McEwen $MUX

Materials

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McEwen (MUX) is a Materials company in the Russell 2000. Latest news and coverage below.

McEwen revenue & net income history (FY2016–FY2025)

RevenueNet income
$197.6M$22.6M−$152.3MFY2016 revenue: $60.4MFY2016 net income: $21.1M'16FY2017 revenue: $67.5MFY2017 net income: −$10.6M'17FY2018 revenue: $128.2MFY2018 net income: −$44.9M'18FY2019 revenue: $117.0MFY2019 net income: −$59.7M'19FY2020 revenue: $104.8MFY2020 net income: −$152.3M'20FY2021 revenue: $136.5MFY2021 net income: −$56.7M'21FY2022 revenue: $110.4MFY2022 net income: −$81.1M'22FY2023 revenue: $166.2MFY2023 net income: $55.3M'23FY2024 revenue: $174.5MFY2024 net income: −$43.7M'24FY2025 revenue: $197.6MFY2025 net income: $34.4M'25
McEwen annual financial statements
FY2016Dec 2016FY2017Dec 2017FY2018Dec 2018FY2019Dec 2019FY2020Dec 2020FY2021Dec 2021FY2022Dec 2022FY2023Dec 2023FY2024Dec 2024FY2025Dec 2025
Income statement
Revenue$60.4M$67.5M$128.2M$117.0M$104.8M$136.5M$110.4M$166.2M$174.5M$197.6M
Growth (year over year)−17.2%+11.7%+90.0%−8.7%−10.5%+30.3%−19.1%+50.5%+5.0%+13.2%
Gross profit$32.3M$20.1M$32.1M$8.99M−$26.9M−$6.48M−$544.0K$17.8M$30.9M$47.6M
Gross margin53.4%29.8%25.0%7.7%−25.7%−4.7%−0.5%10.7%17.7%24.1%
Operating income$15.3M−$26.3M−$47.2M−$63.9M−$153.2M−$64.3M−$95.4M−$162.1M−$50.6M$2.65M
Operating margin25.4%−39.0%−36.8%−54.6%−146.2%−47.1%−86.4%−97.5%−29.0%1.3%
Net income$21.1M−$10.6M−$44.9M−$59.7M−$152.3M−$56.7M−$81.1M$55.3M−$43.7M$34.4M
Net margin34.9%−15.8%−35.0%−51.1%−145.4%−41.5%−73.4%33.3%−25.0%17.4%
EPS (diluted)$0.70−$0.30−$13.00−$1.70−$3.78−$1.25−$1.71$1.16−$0.86$0.59
Balance sheet
Cash and equivalents$37.4M$27.2M$15.8M$46.5M$20.8M$54.3M$39.8M$23.0M$13.7M$51.0M
Total assets$498.3M$592.1M$616.9M$631.2M$499.9M$525.3M$528.7M$657.2M$664.6M$820.2M
Total liabilities$55.3M$70.9M$131.0M$131.7M$134.6M$135.4M$172.4M$154.8M$169.6M$274.0M
Long-term debt——$24.6M$19.8M$48.2M$48.9M$64.0M$40.0M$40.0M$126.2M
Shareholders' equity$443.0M$521.3M$485.9M$499.5M$365.3M$389.9M$356.3M$502.4M$495.0M$546.2M
Cash flow
Operating cash flow$7.45M−$27.6M$487.0K−$39.5M−$27.9M−$20.1M−$56.6M−$39.6M$29.5M$6.87M
Capital expenditure$1.17M$5.08M$62.3M———————
Free cash flow$6.27M−$32.7M−$61.9M———————
Share buybacks$582.0K—————————

From McEwen's 10-K and 10-Q filings with the SEC; its fiscal year ends in December. Each period shows the latest figure the company has reported for it, including restatements. † Quarter derived from the company's year-to-date or full-year totals. Filings on SEC EDGAR →

About McEwen

Headquarters
Toronto, Canada From SEC filings, Oct 2026

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