Kumba Iron Ore Limited (FRA:KUI)
Germany flag Germany · Delayed Price · Currency is EUR
19.40
-0.10 (-0.51%)
At close: Jan 27, 2026

Kumba Iron Ore Balance Sheet

Millions ZAR. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2024FY 2023FY 2022FY 2021FY 2020
Period Ending
Jun '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20
Cash & Equivalents
16,34716,91317,72216,42417,92522,707
Cash & Short-Term Investments
16,34716,91317,72216,42417,92522,707
Cash Growth
3.15%-4.57%7.90%-8.37%-21.06%76.50%
Accounts Receivable
5,3712,4736,3512,5194,7076,752
Other Receivables
893,3313,5172,9093,0881,808
Receivables
5,4605,8049,8685,4287,7958,560
Inventory
9,5099,60511,3988,5296,7815,858
Prepaid Expenses
-1061221279981
Other Current Assets
-431391364265115
Total Current Assets
31,31632,85939,50130,87232,86537,321
Property, Plant & Equipment
56,9593,344943,29643,62640,630
Long-Term Investments
2223245050-
Long-Term Deferred Tax Assets
---111
Other Long-Term Assets
9,84762,52059,1908,4405,3414,565
Total Assets
98,14498,74698,72482,65981,88382,517
Accounts Payable
9,3976,9606,5136,0777,2344,629
Accrued Expenses
-1,4072,2221,553811903
Short-Term Debt
-2,0034,1446,791--
Current Portion of Leases
117123176147146179
Current Income Taxes Payable
16124229169262616
Current Unearned Revenue
344449553199389194
Other Current Liabilities
2761,1149225201,1871,278
Total Current Liabilities
10,29512,08014,75915,45610,0297,799
Long-Term Leases
12170179157275335
Long-Term Deferred Tax Liabilities
14,72014,10611,86010,52910,5269,586
Other Long-Term Liabilities
3,1003,1903,7042,7002,5952,607
Total Liabilities
28,23629,44630,50228,84223,42520,327
Common Stock
333333
Additional Paid-In Capital
364364364364364364
Retained Earnings
50,26949,56648,77238,60942,69546,121
Treasury Stock
-582-557-599-618-557-485
Comprehensive Income & Other
3,2103,4393,4792,6882,1121,443
Total Common Equity
53,26452,81552,01941,04644,61747,446
Minority Interest
16,64416,48516,20312,77113,84114,744
Shareholders' Equity
69,90869,30068,22253,81758,45862,190
Total Liabilities & Equity
98,14498,74698,72482,65981,88382,517
Total Debt
2382,1964,4997,095421514
Net Cash (Debt)
16,10914,71713,2239,32917,50422,193
Net Cash Growth
10.42%11.30%41.74%-46.70%-21.13%80.09%
Net Cash Per Share
50.0945.7541.1029.0054.3968.97
Filing Date Shares Outstanding
320.73320.87320.95320.92320.88320.6
Total Common Shares Outstanding
320.73320.87320.95320.92320.88320.6
Working Capital
21,02120,77924,74215,41622,83629,522
Book Value Per Share
166.07164.60162.08127.90139.04147.99
Tangible Book Value
53,26452,81552,01941,04644,61747,446
Tangible Book Value Per Share
166.07164.60162.08127.90139.04147.99
Land
-338344350350350
Buildings
-12,92810,21110,01310,67910,474
Machinery
---1,85641,75741,64240,608
Construction In Progress
-10,74013,87210,7257,0592,508
Source: S&P Global Market Intelligence. Standard template. Financial Sources.