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Magnachip Semiconductor MX Payments For Hedge Investing Activities

Payments For Hedge Investing Activities at other companies

Magnachip Semiconductor logo
Magnachip SemiconductorMX
$3.79K
Kearny Financial logo
Kearny FinancialKRNY
$1.46M
Lindsay Corporation logo
Lindsay CorporationLNN
$1.75M
Hannon Armstrong Sustainable Infrastructure Capital logo
Hannon Armstrong Sustainable Infrastructure CapitalHASI
$0-100%
USANA Health Sciences logo
USANA Health SciencesUSNA
$0-100%
DENTSPLY SIRONA logo
DENTSPLY SIRONAXRAY
$7M

Other financials

Income statement

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Revenue$46.2M+3.3%
Gross profit$7.2M-23.2%
Operating income-$7.2M-35.8%
Net income-$4.6M+47.7%
EPS (diluted)-$0.13+45.8%

Balance sheet

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Cash & equivalents$94.6M-28.7%
Total debt$44.4M+41.9%
Total equity$232.8M-13.5%
Total assets$335.5M-10.3%

Cash flow

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Operating cash flow$1.6K+133%
CapEx$3.9K+1,782%
Free cash flow-$2.4K+51.6%

Valuation

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Market cap$172.64M+18.8%
Enterprise value$122.44M+70.4%
P/S+0.2×

Profitability

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Gross margin16.2%-4.9pp
Operating margin-21.4%+184pp
Net margin-14.1%-4.1pp
FCF margin-30.1%

Returns & leverage

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Return on equity-10.2%-2.8pp
Debt / equity0.2×+0.1×
Current ratio2.4×-2.1×

Where this comes from

Reported directly by Magnachip Semiconductor in its filing.

Tagged under the XBRL concept us-gaap:PaymentsForHedgeInvestingActivities.

The official record: Magnachip Semiconductor’s 10-Q, filed May 8, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Magnachip Semiconductor's payments for hedge investing activities?
Magnachip Semiconductor (MX) reported payments for hedge investing activities of $3.79K in Q1 2026.
What is the long-term trend for Magnachip Semiconductor's payments for hedge investing activities?
Over 3 years (2022 to 2025), Magnachip Semiconductor's payments for hedge investing activities has grown at a -40.9% compound annual growth rate (CAGR), from $15.28M to $3.16M.
What does payments for hedge investing activities mean?
Represents cash outflows associated with the acquisition or settlement of financial hedging instruments used to mitigate market risks. This metric reflects the company's strategic allocation of capital toward protecting against volatility in interest rates, foreign exchange, or commodity prices. Monitoring these payments helps investors assess the cost of the company's risk management program.