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Sibanye Stillwater Ltd

SBSW

8.280USD

-0.080-0.96%
Handelsschluss 08/01, 16:00ETKurse um 15 Minuten verzögert
23.44BMarktkapitalisierung
--KGV TTM
Vierteljährlich
Vierteljährlich+Jährlich
Vierteljährlich
Jährlich
YOY
Leere Zeilen ausblenden
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Umlaufvermögen
Barmittel, Barmitteläquivalente und kurzfristige Anlagen
-39.10%851.38M
-27.30%855.65M
-8.83%1.40B
-29.71%1.18B
-19.04%1.53B
-8.45%1.67B
37.46%1.89B
163.13%1.83B
243.18%1.38B
64.01%695.14M
126.00%401.54M
177.01%423.83M
6.46%177.67M
-69.40%153.00M
136.77%166.90M
742.92%499.95M
51.92%70.49M
-15.56%59.31M
-4.66%46.40M
-38.27%70.24M
-65.93%48.67M
-44.76%113.80M
313.74%142.85M
40.41%206.00M
--34.53M
--146.72M
- Barmittel und Barmitteläquivalente
-39.10%851.38M
-27.30%855.65M
-8.83%1.40B
-29.71%1.18B
-19.04%1.53B
-8.45%1.67B
37.46%1.89B
163.13%1.83B
243.18%1.38B
64.01%695.14M
126.00%401.54M
177.01%423.83M
6.46%177.67M
-69.40%153.00M
136.77%166.90M
742.92%499.95M
51.92%70.49M
-15.56%59.31M
-4.66%46.40M
-38.27%70.24M
-65.93%48.67M
-44.76%113.80M
313.74%142.85M
40.41%206.00M
--34.53M
--146.72M
Forderungen
-33.96%357.60M
19.09%555.57M
10.88%541.46M
-14.98%466.53M
-14.92%488.34M
-5.51%548.73M
19.57%573.97M
108.16%580.76M
33.24%480.02M
-28.32%278.99M
-29.69%360.25M
-18.41%389.19M
-1.31%512.39M
6.52%477.01M
17.67%519.17M
208.03%447.80M
319.20%441.22M
69.43%145.37M
22.62%105.25M
14.10%85.80M
-7.91%85.84M
--75.20M
-23.49%93.21M
-100.00%0.00
--121.83M
--140.22M
-Forderungen aus Lieferungen und Leistungen
-37.65%303.54M
15.55%492.00M
10.37%486.81M
-2.75%425.79M
-4.82%441.06M
-19.55%437.81M
-0.86%463.42M
118.48%544.17M
41.13%467.44M
-31.29%249.07M
-30.45%331.22M
-21.23%362.50M
-5.04%476.26M
16.26%460.18M
19.81%501.53M
172.28%395.82M
297.71%418.60M
69.43%145.37M
22.62%105.25M
14.10%85.80M
-7.91%85.84M
--75.20M
3.56%93.21M
-100.00%0.00
--90.01M
--117.51M
-Sonstige Forderungen
481.91%8.28M
-77.78%2.75M
-70.14%1.42M
-8.87%12.38M
-85.43%4.76M
453.65%13.58M
1205.28%32.70M
-8.62%2.45M
-31.52%2.51M
-22.90%2.68M
49.13%3.66M
35.73%3.48M
-13.87%2.45M
-89.31%2.57M
-87.41%2.85M
--24.00M
--22.62M
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--17.95M
--11.38M
Inventar
-6.01%1.36B
4.15%1.42B
-7.06%1.44B
-17.71%1.37B
-1.06%1.55B
-19.56%1.66B
-7.69%1.57B
112.43%2.06B
53.34%1.70B
-3.81%971.26M
200.20%1.11B
227.16%1.01B
29.32%369.05M
35.95%308.63M
478.98%285.38M
505.04%227.01M
87.75%49.29M
18.09%37.52M
-7.34%26.25M
17.67%31.77M
58.20%28.33M
--27.00M
-56.62%17.91M
----
--41.28M
--37.48M
Aktive Rechnungsabgrenzungsposten
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--9.09M
--12.05M
Sonstige kurzfristige Vermögenswerte
