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SBSW Sibanye Stillwater

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  • 3.190
  • -0.010-0.31%
Close Feb 28 16:00 ET
  • 3.210
  • +0.020+0.64%
Post 19:58 ET
2.26BMarket Cap-5.72P/E (TTM)

Sibanye Stillwater 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
42.54%10.11B
-54.35%7.1B
-51.81%15.54B
18.80%32.26B
186.92%27.15B
-22.42%9.46B
345.04%12.2B
-37.79%2.74B
25.32%4.41B
-13.26%3.52B
Net income from continuing operations
111.97%4.41B
-217.53%-36.86B
-39.18%31.37B
31.10%51.57B
1,984.63%39.34B
32.12%1.89B
132.28%1.43B
-182.20%-4.42B
232.13%5.38B
-45.65%1.62B
Operating gains losses
----
-117.73%-574M
-20.87%3.24B
214.29%4.09B
-71.38%1.3B
289.01%4.55B
-3,134.95%-2.41B
-111.22%-74.4M
24.31%663.3M
-19.29%533.6M
Depreciation and amortization
----
41.27%10.01B
-14.54%7.09B
9.22%8.29B
5.25%7.59B
9.07%7.21B
16.04%6.61B
41.02%5.7B
11.15%4.04B
11.73%3.64B
Other non cash items
121.59%1.69B
2.03%-7.83B
-16.68%-7.99B
-41.08%-6.85B
-310.31%-4.85B
-119.63%-1.18B
1,310.49%6.03B
107.94%427.2M
-18,393.81%-5.38B
96.37%-29.1M
Change In working capital
291.60%6.85B
353.37%1.75B
-84.28%386M
126.02%2.46B
-1,407.19%-9.44B
41.50%-626M
-104.86%-1.07B
-119.82%-522.3M
64.43%-237.6M
-411.42%-668M
-Change in receivables
----
1,044.83%1.33B
122.75%116M
76.47%-510M
-169.57%-2.17B
775.70%3.12B
-114.52%-461M
2.32%-214.9M
65.33%-220M
-480.68%-634.6M
-Change in inventory
----
150.08%1.51B
-56.29%605M
115.33%1.38B
-80.54%-9.03B
-440.66%-5B
1.38%-924.8M
-2,541.41%-937.7M
54.60%-35.5M
-24.92%-78.2M
-Change in payables and accrued expense
----
-225.67%-1.09B
-121.19%-335M
-10.12%1.58B
39.71%1.76B
298.67%1.26B
-49.90%315.8M
3,421.23%630.3M
-60.04%17.9M
-59.42%44.8M
Cash from discontinued investing activities
Operating cash flow
42.54%10.11B
-54.35%7.1B
-51.81%15.54B
18.80%32.26B
186.92%27.15B
-22.42%9.46B
345.04%12.2B
-37.79%2.74B
25.32%4.41B
-13.26%3.52B
Investing cash flow
Cash flow from continuing investing activities
-10.44%-24.34B
-26.84%-22.04B
-19.26%-17.37B
-46.59%-14.57B
-104.32%-9.94B
37.19%-4.86B
72.49%-7.74B
-198.02%-28.14B
-182.76%-9.44B
22.49%-3.34B
Net PPE purchase and sale
3.61%-21.44B
-41.60%-22.24B
-24.08%-15.71B
-33.05%-12.66B
-25.12%-9.52B
-8.66%-7.61B
-16.11%-7B
-48.76%-6.03B
-23.54%-4.05B
-1.60%-3.28B
Net business purchase and sale
-4,122.67%-3.02B
105.38%75M
-39.78%-1.4B
-32.01%-998M
-129.17%-756M
418.09%2.59B
101.95%500.3M
-382.25%-25.59B
---5.31B
----
Net investment purchase and sale
94.03%-8M
82.11%-134M
59.69%-749M
-2,592.75%-1.86B
-149.64%-69M
11,483.33%139M
-99.97%1.2M
--3.61B
--0
----
Net other investing changes
-48.65%-275M
-115.12%-185M
-19.44%-86M
-163.16%-72M
212.87%114M
92.64%-101M
-971.41%-1.37B
-50.94%-128M
-40.86%-84.8M
91.44%-60.2M
Cash from discontinued investing activities
Investing cash flow
-10.44%-24.34B
-26.84%-22.04B
-19.26%-17.37B
-46.59%-14.57B
-104.32%-9.94B
37.19%-4.86B
72.49%-7.74B
-198.02%-28.14B
-182.76%-9.44B
