US Stock MarketDetailed Quotes

RIO Rio Tinto

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  • 61.665
  • -0.445-0.72%
Trading Feb 26 09:59 ET
100.34BMarket Cap8.72P/E (TTM)

Rio Tinto Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
16.29%11.57B
-23.72%9.95B
-42.26%13.05B
117.28%22.6B
49.17%10.4B
-49.93%6.97B
57.33%13.93B
85.32%8.85B
377.84%4.78B
-126.45%-1.72B
Deferred tax
5.45%4.04B
-31.74%3.83B
-31.84%5.61B
65.02%8.24B
20.35%4.99B
-2.24%4.15B
6.99%4.24B
153.03%3.97B
57.80%1.57B
-67.47%993M
Other non cash items
-20.33%905M
172.42%1.14B
62.26%417M
-49.31%257M
-20.03%507M
4.11%634M
-27.50%609M
-18.92%840M
-1.15%1.04B
8.38%1.05B
Change In working capital
106.16%57M
-99.14%-926M
56.90%-465M
-278.60%-1.08B
---285M
--0
-167.34%-532M
27.11%-199M
-118.21%-273M
-1.32%1.5B
-Change in receivables
51.67%-202M
-2,190.00%-418M
105.45%20M
34.70%-367M
-444.79%-562M
138.72%163M
-205.07%-421M
82.62%-138M
-156.55%-794M
45.95%1.4B
-Change in inventory
148.58%205M
64.39%-422M
15.18%-1.19B
-397.15%-1.4B
-1,103.57%-281M
104.77%28M
-21.78%-587M
-265.07%-482M
-44.49%292M
-43.86%526M
Cash from discontinued investing activities
Operating cash flow
2.90%15.6B
-6.04%15.16B
-36.34%16.13B
59.65%25.35B
6.46%15.88B
26.15%14.91B
-14.86%11.82B
64.02%13.88B
-9.78%8.47B
-34.32%9.38B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
-35.52%-9.59B
-4.84%-7.08B
7.82%-6.75B
-19.19%-7.32B
-12.96%-6.14B
-12.28%-5.44B
-11.51%-4.84B
-63.43%-4.34B
42.07%-2.66B
38.15%-4.59B
Net business purchase and sale
28.12%-703M
-15.74%-978M
-8,550.00%-845M
130.30%10M
70.80%-33M
-101.46%-113M
188.88%7.72B
256.74%2.67B
2,596.67%749M
-103.90%-30M
Net investment purchase and sale
-52.24%564M
41.10%1.18B
1,113.04%837M
18.97%69M
45.00%58M
102.58%40M
-127.38%-1.55B
-229.95%-683M
-1,393.75%-207M
-89.19%16M
Net other investing changes
254.55%136M
-272.55%-88M
-40.00%51M
119.45%85M
-4,072.73%-437M
1,200.00%11M
94.44%-1M
-250.00%-18M
500.00%12M
166.67%2M
Cash from discontinued investing activities
Investing cash flow
-37.81%-9.59B
-3.80%-6.96B
6.31%-6.71B
-9.20%-7.16B
-19.18%-6.56B
-516.43%-5.5B
155.67%1.32B
-12.79%-2.37B
54.26%-2.1B
29.26%-4.6B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-139.33%-599M
424.73%1.52B
-114.16%-469M
63.26%-219M
-384.55%-596M
94.52%-123M
19.12%-2.25B
43.88%-2.78B
-194.35%-4.95B
44.59%-1.68B
Net common stock issuance
----
----
----
----
86.60%-208M
71.18%-1.55B
-158.57%-5.39B
---2.08B
--0
---2.03B
Cash dividends paid
-8.58%-7.03B
44.83%-6.47B
23.64%-11.73B
-150.44%-15.36B
40.66%-6.13B
-92.94%-10.33B
-26.02%-5.36B
-55.96%-4.25B
33.15%-2.73B
-9.87%-4.08B
Net other financing activities
926.04%985M
103.31%96M
-4,131.94%-2.9B
-44.62%72M
23.81%130M
183.78%105M
219.35%37M
-117.03%-31M
58.26%182M
-91.21%115M
Cash from discontinued financing activities
Financing cash flow
-34.43%-7.09B
65.90%-5.28B
2.45%-15.47B
-122.47%-15.86B
41.65%-7.13B
5.65%-12.22B
-41.68%-12.95B
-22.03%-9.14B
2.33%-7.49B
-41.10%-7.67B
Net cash flow
Beginning cash position
42.78%9.67B
-47.10%6.77B
23.35%12.81B
29.33%10.38B
-26.28%8.03B
3.24%10.89B
28.79%10.55B
-12.45%8.19B
-24.56%9.35B
21.46%12.4B
Current changes in cash
-137.28%-1.09B
148.31%2.92B
-360.15%-6.05B
6.17%2.32B
177.96%2.19B
-1,570.16%-2.81B
-91.94%191M
309.73%2.37B
60.86%-1.13B
-223.01%-2.89B
Effect of exchange rate changes
-330.43%-99M
-253.33%-23M
-85.00%15M
-39.39%100M
405.56%165M
-135.76%-54M
1,358.33%151M
65.71%-12M
77.99%-35M
-1.92%-159M
End cash Position
-12.28%8.48B
42.78%9.67B
-47.10%6.77B
23.35%12.81B
29.33%10.38B
-26.28%8.03B
3.24%10.89B
28.79%10.55B
-12.45%8.19B
-24.56%9.35B
Free cash flow
-25.96%5.98B