--0.00
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-100.00%0.00
-100.00%0.00
-0.24%4.94M
-96.08%5.00M
--4.95M
--127.70M
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Summe der kurzfristigen Vermögenswerte
-24.06%2.57B
-5.84%2.83B
-5.37%3.38B
-22.50%3.01B
-11.85%3.57B
-13.19%3.88B
13.97%4.05B
129.93%4.47B
90.24%3.56B
6.23%1.95B
76.53%1.87B
77.59%1.83B
9.02%1.06B
-12.22%1.03B
73.16%971.44M
385.03%1.17B
215.34%561.00M
28.96%242.21M
6.04%177.91M
-15.66%187.82M
-35.20%167.78M
-33.26%222.70M
25.25%258.93M
-0.82%333.70M
--206.73M
--336.46M
Langfristige Vermögenswerte
Nettoanlagevermögen
5.08%3.56B
-31.45%3.40B
-25.41%3.39B
16.24%4.96B
15.75%4.54B
-1.03%4.27B
-5.41%3.92B
12.83%4.31B
0.31%4.15B
-5.19%3.82B
8.70%4.13B
4.00%4.03B
-8.66%3.80B
-6.97%3.88B
109.85%4.16B
163.59%4.17B
38.59%1.98B
-15.08%1.58B
-27.08%1.43B
-6.99%1.86B
35.35%1.96B
30.21%2.00B
-25.16%1.45B
-19.92%1.54B
--1.94B
--1.92B
-Anlagevermögen
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--7.70B
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--4.89B
--4.84B
-Abgegrenzte Abschreibungen
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--3.57B
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--2.96B
--2.92B
Goodwill und andere immaterielle Vermögenswerte
297.60%109.17M
-77.68%108.50M
-94.39%27.46M
-0.97%486.08M
1.29%489.40M
0.39%490.84M
-0.95%483.18M
1.28%488.94M
-0.41%487.83M
-1.46%482.74M
2.01%489.86M
-4.13%489.88M
-7.22%480.20M
-2.09%511.00M
659.30%517.58M
696.12%521.93M
43.06%68.17M
8.25%65.56M
-25.19%47.65M
-12.99%60.56M
--63.70M
--69.60M
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Sonstige langfristige Vermögenswerte
12.67%484.97M
9.30%450.81M
-5.54%430.42M
5.93%412.45M
19.30%455.65M
-3.11%389.38M
-13.83%381.94M
37.85%401.89M
26.82%443.25M
-11.24%291.54M
23.04%349.52M
20.44%328.45M
-5.09%284.07M
4.37%272.71M
23.46%299.30M
37.26%261.29M
51.31%242.42M
0.01%190.35M
-24.98%160.21M
-12.73%190.33M
19.79%213.55M
28.29%218.10M
11.24%178.27M
5.89%170.00M
--160.26M
--160.55M
Summe der langfristigen Vermögenswerte
7.10%4.75B
-30.26%4.59B
-28.73%4.44B
12.13%6.57B
12.93%6.23B
1.23%5.86B
-1.08%5.51B
15.94%5.79B
4.12%5.57B
-3.99%5.00B
10.14%5.35B
6.67%5.20B
-6.26%4.86B
-5.32%4.88B
109.27%5.18B
158.36%5.15B
50.13%2.48B
-5.98%1.99B
-26.54%1.65B
-7.39%2.12B
35.73%2.25B
32.19%2.29B
-22.08%1.66B
-17.51%1.73B
--2.12B
--2.10B
Summe der Vermögenswerte
-6.37%7.32B
-22.59%7.42B
-20.21%7.82B
-1.67%9.58B
2.43%9.80B
-5.05%9.75B
4.78%9.57B
47.89%10.27B
26.41%9.13B
-1.33%6.94B
22.02%7.22B
19.04%7.03B
-3.85%5.92B
-6.60%5.91B
102.60%6.16B
182.91%6.33B
66.21%3.04B
-3.14%2.24B
-24.27%1.83B
-8.12%2.31B
26.13%2.41B
21.62%2.51B
-17.88%1.91B
-15.20%2.07B
--2.33B
--2.44B
