Sibanye Stillwater Limited logo SBSW - Sibanye Stillwater Limited

Price: -- -- | CONSENSUS: Hold DETAILS
STRONG
BUY
0
BUY 4
HOLD 5
SELL 3
STRONG
SELL
0
| PRICE TARGET: $21.40 DETAILS
HIGH: $24.80
LOW: $18.00
MEDIAN: $21.40
CONSENSUS: $21.40
UPSIDE: 87.14%
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2009
Revenue
Revenue 120,096.3 112,129 113,684 138,288 172,194 127,392.4 72,925.4 50,656.4 45,911.6 31,240.7 22,717.4 21,780.5 21,013.3 17,133.2 18,565.4 13,905.3
Cost of Revenue 91,491.2 105,824 100,902 103,458 112,020 85,133.8 63,745.5 48,341.6 42,580.9 25,297.6 20,417.6 17,996.6 17,109.5 14,124.8 13,918.8 11,662.8
Gross Profit 28,605.0 6,305 12,782 34,830 60,174 42,258.6 9,179.9 2,314.8 3,330.7 5,943.1 2,299.8 3,783.9 3,903.8 3,008.4 4,646.6 2,242.5
Operating Expenses
R&D Expenses 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
SG&A Expenses 6,411.5 379 217 7 369 564.7 323.7 314.8 1,338.8 496.2 275.8 419.1 61.6 73.7 55.7 123.8
Other Expenses 0 2,242 4,141 601 26 (19.7) 1,446.4 (195.3) (134.6) 0 (78.6) (94) (349.6) (334.8) (258.2) (148.4)
Operating Expenses 6,411.5 2,621 4,358 608 395 545 1,770.1 1,223.5 2,194 500.3 497.3 595.7 207.7 195.0 167.0 204.5
Operating Income
Operating Income 22,193.5 3,684 13,620 36,434 62,493 43,478 8,264.6 1,091.3 1,634.8 6,489.7 2,700.4 4,214.4 3,696.1 2,813.4 4,479.6 2,038.0
Interest Expense 2,570.9 3,265 2,312 2,135 1,763 2,349.3 2,500 2,576.9 2,538.3 903.1 350.2 231 354.8 122.9 16.1 209.1
Interest Income 1,452.2 1,337 1,438 1,203 1,202 1,065.4 560.4 482.1 415.5 331.4 0 14.2 174.3 109.3 109.7 250.6
Profitability
EBITDA 31,779.8 164 (27,522) 37,126 57,613 45,423 8,414 7,753.8 1,632.8 8,879.7 4,902.2 5,989.7 7,116.8 5,092.2 6,691.1 4,209.7
EBIT 22,193.5 (8,646) (37,534) 30,039 49,320 37,830 1,200 1,140 (4,841.4) 4,837.8 1,265.6 2,735 2,273.9 2,729.4 4,077.8 2,071.0
Income Before Tax (380.6) (4,214) (39,846) 27,904 47,557 35,479.8 (1,300.2) (1,436.9) (7,379.7) 4,514.2 915.4 2,335 2,724.6 2,402.3 4,061.6 1,861.9
Income Tax Expense 4,008.2 1,496 (2,416) 8,924 13,761 4,858.2 (1,733) 1,083.8 (2,946.6) 1,243.2 377.2 828.1 417.4 (572.2) 1,351.5 648.1
Net Income (4,789.0) (7,297) (37,772) 18,396 33,054 29,312 62.1 (2,499.6) (4,437.4) 3,701.6 716.9 1,551.5 2,357.3 3,070.3 2,749.7 1,064.0
Per Share Data
EPS (Basic) -6.80 -10.32 -53.36 26.04 45.60 42.96 0.68 -4.40 -8.84 9.00 1.80 7.00 9.80 10.12 9.36 3.64
EPS (Diluted) -6.80 -10.32 -53.36 26.00 45.16 42.20 0.68 -4.36 -8.84 9.00 1.80 6.88 9.60 10.12 9.36 3.64
Shares Outstanding 707.6 707.1 707.6 706.5 724.7 682.2 626.9 566.0 502.8 386.2 399.1 221.7 172.5 293.9 293.9 293.9
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Current Assets
Cash & Cash Equivalents 17,161.2 16,049 25,560 26,076 30,292 20,239.8 5,619 2,549.1 2,062.4 967.9
Short-Term Investments 0 0 0 0 0 0 0 0 0 310.6
Net Receivables 12,053.2 5,722 8,680 5,828 5,771 6,023 3,872 6,180.5 5,443.4 5,760.4
Inventory 31,449.1 25,549 26,363 26,384 25,080 24,952.4 15,503.4 5,294.8 3,526.5 676.8
