Freeport-McMoRan Inc. (FRA:FPMB)
Germany flag Germany · Delayed Price · Currency is EUR
50.80
-3.29 (-6.08%)
At close: Jan 30, 2026

Freeport-McMoRan Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
3,8243,9234,7588,1468,068
Cash & Short-Term Investments
3,8243,9234,7588,1468,068
Cash Growth
-2.52%-17.55%-41.59%0.97%120.62%
Accounts Receivable
9775781,2091,3361,168
Other Receivables
686564455459574
Receivables
1,6631,1421,6641,7951,742
Inventory
7,4936,8086,0605,1804,497
Restricted Cash
2308881,208111114
Other Current Assets
580535375381409
Total Current Assets
13,79013,29614,06515,61314,830
Property, Plant & Equipment
40,73638,51435,29532,62730,345
Long-Term Investments
-456207262232
Other Intangible Assets
-428422416412
Other Long-Term Assets
3,6412,1542,2842,0742,167
Total Assets
58,16754,84852,50651,09348,022
Accounts Payable
4,5652,7892,4662,7012,035
Accrued Expenses
3131,1001,0801,1261,088
Current Portion of Long-Term Debt
466417661,037372
Current Portion of Leases
-98843838
Current Income Taxes Payable
4568597867441,541
Current Unearned Revenue
-9116176191
Other Current Liabilities
219518472623627
Total Current Liabilities
6,0195,4965,8156,3455,892
Long-Term Debt
8,9138,9078,6569,5839,078
Long-Term Leases
1,010692347294281
Pension & Post-Retirement Benefits
-689704775845
Long-Term Deferred Tax Liabilities
4,6224,3764,4534,2694,234
Other Long-Term Liabilities
6,8375,9105,2214,9564,673
Total Liabilities
27,40126,07025,19626,22225,003
Common Stock
163162162161160
Additional Paid-In Capital
23,68023,79724,63725,32225,875
Retained Earnings
1,385-170-2,059-3,907-7,375
Treasury Stock
-6,024-5,894-5,773-5,701-4,292
Comprehensive Income & Other
-305-314-274-320-388
Total Common Equity
18,89917,58116,69315,55513,980
Minority Interest
11,86711,19710,6179,3169,039
Shareholders' Equity
30,76628,77827,31024,87123,019
Total Liabilities & Equity
58,16754,84852,50651,09348,022
Total Debt
10,3899,7389,85310,9529,769
Net Cash (Debt)
-6,565-5,815-5,095-2,806-1,701
Net Cash Per Share
-4.55-4.02-3.53-1.93-1.15
Filing Date Shares Outstanding
1,4001,4371,4341,4311,455
Total Common Shares Outstanding
1,4001,4371,4351,4301,457
Working Capital
7,7717,8008,2509,2688,938
Book Value Per Share
13.5012.2311.6310.889.60
Tangible Book Value
18,89917,15316,27115,13913,568
Tangible Book Value Per Share
13.5011.9411.3410.599.31
Buildings
-10,66710,1659,7469,412
Machinery
-21,93420,23219,54619,004
Construction In Progress
-9,3646,9454,4192,477
Source: S&P Global Market Intelligence. Standard template. Financial Sources.