RIO · NYSE · Industrial Materials

Rio Tinto (ADR) (RIO)

Extracts iron ore, aluminium, lithium and copper through a global mining portfolio.

$96.74
vs last close−0.30 (−0.31%)
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Rio Tinto GroupRIO
Materials

Extracts and processes iron ore, aluminium, lithium and copper, supported by a wider minerals portfolio. An international asset base is anchored by the Pilbara iron-ore system and managed through a British-Australian dual-listed structure, while the NYSE security represents the plc side through depositary shares.

Extracts and processes iron ore, aluminium, lithium and copper through three product groups: Iron Ore, Aluminium & Lithium, and Copper. The wider portfolio also includes bauxite, alumina, diamonds, titanium dioxide, salt and borates.

Runs an international asset network anchored by the integrated Pilbara iron-ore system, which combines mines with rail and port infrastructure. Major aluminium operations and expanding copper and lithium positions complement that base.

Operates through a British-Australian dual-listed structure, while the NYSE security represents the plc side through depositary shares. Mine development and production depend on commodity cycles, regulatory approvals, Indigenous-heritage governance, workplace conduct and community relationships.

Company facts

CEOSimon Trott
ListedJul 13, 1988
ExchangeNYSE
HeadquartersLondon, United Kingdom
CountryUnited Kingdom
Employees56,890
CIK0000863064
ISINUS7672041008

Market cap$157.69B
EPS (ttm)$7.37
P/E (ttm)13.17
ROE18.9%
P/B2.41
P/S2.56
Dividend yieldDiv yield4.79%
Beta1.25vs XLB 0.82

Price target$101.50+4.6%Average of 31 analysts
ConsensusHold13 of 31 analysts
Ratings

Target rangeAs of Sep 21, 2026

Latest analyst notes

DateFirmActionPriorCurrent
Sep 9, 2026BernsteinReiterate
Rating: Target: $83.50
Rating: OutperformTarget: $89.50
Aug 24, 2026Morgan StanleyInitiate
Rating: Target:
Rating: UnderweightTarget: $90
Jul 30, 2026Berenberg BankTarget
Target: $79
Target: $113
Jul 29, 2026Goldman SachsUpgrade
Rating: Neutral
Rating: Buy
Jul 8, 2026Morgan StanleyDowngrade
Rating: Overweight
Rating: Underweight

EPSReportedEstimate

Feb '24May '24Jul '24Oct '24Feb '25Jul '25Feb '26Jul '26
Reported$2.92$3.00$2.76$3.56$2.49$2.23$3.73$4.21
Estimate$2.96$3.76$2.73$3.49$2.56$2.35$3.71$4.09
Surprise−1.4%−20.2%+1.1%+2.0%−2.7%−5.1%+0.5%+2.9%

RevenueReportedEstimate

Feb '24May '24Jul '24Oct '24Feb '25Jul '25Feb '26Jul '26
Reported$21.50B$27.16B$21.17B$26.80B$21.46B$19.72B$30.77B$31.03B
Estimate$21.90B$27.88B$21.11B$27.04B$21.64B$19.78B$30.19B$31.62B
Surprise−1.8%−2.6%+0.3%−0.9%−0.8%−0.3%+1.9%−1.9%
Estimate$4.09
Reported$4.21+2.9%
Estimate$31.62B
Reported$31.03B−1.9%
View details

Debt to equity34.90%
Current ratio142.40%

ProfitabilityRevenueNet incomeNet margin

Q4 FY22Q2 FY23Q4 FY23Q2 FY24Q4 FY24Q2 FY25Q4 FY25Q2 FY26
Revenue$27.04B$26.67B$27.16B$26.80B$26.86B$27.10B$30.65B$31.02B
Net income$3.68B$5.12B$4.90B$5.81B$5.69B$4.57B$5.42B$6.66B
Net margin13.6%19.2%18.0%21.7%21.2%16.8%17.7%21.5%

GrowthOperating income

Q4 FY22Q2 FY23Q4 FY23Q2 FY24Q4 FY24Q2 FY25Q4 FY25Q2 FY26
Operating income$8.06B$7.84B$6.90B$8.26B$7.39B$6.77B$7.76B$8.70B
YoY growth−36.8%−35.7%−14.3%+5.3%+7.1%−18.0%+5.0%+28.4%

Balance sheet, Jun 30, 2026Cash & short-term investments $9.51B · Total debt $22.85B · Total assets $133.50B · Shareholders' equity $65.46B

Revenue
$31.02B
Operating income
$8.70B
Net income
$6.66B
View details

Dividend yield
4.79%
Next ex-date
Feb 14, 27
estimated · in 145 days
Annual dividend
$4.65
per share
Schedule
Semi-annual
2 payments a year

HistoryDividendAnnual yield

Mar '23Aug '23Mar '24Aug '24Mar '25Aug '25Mar '26Aug '26
Dividend$2.245$1.765$2.575$1.77$2.25$1.48$2.54$2.11
Annual yield7.20%6.54%6.82%7.09%6.45%6.09%4.46%4.86%
Ex-dateMar 9Aug 10Mar 7Aug 16Mar 7Aug 15Mar 6Aug 14
Payment dateApr 20Sep 21Apr 18Sep 26Apr 17Sep 25Apr 16Sep 24
View details

Institutions7.89%128.39M ADS
1,016 holders · as of Jun 30, 2026
Other92.11%1.50B ADS
remainder

1.63B ADS as of Sep 22, 2026 · institutions as of Jun 30, 2026 · holders as of their latest filing

This company has 2 share classes; every stake here is a share of the whole company.

Top shareholders13F · 13D/G · Form 4

HolderStakeSharesDate
Fisher Asset Management, LLCInstitution
1.27%20.68M ADSas of Jun 30, 2026
State Farm Mutual Automobile Insurance CoInstitution
0.67%10.93M ADSas of Jun 30, 2026
Goldman Sachs Group IncInstitution
0.58%9.49M ADSas of Jun 30, 2026
Morgan StanleyInstitution
0.30%4.85M ADSas of Jun 30, 2026
Mirae Asset Global Etfs Holdings Ltd.Institution
0.25%4.07M ADSas of Jun 30, 2026

Insider tradesForm 4

Nothing filed in the last 12 months.

View details

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Compare

CompanyPriceChange
Rio Tinto (ADR)$96.74−0.31%$157.69B13.22.6+57.4%
BHP (ADR)$86.54+0.52%$218.70B22.23.7+19.9%
Vale (ADR)$14.06−0.67%$60.34B29.57.81.5+19.2%
Freeport-McMoRan$73.68+2.11%$103.69B35.420.64.0−7.3%
Alcoa$44.30−0.76%$11.79B9.17.90.9+31.4%
Albemarle$113.78+0.76%$13.32B11.62.3+31.1%
Median25.89.72.3+19.9%