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Hut 8 Corp. (HUT) 10-Year Financial Performance & Capital Metrics

HUT • • Banking & Credit
Financial ServicesCapital MarketsBitcoin Mining and Data Centers
AboutHut 8 Corp Hut 8 Corp. is a vertically integrated operator of large-scale energy infrastructure and Bitcoin miners. The Company acquires, designs, builds, manages, and operates data centers that power compute-intensive workloads such as Bitcoin mining, high performance computing, and artificial intelligence.Show more
  • Net Interest Income -$30M -0.9%
  • Total Revenue $235M +44.8%
  • Net Income -$226M -168.1%
  • Return on Equity -16.94% -141.4%
  • Net Interest Margin -1.09% +44.3%
  • Efficiency Ratio 228.23% +196.3%
  • ROA -10.59% -139.8%
  • Equity / Assets 61.35% -5.0%
  • Book Value per Share 16.04 +65.3%
  • Tangible BV/Share 13.94 +54.1%
  • Debt/Equity 0.25 -27.9%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

  • ✓Momentum leader: RS Rating 93 (top 7%)
  • ✓Well capitalized: 61.4% equity/assets
  • ✓Diversified revenue: 100.0% from non-interest income

✗Weaknesses

  • ✗Weak Piotroski F-Score: 3/9
  • ✗Weak NIM of -1.1%
  • ✗High cost structure: 228.2% efficiency ratio

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

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Growth Metrics

Revenue CAGR

10Y-
5Y42.01%
3Y39.43%
TTM-

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM-168.14%

EPS CAGR

10Y-
5Y-
3Y-
TTM-162.94%

ROCE

10Y Avg329.67%
5Y Avg1.63%
3Y Avg8.78%
Latest-17.2%

Peer Comparison

Bitcoin Mining and Data Centers
Select Columns
Size & Scale
Valuation
Per Share
Growth
Profitability
Quality & Returns
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TTM Growth
Famous Investor Metrics
Dividends
Latest Quarter
Momentum & Returns
Total Return (DRIP)
Technical
Volume & Trading
Shares & Dilution
Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
IRENIREN Limited13.61B40.95105167.65%17.35%-0.64%0.53
RIOTRiot Platforms, Inc.6.05B16.2947.9134.2%29.05%4.68%0.20
BTBTBit Digital, Inc.537.95M1.678.35264.59%17.29%13.1%0.03
FUFUBitFuFu Inc.386.56M2.377.1863.08%11.65%11.43%0.22
ABTCAmerican Bitcoin Corp199.29M1.022.1710.09%6%-17.73%0.01
BMNRBitmine Immersion Technologies, Inc.7.75B18.981.4284.12%57.19%-43.15%
CLSKWCleanSpark, Inc.88.85M0.310.28102.21%47.56%-18.88%0.38
ARBKArgo Blockchain plc954.21K2.86-0.01-15.95%-113.58%

Compare HUT vs Peers

Analyze head-to-head performance against top industry competitors across valuation, growth, and profitability metrics.

vs IREN

Compare head-to-head with IREN Limited

vs BMNR

Compare head-to-head with Bitmine Immersion Technologies, Inc.

