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AGPPF ANGLO AMERICAN PLATINUM LTD

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  • 31.250
  • 0.0000.00%
15min DelayClose Dec 13 16:00 ET
8.27BMarket Cap13.05P/E (TTM)

ANGLO AMERICAN PLATINUM 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
Net income from continuing operations
-72.88%18.11B
-38.36%66.77B
165.09%108.31B
61.46%40.86B
--25.31B
----
----
----
-3,274.89%-14.41B
-32.94%454M
Other non cash items
7.89%-549M
-63.29%-596M
-436.76%-365M
-151.13%-68M
--133M
----
----
----
77.09%951M
-33.29%537M
Change In working capital
72.90%-4.09B
-178.13%-15.07B
270.12%19.29B
-637.70%-11.34B
--2.11B
----
----
----
1.55%1.38B
143.83%1.36B
-Change in receivables
-48.51%-1.99B
-102.72%-1.34B
-27.61%-661M
-88.36%-518M
---275M
----
----
----
258.88%769M
51.70%-484M
-Change in inventory
231.32%13.75B
-232.99%-10.47B
134.09%7.87B
-2,703.52%-23.1B
---824M
----
----
----
-61.27%866M
160.55%2.24B
-Change in other current assets
152.08%338M
-129.61%-649M
158.86%2.19B
-2,658.52%-3.72B
---135M
----
----
----
553.98%513M
-422.86%-113M
-Change in other current liabilities
-248.46%-14.7B
-153.32%-4.22B
-13.89%7.91B
137.27%9.19B
--3.87B
----
----
----
113.27%15M
-164.94%-113M
Cash from discontinued investing activities
Operating cash flow
-63.50%16.55B
-52.99%45.36B
315.89%96.49B
-18.42%23.2B
--28.44B
----
----
----
77.91%8.26B
-23.58%4.65B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
--0
---95M
----
----
----
----
----
----
----
----
Net PPE purchase and sale
-23.71%-20.87B
-24.92%-16.87B
-43.22%-13.5B
-10.11%-9.43B
-8.19%-8.56B
-103.65%-7.91B
20.34%-3.89B
4.50%-4.88B
26.18%-5.11B
-11.00%-6.92B
Net business purchase and sale
-2,761.11%-515M
93.48%-18M
-318.18%-276M
48.03%-66M
82.95%-127M
69.81%-745M
-412.41%-2.47B
203.67%790M
-94.39%-762M
---392M
Net investment purchase and sale
43.20%-309M
-102.23%-544M
-3,262.50%-269M
68.00%-8M
-109.77%-25M
455.56%256M
1.37%-72M
-7,200.00%-73M
97.22%-1M
0.00%-36M
Net other investing changes
-22.40%4.18B
53.39%5.38B
4.68%3.51B
844.51%3.35B
231.78%355M
184.25%107M
91.25%-127M
-16,022.22%-1.45B
71.88%-9M
-1,166.67%-32M
Cash from discontinued investing activities
Investing cash flow
-48.71%-16.3B
-11.41%-10.96B
-76.37%-9.84B
31.27%-5.58B
1.22%-8.11B
-15.40%-8.21B
-22.11%-7.12B
3.88%-5.83B
18.03%-6.06B
-5.49%-7.4B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
14,457.14%7.04B
60.80%-49M
-89.39%-125M
98.86%-66M
-18.49%-5.79B
-194.70%-4.89B
0.54%-1.66B
-12.17%-1.67B
-146.41%-1.49B
6,508.00%3.2B
Net common stock issuance
-2.42%-169M
-1,275.00%-165M
96.14%-12M
-34.05%-311M
-64.54%-232M
9.03%-141M
8.82%-155M
-41.67%-170M
63.30%-120M
-36.82%-327M
Cash dividends paid
77.75%-12.15B
2.00%-54.6B
-304.37%-55.72B
-180.00%-13.78B
-156.04%-4.92B
---1.92B
----
----
----
----
Net other financing activities
12.34%-2.2B
-46.90%-2.51B
-185.95%-1.71B
-225.00%-598M
---184M
----
----
489.47%112M
--19M
----
Cash from discontinued financing activities
Financing cash flow
86.53%-7.75B
0.51%-57.52B
-286.83%-57.81B
-32.16%-14.95B
-57.76%-11.31B
-240.85%-7.17B
-17.75%-2.1B
-3.24%-1.79B
-161.94%-1.73B
3,727.27%2.79B
Net cash flow
Beginning cash position
-42.52%29.59B
157.53%51.48B
7.79%19.99B
94.38%18.55B
1.97%9.54B
71.47%9.36B
226.38%5.46B
39.10%1.67B
3.44%1.2B
-46.55%1.16B
Current changes in cash
67.60%-7.49B
-180.16%-23.12B
976.89%28.84B
-70.30%2.68B
4,453.54%9.02B
-94.92%198M
3.04%3.9B
705.32%3.79B
1,075.00%470M
103.95%40M
Effect of exchange rate changes
83.52%2.25B
-53.79%1.23B
316.22%2.65B
-12,170.00%-1.23B
28.57%-10M
---14M
--0
----
----
----
End cash Position
-17.71%24.35B
-42.52%29.59B
157.53%51.48B
7.79%19.99B
94.38%18.55B
1.97%9.54B
71.47%9.36B
226.38%5.46B
39.10%1.67B
3.44%1.2B