Verbindlichkeiten
Kurzfristige Verbindlichkeiten
-Weitere Verbindlichkeiten
-21.26%86.79M
421.58%145.45M
-52.37%110.22M
-84.85%27.89M
-22.33%231.41M
102.38%184.12M
82.14%297.96M
104.36%90.98M
151.54%163.59M
-31.95%44.52M
125.82%65.04M
366.36%65.42M
733.47%28.80M
104.96%14.03M
--3.46M
--6.84M
--0.00
----
-100.00%0.00
-100.00%0.00
-13.87%17.03M
-93.56%18.50M
-34.51%19.78M
12165.63%287.10M
--30.20M
--2.34M
Rückstellungen
-72.84%6.42M
-79.54%8.30M
41.48%23.63M
162.04%40.58M
360.51%16.70M
176.20%15.49M
60.94%3.63M
-63.80%5.61M
-61.59%2.25M
265.15%15.49M
48.19%5.87M
87.78%4.24M
297.74%3.96M
231.18%2.26M
-94.19%995.36K
-97.11%682.12K
-42.80%17.13M
-24.82%23.58M
1565.13%29.95M
248.45%31.36M
-58.43%1.80M
--9.00M
-93.72%4.33M
----
--68.95M
--89.44M
Kurzfristige Rückstellungen
-61.88%17.35M
--39.81M
--45.51M
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Kurzfristige Verbindlichkeiten und Leasingverpflichtungen
-95.50%38.57M
1412.11%269.07M
6159.26%857.66M
23.74%17.79M
3.85%13.70M
-96.92%14.38M
-80.41%13.19M
487.58%466.37M
535.50%67.35M
-79.86%79.37M
-97.54%10.60M
1517.69%394.09M
221.56%431.31M
-95.80%24.36M
144.82%134.13M
125.36%580.32M
-57.54%54.79M
477.66%257.51M
169.32%129.05M
-14.93%44.58M
0.22%47.92M
6.29%52.40M
-97.91%47.81M
--49.30M
--2.29B
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-Kurzfristige Verbindlichkeiten
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--2.02B
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-Kurzfristige Leasingverpflichtungen
-14.28%9.28M
-8.38%9.73M
65.91%10.83M
45.26%10.62M
0.38%6.53M
3.31%7.31M
-7.80%6.50M
19.39%7.08M
-10.27%7.05M
-20.45%5.93M
--7.86M
--7.45M
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Aufgeschobene Verbindlichkeiten
427.85%88.06M
25.89%21.67M
1250.87%16.68M
174.55%17.21M
-87.34%1.23M
-45.80%6.27M
114.17%9.75M
-89.23%11.56M
-94.98%4.55M
-29.59%107.36M
4227.93%90.80M
--152.47M
--2.10M
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Andere kurzfristige Verbindlichkeiten
11.48%192.20M
358.86%206.93M
-25.89%172.41M
-76.31%45.10M
-24.40%232.65M
85.67%190.39M
83.00%307.71M
-32.48%102.54M
7.90%168.15M
-30.30%151.87M
404.35%155.83M
1453.28%217.89M
794.18%30.90M
104.96%14.03M
--3.46M
--6.84M
--0.00
----
-100.00%0.00
-100.00%0.00
-13.87%17.03M
-93.56%18.50M
-34.51%19.78M
12165.63%287.10M
--30.20M
--2.34M
Summe der kurzfristigen Verbindlichkeiten
-44.44%1.11B
41.88%1.36B
67.48%1.99B
-17.12%957.28M
-7.43%1.19B
-29.42%1.16B
7.88%1.28B
65.21%1.64B
16.29%1.19B
-31.52%990.53M
0.38%1.02B
159.48%1.45B
49.37%1.02B
-51.07%557.44M
49.85%682.81M
104.74%1.14B
31.75%455.65M
70.95%556.46M
12.03%345.85M
-21.64%325.51M
-10.20%308.72M
23.48%415.40M
-86.44%343.78M
-88.25%336.40M
--2.54B
