Gold Fields
JSE:GFI
R 676,34
+ R10,02 (1,50%)
676,34 R
+R10,02 (1,50%)
End-of-day quote: 03/23/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

R24,70
Earnings Per Share
R107,95
Revenue Per Share
42,49%
Gross Margin %
R596,37 B
Market Cap
R33,54 B
Long-Term Debt
Earnings Per Share
R24,70
Revenue Per Share
R107,95
Gross Margin %
42,49%
Market Cap
R596,37 B
Long-Term Debt
R33,54 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share R46,17 R24,70 R17,77 R21,65 R14,95 R12,03 R2,96 R1,00 R2,82 R3,13 R0,92 R1,30 R0,76 R9,39 R10,03 R3,50 R4,31 R4,28 R3,69 R2,70
Earnings Earnings R41,32B R22,11B R15,88B R19,30B R13,27B R10,63B R2,45B R821,53M R2,31B R2,57B R713,26M R1,01B R583,04M R6,85B R7,26B R2,52B R3,04B R2,80B R2,41B R1,34B
RPS Revenue Per Share R156,75 R107,95 R96,54 R87,80 R71,18 R64,66 R53,02 R44,70 R40,23 R43,73 R50,35 R43,94 R36,37 R62,33 R57,86 R25,40 R41,30 R35,23 R30,20 R29,52
Revenue Revenue R140,29B R96,61B R86,26B R78,27B R63,19B R57,12B R43,94B R36,73B R33,02B R35,88B R39,03B R34,03B R27,90B R45,47B R41,88B R18,31B R29,09B R23,01B R19,69B R14,60B
OCF Operating Cash Flow R70,30B R36,46B R30,18B R31,29B R23,91B R18,38B R13,22B R8,66B R9,77B R12,49B R11,82B R9,96B R5,13B R11,81B R15,75B R6,14B R6,98B R7,74B R2,34B R0,00M
FCF Free Cash Flow R45,92B R14,73B R9,31B R11,77B R8,06B R9,84B R4,15B R-2,84B R-103,37M R4,00B R2,10B R2,82B R-3,34B R1,66B R5,54B R1,50B R0,00M R0,00M R0,00M R0,00M
OM Operating Margin 0,00% 38,16% 31,59% 32,71% 36,93% 37,55% 23,08% 10,52% 16,81% 13,58% 9,79% 9,51% 13,21% 26,29% 34,68% 20,65% 20,59% 0,00% 0,00% 0,00%
GM % Gross Margin % 0,00% 42,49% 36,38% 36,59% 40,71% 42,05% 28,98% 18,32% 21,53% 22,01% 15,64% 15,63% 16,87% 34,52% 39,84% 31,92% 39,14% 0,00% 0,00% 0,00%
FCFS Free Cash Flow Per Share R0,00 R16,34 R0,49 R0,69 R0,52 R0,76 R0,34 R-0,24 R-0,05 R0,16 R0,19 R0,30 R-0,47 R2,14 R11,30 R4,77 R-0,98 R0,00 R0,00 R0,00
LT Debt Long-Term Debt R33,54B R33,54B R653,40M R1,08B R1,08B R1,44B R1,16B R1,81B R1,59B R1,50B R1,76B R1,77B R1,93B R15,67B R11,06B R7,67B N/A R6,51B R6,53B R2,02B
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