Compare Top 5

vs IREN, BMNR, WULF, CIFR

Profit & Loss

Jun 2017Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Jun 2023Dec 2023Dec 2024Dec 2025
Net Interest Income+00-872.1K-4.78M-2.44M1.5M-6.67M-24.93M-29.79M-30.07M
NII Growth %----448.65%48.99%161.39%-545.15%-273.81%-19.5%-0.94%
Net Interest Margin %----------
Interest Income0032.41K41.24K8.3K2.85M922K000
Interest Expense00904.51K4.83M2.45M1.36M7.59M24.93M29.79M30.07M
Loan Loss Provision0788.53K72.02M75.03M59.36M24.43M35.52M29.26M56.86M-9.56M
Non-Interest Income+06.74M49.41M81.95M40.7M76.33M85.81M96.05M162.38M235.12M
Non-Interest Income %----------
Total Revenue+06.74M49.44M81.99M40.71M79.19M86.74M96.05M162.38M235.12M
Revenue Growth %--633.59%65.84%-50.35%94.51%9.54%10.73%69.07%44.79%
Non-Interest Expense105.96K5.28M25.62M4.76M2.57M73.22M112.31M32.46M-384.81M536.6M
Efficiency Ratio----------
Operating Income+-105.96K1.38M-49.11M-2.66M-7.14M-19.82M-68.69M9.4M460.54M-321.99M
Operating Margin %----------
Operating Income Growth %-0.49%1400.11%-3664.72%94.59%-168.51%-177.59%-246.65%113.68%4801.44%-169.92%
Pretax Income+-105.96K673.63K-136.77M2.13M3.99M-26.73M-66.81M21.96M451.91M-299.83M
Pretax Margin %----------
Income Tax+0106.56K86.08M4.76M-15.05M5.07M-1.2M190K113.46M51.84M
Effective Tax Rate %----------
Net Income+-105.96K567.07K-136.77M2.13M-19.31M-31.8M-65.61M21.85M331.88M-226.15M
Net Margin %----------
Net Income Growth %-0.49%635.18%-24217.84%101.56%-1006.15%-64.73%-106.3%133.3%1418.91%-168.14%
Net Income (Continuing)-105.96K567.07K-----65.61M21.77M338.45M-226.15M
EPS (Diluted)+-9.3249.88-8.110.101.00-1.53-6.470.563.40-2.14
EPS Growth %-0.54%635.19%-116.26%101.23%900%-253%-322.88%108.66%507.14%-162.94%
EPS (Basic)-9.3249.88-8.110.101.00-1.53-6.470.573.71-2.14
Diluted Shares Outstanding11.37K11.37K16.86M18.12M18.85M26.83M37.55M49.81M101.05M105.33M

Balance Sheet

Jun 2017Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Jun 2023Dec 2023Dec 2024Dec 2025
Cash & Short Term Investments+286.25K259.52K3.56M2.95M9.74M140.13M30.52M47.36M85.04M44.91M
Cash & Due from Banks286.25K259.52K3.56M2.95M6.72M140.13M30.52M40.82M85.04M44.91M
Short Term Investments00003.02M006.54M00
Total Investments+00015.88M3.02M093.58M115.53M88.39M6.38M
Investments Growth %-----81%-100%-23.46%-23.49%-92.78%
Long-Term Investments00015.88M0093.58M108.99M88.39M6.38M
Accounts Receivables0000001.59M4.4M6.99M31.12M
Goodwill & Intangibles+----------
Goodwill00000011.54M75.94M53.08M210.09M
Intangible Assets00381.2K625K003.59M22.89M13.27M11.14M
PP&E (Net)0058.13M34.38M7.42M206.89M124.96M174.85M242.27M661.74M
Other Assets0020.75M21.54M23.87M45.74M27.22M512.57M865M1.46B
Total Current Assets291.6K262.79K3.64M14.69M9.78M468.08M245.62M81.25M256.84M408.18M
Total Non-Current Assets0079.26M56.54M33.38M252.63M167.31M895.62M1.26B2.35B
Total Assets+291.6K262.79K82.9M71.24M43.16M720.71M412.94M976.87M1.52B2.75B
Asset Growth %-13.1%-9.88%31443.89%-14.06%-39.41%1569.7%-42.7%136.57%55.48%81.3%
Return on Assets (ROA)-33.79%204.58%-328.93%2.76%-33.75%-8.33%-11.58%3.14%26.6%-10.59%
Accounts Payable0016.87M563.87K1.46M7.07M5.96M19.73M11.29M0
Total Debt+0032.37M26.04M4.6M40.69M47.42M268.75M345.65M429.33M
Net Debt-286.25K-259.52K28.81M23.09M-2.12M-99.43M16.9M227.93M260.61M384.42M
Long-Term Debt0028.3M19.81M024.2M31.2M162.61M235.62M226.51M
Short-Term Debt004.07M6.23M4.09M16.49M16.22M87.16M64.97M202.82M
Other Liabilities0000099.02M212K22.04M0332.3M
Total Current Liabilities223.84K253.07K21.94M8.73M6.13M26.06M30.13M148.42M153.96M375.58M
Total Non-Current Liabilities0028.3M19.81M307K128.68M31.41M185.45M384.33M688.67M
Total Liabilities223.84K253.07K50.24M28.54M6.44M154.74M55.55M333.87M538.28M1.06B
Total Equity+67.75K9.73K32.66M42.7M36.73M565.97M357.39M643M980.58M1.69B
Equity Growth %-61%-85.64%335694.39%30.75%-13.99%1441.05%-36.85%79.92%52.5%72.29%
Equity / Assets (Capital Ratio)----------
Return on Equity (ROE)-87.76%1463.81%-837.28%5.65%-48.61%-10.55%-14.21%4.37%40.88%-16.94%
Book Value per Share5.960.861.942.361.9521.099.5212.919.7016.04
Tangible BV per Share----------
Common Stock658.05K658.05K162.73M170.62M0636.6M767.64M1.17M995K1.1M
Additional Paid-in Capital000020.31M000789.6M0
Retained Earnings-687.6K-745.62K-136.67M-134.59M-9.08M-188.26M-431.07M-132.19M231.63M5.48M
Accumulated OCI97.3K97.3K4.06M1.37M0103.54M2.12M14.19M-45.55M-10.43M
Treasury Stock--------00
Preferred Stock000024.65M98.5M98.5M000