-13.96%8.07B
-47.75%9.38B
85.43%17.96B
2.78%9.69B
47.46%9.42B
-32.03%6.39B
72.42%9.4B
16.07%5.45B
-23.29%4.7B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 16.29%11.57B-23.72%9.95B-42.26%13.05B117.28%22.6B49.17%10.4B-49.93%6.97B57.33%13.93B85.32%8.85B377.84%4.78B-126.45%-1.72B
Deferred tax 5.45%4.04B-31.74%3.83B-31.84%5.61B65.02%8.24B20.35%4.99B-2.24%4.15B6.99%4.24B153.03%3.97B57.80%1.57B-67.47%993M
Other non cash items -20.33%905M172.42%1.14B62.26%417M-49.31%257M-20.03%507M4.11%634M-27.50%609M-18.92%840M-1.15%1.04B8.38%1.05B
Change In working capital 106.16%57M-99.14%-926M56.90%-465M-278.60%-1.08B---285M--0-167.34%-532M27.11%-199M-118.21%-273M-1.32%1.5B
-Change in receivables 51.67%-202M-2,190.00%-418M105.45%20M34.70%-367M-444.79%-562M138.72%163M-205.07%-421M82.62%-138M-156.55%-794M45.95%1.4B
-Change in inventory 148.58%205M64.39%-422M15.18%-1.19B-397.15%-1.4B-1,103.57%-281M104.77%28M-21.78%-587M-265.07%-482M-44.49%292M-43.86%526M
Cash from discontinued investing activities
Operating cash flow 2.90%15.6B-6.04%15.16B-36.34%16.13B59.65%25.35B6.46%15.88B26.15%14.91B-14.86%11.82B64.02%13.88B-9.78%8.47B-34.32%9.38B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale -35.52%-9.59B-4.84%-7.08B7.82%-6.75B-19.19%-7.32B-12.96%-6.14B-12.28%-5.44B-11.51%-4.84B-63.43%-4.34B42.07%-2.66B38.15%-4.59B
Net business purchase and sale 28.12%-703M-15.74%-978M-8,550.00%-845M130.30%10M70.80%-33M-101.46%-113M188.88%7.72B256.74%2.67B2,596.67%749M-103.90%-30M
Net investment purchase and sale -52.24%564M41.10%1.18B1,113.04%837M18.97%69M45.00%58M102.58%40M-127.38%-1.55B-229.95%-683M-1,393.75%-207M-89.19%16M
Net other investing changes 254.55%136M-272.55%-88M-40.00%51M119.45%85M-4,072.73%-437M1,200.00%11M94.44%-1M-250.00%-18M500.00%12M166.67%2M
Cash from discontinued investing activities
Investing cash flow -37.81%-9.59B-3.80%-6.96B6.31%-6.71B-9.20%-7.16B-19.18%-6.56B-516.43%-5.5B155.67%1.32B-12.79%-2.37B54.26%-2.1B29.26%-4.6B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -139.33%-599M424.73%1.52B-114.16%-469M63.26%-219M-384.55%-596M94.52%-123M19.12%-2.25B43.88%-2.78B-194.35%-4.95B44.59%-1.68B
Net common stock issuance ----------------86.60%-208M71.18%-1.55B-158.57%-5.39B---2.08B--0---2.03B
Cash dividends paid -8.58%-7.03B44.83%-6.47B23.64%-11.73B-150.44%-15.36B40.66%-6.13B-92.94%-10.33B-26.02%-5.36B-55.96%-4.25B33.15%-2.73B-9.87%-4.08B
Net other financing activities 926.04%985M103.31%96M-4,131.94%-2.9B-44.62%72M23.81%130M183.78%105M219.35%37M-117.03%-31M58.26%182M-91.21%115M
Cash from discontinued financing activities
Financing cash flow -34.43%-7.09B65.90%-5.28B2.45%-15.47B-122.47%-15.86B41.65%-7.13B5.65%-12.22B-41.68%-12.95B-22.03%-9.14B2.33%-7.49B-41.10%-7.67B
Net cash flow
Beginning cash position 42.78%9.67B-47.10%6.77B23.35%12.81B29.33%10.38B-26.28%8.03B3.24%10.89B28.79%10.55B-12.45%8.19B-24.56%9.35B21.46%12.4B
Current changes in cash -137.28%-1.09B148.31%2.92B-360.15%-6.05B6.17%2.32B177.96%2.19B-1,570.16%-2.81B-91.94%191M309.73%2.37B60.86%-1.13B-223.01%-2.89B
Effect of exchange rate changes -330.43%-99M-253.33%-23M-85.00%15M-39.39%100M405.56%165M-135.76%-54M1,358.33%151M65.71%-12M77.99%-35M-1.92%-159M
End cash Position -12.28%8.48B42.78%9.67B-47.10%6.77B23.35%12.81B29.33%10.38B-26.28%8.03B3.24%10.89B28.79%10.55B-12.45%8.19B-24.56%9.35B
Free cash flow -25.96%5.98B-13.96%8.07B-47.75%9.38B85.43%17.96B2.78%9.69B47.46%9.42B-32.03%6.39B72.42%9.4B16.07%5.45B-23.29%4.7B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions --------------Unqualified OpinionUnqualified OpinionUnqualified Opinion
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