Symbols / HIVE Stock $2.82 -6.31% HIVE Digital Technologies Ltd.

Financial Services • Capital Markets • United States • NCM
HIVE (Stock) Chart
O: — H: — L: — C: — V: —
SMA 20: SMA 50: SMA 200:
Stock Fundamentals
Scroll to Statements
Index EQUITY
Sector Financial Services
Industry Capital Markets
CEO Mr. Aydin Kilic
Exch · Country NCM · United States
Market Cap 714.18M
Enterprise Value 754.19M
Income -125.06M
Sales 257.14M
FCF (ttm) 96.32M
Book/sh 2.30
Cash/sh 0.10
Employees 24
Insider 10d
IPO Feb 02, 2011
Div forward ($/yr)
Div TTM ($/yr)
Dividend Yield
Ex-Div Date
5Y Avg Yield
Yield vs 5Y Avg
Payout 0.00%
P/E
Forward P/E 4.27
PEG
P/S 2.78
P/B 1.23
P/C
EV/EBITDA 19.86
EV/Sales 2.93
Quick Ratio 0.63
Current Ratio 1.74
Debt/Eq 3.23
LT Debt/Eq
EPS (ttm) -0.77
EPS next Y 0.66
EPS Growth
Revenue Growth 218.60%
EPS Gr Q/Q
Rev Gr Q/Q
Earnings (next) 2026-02-17
Earnings (prior) 2026-02-17
ROA -10.78%
ROE -25.17%
ROIC
Gross Margin 38.56%
Oper. Margin -54.21%
Profit Margin -48.63%
Shs Outstand 253.26M
Shs Float 251.15M
Insider Own 0.39%
Instit Own 39.30%
Short Float
Short Ratio 1.96
Short Interest 27.83M
52W High 7.84
vs 52W High -64.03%
52W Low 1.60
vs 52W Low 76.25%
Beta 3.44
Impl. Vol. 50.03%
Rel Volume 1.18
Avg Volume 12.89M
Volume 15.18M
Target (mean) $5.57
Tgt Median $5.00
Tgt Low $3.00
Tgt High $10.00
# Analysts 7
Recom Strong_buy
Prev Close $3.01
Price $2.82
Change -6.31%
About

HIVE Digital Technologies Ltd., a technology company, engages in the building and operating data centers powered by green energy in Bermuda and Paraguay. The Company operates the mining and sale of digital currencies and performance computing hosting. It also provides infrastructure solutions, such as computational capacity to distributed networks in the blockchain industry. The company was formerly known as HIVE Blockchain Technologies Ltd. and changed its name to HIVE Digital Technologies Ltd. in July 2023. HIVE Digital Technologies Ltd. was incorporated in 1987 and is headquartered in San Antonio, Texas.

Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus Mean price target
2. Current target Latest analyst target
3. DCF / Fair value Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$2.82
Low
$3.00
High
$10.00
Mean
$5.57

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2026-04-24 main Canaccord Genuity Buy → Buy $10
2026-04-09 main Cantor Fitzgerald Overweight → Overweight $3
2026-02-18 main Rosenblatt Buy → Buy $5
2026-02-13 main B. Riley Securities Buy → Buy $6
2026-01-27 down Keefe, Bruyette & Woods Outperform → Market Perform $4
2025-11-21 main B. Riley Securities Buy → Buy $7
2025-11-21 main Canaccord Genuity Buy → Buy $10
2025-11-18 main Rosenblatt Buy → Buy $10
2025-11-18 main HC Wainwright & Co. Buy → Buy $10
2025-10-16 main Rosenblatt Buy → Buy $10
2025-10-13 main Canaccord Genuity Buy → Buy $10
2025-08-26 main Roth Capital Buy → Buy $8
2025-08-20 main Canaccord Genuity Buy → Buy $10
2025-07-03 main Canaccord Genuity Buy → Buy $9
2025-06-27 main Cantor Fitzgerald Overweight → Overweight $6
2025-06-27 main Rosenblatt Buy → Buy $5
2025-06-27 main HC Wainwright & Co. Buy → Buy $6
2025-03-26 main Canaccord Genuity Buy → Buy $9
2025-03-11 main Cantor Fitzgerald Overweight → Overweight $8
