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SBSW Sibanye Stillwater

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  • 4.215
  • +0.075+1.81%
Trading Dec 3 10:55 ET
2.98BMarket Cap-1026P/E (TTM)

Sibanye Stillwater Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-29.78%15.56B
-1.98%25.56B
-1.98%25.56B
-18.68%22.16B
-13.92%26.08B
-13.92%26.08B
4.41%27.25B
49.66%30.29B
49.66%30.29B
116.74%26.1B
-Cash and cash equivalents
-29.78%15.56B
-1.98%25.56B
-1.98%25.56B
-18.68%22.16B
-13.92%26.08B
-13.92%26.08B
4.41%27.25B
49.66%30.29B
49.66%30.29B
116.74%26.1B
Receivables
15.03%10.1B
10.28%8.68B
10.28%8.68B
-1.64%8.78B
-11.00%7.87B
-11.00%7.87B
7.76%8.93B
32.36%8.84B
32.36%8.84B
71.47%8.29B
-Accounts receivable
11.61%8.95B
14.43%6.67B
14.43%6.67B
12.52%8.02B
0.99%5.83B
0.99%5.83B
-8.24%7.12B
0.93%5.77B
0.93%5.77B
79.96%7.76B
-Accrued interest receivable
----
0.00%90M
0.00%90M
----
66.67%90M
66.67%90M
----
-5.26%54M
-5.26%54M
----
-Taxes receivable
107.12%1.11B
7.35%1.62B
7.35%1.62B
-66.29%534M
-30.50%1.51B
-30.50%1.51B
225.26%1.58B
261.13%2.17B
261.13%2.17B
3.24%487M
-Other receivables
-78.54%50M
-32.35%299M
-32.35%299M
5.43%233M
-47.69%442M
-47.69%442M
531.43%221M
177.05%845M
177.05%845M
-24.73%35M
Inventory
0.61%25.87B
-0.08%26.36B
-0.08%26.36B
-4.80%25.71B
5.20%26.38B
5.20%26.38B
-8.26%27.01B
0.51%25.08B
0.51%25.08B
74.98%29.44B
Prepaid assets
----
181.52%1.22B
181.52%1.22B
----
29.25%433M
29.25%433M
----
-9.21%335M
-9.21%335M
----
Total current assets
-9.04%51.53B
1.74%61.82B
1.74%61.82B
-10.34%56.65B
-6.27%60.76B
-6.27%60.76B
-1.00%63.18B
24.10%64.83B
24.10%64.83B
89.40%63.82B
Non current assets
Net PPE
-33.79%61.86B
-19.81%61.9B
-19.81%61.9B
34.49%93.43B
23.08%77.19B
23.08%77.19B
12.87%69.47B
2.99%62.72B
2.99%62.72B
-7.06%61.55B
-Gross PPE
-33.79%61.86B
19.04%177.58B
19.04%177.58B
34.49%93.43B
14.60%149.17B
14.60%149.17B
12.87%69.47B
11.97%130.17B
11.97%130.17B
-7.06%61.55B
-Accumulated depreciation
----
-60.70%-115.68B
-60.70%-115.68B
----
-6.72%-71.98B
-6.72%-71.98B
----
-21.86%-67.45B
-21.86%-67.45B
----
Goodwill and other intangible assets
-78.44%1.97B
-93.97%502M
-93.97%502M
14.57%9.15B
7.70%8.32B
7.70%8.32B
14.49%7.99B
7.84%7.73B
7.84%7.73B
-16.57%6.98B
-Goodwill
----
-93.94%499M
-93.94%499M
----
6.65%8.24B
6.65%8.24B
----
7.84%7.73B
7.84%7.73B
-16.57%6.98B
-Other intangible assets
----
-96.30%3M
-96.30%3M
----
--81M
--81M
----
----
----
----
Investments and advances
-7.01%16.91B
-5.04%16.25B
-5.04%16.25B
14.81%18.18B
5.90%17.12B
5.90%17.12B
26.17%15.84B
41.76%16.16B
41.76%16.16B
14.49%12.55B
Non current accounts receivable
-16.75%661M
-34.46%523M
-34.46%523M
-20.12%794M
22.58%798M
22.58%798M
13.34%994M
-20.71%651M
-20.71%651M
29.73%877M
