Kinross Gold Corp (K) — Cash Flow Reinvestment Rate

Latest as of March 2026: 0.27x

Kinross Gold Corp (K) has a Cash Flow Reinvestment Rate of 0.27x as of March 2026, reinvesting CA$308.50 Million (capex CA$283.20 Million plus investments CA$-25.30 Million) from operating cash flow of CA$1.14 Billion. Explore K capex reinvestment rate to see what proportion of operating cash flow is directed to capital expenditures.

Reinvestment Rate

0.27x
(Capex + Investments) / Operating CF

Total Reinvested

CA$308.50 Million
Capex + Investments

Operating Cash Flow

CA$1.14 Billion
CAD

Capital Expenditures

CA$283.20 Million
CAD

Kinross Gold Corp Cash Flow Reinvestment Rate (1993–2025)

Historical reinvestment intensity for Kinross Gold Corp across 33 annual periods. Also explore how large is Kinross Gold Corp's balance sheet for the complete picture of this company's asset base.

Annual Cash Flow Reinvestment Rate for Kinross Gold Corp (1993–2025)

Year-by-year capital reinvestment analysis for Kinross Gold Corp. For live market cap and broader valuation context, see K market cap overview.

Year Reinvestment Rate Total Reinvested (CAD) Operating CF Capex YoY Change
2025 0.35x CA$1.33 Billion CA$3.78 Billion CA$1.22 Billion ▼ -63.3%
2024 0.96x CA$2.35 Billion CA$2.45 Billion CA$1.17 Billion ▼ -37.8%
2023 1.54x CA$2.26 Billion CA$1.46 Billion CA$1.10 Billion ▼ -31.5%
2022 2.25x CA$2.37 Billion CA$1.05 Billion CA$764.20 Million ▲ +173.3%
2021 0.82x CA$935.80 Million CA$1.14 Billion CA$869.50 Million ▼ -27.1%
2020 1.13x CA$2.21 Billion CA$1.96 Billion CA$964.00 Million ▼ -35.0%
2019 1.74x CA$2.13 Billion CA$1.22 Billion CA$1.11 Billion ▼ -43.5%
2018 3.08x CA$2.43 Billion CA$788.70 Million CA$1.04 Billion ▲ +85.0%
2017 1.67x CA$1.58 Billion CA$951.60 Million CA$897.60 Million ▼ -3.8%
2016 1.73x CA$1.90 Billion CA$1.10 Billion CA$633.80 Million ▲ +115.1%
2015 0.81x CA$669.70 Million CA$831.60 Million CA$610.00 Million ▼ -0.5%
2014 0.81x CA$687.30 Million CA$849.30 Million CA$631.80 Million ▼ -57.7%
2013 1.91x CA$1.48 Billion CA$774.70 Million CA$1.26 Billion ▲ +30.1%
2012 1.47x CA$1.92 Billion CA$1.31 Billion CA$1.92 Billion ▲ +27.8%
2011 1.15x CA$1.63 Billion CA$1.42 Billion CA$1.63 Billion ▲ +83.4%
2010 0.63x CA$628.30 Million CA$1.00 Billion CA$628.30 Million ▲ +2.4%
2009 0.61x CA$481.20 Million CA$785.60 Million CA$481.20 Million ▼ -62.0%
2008 1.61x CA$714.70 Million CA$443.60 Million CA$714.70 Million ▼ -8.5%
2007 1.76x CA$601.10 Million CA$341.20 Million CA$601.10 Million ▲ +153.5%
2006 0.69x CA$202.90 Million CA$292.00 Million CA$202.90 Million ▼ -34.8%
2005 1.07x CA$142.40 Million CA$133.70 Million CA$142.40 Million ▲ +1.3%
2004 1.05x CA$169.50 Million CA$161.20 Million CA$169.50 Million ▲ +28.2%
2003 0.82x CA$73.40 Million CA$89.50 Million CA$73.40 Million ▲ +128.3%
2002 0.36x CA$22.60 Million CA$62.90 Million CA$22.60 Million ▼ -11.9%
2001 0.41x CA$30.40 Million CA$74.50 Million CA$30.40 Million ▼ -53.1%
2000 0.87x CA$41.60 Million CA$47.80 Million CA$41.60 Million ▼ -23.5%
1999 1.14x CA$79.00 Million CA$69.47 Million CA$79.00 Million ▼ -67.8%
1998 3.53x CA$360.02 Million CA$102.00 Million CA$360.02 Million ▲ +155.2%
1997 1.38x CA$64.42 Million CA$46.59 Million CA$64.42 Million ▼ -23.9%
1996 1.82x CA$67.35 Million CA$37.07 Million CA$67.35 Million ▼ -65.0%
1995 5.19x CA$160.87 Million CA$31.02 Million CA$160.87 Million ▲ +518.1%
1994 0.84x CA$25.67 Million CA$30.59 Million CA$25.67 Million ▼ -85.7%
1993 5.88x CA$43.51 Million CA$7.40 Million CA$43.51 Million
Cash Flow Reinvestment Rate = (ABS(Capex) + ABS(Investments)) / Operating Cash Flow