Other Current Assets 30.0 70 0 2,043 3,353 658.4 726.3 874 727.2 0
Total Current Assets 60,693.4 48,409 61,822 60,764 64,831 52,242.6 26,163.7 15,195.3 12,004.5 7,703.2
Non-Current Assets
Property, Plant & Equipment 64,788.4 67,062 61,898 77,188 62,716 60,895.6 57,841.1 54,558.2 51,444.6 27,240.7
Goodwill 0 782 499 8,241 7,727 7,165.2 6,854.9 6,889.6 6,396 936
Intangible Assets 1,973 1,276 3 81 0 0 0 0 0 0
Long-Term Investments 20,046.3 10,830 10,327 17,117 16,163 11,402 9,239.7 7,888.6 5,736.5 5,613.2
Other Non-Current Assets 0 9,633 8,392 798 651 821.3 683.5 314.4 284 0
Total Non-Current Assets 88,896.7 89,583 81,119 105,867 88,163 81,860.5 74,908.1 69,727.7 64,067.3 34,018.1
Total Assets 149,590.2 137,992 142,941 166,631 152,994 134,103.1 101,071.8 84,923 76,071.8 41,721.3
Current Liabilities
Account Payables 16,739.6 3,983 4,278 4,147 3,670 4,325 3,208 2,200 1,728.1 1,121.3
Short-Term Debt 11,556.7 552 15,482 122 107 886 38 6,188.2 1,657.5 752.3
Deferred Revenue 1,202.8 0 0 21 156 66.9 1,270.6 30.1 (4,927.4) (3,990.6)
Other Current Liabilities 3,858.1 4,401 4,622 5,260 6,535 3,066.2 2,547.2 428.6 1,266.6 178
Total Current Liabilities 34,124.5 20,855 36,407 20,219 20,541 17,487.1 14,326.8 14,632.6 8,437.8 6,236.6
Non-Current Liabilities
Long-Term Debt 32,304.3 41,135 24,946 22,606 20,191 17,497 23,698 18,316.5 23,992 8,221.5
Deferred Tax Liabilities 6,463.7 0 4,176 9,360 7,818 0 6,656.8 10,153.2 8,525.2 4,707.1
Other Non-Current Liabilities 17,949.4 27,510 19,094 16,835 16,718 28,180 18,083 27,249.5 11,118.6 5,858.7
Total Non-Current Liabilities 71,342.0 68,848 54,927 55,408 51,108 45,900 55,606.7 45,566 43,635.8 18,787.3
Total Liabilities 105,466.5 89,703 91,334 75,627 71,649 63,387.1 69,933.5 60,198.6 52,073.6 25,023.9
Stockholders' Equity
Common Stock 21,625.8 21,647 21,647 21,647 21,647 30,149.8 40,662 34,667 34,667 21,734.6
Retained Earnings (19,082) (13,817) (8,470) 33,781 27,414 12,216 (15,433.7) (15,495.8) (13,257.6) (8,033.7)
Accumulated Other Comprehensive Income 36,961 36,149 35,553 32,673 30,332 25,570.4 4,442.3 4,617.2 2,569 2,978.8
Total Stockholders' Equity 39,487.2 43,979 48,730 91,004 79,393 67,936 31,138.3 24,724.4 23,998.2 16,697.4
Total Liabilities & Equity 149,590.2 137,992 142,941 166,631 152,994 134,103.1 101,071.8 84,923 76,071.8 41,721.3
Debt Metrics
Total Debt 44,341.5 42,065 41,010 23,047 20,579 18,709.4 24,119 24,504.7 25,649.5 8,973.8
Net Debt 27,180.3 26,016 15,450 (3,029) (9,713) (1,530.4) 18,500 21,955.6 23,587.1 8,005.9
Metric 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016
Operating Activities
Net Income (4,789.0) (7,297) (37,772) 40,746 67,784 45,185.5 10,559.8 8,702.4 7,091.5 9,835.1
Depreciation & Amortization 9,586.3 8,810 10,012 7,087 8,293 7,592.4 7,214.1 6,613.8 7,555.3 4,041.9
Stock-Based Compensation 0 251 113 218 383 512 363 299.4 231.9 496.2
Change in Working Capital 2,105.1 6,853 1,750 386 2,455 (9,435.1) (625.6) (1,070) (522.3) (237.6)
Other Non-Cash Items 13,589.9 1,669 32,992 (6,834) (5,147) (1,418.5) 2,357.2 6,299.3 (3,828.5) (9,730.1)