Non current deferred assets
-10.54%1.98B
-20.48%1.94B
-20.48%1.94B
97.85%2.21B
169.54%2.44B
169.54%2.44B
63.30%1.12B
-42.51%906M
-42.51%906M
124.85%684M
Total non current assets
-32.63%83.38B
-23.38%81.12B
-23.38%81.12B
29.73%123.77B
20.08%105.87B
20.08%105.87B
15.45%95.41B
7.70%88.16B
7.70%88.16B
-4.49%82.64B
Total assets
-25.23%134.91B
-14.22%142.94B
-14.22%142.94B
13.77%180.42B
8.91%166.63B
8.91%166.63B
8.28%158.59B
14.09%152.99B
14.09%152.99B
21.82%146.46B
Liabilities
Current liabilities
Payables
12.12%18.53B
-9.81%10.86B
-9.81%10.86B
-8.53%16.53B
15.87%12.04B
15.87%12.04B
10.58%18.07B
37.36%10.39B
37.36%10.39B
21.24%16.34B
-accounts payable
0.14%15.4B
3.16%4.28B
3.16%4.28B
6.84%15.38B
13.00%4.15B
13.00%4.15B
-3.05%14.39B
-15.14%3.67B
-15.14%3.67B
25.60%14.84B
-Total tax payable
-29.27%493M
226.92%765M
226.92%765M
-14.90%697M
-38.10%234M
-38.10%234M
166.78%819M
-60.79%378M
-60.79%378M
-71.16%307M
-Other payable
484.48%2.64B
-24.05%5.82B
-24.05%5.82B
-84.21%451M
20.75%7.66B
20.75%7.66B
140.40%2.86B
178.58%6.35B
178.58%6.35B
100.13%1.19B
Current accrued expenses
----
9.25%8.3B
9.25%8.3B
----
4.92%7.59B
4.92%7.59B
----
17.07%7.24B
17.07%7.24B
----
Current provisions
--724M
----
----
----
----
----
215.00%252M
----
----
-70.18%80M
Current debt and capital lease obligation
1,360.60%4.89B
6,629.61%15.68B
6,629.61%15.68B
43.16%335M
10.43%233M
10.43%233M
-96.48%234M
-78.67%211M
-78.67%211M
384.00%6.65B
-Current debt
3,393.33%4.72B
12,590.16%15.48B
12,590.16%15.48B
17.39%135M
14.02%122M
14.02%122M
-98.25%115M
-87.92%107M
-87.92%107M
415.13%6.55B
-Current capital lease obligation
-11.50%177M
78.38%198M
78.38%198M
68.07%200M
6.73%111M
6.73%111M
17.82%119M
0.97%104M
0.97%104M
-1.66%101M
Current deferred liabilities
21.60%394M
1,352.38%305M
1,352.38%305M
217.65%324M
-86.54%21M
-86.54%21M
-38.18%102M
132.84%156M
132.84%156M
-91.13%165M
Current liabilities
37.05%24.7B
80.06%36.41B
80.06%36.41B
-4.11%18.02B
-1.57%20.22B
-1.57%20.22B
-19.50%18.8B
17.46%20.54B
17.46%20.54B
36.08%23.35B
Non current liabilities
Long term provisions
11.82%12.71B
46.22%12.51B
46.22%12.51B
31.36%11.37B
3.50%8.55B
3.50%8.55B
-2.31%8.66B
-4.30%8.26B
-4.30%8.26B
-1.91%8.86B
Long term debt and capital lease obligation
28.38%32.89B
11.03%25.33B
11.03%25.33B
21.92%25.62B
12.01%22.81B
12.01%22.81B
94.18%21.01B
14.94%20.37B
14.94%20.37B
-57.28%10.82B
-Long term debt
29.48%32.6B
10.35%24.95B
10.35%24.95B
21.21%25.18B
11.96%22.61B
11.96%22.61B
95.32%20.77B
15.40%20.19B
15.40%20.19B
-57.63%10.64B
-Long term capital lease obligation
-34.77%287M
84.62%384M
84.62%384M
83.33%440M
17.51%208M
17.51%208M
29.03%240M
-20.63%177M
-20.63%177M
-18.67%186M
Non current deferred liabilities
-33.08%11.2B
-33.35%10.5B
-33.35%10.5B
