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HL

Hecla Mining Company
Chart
14.33 USD
Latest Week 2026-07-17
Snapshot 2026-07-12 · 0.9w · Fresh
0.74
OS Score
26.0%
Value
97.0%
Quality
93.0%
Momentum
8/9
F-Score
0.502
QV
Strategy Eligibility
3 of 23 passing
OS Composite
Trending Value
Quality × Value
🏛
Cornerstone Value
🌿
Cornerstone Growth
💎
Deep Value
VC2 Cheapest
📐
EBITDA/EV
8.2%
Veiled Value
Piotroski Bargains
🔬
Quality Compounders
📈
Consistent Earners
🌱
GARP
🔄
Shareholder Yield
💰
High Yield
🚀
Momentum Leaders
Market Leaders
Tiny Titans
🔍
Small Cap Value
🛡
Low Volatility
🏷
Sector Cheapest
🧠
Capital Allocators
CAQ 1.00
Risk-Adj Momentum
RAM 1.82
V
Value Analysis
Cheapness relative to fundamentals
26.0%ile
P/E
38.8×
P/S
6.7×
P/B
4.1×
E/P
0.0666
FCF Yield
0.095
EBITDA/EV
0.082
SH Yield
-0.019
Relative Strength Across Value Dimensions
Multiples & Yields — Decomposition
VC1 (5-Factor)
87.00000000
/100 — 1=cheapest
VC2 (Trending Value)
91.00000000
/100
VC3 (Buyback)
86.00000000
/100
P/E of 38.8x is premium-priced — the market is paying up for expected growth. FCF yield of 9.5% is strong — the business generates significant free cash relative to price. VC2 score of 91.00000000/100 — expensive across all six composite measures.
Q
Quality Analysis
Profitability, efficiency, balance sheet & earnings quality
97.0%ile
ROE
0.107
ROA
0.081
Net Margin
0.174
Op Margin
0.436
GPA
0.237
D/E
0.31
Current
4.94
F-Score
8/9
Quality Radar — Relative Strength
Profitability & Leverage Breakdown
Rev Growth
0.570
Earn Growth
2.888
Stability
1.206
lower=better
Accruals
-0.132
lower=better
5yr Consist
No
Conservative balance sheet with D/E of 0.31. F-Score of 8/9 indicates strong fundamental improvement across multiple dimensions.
M
Momentum & Risk
Price trend, volatility regime, risk-adjusted returns
93.0%ile
6M Return
-29.5%
12M Return
150.6%
12-1 Mom
142.2%
Risk-Adj
1.82
Vol 252d
78.0%
Vol 60d
165.9%
↑ Expanding
Max DD 12M
-53.5%
Return Comparison — 6M / 12M / 12-1
Volatility Regime — 60d vs 252d
12-1 momentum of 142% is very strong — a clear uptrend. Risk-adjusted momentum of 1.82 is excellent — strong returns relative to volatility. Near-term vol (166%) is expanding vs long-term (78%) — risk is increasing.
OS
Composite & Factor Heatmap
All factors at a glance
0.74
Pillar Balance — Value / Quality / Momentum
Factor Heatmap — green=strong, red=weak
Sector Context
Basic Materials · 223 peers
Sector Value %ile
21.0%
Sector Quality %ile
96.4%
P/E z-score
0.10
P/B z-score
-0.02
Sector Avg OS
53.1%
Ticker vs Sector Averages
Relative Valuation Z-Score
Top Sector Peers (By OS)
SymbolNameOSValueQualityMomentum
IAG IAMGold Corporation 99.0% 93.0% 97.0% 91.0%
CGAU Centerra Gold Inc 99.0% 95.0% 82.0% 92.0%
NEXA Nexa Resources SA 99.0% 95.0% 86.0% 96.0%
B Barrick Mining Corporation 99.0% 90.0% 98.0% 85.0%
BHP BHP Group Limited 98.0% 90.0% 98.0% 83.0%
GFI Gold Fields Ltd ADR 98.0% 92.0% 99.0% 78.0%
BVN Compania de Minas Buenaventura SAA ADR 98.0% 90.0% 92.0% 86.0%
FSM Fortuna Silver Mines Inc 98.0% 95.0% 97.0% 67.0%
Factor Interactions
Quality Momentum — Expensive
Strong quality (97th) and momentum (93th) but expensive (26th value). Premium priced — watch for mean reversion.
