KG

Kinross Gold

KGC
TSXMaterials

Income Statement

Total Revenue$5.15B
Gross Profit$1.88B
Operating Income$1.54B
EBITDA$2.68B
EBIT$1.53B
Pre-tax Income$3.99B
Net Income$948.8M

Balance Sheet

Net Cash$2.82B
Cash Equivalent$503M
Total Debt$1.86B
Net Debt$-957.45M
Book Value$6.63B
Net Cash Per Share2.29
Book Value Per Share5.39

Key Ratios

Return on Equity (ROE)+13.83%
Return on Assets (ROA)+8.73%
Return on Invested Capital (ROI)+11.44%
Net Profit Margin+18.43%
Current Ratio2.01
Quick Ratio0.79
Long-Term Debt / Equity0.18