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RELX RELX PLC

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  • 51.070
  • -0.840-1.62%
Close Feb 14 16:00 ET
  • 51.070
  • 0.0000.00%
Post 20:01 ET
94.59BMarket Cap39.41P/E (TTM)

RELX PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
6.67%2.86B
15.45%2.68B
23.30%2.32B
23.54%1.88B
-27.42%1.53B
6.98%2.1B
3.10%1.96B
29.33%1.91B
12.27%1.47B
6.75%1.31B
Other non cash items
1.32%77M
5.56%76M
20.00%72M
-3.23%60M
--62M
----
----
----
12.07%195M
7.41%174M
Change In working capital
-26.96%-146M
-55.41%-115M
64.42%-74M
-18.18%-208M
-245.10%-176M
26.09%-51M
-86.49%-69M
48.61%-37M
31.43%-72M
-59.09%-105M
-Change in receivables
----
90.44%-24M
-143.69%-251M
-169.13%-103M
228.45%149M
-30.34%-116M
-340.54%-89M
125.34%37M
2.67%-146M
-127.27%-150M
-Change in inventory
----
12.62%-90M
-41.10%-103M
8.75%-73M
-471.43%-80M
-100.00%-14M
-450.00%-7M
108.33%2M
-41.18%-24M
-666.67%-17M
Cash from discontinued investing activities
Operating cash flow
6.15%2.61B
2.33%2.46B
19.10%2.4B
26.32%2.02B
-23.60%1.6B
5.24%2.09B
3.71%1.99B
13.79%1.91B
19.55%1.68B
2.18%1.41B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
-3.80%-464M
-11.75%-447M
-29.45%-400M
3.13%-309M
4.20%-319M
-8.82%-333M
-0.99%-306M
-7.45%-303M
-16.53%-282M
-19.21%-242M
Net PPE purchase and sale
13.04%-20M
36.11%-23M
-56.52%-36M
46.51%-23M
4.44%-43M
13.46%-45M
-4.00%-52M
0.00%-50M
21.88%-50M
-12.28%-64M
Net business purchase and sale
-10.71%-124M
71.28%-112M
-509.38%-390M
92.38%-64M
-120.47%-840M
59.03%-381M
-933.33%-930M
75.94%-90M
-138.22%-374M
54.23%-157M
Net investment purchase and sale
50.00%-4M
87.88%-8M
-725.00%-66M
-300.00%-8M
75.00%-2M
38.46%-8M
-30.00%-13M
-66.67%-10M
62.50%-6M
-166.67%-16M
Cash from discontinued investing activities
Investing cash flow
-1.05%-575M
33.76%-569M
-123.70%-859M
67.26%-384M
-60.03%-1.17B
42.33%-733M
-206.27%-1.27B
37.87%-415M
-58.29%-668M
25.31%-422M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
238.39%155M
-142.91%-112M
141.36%261M
-193.76%-631M
220.48%673M
-76.51%210M
6,776.92%894M
-96.75%13M
1,700.00%400M
-104.80%-25M
Net common stock issuance
-27.07%-1.03B
-54.39%-809M
-1,790.32%-524M
118.13%31M
71.88%-171M
15.79%-608M
-2.12%-722M
-0.14%-707M
-41.48%-706M
15.99%-499M
Cash dividends paid
-5.85%-1.12B
-7.73%-1.06B
-6.85%-983M
-4.55%-920M
-4.51%-880M
-5.78%-842M
-4.46%-796M
-11.57%-762M
-17.15%-683M
-3.19%-583M
Net other financing activities
---1M
----
---1M
----
----
--6M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-0.39%-2.07B
-54.20%-2.06B
16.94%-1.33B
-238.82%-1.61B
64.33%-474M
-86.40%-1.33B
53.82%-713M
-53.63%-1.54B
10.59%-1.01B
-67.76%-1.12B
Net cash flow
Beginning cash position
-53.59%155M
195.58%334M
28.41%113M
-36.23%88M
21.05%138M
2.70%114M
-31.48%111M
32.79%162M
-55.80%122M
109.09%276M
Current changes in cash
81.07%-32M
-181.25%-169M
700.00%208M
150.98%26M
-288.89%-51M
2,600.00%27M
102.22%1M
-600.00%-45M
106.47%9M
-197.89%-139M
Effect of exchange rate changes
