US Stock MarketDetailed Quotes

KIROY KUMBA IRON ORE LTD ADR EACH REPR 0.3333 ORD

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  • 6.650
  • -0.350-5.00%
15min DelayClose Nov 8 16:00 ET
6.40BMarket Cap5.49P/E (TTM)

KUMBA IRON ORE LTD ADR EACH REPR 0.3333 ORD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
51.44%40.71B
--26.88B
----
41.74%40.84B
76.80%28.81B
-23.56%16.3B
39.21%21.32B
479.24%15.32B
-86.22%2.64B
-32.39%19.19B
Other non cash items
205.15%204M
---194M
----
512.50%49M
101.14%8M
---704M
----
----
----
----
Change In working capital
-201.83%-7.44B
---2.47B
----
-904.80%-5.7B
142.27%708M
-146.89%-1.68B
326.36%3.57B
-171.15%-1.58B
266.02%2.22B
-49.61%-1.34B
-Change in receivables
-262.72%-4.26B
--2.62B
----
-1,393.69%-5.33B
167.65%412M
-131.29%-609M
198.78%1.95B
-188.98%-1.97B
48.89%2.21B
260.06%1.49B
-Change in inventory
0.26%-4.63B
---4.64B
----
117.21%163M
48.28%-947M
-414.07%-1.83B
533.70%583M
154.76%92M
92.27%-168M
-153.97%-2.17B
-Change in other current assets
----
----
----
----
----
46.15%-42M
-1,400.00%-78M
137.50%6M
-128.57%-16M
111.89%56M
Cash from discontinued investing activities
Operating cash flow
5.45%29.31B
--27.79B
----
11.94%30.66B
79.80%27.39B
-10.44%15.23B
25.65%17.01B
6.86%13.54B
-26.85%12.67B
-24.77%17.32B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
10.95%-9.85B
-78.14%-11.06B
-8.13%-6.21B
-2.59%-5.74B
-25.89%-5.6B
-44.63%-4.45B
-30.64%-3.07B
65.15%-2.35B
20.35%-6.75B
-31.37%-8.48B
Net business purchase and sale
----
----
---50M
--0
----
----
----
----
----
----
Net investment purchase and sale
----
----
---10M
--0
---207M
--0
----
----
----
----
Net other investing changes
----
----
----
----
----
----
200.00%27M
-92.50%9M
53.85%120M
110.81%78M
Cash from discontinued investing activities
Investing cash flow
10.95%-9.85B
-76.44%-11.06B
-9.18%-6.27B
1.07%-5.74B
-30.54%-5.8B
-45.91%-4.45B
-29.99%-3.05B
64.63%-2.34B
21.14%-6.63B
-30.74%-8.4B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-138.45%-2.58B
--6.72B
--0
----
----
----
-21.46%-4.5B
-166.93%-3.71B
-120.58%-1.39B
302.40%6.74B
Net common stock issuance
3.88%-223M
-5.45%-232M
-9.45%-220M
37.96%-201M
-189.29%-324M
-83.61%-112M
66.11%-61M
---180M
--0
59.32%-107M
Cash dividends paid
34.29%-12.53B
48.07%-19.07B
-220.32%-36.72B
23.49%-11.46B
-57.63%-14.98B
-84.78%-9.51B
---5.14B
----
78.25%-2.49B
-9.05%-11.45B
Cash from discontinued financing activities
Financing cash flow
-3.95%-19.41B
61.56%-18.67B
-215.39%-48.57B
23.18%-15.4B
-59.46%-20.05B
-11.21%-12.57B
-190.97%-11.3B
17.15%-3.89B
45.10%-4.69B
50.64%-8.54B
Net cash flow
Beginning cash position
-8.37%16.42B
-21.06%17.93B
76.50%22.71B
10.24%12.87B
-15.89%11.67B
30.09%13.87B
196.17%10.67B
116.41%3.6B
58.02%1.66B
-31.04%1.05B
Current changes in cash
102.58%50M
67.12%-1.94B
-161.89%-5.89B
518.18%9.52B
186.37%1.54B
-167.06%-1.78B
-63.62%2.66B
440.21%7.31B
261.76%1.35B
152.82%374M
Effect of exchange rate changes
186.24%1.25B
-60.72%436M
244.72%1.11B
193.33%322M
18.05%-345M
-176.55%-421M
324.49%550M
-141.95%-245M
146.41%584M
1.28%237M
End cash Position
7.90%17.72B
-8.37%16.42B
-21.06%17.93B
76.50%22.71B
10.24%12.87B
-15.89%11.67B
30.09%13.87B
196.17%10.67B