2025-03-07 init Rosenblatt — → Buy $6
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-05-05 MCGEE SUSAN BROCK Director 12,500
2026-04-22 MCGEE SUSAN BROCK Director 100,000
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Total Revenue
115.28
+0.71%
114.47
+7.66%
106.32
-49.66%
211.18
Operating Revenue
115.28
+0.71%
114.47
+7.66%
106.32
-49.66%
211.18
Cost Of Revenue
154.62
+10.02%
140.54
+2.44%
137.19
+20.06%
114.27
Reconciled Cost Of Revenue
154.62
+10.02%
140.54
+2.44%
137.19
+20.06%
114.27
Gross Profit
-39.34
-50.87%
-26.08
+15.54%
-30.88
-131.86%
96.91
Operating Expense
26.57
-2.42%
27.23
+25.94%
21.62
+22.64%
17.63
Selling General And Administration
27.54
+34.63%
20.45
-5.40%
21.62
+22.11%
17.71
Selling And Marketing Expense
2.16
+66.18%
1.30
+27.38%
1.02
+71.89%
0.59
General And Administrative Expense
25.38
+32.49%
19.16
-7.02%
20.60
+20.39%
17.11
Salaries And Wages
14.43
+40.71%
10.26
-9.80%
11.37
+41.88%
8.01
Other Gand A
10.95
+23.02%
8.90
-3.61%
9.23
+1.46%
9.10
Other Operating Expenses
6.78
-90.68%
72.72
+95953.25%
-0.08
Total Expenses
181.19
+8.00%
167.77
+5.64%
158.81
+20.40%
131.90
Operating Income
-65.91
-23.65%
-53.31
-1.54%
-52.50
-166.22%
79.28
EBITDA
68.39
-31.13%
99.31
+166.01%
-150.44
-198.37%
152.93
Normalized EBITDA
-1.08
-110.52%
10.23
+138.34%
-26.69
-118.24%
146.30
Reconciled Depreciation
64.49
+1.40%
63.60
-22.18%
81.73
+21.95%
67.02
EBIT
3.90
-89.07%
35.71
+115.38%
-232.17
-370.26%
85.91
Total Unusual Items
69.47
-22.01%
89.08
+171.98%
-123.75
-1967.30%
6.63
Total Unusual Items Excluding Goodwill
69.47
-22.01%
89.08
+171.98%
-123.75
-1967.30%
6.63
Special Income Charges
52.17
-37.08%
82.92
+171.43%
-116.07
-1359.62%
-7.95
Impairment Of Capital Assets
0.00
-100.00%
70.41
+428.21%
13.33
Write Off
0.00
-100.00%
27.33
0.00
Net Income
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Pretax Income
1.61
-95.07%
32.69
+113.84%
-236.13
-387.83%
82.04
Net Non Operating Interest Income Expense
-2.29
+24.27%
-3.02
+23.67%
-3.96
-2.37%
-3.87
Interest Expense Non Operating
2.29
-24.27%
3.02
-23.67%
3.96
+2.37%
3.87
Net Interest Income
-2.29
+24.27%
-3.02
+23.67%
-3.96
-2.37%
-3.87
Interest Expense
2.29
-24.27%
3.02
-23.67%
3.96
+2.37%
3.87
Other Income Expense
69.81
-21.57%
89.02
+149.54%
-179.68
-2811.08%
6.63
Other Non Operating Income Expenses
0.35
+686.44%
-0.06
+99.89%
-55.92
Gain On Sale Of Security
17.30
+180.91%
6.16
+180.16%
-7.68
-152.70%
14.58
Gain On Sale Of Business
0.00
-100.00%
3.17
Tax Provision
4.61
-25.50%
6.18
+2040.14%
0.29
-88.04%
2.42
Tax Rate For Calcs
0.00
-20.73%
0.00
-52.69%
0.00
+1258.23%
0.00
Tax Effect Of Unusual Items
10.42
-38.18%
16.86
+134.05%
-49.50
-25462.59%
0.20
Net Income Including Noncontrolling Interests
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Net Income From Continuing Operation Net Minority Interest
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Net Income From Continuing And Discontinued Operation
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Net Income Continuous Operations
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Normalized Income
-62.04
-35.71%
-45.72
+71.81%
-162.17
-321.57%
73.19
Net Income Common Stockholders