--2.86B
Langfristige Verbindlichkeiten
Langfristige Rückstellungen
-7.54%632.45M
15.77%699.09M
36.00%684.00M
13.54%603.89M
-2.66%502.93M
-14.35%531.90M
-12.10%516.69M
19.09%620.99M
-5.61%587.82M
-9.09%521.47M
41.83%622.77M
60.32%573.60M
15.69%439.09M
2.70%357.79M
30.33%379.53M
52.35%348.37M
85.49%291.20M
7.06%228.66M
-27.43%156.99M
-5.91%213.57M
34.76%216.32M
27.74%227.00M
-22.78%160.52M
-0.88%177.70M
--207.88M
--179.28M
Langfristige Schulden und Leasingverbindlichkeiten
59.92%2.18B
34.05%1.79B
2.64%1.36B
4.76%1.34B
5.30%1.33B
71.26%1.28B
5.99%1.26B
-48.57%745.40M
-29.66%1.19B
-5.78%1.45B
32.65%1.69B
-25.57%1.54B
-34.24%1.28B
19.11%2.07B
224.26%1.94B
683.99%1.73B
411.95%598.75M
-15.19%221.29M
-48.29%116.96M
117.97%260.91M
58.42%226.16M
-65.28%119.70M
-39.68%142.76M
188.57%344.80M
--236.65M
--119.49M
-Langfristige Verbindlichkeiten
59.92%2.18B
34.05%1.79B
2.64%1.36B
4.76%1.34B
5.30%1.33B
71.26%1.28B
5.99%1.26B
-48.57%745.40M
-29.66%1.19B
-5.78%1.45B
32.65%1.69B
-25.57%1.54B
-34.24%1.28B
19.11%2.07B
224.26%1.94B
683.99%1.73B
411.95%598.75M
-15.19%221.29M
-48.29%116.96M
117.97%260.91M
58.42%226.16M
-65.28%119.70M
-39.68%142.76M
188.57%344.80M
--236.65M
--119.49M
Aufgeschobene Verbindlichkeiten
7.04%370.44M
1.69%347.26M
-8.04%346.07M
-10.01%341.49M
-3.00%376.31M
-14.56%379.49M
-10.45%387.94M
22.02%444.15M
-12.10%433.20M
-23.82%364.00M
8.36%492.83M
--477.82M
--454.81M
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Langfristige aufgelaufene Kosten
-19.02%17.72M
-41.72%21.89M
-52.36%21.88M
-78.43%37.55M
-27.78%45.93M
14.21%174.10M
-41.45%63.59M
82.82%152.44M
13.17%108.61M
557.05%83.38M
715.24%95.97M
-59.02%12.69M
-65.54%11.77M
38.48%30.97M
90.32%34.17M
--22.36M
103.19%17.95M
-100.00%0.00
-73.00%8.83M
-76.70%7.18M
348.54%32.72M
--30.80M
--7.29M
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Mitarbeitervorteile
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--0.00
-100.00%0.00
-100.00%0.00
-54.32%369.49K
-57.32%390.32K
-35.65%808.89K
-22.97%914.43K
13.20%1.26M
12.60%1.19M
-9.95%1.11M
-19.25%1.05M
-17.80%1.23M
-16.32%1.31M
--1.50M
-25.50%1.56M
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--2.09M
--2.07M
Derivative-Verbindlichkeiten
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-100.00%0.00
-100.00%0.00
198.61%201.70M
939.28%296.20M
197.94%67.55M
-67.79%28.50M
--22.67M
--88.49M
--0.00
--0.00
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Andere langfristige Verbindlichkeiten
-13.10%1.19B
3.11%1.40B
3.65%1.37B
24.76%1.36B
-3.60%1.32B
-17.98%1.09B
6.15%1.37B
23.05%1.33B
-7.35%1.29B
-15.82%1.08B
20.98%1.39B
76.61%1.28B
48.16%1.15B
7.89%726.47M
90.13%777.10M
194.47%673.33M
160.35%408.72M
7.06%228.66M
-27.43%156.99M
-5.91%213.57M
