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RIO Rio Tinto Ltd

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  • 125.310
  • +0.800+0.64%
20min DelayMarket Closed Jun 7 16:00 AET
203.48BMarket Cap13.84P/E (Static)

Rio Tinto Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-6.04%15.16B
-36.34%16.13B
59.65%25.35B
6.46%15.88B
26.15%14.91B
-14.86%11.82B
64.02%13.88B
-9.78%8.47B
-34.32%9.38B
-5.25%14.29B
Net income from continuing operations
-23.72%9.95B
-42.26%13.05B
117.28%22.6B
49.17%10.4B
-49.93%6.97B
57.33%13.93B
85.32%8.85B
377.84%4.78B
-126.45%-1.72B
502.32%6.5B
Operating gains losses
-4,192.86%-573M
101.08%14M
-522.73%-1.3B
270.17%308M
96.48%-181M
-179.53%-5.14B
-81.88%-1.84B
-131.44%-1.01B
62.30%3.21B
-7.00%1.98B
Depreciation and amortization
6.47%5.33B
6.66%5.01B
9.77%4.7B
-2.40%4.28B
9.19%4.38B
-8.23%4.02B
-8.74%4.38B
3.21%4.79B
-4.42%4.65B
1.44%4.86B
Asset impairment expenditure
1,700.00%936M
-80.67%52M
-78.36%269M
-64.35%1.24B
2,541.67%3.49B
-83.42%132M
219.68%796M
-91.08%249M
490.06%2.79B
-93.72%473M
Remuneration paid in stock
46.12%1.47B
-47.14%1.01B
112.86%1.9B
18.73%894M
-25.52%753M
88.97%1.01B
-62.24%535M
95.18%1.42B
1.97%726M
-50.86%712M
Unrealized gains and losses of investment securities
136.12%190M
-113.82%-526M
-186.62%-246M
53.51%284M
--185M
----
68.54%-28M
-623.53%-89M
--17M
----
Deferred tax
-31.74%3.83B
-31.84%5.61B
65.02%8.24B
20.35%4.99B
-2.24%4.15B
6.99%4.24B
153.03%3.97B
57.80%1.57B
-67.47%993M
25.85%3.05B
Other non cashItems
105.88%35M
47.76%-595M
-290.07%-1.14B
-595.24%-292M
97.90%-42M
-1,044.81%-2B
436.51%212M
-1.61%-63M
68.84%-62M
53.72%-199M
Change In working capital
-99.14%-926M
56.90%-465M
-278.60%-1.08B
---285M
--0
-167.34%-532M
27.11%-199M
-118.21%-273M
-1.32%1.5B
172.71%1.52B
-Change in receivables
-2,190.00%-418M
105.45%20M
34.70%-367M
-444.79%-562M
138.72%163M
-205.07%-421M
82.62%-138M
-156.55%-794M
45.95%1.4B
1,045.24%962M
-Change in inventory
64.39%-422M
15.18%-1.19B
-397.15%-1.4B
-1,103.57%-281M
104.77%28M
-21.78%-587M
-265.07%-482M
-44.49%292M
-43.86%526M
383.94%937M
-Change in payables and accrued expense
-112.29%-86M
2.19%700M
22.76%685M
392.15%558M
-140.13%-191M
13.06%476M
83.84%421M
153.13%229M
-13.42%-431M
-147.32%-380M
Dividends paid (cash flow from operating activities)
-9.74%-462M
61.38%-421M
-59.59%-1.09B
-81.65%-683M
10.48%-376M
-5.26%-420M
-17.01%-399M
-10.00%-341M
-0.32%-310M
-61.78%-309M
Dividends received (cash flow from operating activities)
-30.60%610M
-38.57%879M
140.91%1.43B
-11.21%594M
-16.38%669M
-2.08%800M
222.92%817M
20.48%253M
-29.53%210M
-50.33%298M
Interest paid (cash flow from operating activities)
-6.81%-612M
-30.82%-573M
23.02%-438M
-5.96%-569M
12.25%-537M
31.77%-612M
30.68%-897M
-56.47%-1.29B
15.70%-827M
15.72%-981M
Tax refund paid
33.03%-4.63B
18.66%-6.91B
-60.60%-8.49B
-16.27%-5.29B
-26.29%-4.55B
-56.13%-3.6B
-51.68%-2.31B
15.12%-1.52B
50.47%-1.79B