Hot but Volatile
Strong momentum (93th) but high volatility (78%). Momentum could reverse sharply.
Quality at a Premium
High quality (97th) but expensive (26th value). Upside may be limited without earnings growth.
Volatility Expanding
60-day vol (166%) significantly exceeds 252-day (78%). Near-term risk is elevated.
Factor Analysis
Comprehensive factor intelligence — strengths, weaknesses & cross-factor profile
Value
D
42.9% avg (7 factors)
Quality
B
73.2% avg (8 factors)
Momentum
B
67.8% avg (4 factors)
Risk
F
0.0% avg (1 factors)
High quality business commanding a premium price. The market recognises the quality — returns from here depend on continued fundamental execution. Elevated risk profile — position sizing should reflect the higher volatility.
▲ Top Strengths — highest scoring factors
▼ Key Weaknesses — lowest scoring factors
Score Trends6 snapshots
Factor Persistence6 snapshots
FactorCurrentStreakTrendSpark
OS Composite0.740—6
Value %ile0.260—6
Quality %ile0.970—6
Momentum %ile0.930—6
F-Score8.000—6
Confidence0.980—6
Volatility0.780—6
Value Lens2021-07-13 → 2026-07-12
P/E Ratio
Earnings Yield
Value FactorsCheapness relative to fundamentals — lower multiples = cheaper
P/E Ratio
38.75
Earnings Yield (E/P)
0.0666
Price / Sales
6.75
Price / Book
4.13
Price / Cash Flow
14.71
FCF Yield
9.5%
EBITDA / EV
8.2%
Sales Yield (1/P·S)
0.1529
Shareholder Yield
Div + net buyback / mktcap
-1.9%
Quality FactorsProfitability, efficiency, and balance sheet strength
Return on Equity
10.7%
Return on Assets
8.1%
Net Margin
17.4%
Operating Margin
43.6%
Gross Profit / Assets
Novy-Marx GPA
23.7%
Debt / Equity
0.31
Current Ratio
4.94
Accruals Ratio
(NI-OCF)/Assets — lower=better
-0.132
MomentumPrice trend strength over different horizons
6M Return
-29.5%
12M Return
150.6%
12-1 Momentum
Jegadeesh-Titman (skip recent month)
142.2%
Risk-Adjusted Momentum
Mom 12-1 ÷ Vol
1.82
Growth & StabilityEarnings trajectory, consistency, and capital allocation
Revenue Growth (YoY)
57.0%
Earnings Growth (YoY)
288.8%
Earnings Stability (CV)
Lower = more stable
1.206
5yr Consistent
EPS up every year for 5 years
No
Piotroski F-Score
8
Dividend Yield
0.1%
Buyback Yield
-2.0%
O'Shaughnessy CompositesValue Composites (WWOWS 4th Ed) — 1=cheapest, 100=most expensive
VC1 (5-factor)
P/E+P/S+P/B+P/CF+EBITDA/EV
87
VC2 (6-factor)
VC1 + Shareholder Yield — used for Trending Value
91
VC3 (6-factor)
VC1 + Buyback Yield — no dividend preference
86
Capital Allocation & AlphaAlpha within factors — quality of management decisions
Veiled Value
Expensive by P/B, cheap by everything else
No
Market Leader
Above-avg mcap+revenue, non-utility
No
All Stocks Universe
Market cap > $200M
Yes
Tiny Titan
Micro-cap, low P/S, positive momentum
No
Quarterly Fundamentals
Revenue
Net Income
FCF
Net Margin
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Op Income
OCF
CapEx
Equity
Annual Fundamentals
Revenue
Net Income
FCF
Net Margin
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Op Income
OCF
CapEx
Equity