Free cash flow
-115.29%-4.34B
-65.76%28.37B
503.50%82.86B
-30.79%13.73B
159.59%19.84B
-6.26%7.64B
27.73%8.15B
105.08%6.38B
234.66%3.11B
-762.31%-2.31B
Currency Unit
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
ZAR
(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
Net income from continuing operations -72.88%18.11B-38.36%66.77B165.09%108.31B61.46%40.86B--25.31B-------------3,274.89%-14.41B-32.94%454M
Other non cash items 7.89%-549M-63.29%-596M-436.76%-365M-151.13%-68M--133M------------77.09%951M-33.29%537M
Change In working capital 72.90%-4.09B-178.13%-15.07B270.12%19.29B-637.70%-11.34B--2.11B------------1.55%1.38B143.83%1.36B
-Change in receivables -48.51%-1.99B-102.72%-1.34B-27.61%-661M-88.36%-518M---275M------------258.88%769M51.70%-484M
-Change in inventory 231.32%13.75B-232.99%-10.47B134.09%7.87B-2,703.52%-23.1B---824M-------------61.27%866M160.55%2.24B
-Change in other current assets 152.08%338M-129.61%-649M158.86%2.19B-2,658.52%-3.72B---135M------------553.98%513M-422.86%-113M
-Change in other current liabilities -248.46%-14.7B-153.32%-4.22B-13.89%7.91B137.27%9.19B--3.87B------------113.27%15M-164.94%-113M
Cash from discontinued investing activities
Operating cash flow -63.50%16.55B-52.99%45.36B315.89%96.49B-18.42%23.2B--28.44B------------77.91%8.26B-23.58%4.65B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported --0---95M--------------------------------
Net PPE purchase and sale -23.71%-20.87B-24.92%-16.87B-43.22%-13.5B-10.11%-9.43B-8.19%-8.56B-103.65%-7.91B20.34%-3.89B4.50%-4.88B26.18%-5.11B-11.00%-6.92B
Net business purchase and sale -2,761.11%-515M93.48%-18M-318.18%-276M48.03%-66M82.95%-127M69.81%-745M-412.41%-2.47B203.67%790M-94.39%-762M---392M
Net investment purchase and sale 43.20%-309M-102.23%-544M-3,262.50%-269M68.00%-8M-109.77%-25M455.56%256M1.37%-72M-7,200.00%-73M97.22%-1M0.00%-36M
Net other investing changes -22.40%4.18B53.39%5.38B4.68%3.51B844.51%3.35B231.78%355M184.25%107M91.25%-127M-16,022.22%-1.45B71.88%-9M-1,166.67%-32M
Cash from discontinued investing activities
Investing cash flow -48.71%-16.3B-11.41%-10.96B-76.37%-9.84B31.27%-5.58B1.22%-8.11B-15.40%-8.21B-22.11%-7.12B3.88%-5.83B18.03%-6.06B-5.49%-7.4B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 14,457.14%7.04B60.80%-49M-89.39%-125M98.86%-66M-18.49%-5.79B-194.70%-4.89B0.54%-1.66B-12.17%-1.67B-146.41%-1.49B6,508.00%3.2B
Net common stock issuance -2.42%-169M-1,275.00%-165M96.14%-12M-34.05%-311M-64.54%-232M9.03%-141M8.82%-155M-41.67%-170M63.30%-120M-36.82%-327M
Cash dividends paid 77.75%-12.15B2.00%-54.6B-304.37%-55.72B-180.00%-13.78B-156.04%-4.92B---1.92B----------------
Net other financing activities 12.34%-2.2B-46.90%-2.51B-185.95%-1.71B-225.00%-598M---184M--------489.47%112M--19M----
Cash from discontinued financing activities
Financing cash flow 86.53%-7.75B0.51%-57.52B-286.83%-57.81B-32.16%-14.95B-57.76%-11.31B-240.85%-7.17B-17.75%-2.1B-3.24%-1.79B-161.94%-1.73B3,727.27%2.79B
Net cash flow
Beginning cash position -42.52%29.59B157.53%51.48B7.79%19.99B94.38%18.55B1.97%9.54B71.47%9.36B226.38%5.46B39.10%1.67B3.44%1.2B-46.55%1.16B
Current changes in cash 67.60%-7.49B-180.16%-23.12B976.89%28.84B-70.30%2.68B4,453.54%9.02B-94.92%198M3.04%3.9B705.32%3.79B1,075.00%470M103.95%40M
Effect of exchange rate changes 83.52%2.25B-53.79%1.23B316.22%2.65B-12,170.00%-1.23B28.57%-10M---14M--0------------
End cash Position -17.71%24.35B-42.52%29.59B157.53%51.48B7.79%19.99B94.38%18.55B1.97%9.54B71.47%9.36B226.38%5.46B39.10%1.67B3.44%1.2B
Free cash flow -115.29%-4.34B-65.76%28.37B503.50%82.86B-30.79%13.73B159.59%19.84B-6.26%7.64B27.73%8.15B105.08%6.38B234.66%3.11B-762.31%-2.31B
Currency Unit ZARZARZARZARZARZARZARZARZARZAR
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