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Diluted EPS
-0.02
-106.90%
0.29
+110.18%
-2.85
-403.19%
0.94
Basic EPS
-0.02
-106.90%
0.29
+110.18%
-2.85
-379.41%
1.02
Basic Average Shares
127.94
+42.15%
90.01
+8.61%
82.87
+6.63%
77.72
Diluted Average Shares
127.94
+42.15%
90.01
+8.61%
82.87
-2.28%
84.81
Diluted NI Availto Com Stockholders
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Gain On Sale Of PPE
52.17
-37.08%
82.92
+552.33%
-18.33
-930.76%
2.21
Provision For Doubtful Accounts
-0.97
-114.25%
6.78
0.00
Line Item Trend 2023-03-31
Total Assets
196.12
Current Assets
82.49
Cash Cash Equivalents And Short Term Investments
7.24
Cash And Cash Equivalents
4.37
Cash Financial
4.37
Other Short Term Investments
2.87
Receivables
9.35
Accounts Receivable
9.35
Inventory
65.90
Finished Goods
65.90
Hedging Assets Current
Total Non Current Assets
113.62
Net PPE
98.20
Gross PPE
273.68
Accumulated Depreciation
-175.48
Properties
0.00
Land And Improvements
0.66
Buildings And Improvements
26.53
Machinery Furniture Equipment
Other Properties
246.49
Goodwill And Other Intangible Assets
0.07
Non Current Accounts Receivable
5.82
Non Current Prepaid Assets
9.54
Total Liabilities Net Minority Interest
47.30
Current Liabilities
23.07
Payables And Accrued Expenses
11.20
Payables
8.84
Accounts Payable
6.86
Other Payable
0.13
Current Accrued Expenses
2.36
Total Tax Payable
1.85
Income Tax Payable
1.85
Current Debt And Capital Lease Obligation
11.87
Current Debt
9.54
Other Current Borrowings
2.40
Current Capital Lease Obligation
2.33
Other Current Liabilities
Total Non Current Liabilities Net Minority Interest
24.23
Long Term Debt And Capital Lease Obligation
24.03
Long Term Debt
15.89
Long Term Capital Lease Obligation
8.14
Non Current Deferred Liabilities
0.21
Non Current Deferred Taxes Liabilities
0.21
Stockholders Equity
148.81
Common Stock Equity
148.81
Capital Stock
419.21
Common Stock
419.21
Share Issued
82.24
Ordinary Shares Number
82.24
Treasury Shares Number
0.00
Additional Paid In Capital
Retained Earnings
-296.67
Gains Losses Not Affecting Retained Earnings
26.27
Other Equity Adjustments
26.27
Total Equity Gross Minority Interest
148.81
Total Capitalization
164.71
Working Capital
59.42
Invested Capital
174.24
Total Debt
35.90
Net Debt
21.05
Capital Lease Obligations
10.47
Net Tangible Assets
148.75
Tangible Book Value
148.75
Derivative Product Liabilities
0.48
Line Of Credit
7.14
Line Item Trend 2025-03-31 2024-03-31 2023-03-31 2022-03-31
Operating Cash Flow
16.63
+72.55%
9.64
-78.47%
44.78
-32.43%
66.28
Cash Flow From Continuing Operating Activities
16.63
+72.55%
9.64
-78.47%
44.78
-32.43%
66.28
Net Income From Continuing Operations
-3.00
-111.31%
26.50
+111.21%
-236.42
-396.93%
79.62
Depreciation Amortization Depletion
64.49
+1.40%
63.60
-22.18%
81.73
+21.95%
67.02
Depreciation
64.49
+1.40%
63.60
-22.18%
81.73
Depreciation And Amortization
64.49
+1.40%
63.60
-22.18%
81.73
+21.95%
67.02
Other Non Cash Items
-31.94
+59.87%
-79.61
-2949.25%
2.79
+7.70%
2.59
Stock Based Compensation
10.89
+50.20%
7.25
-13.48%
8.38
+24.06%
6.75
Asset Impairment Charge
0.00
-100.00%
97.74
+633.24%
13.33
Deferred Tax
3.64
-71.90%
12.96
+4385.12%
0.29
-88.04%
2.42
Deferred Income Tax