22.49%-3.34B
Financing cash flow
Cash flow from continuing financing activities
-63.51%4.74B
471.06%12.98B
58.09%-3.5B
-271.84%-8.34B
-52.65%-2.24B
64.16%-1.47B
-115.30%-4.1B
392.25%26.81B
26,156.46%5.45B
96.90%-20.9M
Net issuance payments of debt
-63.26%4.74B
9,718.66%12.89B
-146.69%-134M
113.29%287M
31.60%-2.16B
23.00%-3.16B
-129.56%-4.1B
154.77%13.87B
26,156.46%5.45B
96.90%-20.9M
Net common stock issuance
--0
--0
--0
-10,022.62%-8.5B
-104.98%-84M
--1.69B
--0
--13.44B
--0
----
Net other financing activities
----
102.59%87M
-2,527.34%-3.36B
---128M
----
----
----
---506.1M
----
----
Cash from discontinued financing activities
Financing cash flow
-63.51%4.74B
471.06%12.98B
58.09%-3.5B
-271.84%-8.34B
-52.65%-2.24B
64.16%-1.47B
-115.30%-4.1B
392.25%26.81B
26,156.46%5.45B
96.90%-20.9M
Net cash flow
Beginning cash position
-1.98%25.56B
-13.92%26.08B
49.66%30.29B
260.21%20.24B
120.44%5.62B
23.59%2.55B
113.08%2.06B
34.92%967.9M
27.45%717.4M
-62.28%562.9M
Current changes in cash
-382.46%-9.49B
63.08%-1.97B
-157.02%-5.33B
-37.58%9.34B
378.40%14.97B
787.91%3.13B
-74.88%352.4M
244.29%1.4B
163.75%407.5M
116.62%154.5M
Effect of exchange rate changes
-101.45%-21M
30.49%1.45B
57.06%1.11B
303.45%708M
-489.83%-348M
-143.93%-59M
143.53%134.3M
-96.50%-308.5M
---157M
----
End cash Position
-37.21%16.05B
-1.98%25.56B
-13.92%26.08B
49.66%30.29B
260.21%20.24B
120.43%5.62B
23.60%2.55B
113.08%2.06B
34.92%967.9M
27.45%717.4M
Free cash flow
25.20%-11.46B
-4,202.25%-15.32B
-101.82%-356M
11.30%19.52B
898.01%17.54B
-65.66%1.76B
252.36%5.12B
-1,420.01%-3.36B
49.21%254.4M
-78.74%170.5M
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
--
--
--
Unqualified Opinion
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 42.54%10.11B-54.35%7.1B-51.81%15.54B18.80%32.26B186.92%27.15B-22.42%9.46B345.04%12.2B-37.79%2.74B25.32%4.41B-13.26%3.52B
Net income from continuing operations 111.97%4.41B-217.53%-36.86B-39.18%31.37B31.10%51.57B1,984.63%39.34B32.12%1.89B132.28%1.43B-182.20%-4.42B232.13%5.38B-45.65%1.62B
Operating gains losses -----117.73%-574M-20.87%3.24B214.29%4.09B-71.38%1.3B289.01%4.55B-3,134.95%-2.41B-111.22%-74.4M24.31%663.3M-19.29%533.6M
Depreciation and amortization ----41.27%10.01B-14.54%7.09B9.22%8.29B5.25%7.59B9.07%7.21B16.04%6.61B41.02%5.7B11.15%4.04B11.73%3.64B
Other non cash items 121.59%1.69B2.03%-7.83B-16.68%-7.99B-41.08%-6.85B-310.31%-4.85B-119.63%-1.18B1,310.49%6.03B107.94%427.2M-18,393.81%-5.38B96.37%-29.1M
Change In working capital 291.60%6.85B353.37%1.75B-84.28%386M126.02%2.46B-1,407.19%-9.44B41.50%-626M-104.86%-1.07B-119.82%-522.3M64.43%-237.6M-411.42%-668M
-Change in receivables ----1,044.83%1.33B122.75%116M76.47%-510M-169.57%-2.17B775.70%3.12B-114.52%-461M2.32%-214.9M65.33%-220M-480.68%-634.6M
-Change in inventory ----150.08%1.51B-56.29%605M115.33%1.38B-80.54%-9.03B-440.66%-5B1.38%-924.8M-2,541.41%-937.7M54.60%-35.5M-24.92%-78.2M