116.41%3.6B
58.02%1.66B
Free cash flow
16.38%19.44B
-60.87%16.71B
71.35%42.69B
14.36%24.92B
102.27%21.79B
-22.71%10.77B
24.60%13.94B
89.03%11.19B
-33.08%5.92B
-46.64%8.84B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 51.44%40.71B--26.88B----41.74%40.84B76.80%28.81B-23.56%16.3B39.21%21.32B479.24%15.32B-86.22%2.64B-32.39%19.19B
Other non cash items 205.15%204M---194M----512.50%49M101.14%8M---704M----------------
Change In working capital -201.83%-7.44B---2.47B-----904.80%-5.7B142.27%708M-146.89%-1.68B326.36%3.57B-171.15%-1.58B266.02%2.22B-49.61%-1.34B
-Change in receivables -262.72%-4.26B--2.62B-----1,393.69%-5.33B167.65%412M-131.29%-609M198.78%1.95B-188.98%-1.97B48.89%2.21B260.06%1.49B
-Change in inventory 0.26%-4.63B---4.64B----117.21%163M48.28%-947M-414.07%-1.83B533.70%583M154.76%92M92.27%-168M-153.97%-2.17B
-Change in other current assets --------------------46.15%-42M-1,400.00%-78M137.50%6M-128.57%-16M111.89%56M
Cash from discontinued investing activities
Operating cash flow 5.45%29.31B--27.79B----11.94%30.66B79.80%27.39B-10.44%15.23B25.65%17.01B6.86%13.54B-26.85%12.67B-24.77%17.32B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 10.95%-9.85B-78.14%-11.06B-8.13%-6.21B-2.59%-5.74B-25.89%-5.6B-44.63%-4.45B-30.64%-3.07B65.15%-2.35B20.35%-6.75B-31.37%-8.48B
Net business purchase and sale -----------50M--0------------------------
Net investment purchase and sale -----------10M--0---207M--0----------------
Net other investing changes ------------------------200.00%27M-92.50%9M53.85%120M110.81%78M
Cash from discontinued investing activities
Investing cash flow 10.95%-9.85B-76.44%-11.06B-9.18%-6.27B1.07%-5.74B-30.54%-5.8B-45.91%-4.45B-29.99%-3.05B64.63%-2.34B21.14%-6.63B-30.74%-8.4B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -138.45%-2.58B--6.72B--0-------------21.46%-4.5B-166.93%-3.71B-120.58%-1.39B302.40%6.74B
Net common stock issuance 3.88%-223M-5.45%-232M-9.45%-220M37.96%-201M-189.29%-324M-83.61%-112M66.11%-61M---180M--059.32%-107M
Cash dividends paid 34.29%-12.53B48.07%-19.07B-220.32%-36.72B23.49%-11.46B-57.63%-14.98B-84.78%-9.51B---5.14B----78.25%-2.49B-9.05%-11.45B
Cash from discontinued financing activities
Financing cash flow -3.95%-19.41B61.56%-18.67B-215.39%-48.57B23.18%-15.4B-59.46%-20.05B-11.21%-12.57B-190.97%-11.3B17.15%-3.89B45.10%-4.69B50.64%-8.54B
Net cash flow
Beginning cash position -8.37%16.42B-21.06%17.93B76.50%22.71B10.24%12.87B-15.89%11.67B30.09%13.87B196.17%10.67B116.41%3.6B58.02%1.66B-31.04%1.05B
Current changes in cash 102.58%50M67.12%-1.94B-161.89%-5.89B518.18%9.52B186.37%1.54B-167.06%-1.78B-63.62%2.66B440.21%7.31B261.76%1.35B152.82%374M
Effect of exchange rate changes 186.24%1.25B-60.72%436M244.72%1.11B193.33%322M18.05%-345M-176.55%-421M324.49%550M-141.95%-245M146.41%584M1.28%237M
End cash Position 7.90%17.72B-8.37%16.42B-21.06%17.93B76.50%22.71B10.24%12.87B-15.89%11.67B30.09%13.87B196.17%10.67B116.41%3.6B58.02%1.66B
Free cash flow 16.38%19.44B-60.87%16.71B71.35%42.69B14.36%24.92B102.27%21.79B-22.71%10.77B24.60%13.94B89.03%11.19B-33.08%5.92B-46.64%8.84B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR

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