Fresnillo PLC (FRES)

Industry Other Precious Metals & Mining

This stock can be held in an Investment ISA, SIPP and Investment Account
Sell

989.50p

Buy

992.00p

arrow-down-6.50p (-0.65%)

Fresnillo PLC is engaged in the exploration, development, and production of gold and silver properties in Mexico. Its properties include Fresnillo, Saucito, Cienega including the San Ramon satellite mine, Herradura, Soledad-Dipolos and Noche Buena.
Prices updated at 01 May 2025, 17:46 BST
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Prices in GBX

Income statement

20172018201920202021202220232024
2,093m2,104m2,120m2,430m2,703m2,433m2,705m3,496m
925m781m462m879m937m536m503m1,246m
684m498m174m648m660m294m165m916m
32.6823.698.2226.6624.4112.096.1126.18
561m350m204m374m421m272m234m141m
1,157m942m739m1,147m1,202m829m697m1,435m
Sales, General and administrative92m105m119m119m130m124m171m156m
Interest expenses48m46m70m80m61m79m85m70m
Provision for income taxes181m134m-27m176m173m-60m-174m517m
Operating expenses241m282m288m232m277m242m338m331m
Income before taxes741m484m179m551m612m249m114m744m
Net income available to common shareholders561m350m204m374m421m272m234m141m
0.7610.4750.2770.50770.5720.3690.3170.191
Net interest income-34m-29m-46m-129m-53m-55m-38m-27m
Advertising and promotion--------
Net investment income, net-6m-8m5m-40m-2m1m2m7m
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)0.7610.4750.2770.50770.5720.3690.3170.191
Free cash flow per share0.3480.087-0.18150.1970.52290.1621-0.2220.2099
Book value/share2.87123.24223.12383.12213.62833.97763.8574.1452
Debt equity ratio0.2653450.2623980.257340.334680.3216280.2567880.2310550.219718

Balance sheet

20172018201920202021202220232024
Current assets1,494m1,303m1,147m2,001m2,088m1,940m1,539m2,443m
Current liabilities172m161m180m340m469m688m372m369m
Total capital3,810m3,849m3,946m4,636m4,776m4,622m4,634m4,695m
Total debt799m800m814m1,234m1,276m1,279m949m853m
Total equity3,011m3,049m3,145m3,479m3,618m3,686m3,772m3,855m
Total non current liabilities--------
Loans799m800m801m1,157m1,158m937m862m840m
Total assets4,738m4,756m4,831m5,672m5,767m5,914m5,738m5,880m
Total liabilities--------
Cash and cash equivalents876m561m337m1,070m1,235m969m535m1,110m
Common stock737m737m737m737m737m737m737m737m

Cash flow

20172018201920202021202220232024
Cash at beginning of period712m876m561m337m1,070m1,235m969m535m
Cash dividends paid-237m-298m-142m-105m-246m-202m-108m-78m
157m-80m-123m505m303m-90m-57m929m
Investments (gains) losses-340m-591m-509m-366m-502m-514m-370m-465m
876m561m337m1,070m1,235m969m535m1,110m
Net income--------
761m588m436m918m895m502m426m1,300m
-605m-669m-559m-412m-592m-592m-483m-371m
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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