2.16%-3.62B
Cash from discontinued investing activities
Operating cash flow
-6.04%15.16B
-36.34%16.13B
59.65%25.35B
6.46%15.88B
26.15%14.91B
-14.86%11.82B
64.02%13.88B
-9.78%8.47B
-34.32%9.38B
-5.25%14.29B
Investing cash flow
Cash flow from continuing investing activities
-3.80%-6.96B
6.31%-6.71B
-9.20%-7.16B
-19.18%-6.56B
-516.43%-5.5B
155.67%1.32B
-12.79%-2.37B
54.26%-2.1B
29.26%-4.6B
40.59%-6.5B
Net PPE purchase and sale
-4.84%-7.08B
7.82%-6.75B
-19.19%-7.32B
-12.96%-6.14B
-12.28%-5.44B
-11.51%-4.84B
-63.43%-4.34B
42.07%-2.66B
38.15%-4.59B
42.94%-7.42B
Net business purchase and sale
-15.74%-978M
-8,550.00%-845M
130.30%10M
70.80%-33M
-101.46%-113M
188.56%7.72B
251.51%2.68B
1,956.10%761M
-104.62%-41M
-53.32%887M
Net investment purchase and sale
41.10%1.18B
1,113.04%837M
18.97%69M
45.00%58M
102.58%40M
-127.38%-1.55B
-229.95%-683M
-1,393.75%-207M
-89.19%16M
-0.67%148M
Net other investing changes
-272.55%-88M
-40.00%51M
119.45%85M
-4,072.73%-437M
1,200.00%11M
95.24%-1M
---21M
----
110.83%13M
-2,100.00%-120M
Cash from discontinued investing activities
Investing cash flow
-3.80%-6.96B
6.31%-6.71B
-9.20%-7.16B
-19.18%-6.56B
-516.43%-5.5B
155.67%1.32B
-12.79%-2.37B
54.26%-2.1B
29.26%-4.6B
40.59%-6.5B
Financing cash flow
Cash flow from continuing financing activities
65.90%-5.28B
2.45%-15.47B
-122.47%-15.86B
41.65%-7.13B
5.65%-12.22B
-41.68%-12.95B
-22.03%-9.14B
2.33%-7.49B
-41.10%-7.67B
-482.01%-5.44B
Net issuance payments of debt
230.13%1.1B
-46.10%-843M
37.28%-577M
-110.05%-920M
80.50%-438M
19.12%-2.25B
43.88%-2.78B
-194.35%-4.95B
44.59%-1.68B
-242.98%-3.03B
Net common stock issuance
----
----
----
86.60%-208M
71.18%-1.55B
-158.57%-5.39B
---2.08B
--0
---2.03B
--0
Cash dividends paid
44.83%-6.47B
23.64%-11.73B
-150.44%-15.36B
40.66%-6.13B
-92.94%-10.33B
-26.02%-5.36B
-55.96%-4.25B
33.15%-2.73B
-9.87%-4.08B
-11.68%-3.71B
Net other financing activities
103.31%96M
-4,131.94%-2.9B
-44.62%72M
23.81%130M
183.78%105M
219.35%37M
-117.03%-31M
58.26%182M
-91.21%115M
391.73%1.31B
Cash from discontinued financing activities
Financing cash flow
65.90%-5.28B
2.45%-15.47B
-122.47%-15.86B
41.65%-7.13B
5.65%-12.22B
-41.68%-12.95B
-22.03%-9.14B
2.33%-7.49B
-41.10%-7.67B
-482.01%-5.44B
Net cash flow
Beginning cash position
-47.10%6.77B
23.35%12.81B
29.33%10.38B
-26.28%8.03B
3.24%10.89B
28.79%10.55B
-12.45%8.19B
-24.56%9.35B
21.46%12.4B
40.39%10.21B
Current changes in cash
148.31%2.92B
-360.15%-6.05B
6.17%2.32B
177.96%2.19B
-1,570.16%-2.81B
-91.94%191M
309.73%2.37B
60.86%-1.13B
-223.01%-2.89B
-26.61%2.35B
Effect of exchange rate changes
-253.33%-23M
-85.00%15M
-39.39%100M
405.56%165M
-135.76%-54M
1,358.33%151M
65.71%-12M
77.99%-35M
-1.92%-159M
40.23%-156M
End cash Position
42.78%9.67B
-47.10%6.77B
23.35%12.81B
29.33%10.38B
-26.28%8.03B
3.24%10.89B
28.79%10.55B
-12.45%8.19B
-24.56%9.35B
21.46%12.4B
Free cash from
-13.96%8.07B
-47.75%9.38B
85.43%17.96B
2.78%9.69B
47.46%9.42B