34.76%216.32M
27.74%227.00M
-22.78%160.52M
-0.88%177.70M
--207.88M
--179.28M
Gesamt langfristige Verbindlichkeiten
21.57%3.65B
5.91%3.50B
-7.80%3.00B
6.66%3.31B
1.96%3.26B
11.20%3.10B
2.27%3.20B
-15.36%2.79B
-21.36%3.13B
-4.21%3.29B
25.12%3.97B
-1.55%3.44B
-10.06%3.18B
4.47%3.49B
155.25%3.53B
376.14%3.34B
169.61%1.38B
-10.68%702.06M
-36.63%513.12M
6.47%785.99M
21.19%809.74M
-20.02%738.20M
-28.91%668.13M
14.55%923.00M
--939.78M
--805.74M
Gesamtverbindlichkeiten
-4.75%4.76B
13.99%4.86B
12.33%5.00B
0.20%4.26B
-0.73%4.45B
-3.83%4.25B
3.82%4.48B
3.27%4.42B
-13.64%4.32B
-12.30%4.28B
19.11%5.00B
20.61%4.88B
-0.43%4.20B
-9.65%4.05B
129.14%4.21B
256.13%4.48B
114.10%1.84B
13.23%1.26B
-23.20%858.97M
-3.65%1.11B
10.53%1.12B
-8.40%1.15B
-70.88%1.01B
-65.67%1.26B
--3.48B
--3.67B
Eigenkapital der Aktionäre
Stammkapital
-3.02%1.15B
3.53%1.19B
-6.99%1.18B
-58.09%1.15B
-5.95%1.27B
-25.03%2.74B
-34.06%1.35B
55.91%3.66B
-29.36%2.05B
-18.75%2.35B
20.26%2.91B
14.37%2.89B
-13.87%2.42B
-5.00%2.53B
77.23%2.81B
79.61%2.66B
12.60%1.58B
-17.13%1.48B
-25.19%1.41B
-25.20%1.79B
13.84%1.88B
196.10%2.39B
474.15%1.65B
--806.70M
--287.52M
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Gewinnrücklagen
-58.21%-732.97M
-137.89%-769.43M
-123.32%-463.29M
-4.73%2.03B
15.89%1.99B
8.36%2.13B
97.32%1.71B
684.50%1.97B
178.77%868.76M
69.93%-336.51M
-2.12%-1.10B
-16.52%-1.12B
-0.67%-1.08B
8.01%-960.53M
-78.30%-1.07B
-49.27%-1.04B
5.05%-601.70M
17.10%-699.50M
25.95%-633.69M
51.07%-843.80M
14.60%-855.73M
---1.72B
-0.22%-1.00B
----
---999.80M
---1.07B
Kapitalrücklagen
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--287.52M
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Gewinne/Verluste ohne Auswirkung auf den Gewinnvortrag
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--0.00
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Nicht beherrschende Anteile
45.29%228.64M
2.32%172.50M
-7.82%157.37M
-4.88%168.59M
39.87%170.72M
90.85%177.24M
-19.81%122.06M
15.75%92.87M
45.13%152.21M
-9.59%80.23M
60.77%104.88M
5754.66%88.74M
3971.62%65.24M
18.43%1.52M
24.30%1.60M
113.07%1.28M
-81.85%1.29M
-155.48%-9.80M
-75.08%7.10M
-54.02%17.66M
13432.34%28.50M
--38.40M
138.69%210.59K
----
---544.30K
---747.55K
Gesamtes Eigenkapital
-9.25%2.56B
-51.90%2.56B
-47.26%2.82B
-3.12%5.32B
5.21%5.35B
-5.99%5.49B
5.65%5.09B
119.84%5.84B
116.37%4.81B
23.60%2.66B
29.12%2.23B
15.63%2.15B
-11.26%1.72B
0.80%1.86B
61.91%1.94B
88.65%1.84B
23.76%1.20B
-18.34%977.66M
-25.20%969.17M
-11.92%1.20B
43.64%1.30B
68.49%1.36B
178.81%902.02M
165.50%806.70M
---1.14B
---1.23B
Währungseinheit
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Prüfungsmeinungen
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