Kinross Gold Corporation

NYSE:KGC

9.34 (USD) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) USD.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 360.347418.1531.51,210.9575.13491,025.88271,043.9983.5734.51,632.91,7661,466.6597.4490.6551.3154.197.647.9245.8170.68177.8113.91153.425190.334200.59513.93181.77629.533
Kortetermijnbeleggingen 14.56.116.628.910.53.81716.111.836.349.7349.81.303534.59.900600.122.94.7691.22718.6770.5840.441.2125.589
Liquide middelen en kortetermijnbeleggingen 360.347418.1531.51,210.9575.13491,025.88271,043.9983.5734.51,982.71,767.31,466.6632.4525.1561.2154.197.653.9245.8170.78180.7118.679154.652209.011201.17914.37182.98835.122
Nettovorderingen 47.854326.7176.2152.2173.4150.6104.3205.9203.7216.8266.4287.3205.5329.4135.5126.595.238.127.810.142.215.513.830.144.30655.36215.73930.79312.3919.7675.967
Voorraad 1,147.1011,072.21,151.31,072.91,053.81,0521,094.3986.81,005.21,276.71,322.91,257.7976.2737554.4437.1242.899.5115.2111109.238.942.444.852.11654.58721.75429.77227.86312.4056.194
Overige vlottende activa 130.429125.889.913.722.446.3606139.3110.182113.855.11,600676.723.832.11.31.326.55.121.11.50.700.0010-0.001-0.07300
Totaal vlottende activa 1,685.7311,852.61,948.92,449.71,824.71,597.92,284.42,080.72,292.12,587.12,405.83,600.83,117.82,668.51,390.91,124.9933.7293241.9206.9402.3246.2138.7156.3215.101264.602246.504261.74354.552105.1647.282
Niet-vlottende activa:
Materiële vaste activa, netto 7,922.4587,741.47,663.57,653.56,3405,522.14,893.64,920.44,600.45,409.46,582.78,978.88,959.46,911.54,989.94,7483,476.31,3311,064.71,244.1522.6330415505.6632.586809.826196.909252.768222.6881.27666.09
Goodwill 00158.8158.8158.8162.7162.7162.7162.7162.73081,136.73,420.35,9801,179.91,181.92,014.8293.4321.2000000000000
Immateriële activa 00158.585158.8158.8162.7162.7162.7162.70000000000329.99180000000000
Goodwill en immateriële activa 00158.8158.8158.8162.7162.7162.7162.7162.73081,136.73,420.35,9801,179.91,181.92,014.8293.4321.2329.99180-16-18-27-32-240000
Langetermijnbeleggingen 62.578116.9105.3131.3144.6174.2211.7306.5240.2267.8335.6564.9581.9629.9292.200000001314202516171040
Belastingvorderingen 12.4364.66.52.735.24533.394.576.5106.5163.546.121.979.4033.933.329.4001.50347780000
Overige niet-vlottende activa 806.154680.9545.1537.2572.7561.9571.5414.5363.5417.9491.1555.1407.5127.8160.3298.8271.2106.770.353.3298.121.823.938.134.69940.37417.6272.1920.9980.9193.323
Totaal niet-vlottende activa 8,803.6268,543.88,479.28,483.57,251.36,465.95,872.85,898.65,443.36,364.37,880.911,281.613,39113,728.66,622.36,262.65,795.61,760.51,456.21,627.31,740.2351.8438.9543.7667.285850.2214.536271.96233.67886.19669.413
Totaal activa 10,489.35710,396.410,428.110,933.29,0768,063.88,157.27,979.37,735.48,951.410,286.714,882.416,508.816,397.18,013.27,387.56,729.32,053.51,698.11,834.22,142.5598577.6700882.3861,114.802461.04533.703288.23191.356116.695
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 113.11855087.8479.2469.389.177.486.875.286.9118.3632.8151153.392.5150290.1161132.2143.2101.435.53140.850.52749.48415.52921.01521.8514.54411.028
Kortlopende schulden 10.0483659.7499.716000249.56060516.299.448.4194.1177.18646.79.4629.423.333.131.527.23325.0651.4693.5762.7131.5682.341
Belastingschulden 92.42589.495114.56821.735.172.66.419.22793.282.976.224.40000000000000000
