Rio Tinto Group financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
£12.95B £19.03B £22.47B £29.70B £54.26B £40.26B £55.17B £60.53B £50.94B £51.17B £47.66B £34.83B £33.78B £40.03B £40.52B £43.17B £44.61B £63.50B £55.55B £54.04B £0.00M
GM % Gross Margin %
71.89% 35.97% 39.22% 30.13% 30.63% 19.89% 36.09% 40.27% 26.32% 29.44% 28.86% 19.82% 20.67% 33.98% 35.03% 37.53% 41.92% 49.36% 38.34% 32.01% 0.00%
OM Operating Margin
20.21% 34.05% 37.49% 27.83% 27.69% 18.64% 34.77% 37.37% 21.50% 26.99% 26.39% 11.75% 18.13% 30.61% 30.80% 31.14% 37.89% 46.36% 32.30% 27.51% 0.00%
EPS Earnings Per Share
£2.99 £4.53 £4.76 £6.60 £3.57 £7.13 £8.09 £5.03 £5.50 £5.03 £2.49 £2.84 £4.83 £5.12 £6.36 £7.70 £13.21 £8.20 £7.25 £0.00
Div. Dividends
£0.64 £1.60 £0.88 £1.12 £1.12 £0.45 £1.08 £1.45 £1.67 £1.92 £2.15 £2.15 £1.70 £2.95 £3.10 £3.82 £4.64 £10.40 £4.92 £4.18 £0.00
PR % Payout Ratio %
48.12% 53.51% 19.43% 23.53% 16.97% 12.61% 15.15% 17.92% 33.20% 34.91% 42.74% 86.35% 59.86% 61.08% 60.55% 60.06% 60.26% 78.73% 60.00% 57.66% 0
Sha. Shares
1,379m 1379.92m 1310.47m 1282.89m 1283.94m 1959.67m 1962.06m 1872.34m 1847.01m 1848.49m 1849.72m 1798.04m 1799.01m 1754.19m 1647.71m 1618.73m 1616.2m 1617.33m 1619.12m 0m 1621.54m
OCF Operating Cash Flow
£3.19B £6.72B £7.80B £8.49B £14.88B £9.21B £18.28B £20.24B £9.43B £15.08B £14.29B £9.38B £8.47B £13.88B £11.82B £14.91B £15.88B £25.35B £16.13B £15.16B £0.00M
FCF Free Cash Flow
£934.00M £4.20B £3.88B £3.49B £6.31B £3.82B £13.69B £7.70B £-8050.00M £2.08B £6.12B £4.70B £5.80B £9.40B £6.39B £9.42B £9.69B £17.96B £9.01B £8.79B £0.00M
FCFS Free Cash Flow Per Share
£0.68 £3.03 £2.86 £2.72 £4.02 £2.17 £6.98 £4.14 £-4.43 £1.12 £3.31 £2.57 £3.03 £5.26 £3.72 £5.78 £5.99 £11.10 £5.79 £4.98 £0.00