Cash Flow

Jun 2017Dec 2017Dec 2018Dec 2019Dec 2020Dec 2021Jun 2023Dec 2023Dec 2024Dec 2025
Cash from Operations+-42.59K49.24M-6.77M14.51M-1.29M-80.24M-105.03M-26.48M-68.53M-139.23M
Operating CF Growth %36.85%115710.65%-113.75%314.23%-108.91%-6110.66%-30.9%74.79%-158.8%-103.15%
Net Income-105.96K567.07K-136.77M2.13M19.04M-72.71M-242.81M8.38M331.41M-248M
Depreciation & Amortization0924.95K47.02M33.05M21.26M23.29M94.53M14.61M49.41M104.51M
Deferred Taxes0085.4M-5.34M-15.05M5.62M9.59M-1.14M111.76M0
Other Non-Cash Items047.75M-14.37M-5.16M-27.52M-48.48M24.74M-32.41M-567.49M-53.54M
Working Capital Changes63.37K1.35K8.42M-13.07M1.25M2.17M2M8.86M-19.73M0
Cash from Investing+0-52.67M-90.16M-9.73M-7.14M-235.07M-103.61M87.25M-188.47M-754.21M
Purchase of Investments000000-50.03M000
Sale/Maturity of Investments000001000K1000K1000K00
Net Investment Activity----------
Acquisitions000000-30.17M31.99M-3.2M0
Other Investing0-21.6K-5.8M-497.73K-1.33M-192.99M-733K172.91M-21.67M-551.28M
Cash from Financing+0142.92M77.24M-5.39M8.3M455.84M99.83M-33.45M311.95M856.13M
Dividends Paid0000000000
Share Repurchases0000000000
Stock Issued0054.84M07.49M390.89M124.86M21.59K162.53M314.35M
Net Stock Activity----------
Debt Issuance (Net)--------1000K0
Other Financing0142.92M22.4M19.96M7.45M105.39M-4.08M-58.57M21.33M856.13M
Net Change in Cash+-42.59K-42.59K-19.69M-610.54K-130.08K137.31M-109.61M10.3M-30.96M-37.02M
Exchange Rate Effect0-1000K00-99.64K-1000K-796K890.38K-375K285K
Cash at Beginning328.84K328.84K23.25M3.56M2.95M2.82M140.13M30.52M30.96M85.64M
Cash at End286.25K286.25K3.56M2.95M2.82M140.13M30.52M40.82M048.61M
Interest Paid--------11.16M0
Income Taxes Paid--------2.82M0
Free Cash Flow+-42.59K-3.41M-91.14M5.27M-7.1M-166.67M-177.74M-27.3M-333.13M-342.15M
FCF Growth %36.85%-7895.54%-2576.17%105.79%-234.67%-2246.52%-6.64%84.64%-1120.38%-2.71%

Banking Ratios

Metric2016201720182019202020212022202320242025
Return on Equity (ROE)-87.76%1463.81%-837.28%5.65%-48.61%-10.55%-14.21%4.37%40.88%-16.94%
Return on Assets (ROA)-33.79%204.58%-328.93%2.76%-33.75%-8.33%-11.58%3.14%26.6%-10.59%
Net Interest Margin0%0%-1.05%-6.72%-5.65%0.21%-1.62%-2.55%-1.96%-1.09%
Efficiency Ratio-78.3%51.83%5.81%6.31%92.46%129.49%33.79%-236.97%228.23%
Equity / Assets23.24%3.7%39.4%59.94%85.08%78.53%86.55%65.82%64.56%61.35%
Book Value / Share5.960.861.942.361.9521.099.5212.919.716.04
NII Growth----448.65%48.99%161.39%-545.15%-273.81%-19.5%-0.94%

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