11.39%16.74B
12.39%15.76B
12.39%15.76B
6.21%15.03B
0.20%14.02B
0.20%14.02B
-1.55%14.15B
Employee benefits
-35.58%3.32B
-45.98%3.12B
-45.98%3.12B
39.21%5.15B
50.08%5.77B
50.08%5.77B
17.16%3.7B
46.12%3.85B
46.12%3.85B
26.67%3.16B
Derivative product liabilities
--0
----
----
----
----
----
----
----
----
--0
Total non current liabilities
2.30%63.67B
-0.87%54.93B
-0.87%54.93B
23.40%62.24B
8.41%55.41B
8.41%55.41B
26.82%50.44B
11.35%51.11B
11.35%51.11B
-30.28%39.77B
Total liabilities
10.11%88.37B
20.77%91.33B
20.77%91.33B
15.93%80.26B
5.55%75.63B
5.55%75.63B
9.69%69.23B
13.03%71.65B
13.03%71.65B
-14.94%63.12B
Shareholders'equity
Share capital
0.00%21.65B
0.00%21.65B
0.00%21.65B
--21.65B
0.00%21.65B
0.00%21.65B
----
-28.20%21.65B
-28.20%21.65B
----
-common stock
0.00%21.65B
0.00%21.65B
0.00%21.65B
--21.65B
0.00%21.65B
0.00%21.65B
----
-28.20%21.65B
-28.20%21.65B
----
Retained earnings
-136.60%-13.99B
-125.07%-8.47B
-125.07%-8.47B
--38.23B
23.23%33.78B
23.23%33.78B
----
124.41%27.41B
124.41%27.41B
----
Gains losses not affecting retained earnings
-3.68%35.75B
8.81%35.55B
8.81%35.55B
--37.12B
7.72%32.67B
7.72%32.67B
----
18.62%30.33B
18.62%30.33B
----
Total stockholders'equity
-55.25%43.4B
-44.69%48.73B
-44.69%48.73B
10.28%96.99B
10.97%88.1B
10.97%88.1B
8.44%87.95B
16.86%79.39B
16.86%79.39B
82.03%81.1B
Noncontrolling interests
-1.17%3.14B
-0.90%2.88B
-0.90%2.88B
--3.17B
48.72%2.9B
48.72%2.9B
----
-29.78%1.95B
-29.78%1.95B
----
Total equity
-53.54%46.54B
-43.29%51.61B
-43.29%51.61B
12.09%100.16B
11.87%91B
11.87%91B
7.22%89.36B
15.03%81.35B
15.03%81.35B
81.09%83.34B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
--
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -29.78%15.56B-1.98%25.56B-1.98%25.56B-18.68%22.16B-13.92%26.08B-13.92%26.08B4.41%27.25B49.66%30.29B49.66%30.29B116.74%26.1B
-Cash and cash equivalents -29.78%15.56B-1.98%25.56B-1.98%25.56B-18.68%22.16B-13.92%26.08B-13.92%26.08B4.41%27.25B49.66%30.29B49.66%30.29B116.74%26.1B
Receivables 15.03%10.1B10.28%8.68B10.28%8.68B-1.64%8.78B-11.00%7.87B-11.00%7.87B7.76%8.93B32.36%8.84B32.36%8.84B71.47%8.29B
-Accounts receivable 11.61%8.95B14.43%6.67B14.43%6.67B12.52%8.02B0.99%5.83B0.99%5.83B-8.24%7.12B0.93%5.77B0.93%5.77B79.96%7.76B
-Accrued interest receivable ----0.00%90M0.00%90M----66.67%90M66.67%90M-----5.26%54M-5.26%54M----
-Taxes receivable 107.12%1.11B7.35%1.62B7.35%1.62B-66.29%534M-30.50%1.51B-30.50%1.51B225.26%1.58B261.13%2.17B261.13%2.17B3.24%487M
-Other receivables -78.54%50M-32.35%299M-32.35%299M5.43%233M-47.69%442M-47.69%442M531.43%221M177.05%845M177.05%845M-24.73%35M
Inventory 0.61%25.87B-0.08%26.36B-0.08%26.36B-4.80%25.71B5.20%26.38B5.20%26.38B-8.26%27.01B0.51%25.08B0.51%25.08B74.98%29.44B