3.64
-71.90%
12.96
+4385.12%
0.29
-88.04%
2.42
Operating Gains Losses
-27.07
-41.73%
-19.10
+82.49%
-109.06
+52.38%
-229.04
Gain Loss On Investment Securities
-127.64
-10.85%
-115.15
-4.12%
-110.59
+49.81%
-220.36
Unrealized Gain Loss On Investment Securities
-3.74
-127.87%
13.43
+1503.20%
0.84
Net Foreign Currency Exchange Gain Loss
14.55
+72845.00%
-0.02
-114.71%
0.14
+104.12%
-3.30
Gain Loss On Sale Of PPE
-18.49
-1610.73%
-1.08
-177.49%
1.40
+163.22%
-2.21
Change In Working Capital
-0.38
+80.74%
-1.96
-101.06%
185.90
+51.46%
122.74
Change In Receivables
-4.74
-514.38%
-0.77
+85.63%
-5.37
-9054.58%
0.06
Change In Payables And Accrued Expense
4.37
+466.50%
-1.19
+68.67%
-3.80
-173.24%
5.19
Change In Payable
-3.80
-173.26%
5.19
Change In Account Payable
-3.80
-174.03%
5.14
Change In Other Current Assets
92.60
-52.53%
195.08
+66.04%
117.49
Investing Cash Flow
-183.77
-137.61%
-77.34
-89.16%
-40.89
+80.71%
-211.99
Cash Flow From Continuing Investing Activities
-183.77
-137.61%
-77.34
-89.16%
-40.89
+80.71%
-211.99
Net PPE Purchase And Sale
-155.12
-103.16%
-76.35
-86.74%
-40.89
+80.52%
-209.86
Purchase Of PPE
-174.31
-122.80%
-78.23
-82.67%
-42.83
+79.88%
-212.84
Sale Of PPE
19.19
+919.50%
1.88
-3.09%
1.94
-34.81%
2.98
Capital Expenditure
-174.31
-122.80%
-78.23
-82.67%
-42.83
+79.88%
-212.84
Net Investment Purchase And Sale
0.25
+172.43%
-0.34
0.00
+100.00%
-1.89
Purchase Of Investment
-1.53
-348.39%
-0.34
0.00
+100.00%
-1.89
Sale Of Investment
1.78
0.00
Net Business Purchase And Sale
-25.69
-3870.94%
-0.65
0.00
+100.00%
-0.24
Purchase Of Business
-25.69
-3870.94%
-0.65
0.00
+100.00%
-0.24
Gain Loss On Sale Of Business
0.00
+100.00%
-3.17
Net Other Investing Changes
-3.21
Financing Cash Flow
180.73
+147.57%
73.00
+1673.70%
-4.64
-104.19%
110.77
Cash Flow From Continuing Financing Activities
180.73
+147.57%
73.00
+1673.70%
-4.64
-104.19%
110.77
Net Issuance Payments Of Debt
-6.13
-35.27%
-4.53
+46.32%
-8.44
+8.01%
-9.18
Issuance Of Debt
0.00
Repayment Of Debt
-6.13
-35.27%
-4.53
+21.43%
-5.77
+10.64%
-6.45
Long Term Debt Issuance
0.00
Long Term Debt Payments
-6.13
-35.27%
-4.53
+21.43%
-5.77
+10.64%
-6.45
Net Long Term Debt Issuance
-6.13
-35.27%
-4.53
+46.32%
-8.44
+8.01%
-9.18
Net Common Stock Issuance
186.76
+235.29%
55.70
+1365.04%
3.80
-88.79%
33.91
Proceeds From Stock Option Exercised
0.10
-99.54%
21.83
0.00
-100.00%
86.04
Changes In Cash
13.60
+156.36%
5.30
+812.77%
-0.74
+97.87%
-34.93
Effect Of Exchange Rate Changes
0.10
+5000.00%
0.00
+100.99%
-0.20
-427.79%
-0.04
Beginning Cash Position
9.68
+121.31%
4.37
-17.79%
5.32
-86.80%
40.29
End Cash Position
23.38
+141.53%
9.68
+121.31%
4.37
-17.78%
5.32
Free Cash Flow
-157.67
-129.86%
-68.59
-3612.29%
1.95
+101.33%
-146.56
Interest Paid Supplemental Data
1.36
-12.67%
1.55
-21.35%
1.98
+591.15%
0.29
Income Tax Paid Supplemental Data
1.39
+101.89%
0.69
0.00
0.00
Change In Income Tax Payable
0.00
-100.00%
0.05
Change In Tax Payable
0.00
-100.00%
0.05
Common Stock Issuance
186.76
+235.29%
55.70
+1365.04%
3.80
-88.79%
33.91
Issuance Of Capital Stock
186.76
+235.29%
55.70
+1365.04%
3.80
-88.79%
33.91
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

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