Uitgestelde opbrengsten 92.4250589.9319.8109.9000361.1397.3493.3135.2462.4343.3220.465.8000000000000000
Overige kortlopende verplichtingen 466.401165.5449.720.3523.3507.9550.91660.241.32282.9382.4131158.631.3036.323.619.21512.69.312.7185.8780-0.0730.0730-0
Totaal kortlopende verplichtingen 681.993751.5741.41,348.4615.5612.4585.3637.7701.8604.4712.91,306.2795.7927.4638551.5407.4207.7177.9172.815073.876.781.690.47880.42716.99824.51824.63616.11313.369
Langlopende verplichtingen:
Langetermijnschulden 2,221.1772,5801,6251,470.51,876.31,7351,732.61,733.21,731.91,998.12,059.62,116.41,600.4454.6515.2783.8700.5211.6149.9116.90.734.659.1113.2148.815168.54150.64456.265.8663.6366.042
Uitgestelde opbrengsten niet-vlottend 17.410847.9861.1839.4-1,911.1830.5861.2720.8780.9697.9731.9629.80010.110.114.916.815.915.615.451.1000000-00
Uitgestelde belastingverplichtingen niet-vlottend 447.399301.5436.8487.8304.5265.2255.6390.7499469533.7676.6879.1883.8624.6622.3465.9143.8129.690.655.63.33.33.57.3276.9127.69519.55610.7054.6341.208
Overige niet-vlottende verplichtingen 967.325881.2127.4102.4107.72,835134172.2148.7207.2192.7125.6133.1532.4543586.6293.67.5147.5117.6105.25258.668.169.39780.94428.9587.375.4992.7810.982
Totaal niet-vlottende verplichtingen 3,653.3123,762.73,037.12,921.83,127.92,924.12,952.73,157.33,100.43,455.23,483.93,650.53,242.41,870.81,682.82,002.81,470.1377.8443.8341177.1105.3172.1184.8225.539256.39787.29783.18622.0711.0518.233
Totaal passiva 4,335.3054,514.23,778.54,270.23,743.43,536.53,5383,7953,802.24,059.64,196.84,956.74,038.12,798.22,320.82,554.31,877.5585.5621.7513.8327.1179.1248.8266.4316.017336.824104.295107.70446.70627.16321.602
Eigen vermogen:
Preferente aandelen 0000000000000000000000094.988.26691.4093.0783.2843.3733.3513.55
Gewone aandelen 4,458.6714,449.54,427.74,473.714,926.214,913.414,902.514,894.214,603.514,587.714,737.114,692.514,656.60000000009469139209043122892061440
Ingehouden winsten -8,936.642-9,251.6-8,492.4-8,562.5-9,829.4-10,548-10,580.7-11,026.1-10,922.1-9,937.6-8,771.1-4,937.1-2,249.9-137.1-838.1-1,100.2-253.1-587.1-752.9-487.73.2-761.4-726-681.4-541.071-296.385-45.04844.00133.87520.5333.399
Overige gereserveerde algehele resultaten -60.986-41.7-18.8-23.7-20.4-98.521.139.1-31.3-46.1-36.54.9-97.7-162.7-220.1-164.4-98.1-1.2-1.231.928121.8109.1106.998.84178.74886.31889.681-1.4664.4920.453
Overige totale aandeelhoudersvermogen 10,591.53210,667.510,664.410,709242.1239.8240.7238.3239.223984.589.981.413,700.36,617.76,041.55,1892,056.31,830.21,775.81,783.51,058.5-0.30.20.3330.2060.3970.033-0.257-8.18387.691
Totaal eigen vermogen van aandeelhouders 6,052.5745,823.76,580.96,596.55,318.54,506.74,583.64,145.53,889.34,8436,0149,850.212,390.413,400.55,559.54,776.94,837.81,4681,076.11,3201,814.7418.9328.8433.6566.369777.978356.745425.999241.524164.19395.094
Totaal eigen vermogen 6,154.0525,882.26,649.66,6635,332.64,527.34,619.24,184.33,933.24,891.86,089.99,925.712,470.713,598.95,692.44,833.24,851.81,4681,076.41,320.41,815.4418.9328.8433.6566.369777.978356.745425.999241.524164.19395.094
Totaal passiva en aandeelhoudersvermogen 10,489.35710,396.410,428.110,933.29,0768,063.88,157.27,979.37,735.48,951.410,286.714,882.416,508.816,397.18,013.27,387.56,729.32,053.51,698.11,834.22,142.5598577.6700882.3861,114.802461.04533.703288.23191.356116.695