Prepaid assets ----181.52%1.22B181.52%1.22B----29.25%433M29.25%433M-----9.21%335M-9.21%335M----
Total current assets -9.04%51.53B1.74%61.82B1.74%61.82B-10.34%56.65B-6.27%60.76B-6.27%60.76B-1.00%63.18B24.10%64.83B24.10%64.83B89.40%63.82B
Non current assets
Net PPE -33.79%61.86B-19.81%61.9B-19.81%61.9B34.49%93.43B23.08%77.19B23.08%77.19B12.87%69.47B2.99%62.72B2.99%62.72B-7.06%61.55B
-Gross PPE -33.79%61.86B19.04%177.58B19.04%177.58B34.49%93.43B14.60%149.17B14.60%149.17B12.87%69.47B11.97%130.17B11.97%130.17B-7.06%61.55B
-Accumulated depreciation -----60.70%-115.68B-60.70%-115.68B-----6.72%-71.98B-6.72%-71.98B-----21.86%-67.45B-21.86%-67.45B----
Goodwill and other intangible assets -78.44%1.97B-93.97%502M-93.97%502M14.57%9.15B7.70%8.32B7.70%8.32B14.49%7.99B7.84%7.73B7.84%7.73B-16.57%6.98B
-Goodwill -----93.94%499M-93.94%499M----6.65%8.24B6.65%8.24B----7.84%7.73B7.84%7.73B-16.57%6.98B
-Other intangible assets -----96.30%3M-96.30%3M------81M--81M----------------
Investments and advances -7.01%16.91B-5.04%16.25B-5.04%16.25B14.81%18.18B5.90%17.12B5.90%17.12B26.17%15.84B41.76%16.16B41.76%16.16B14.49%12.55B
Non current accounts receivable -16.75%661M-34.46%523M-34.46%523M-20.12%794M22.58%798M22.58%798M13.34%994M-20.71%651M-20.71%651M29.73%877M
Non current deferred assets -10.54%1.98B-20.48%1.94B-20.48%1.94B97.85%2.21B169.54%2.44B169.54%2.44B63.30%1.12B-42.51%906M-42.51%906M124.85%684M
Total non current assets -32.63%83.38B-23.38%81.12B-23.38%81.12B29.73%123.77B20.08%105.87B20.08%105.87B15.45%95.41B7.70%88.16B7.70%88.16B-4.49%82.64B
Total assets -25.23%134.91B-14.22%142.94B-14.22%142.94B13.77%180.42B8.91%166.63B8.91%166.63B8.28%158.59B14.09%152.99B14.09%152.99B21.82%146.46B
Liabilities
Current liabilities
Payables 12.12%18.53B-9.81%10.86B-9.81%10.86B-8.53%16.53B15.87%12.04B15.87%12.04B10.58%18.07B37.36%10.39B37.36%10.39B21.24%16.34B
-accounts payable 0.14%15.4B3.16%4.28B3.16%4.28B6.84%15.38B13.00%4.15B13.00%4.15B-3.05%14.39B-15.14%3.67B-15.14%3.67B25.60%14.84B
-Total tax payable -29.27%493M226.92%765M226.92%765M-14.90%697M-38.10%234M-38.10%234M166.78%819M-60.79%378M-60.79%378M-71.16%307M
-Other payable 484.48%2.64B-24.05%5.82B-24.05%5.82B-84.21%451M20.75%7.66B20.75%7.66B140.40%2.86B178.58%6.35B178.58%6.35B100.13%1.19B
Current accrued expenses ----9.25%8.3B9.25%8.3B----4.92%7.59B4.92%7.59B----17.07%7.24B17.07%7.24B----
Current provisions --724M--------------------215.00%252M---------70.18%80M
Current debt and capital lease obligation 1,360.60%4.89B6,629.61%15.68B6,629.61%15.68B43.16%335M10.43%233M10.43%233M-96.48%234M-78.67%211M-78.67%211M384.00%6.65B
-Current debt 3,393.33%4.72B12,590.16%15.48B12,590.16%15.48B17.39%135M14.02%122M14.02%122M-98.25%115M-87.92%107M-87.92%107M415.13%6.55B