-32.03%6.39B
72.42%9.4B
16.07%5.45B
-23.29%4.7B
194.85%6.12B
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
Unqualified Opinion
Unqualified Opinion
(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(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -6.04%15.16B-36.34%16.13B59.65%25.35B6.46%15.88B26.15%14.91B-14.86%11.82B64.02%13.88B-9.78%8.47B-34.32%9.38B-5.25%14.29B
Net income from continuing operations -23.72%9.95B-42.26%13.05B117.28%22.6B49.17%10.4B-49.93%6.97B57.33%13.93B85.32%8.85B377.84%4.78B-126.45%-1.72B502.32%6.5B
Operating gains losses -4,192.86%-573M101.08%14M-522.73%-1.3B270.17%308M96.48%-181M-179.53%-5.14B-81.88%-1.84B-131.44%-1.01B62.30%3.21B-7.00%1.98B
Depreciation and amortization 6.47%5.33B6.66%5.01B9.77%4.7B-2.40%4.28B9.19%4.38B-8.23%4.02B-8.74%4.38B3.21%4.79B-4.42%4.65B1.44%4.86B
Asset impairment expenditure 1,700.00%936M-80.67%52M-78.36%269M-64.35%1.24B2,541.67%3.49B-83.42%132M219.68%796M-91.08%249M490.06%2.79B-93.72%473M
Remuneration paid in stock 46.12%1.47B-47.14%1.01B112.86%1.9B18.73%894M-25.52%753M88.97%1.01B-62.24%535M95.18%1.42B1.97%726M-50.86%712M
Unrealized gains and losses of investment securities 136.12%190M-113.82%-526M-186.62%-246M53.51%284M--185M----68.54%-28M-623.53%-89M--17M----
Deferred tax -31.74%3.83B-31.84%5.61B65.02%8.24B20.35%4.99B-2.24%4.15B6.99%4.24B153.03%3.97B57.80%1.57B-67.47%993M25.85%3.05B
Other non cashItems 105.88%35M47.76%-595M-290.07%-1.14B-595.24%-292M97.90%-42M-1,044.81%-2B436.51%212M-1.61%-63M68.84%-62M53.72%-199M
Change In working capital -99.14%-926M56.90%-465M-278.60%-1.08B---285M--0-167.34%-532M27.11%-199M-118.21%-273M-1.32%1.5B172.71%1.52B
-Change in receivables -2,190.00%-418M105.45%20M34.70%-367M-444.79%-562M138.72%163M-205.07%-421M82.62%-138M-156.55%-794M45.95%1.4B1,045.24%962M
-Change in inventory 64.39%-422M15.18%-1.19B-397.15%-1.4B-1,103.57%-281M104.77%28M-21.78%-587M-265.07%-482M-44.49%292M-43.86%526M383.94%937M
-Change in payables and accrued expense -112.29%-86M2.19%700M22.76%685M392.15%558M-140.13%-191M13.06%476M83.84%421M153.13%229M-13.42%-431M-147.32%-380M
Dividends paid (cash flow from operating activities) -9.74%-462M61.38%-421M-59.59%-1.09B-81.65%-683M10.48%-376M-5.26%-420M-17.01%-399M-10.00%-341M-0.32%-310M-61.78%-309M
Dividends received (cash flow from operating activities) -30.60%610M-38.57%879M140.91%1.43B-11.21%594M-16.38%669M-2.08%800M222.92%817M20.48%253M-29.53%210M-50.33%298M
Interest paid (cash flow from operating activities) -6.81%-612M-30.82%-573M23.02%-438M-5.96%-569M12.25%-537M31.77%-612M30.68%-897M-56.47%-1.29B15.70%-827M15.72%-981M
Tax refund paid 33.03%-4.63B18.66%-6.91B-60.60%-8.49B-16.27%-5.29B-26.29%-4.55B-56.13%-3.6B-51.68%-2.31B15.12%-1.52B50.47%-1.79B2.16%-3.62B
Cash from discontinued investing activities
Operating cash flow -6.04%15.16B-36.34%16.13B59.65%25.35B6.46%15.88B26.15%14.91B-14.86%11.82B64.02%13.88B-9.78%8.47B-34.32%9.38B-5.25%14.29B