-Change in payables and accrued expense -----225.67%-1.09B-121.19%-335M-10.12%1.58B39.71%1.76B298.67%1.26B-49.90%315.8M3,421.23%630.3M-60.04%17.9M-59.42%44.8M
Cash from discontinued investing activities
Operating cash flow 42.54%10.11B-54.35%7.1B-51.81%15.54B18.80%32.26B186.92%27.15B-22.42%9.46B345.04%12.2B-37.79%2.74B25.32%4.41B-13.26%3.52B
Investing cash flow
Cash flow from continuing investing activities -10.44%-24.34B-26.84%-22.04B-19.26%-17.37B-46.59%-14.57B-104.32%-9.94B37.19%-4.86B72.49%-7.74B-198.02%-28.14B-182.76%-9.44B22.49%-3.34B
Net PPE purchase and sale 3.61%-21.44B-41.60%-22.24B-24.08%-15.71B-33.05%-12.66B-25.12%-9.52B-8.66%-7.61B-16.11%-7B-48.76%-6.03B-23.54%-4.05B-1.60%-3.28B
Net business purchase and sale -4,122.67%-3.02B105.38%75M-39.78%-1.4B-32.01%-998M-129.17%-756M418.09%2.59B101.95%500.3M-382.25%-25.59B---5.31B----
Net investment purchase and sale 94.03%-8M82.11%-134M59.69%-749M-2,592.75%-1.86B-149.64%-69M11,483.33%139M-99.97%1.2M--3.61B--0----
Net other investing changes -48.65%-275M-115.12%-185M-19.44%-86M-163.16%-72M212.87%114M92.64%-101M-971.41%-1.37B-50.94%-128M-40.86%-84.8M91.44%-60.2M
Cash from discontinued investing activities
Investing cash flow -10.44%-24.34B-26.84%-22.04B-19.26%-17.37B-46.59%-14.57B-104.32%-9.94B37.19%-4.86B72.49%-7.74B-198.02%-28.14B-182.76%-9.44B22.49%-3.34B
Financing cash flow
Cash flow from continuing financing activities -63.51%4.74B471.06%12.98B58.09%-3.5B-271.84%-8.34B-52.65%-2.24B64.16%-1.47B-115.30%-4.1B392.25%26.81B26,156.46%5.45B96.90%-20.9M
Net issuance payments of debt -63.26%4.74B9,718.66%12.89B-146.69%-134M113.29%287M31.60%-2.16B23.00%-3.16B-129.56%-4.1B154.77%13.87B26,156.46%5.45B96.90%-20.9M
Net common stock issuance --0--0--0-10,022.62%-8.5B-104.98%-84M--1.69B--0--13.44B--0----
Net other financing activities ----102.59%87M-2,527.34%-3.36B---128M---------------506.1M--------
Cash from discontinued financing activities
Financing cash flow -63.51%4.74B471.06%12.98B58.09%-3.5B-271.84%-8.34B-52.65%-2.24B64.16%-1.47B-115.30%-4.1B392.25%26.81B26,156.46%5.45B96.90%-20.9M
Net cash flow
Beginning cash position -1.98%25.56B-13.92%26.08B49.66%30.29B260.21%20.24B120.44%5.62B23.59%2.55B113.08%2.06B34.92%967.9M27.45%717.4M-62.28%562.9M
Current changes in cash -382.46%-9.49B63.08%-1.97B-157.02%-5.33B-37.58%9.34B378.40%14.97B787.91%3.13B-74.88%352.4M244.29%1.4B163.75%407.5M116.62%154.5M
Effect of exchange rate changes -101.45%-21M30.49%1.45B57.06%1.11B303.45%708M-489.83%-348M-143.93%-59M143.53%134.3M-96.50%-308.5M---157M----
End cash Position -37.21%16.05B-1.98%25.56B-13.92%26.08B49.66%30.29B260.21%20.24B120.43%5.62B23.60%2.55B113.08%2.06B34.92%967.9M27.45%717.4M
Free cash flow 25.20%-11.46B-4,202.25%-15.32B-101.82%-356M11.30%19.52B898.01%17.54B-65.66%1.76B252.36%5.12B-1,420.01%-3.36B49.21%254.4M-78.74%170.5M
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified OpinionUnqualified Opinion------Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

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