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$GFI

Gold Fields Limited

GFI country of incorporation
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Mr. Nicholas John Holland B.Com., C.A., BCom, CA (
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6,251 employees
NYSE | Basic Materials | Gold
GFI reported its FY21 earnings on December 31, 2021 (121 weeks ago).
$4.2B 7.8% vs. FY20 Revenues FY21
43.39% 3.2% vs. FY20 Gross Profit Margin
18.81% 1.3% vs. FY20 Net Profit Margin
539.2M 3.6% vs. FY20 Free Cash Flow FY21
$0.89 8.5% vs. FY20 EPS FY21
Company Card FY21
As reported on December 31, 2021
Is profitable?
Has Revenue Growth?
Has Net Profit Growth?
Has FCF Growth?
Has OCF Growth?
Has EPS Growth?
Pays a Dividend?
Rating
S
Growth calculated YoY
Company Card FY21
As reported on December 31, 2021
Is profitable?
Has Revenue Growth?
Has Net Profit Growth?
Has FCF Growth?
Has OCF Growth?
Has EPS Growth?
Pays a Dividend?
Rating
S
Growth calculated YoY
Overview
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Income Statement
Full Income Statement
Period Net Revenue Cost of Revenue Net Profit EPS
FY2021
4.2B
2.37B
4.2B
$0.89
FY2020
3.89B
2.26B
723M
$0.82
Q42020
1.07B
+21.9%
389.45M
283.75M
+265%
$0.37
Q22020
877.15M
407.6M
77.75M
$0.1
FY2019
2.97B
2.11B
161.6M
$0.2
FY2018
2.58B
2.11B
-348.2M
$-0.42
FY2017
2.76B
2.17B
-18.7M
$-0.02
Balance Sheet
Full Balance Sheet
Period Total Assets Total Liabilities Cash & Eq. Debt Stock Equity
FY2022 Not reported yet.
Q22022
7.55B
3.14B
724.1M
1.58B
4.25B
FY2021
7.35B
3.22B
524.7M
1.55B
4.13B
FY2020
7.47B
3.64B
886.8M
2.1B
3.66B
FY2019
6.56B
3.65B
515M
2.91B
2.78B
FY2018
6.1B
3.4B
399.7M
2.2B
2.59B
Cash Flow Statement
Full Cash Flow Statement
Period Operating CF Investing CF Financing CF Capex Free Cash Flow
FY 2021
1.6B
-1.07B
-510.5M
-1.06B
539.2M
FY2020
1.11B
-607.4M
-139.8M
-590.8M
520.6M
FY2019 No data.
FY2018 No data.
FY2017 No data.
Institutional Ownership
Dividend History
Date Amount
Sep 15, 2022 $0.17
Mar 10, 2022 $0.14
Sep 9, 2021 $0.15
Mar 11, 2021 $0.21
Sep 10, 2020 $0.1
Mar 12, 2020 $0.07
Sep 5, 2019 $0.04
Mar 14, 2019 $0.01
Number of Employees