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Vale SA | 6-K: Interim Financial Statements

Vale SA | 6-K: Interim Financial Statements

淡水河谷 | 6-K:中期財務報表
美股SEC公告 ·  2024/10/26 04:23

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Vale reported Q3 2024 net income of R$13.3B ($2.4B), down 5% YoY, while adjusted EBITDA reached R$26.5B ($4.8B). Net operating revenue increased 2% YoY to R$53B driven by higher iron ore pellet prices and copper sales volumes. The company recognized an additional provision of R$5.3B ($956M) for the Samarco dam failure settlement.Key strategic developments include: completion of 10% stake sale in PT Vale Indonesia for $155M, divestment of 50% interest in Vale Oman Distribution Center for $600M, and acquisition of remaining 45% stake in Aliança Energia for $493M. The company paid R$8.9B ($1.6B) in shareholder remuneration during Q3.The company's net debt increased to R$52B ($9.5B) from R$46.3B at end-2023. Capital expenditures rose 8.5% YoY to R$21.6B ($3.9B) in the first nine months, with R$16B allocated to sustaining capex and R$5.6B to growth projects.
Vale reported Q3 2024 net income of R$13.3B ($2.4B), down 5% YoY, while adjusted EBITDA reached R$26.5B ($4.8B). Net operating revenue increased 2% YoY to R$53B driven by higher iron ore pellet prices and copper sales volumes. The company recognized an additional provision of R$5.3B ($956M) for the Samarco dam failure settlement.Key strategic developments include: completion of 10% stake sale in PT Vale Indonesia for $155M, divestment of 50% interest in Vale Oman Distribution Center for $600M, and acquisition of remaining 45% stake in Aliança Energia for $493M. The company paid R$8.9B ($1.6B) in shareholder remuneration during Q3.The company's net debt increased to R$52B ($9.5B) from R$46.3B at end-2023. Capital expenditures rose 8.5% YoY to R$21.6B ($3.9B) in the first nine months, with R$16B allocated to sustaining capex and R$5.6B to growth projects.
淡水河谷報告稱2024年第三季度凈利潤爲133億雷亞爾(24億美元),同比下降5%。經調整的EBITDA達到了265億雷亞爾(48億美元)。淨營業收入同比增長2%,達到530億雷亞爾,主要受益於鐵礦石顆粒價格上漲和銅銷售量增加。公司爲薩馬爾科大壩事故賠償認定了530億雷亞爾(9.56億美元)的額外準備金。關鍵戰略進展包括:完成對印尼淡水河谷10%股份的出售,金額爲1.55億美元,出售對阿曼淡水河谷分銷中心50%的權益,金額爲6億美元,以及以4.93億雷亞爾收購阿利安薩能源剩餘45%的股份。公司在第三季度支付了89億雷亞爾(16億美元)的股東報酬。公司的淨債務從2023年底的463億雷亞爾增加到520億雷亞爾(95億美元)。資本支出在前九個月同比增長8.5%,達到216億雷亞爾(39億美元),其中160億雷亞爾用於維持資本支出,56億雷亞爾用於增長項目。
淡水河谷報告稱2024年第三季度凈利潤爲133億雷亞爾(24億美元),同比下降5%。經調整的EBITDA達到了265億雷亞爾(48億美元)。淨營業收入同比增長2%,達到530億雷亞爾,主要受益於鐵礦石顆粒價格上漲和銅銷售量增加。公司爲薩馬爾科大壩事故賠償認定了530億雷亞爾(9.56億美元)的額外準備金。關鍵戰略進展包括:完成對印尼淡水河谷10%股份的出售,金額爲1.55億美元,出售對阿曼淡水河谷分銷中心50%的權益,金額爲6億美元,以及以4.93億雷亞爾收購阿利安薩能源剩餘45%的股份。公司在第三季度支付了89億雷亞爾(16億美元)的股東報酬。公司的淨債務從2023年底的463億雷亞爾增加到520億雷亞爾(95億美元)。資本支出在前九個月同比增長8.5%,達到216億雷亞爾(39億美元),其中160億雷亞爾用於維持資本支出,56億雷亞爾用於增長項目。
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