Operating Cash Flow 20,492.2 10,286 7,095 15,543 32,256 27,149.3 9,464 12,197.2 2,740.7 4,405.5
Investing Activities
Capital Expenditure (18,806.7) (21,569) (22,411) (15,899) (12,740) (9,615.6) (7,705.9) (7,080.7) (6,098.8) (4,151.1)
Acquisitions (1,733.7) (2,982) 471 (1,395) (998) (756.2) 2,591.9 500.3 (25,594.2) (5,307.3)
Purchases of Investments (871.5) 0 (658) (782) (1,868) (12.1) 60.1 207.1 71.3 0
Sales/Maturities of Investments 708.5 0 524 33 10 7.4 151.9 1.2 3,605.3 0
Other Investing Activities 185.2 213 36 669 1,028 439.7 37.1 (1,371.4) (56.7) 14.6
Investing Cash Flow (20,518.2) (24,338) (22,038) (17,374) (14,568) (9,936.8) (4,864.9) (7,743.5) (28,144.4) (9,443.8)
Financing Activities
Net Debt Issuance 2,805.2 4,735 12,889 (134) 287 (2,160) (3,158) (4,101.3) 13,874.3 5,445.8
Stock Repurchased 0 0 0 0 (8,503) (84) 0 0 0 0
Dividends Paid (279.7) (173) (5,318) (9,453) (18,176) (1,698) (85) (0.6) (560.4) (1,611.9)
Other Financing Activities (211.2) 0 4,309 6,090 18,048 1,698.2 1,773.1 0 12,932.4 (1,611.9)
Financing Cash Flow 2,314.4 4,562 12,976 (3,497) (8,344) (2,243.8) (1,469.9) (4,101.3) 26,806.7 5,445.8
Cash Position
Net Change in Cash 3,082.1 (9,511) (516) (4,216) 10,052 14,620.8 3,069.9 486.7 1,094.5 250.5
Cash at Beginning 14,079.0 25,560 26,076 30,292 20,240 5,619 2,549.1 2,062.4 967.9 717.4
Cash at End 17,161.2 16,049 25,560 26,076 30,292 20,239.8 5,619 2,549.1 2,062.4 967.9
Free Cash Flow 1,685.5 (11,283) (15,316) (356) 19,516 17,533.7 1,758.1 5,116.5 (3,358.1) 254.4
Key Metrics 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2009
Income Statement
Revenue 120,096.3 112,129 113,684 138,288 172,194 127,392.4 72,925.4 50,656.4 45,911.6 31,240.7 22,717.4 21,780.5 21,013.3 17,133.2 18,565.4 13,905.3
Gross Profit 28,605.0 6,305 12,782 34,830 60,174 42,258.6 9,179.9 2,314.8 3,330.7 5,943.1 2,299.8 3,783.9 3,903.8 3,008.4 4,646.6 2,242.5
Operating Income 22,193.5 3,684 13,620 36,434 62,493 43,478 8,264.6 1,091.3 1,634.8 6,489.7 2,700.4 4,214.4 3,696.1 2,813.4 4,479.6 2,038.0
Net Income (4,789.0) (7,297) (37,772) 18,396 33,054 29,312 62.1 (2,499.6) (4,437.4) 3,701.6 716.9 1,551.5 2,357.3 3,070.3 2,749.7 1,064.0
EPS (Diluted) -6.80 -10.32 -53.36 26.00 45.16 42.20 0.68 -4.36 -8.84 9.00 1.80 6.88 9.60 10.12 9.36 3.64
Balance Sheet
Cash & Equivalents 17,161.2 16,049 25,560 26,076 30,292 20,239.8 5,619 2,549.1 2,062.4 967.9
Total Assets 149,590.2 137,992 142,941 166,631 152,994 134,103.1 101,071.8 84,923 76,071.8 41,721.3
Total Debt 44,341.5 42,065 41,010 23,047 20,579 18,709.4 24,119 24,504.7 25,649.5 8,973.8
Stockholders' Equity 39,487.2 43,979 48,730 91,004 79,393 67,936 31,138.3 24,724.4 23,998.2 16,697.4
Cash Flow
Operating Cash Flow 20,492.2 10,286 7,095 15,543 32,256 27,149.3 9,464 12,197.2 2,740.7 4,405.5
Capital Expenditure (18,806.7) (21,569) (22,411) (15,899) (12,740) (9,615.6) (7,705.9) (7,080.7) (6,098.8) (4,151.1)
Free Cash Flow 1,685.5 (11,283) (15,316) (356) 19,516 17,533.7 1,758.1 5,116.5 (3,358.1) 254.4