Investing cash flow
Cash flow from continuing investing activities -3.80%-6.96B6.31%-6.71B-9.20%-7.16B-19.18%-6.56B-516.43%-5.5B155.67%1.32B-12.79%-2.37B54.26%-2.1B29.26%-4.6B40.59%-6.5B
Net PPE purchase and sale -4.84%-7.08B7.82%-6.75B-19.19%-7.32B-12.96%-6.14B-12.28%-5.44B-11.51%-4.84B-63.43%-4.34B42.07%-2.66B38.15%-4.59B42.94%-7.42B
Net business purchase and sale -15.74%-978M-8,550.00%-845M130.30%10M70.80%-33M-101.46%-113M188.56%7.72B251.51%2.68B1,956.10%761M-104.62%-41M-53.32%887M
Net investment purchase and sale 41.10%1.18B1,113.04%837M18.97%69M45.00%58M102.58%40M-127.38%-1.55B-229.95%-683M-1,393.75%-207M-89.19%16M-0.67%148M
Net other investing changes -272.55%-88M-40.00%51M119.45%85M-4,072.73%-437M1,200.00%11M95.24%-1M---21M----110.83%13M-2,100.00%-120M
Cash from discontinued investing activities
Investing cash flow -3.80%-6.96B6.31%-6.71B-9.20%-7.16B-19.18%-6.56B-516.43%-5.5B155.67%1.32B-12.79%-2.37B54.26%-2.1B29.26%-4.6B40.59%-6.5B
Financing cash flow
Cash flow from continuing financing activities 65.90%-5.28B2.45%-15.47B-122.47%-15.86B41.65%-7.13B5.65%-12.22B-41.68%-12.95B-22.03%-9.14B2.33%-7.49B-41.10%-7.67B-482.01%-5.44B
Net issuance payments of debt 230.13%1.1B-46.10%-843M37.28%-577M-110.05%-920M80.50%-438M19.12%-2.25B43.88%-2.78B-194.35%-4.95B44.59%-1.68B-242.98%-3.03B
Net common stock issuance ------------86.60%-208M71.18%-1.55B-158.57%-5.39B---2.08B--0---2.03B--0
Cash dividends paid 44.83%-6.47B23.64%-11.73B-150.44%-15.36B40.66%-6.13B-92.94%-10.33B-26.02%-5.36B-55.96%-4.25B33.15%-2.73B-9.87%-4.08B-11.68%-3.71B
Net other financing activities 103.31%96M-4,131.94%-2.9B-44.62%72M23.81%130M183.78%105M219.35%37M-117.03%-31M58.26%182M-91.21%115M391.73%1.31B
Cash from discontinued financing activities
Financing cash flow 65.90%-5.28B2.45%-15.47B-122.47%-15.86B41.65%-7.13B5.65%-12.22B-41.68%-12.95B-22.03%-9.14B2.33%-7.49B-41.10%-7.67B-482.01%-5.44B
Net cash flow
Beginning cash position -47.10%6.77B23.35%12.81B29.33%10.38B-26.28%8.03B3.24%10.89B28.79%10.55B-12.45%8.19B-24.56%9.35B21.46%12.4B40.39%10.21B
Current changes in cash 148.31%2.92B-360.15%-6.05B6.17%2.32B177.96%2.19B-1,570.16%-2.81B-91.94%191M309.73%2.37B60.86%-1.13B-223.01%-2.89B-26.61%2.35B
Effect of exchange rate changes -253.33%-23M-85.00%15M-39.39%100M405.56%165M-135.76%-54M1,358.33%151M65.71%-12M77.99%-35M-1.92%-159M40.23%-156M
End cash Position 42.78%9.67B-47.10%6.77B23.35%12.81B29.33%10.38B-26.28%8.03B3.24%10.89B28.79%10.55B-12.45%8.19B-24.56%9.35B21.46%12.4B
Free cash from -13.96%8.07B-47.75%9.38B85.43%17.96B2.78%9.69B47.46%9.42B-32.03%6.39B72.42%9.4B16.07%5.45B-23.29%4.7B194.85%6.12B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified Opinion----Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion

Analysis

Analyst Rating

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Price Target

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