-Current capital lease obligation -11.50%177M78.38%198M78.38%198M68.07%200M6.73%111M6.73%111M17.82%119M0.97%104M0.97%104M-1.66%101M
Current deferred liabilities 21.60%394M1,352.38%305M1,352.38%305M217.65%324M-86.54%21M-86.54%21M-38.18%102M132.84%156M132.84%156M-91.13%165M
Current liabilities 37.05%24.7B80.06%36.41B80.06%36.41B-4.11%18.02B-1.57%20.22B-1.57%20.22B-19.50%18.8B17.46%20.54B17.46%20.54B36.08%23.35B
Non current liabilities
Long term provisions 11.82%12.71B46.22%12.51B46.22%12.51B31.36%11.37B3.50%8.55B3.50%8.55B-2.31%8.66B-4.30%8.26B-4.30%8.26B-1.91%8.86B
Long term debt and capital lease obligation 28.38%32.89B11.03%25.33B11.03%25.33B21.92%25.62B12.01%22.81B12.01%22.81B94.18%21.01B14.94%20.37B14.94%20.37B-57.28%10.82B
-Long term debt 29.48%32.6B10.35%24.95B10.35%24.95B21.21%25.18B11.96%22.61B11.96%22.61B95.32%20.77B15.40%20.19B15.40%20.19B-57.63%10.64B
-Long term capital lease obligation -34.77%287M84.62%384M84.62%384M83.33%440M17.51%208M17.51%208M29.03%240M-20.63%177M-20.63%177M-18.67%186M
Non current deferred liabilities -33.08%11.2B-33.35%10.5B-33.35%10.5B11.39%16.74B12.39%15.76B12.39%15.76B6.21%15.03B0.20%14.02B0.20%14.02B-1.55%14.15B
Employee benefits -35.58%3.32B-45.98%3.12B-45.98%3.12B39.21%5.15B50.08%5.77B50.08%5.77B17.16%3.7B46.12%3.85B46.12%3.85B26.67%3.16B
Derivative product liabilities --0----------------------------------0
Total non current liabilities 2.30%63.67B-0.87%54.93B-0.87%54.93B23.40%62.24B8.41%55.41B8.41%55.41B26.82%50.44B11.35%51.11B11.35%51.11B-30.28%39.77B
Total liabilities 10.11%88.37B20.77%91.33B20.77%91.33B15.93%80.26B5.55%75.63B5.55%75.63B9.69%69.23B13.03%71.65B13.03%71.65B-14.94%63.12B
Shareholders'equity
Share capital 0.00%21.65B0.00%21.65B0.00%21.65B--21.65B0.00%21.65B0.00%21.65B-----28.20%21.65B-28.20%21.65B----
-common stock 0.00%21.65B0.00%21.65B0.00%21.65B--21.65B0.00%21.65B0.00%21.65B-----28.20%21.65B-28.20%21.65B----
Retained earnings -136.60%-13.99B-125.07%-8.47B-125.07%-8.47B--38.23B23.23%33.78B23.23%33.78B----124.41%27.41B124.41%27.41B----
Gains losses not affecting retained earnings -3.68%35.75B8.81%35.55B8.81%35.55B--37.12B7.72%32.67B7.72%32.67B----18.62%30.33B18.62%30.33B----
Total stockholders'equity -55.25%43.4B-44.69%48.73B-44.69%48.73B10.28%96.99B10.97%88.1B10.97%88.1B8.44%87.95B16.86%79.39B16.86%79.39B82.03%81.1B
Noncontrolling interests -1.17%3.14B-0.90%2.88B-0.90%2.88B--3.17B48.72%2.9B48.72%2.9B-----29.78%1.95B-29.78%1.95B----
Total equity -53.54%46.54B-43.29%51.61B-43.29%51.61B12.09%100.16B11.87%91B11.87%91B7.22%89.36B15.03%81.35B15.03%81.35B81.09%83.34B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----Unqualified Opinion----------
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.