
-
209.66M
1.18%
155.21M
25.97%
169.78M
9.39%
186.11M
9.62%
28.41M
84.73%
63.48M
123.40%
130.88M
106.19%
211.06M
61.26%
105.91M
49.82%
107.54M
1.54%
operating cash flow
26.64M
-
83.12M
211.98%
106.44M
28.06%
225.33M
111.68%
115.88M
48.57%
94.22M
18.69%
120.87M
28.28%
180.79M
49.58%
220.34M
21.87%
89.89M
59.20%
75.50M
16.01%
capital expenditure
-150.74M
-
-122.54M
18.71%
-137.44M
12.16%
-164.79M
19.90%
-98.04M
40.51%
-136.93M
39.67%
-121.42M
11.33%
-91.02M
25.04%
-109.05M
19.81%
-149.38M
36.98%
-223.89M
49.88%
free cash flow
-124.09M
-
-39.41M
68.24%
-31.00M
21.35%
60.54M
295.30%
17.84M
70.53%
-42.71M
339.42%
-555K
98.70%
89.78M
16,276.04%
111.29M
23.96%
-59.49M
153.45%
-148.39M
149.44%

All numbers in USD (except ratios and percentages)