60.00%-4M
-176.92%-10M
1,400.00%13M
-200.00%-1M
133.33%1M
-250.00%-3M
133.33%2M
-119.35%-6M
306.67%31M
-850.00%-15M
End cash Position
-23.23%119M
-53.59%155M
195.58%334M
28.41%113M
-36.23%88M
21.05%138M
2.70%114M
-31.48%111M
32.79%162M
-55.80%122M
Free cash flow
7.27%2.12B
0.76%1.98B
17.03%1.97B
36.06%1.68B
-27.79%1.23B
5.30%1.71B
4.04%1.62B
15.64%1.56B
22.64%1.35B
-0.63%1.1B
Currency Unit
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
GBP
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 6.67%2.86B15.45%2.68B23.30%2.32B23.54%1.88B-27.42%1.53B6.98%2.1B3.10%1.96B29.33%1.91B12.27%1.47B6.75%1.31B
Other non cash items 1.32%77M5.56%76M20.00%72M-3.23%60M--62M------------12.07%195M7.41%174M
Change In working capital -26.96%-146M-55.41%-115M64.42%-74M-18.18%-208M-245.10%-176M26.09%-51M-86.49%-69M48.61%-37M31.43%-72M-59.09%-105M
-Change in receivables ----90.44%-24M-143.69%-251M-169.13%-103M228.45%149M-30.34%-116M-340.54%-89M125.34%37M2.67%-146M-127.27%-150M
-Change in inventory ----12.62%-90M-41.10%-103M8.75%-73M-471.43%-80M-100.00%-14M-450.00%-7M108.33%2M-41.18%-24M-666.67%-17M
Cash from discontinued investing activities
Operating cash flow 6.15%2.61B2.33%2.46B19.10%2.4B26.32%2.02B-23.60%1.6B5.24%2.09B3.71%1.99B13.79%1.91B19.55%1.68B2.18%1.41B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -3.80%-464M-11.75%-447M-29.45%-400M3.13%-309M4.20%-319M-8.82%-333M-0.99%-306M-7.45%-303M-16.53%-282M-19.21%-242M
Net PPE purchase and sale 13.04%-20M36.11%-23M-56.52%-36M46.51%-23M4.44%-43M13.46%-45M-4.00%-52M0.00%-50M21.88%-50M-12.28%-64M
Net business purchase and sale -10.71%-124M71.28%-112M-509.38%-390M92.38%-64M-120.47%-840M59.03%-381M-933.33%-930M75.94%-90M-138.22%-374M54.23%-157M
Net investment purchase and sale 50.00%-4M87.88%-8M-725.00%-66M-300.00%-8M75.00%-2M38.46%-8M-30.00%-13M-66.67%-10M62.50%-6M-166.67%-16M
Cash from discontinued investing activities
Investing cash flow -1.05%-575M33.76%-569M-123.70%-859M67.26%-384M-60.03%-1.17B42.33%-733M-206.27%-1.27B37.87%-415M-58.29%-668M25.31%-422M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 238.39%155M-142.91%-112M141.36%261M-193.76%-631M220.48%673M-76.51%210M6,776.92%894M-96.75%13M1,700.00%400M-104.80%-25M
Net common stock issuance -27.07%-1.03B-54.39%-809M-1,790.32%-524M118.13%31M71.88%-171M15.79%-608M-2.12%-722M-0.14%-707M-41.48%-706M15.99%-499M
Cash dividends paid -5.85%-1.12B-7.73%-1.06B-6.85%-983M-4.55%-920M-4.51%-880M-5.78%-842M-4.46%-796M-11.57%-762M-17.15%-683M-3.19%-583M
Net other financing activities ---1M-------1M----------6M----------------
Cash from discontinued financing activities
Financing cash flow -0.39%-2.07B-54.20%-2.06B16.94%-1.33B-238.82%-1.61B64.33%-474M-86.40%-1.33B53.82%-713M-53.63%-1.54B10.59%-1.01B-67.76%-1.12B
Net cash flow
Beginning cash position -53.59%155M195.58%334M28.41%113M-36.23%88M21.05%138M2.70%114M-31.48%111M32.79%162M-55.80%122M109.09%276M
Current changes in cash 81.07%-32M-181.25%-169M700.00%208M150.98%26M-288.89%-51M2,600.00%27M102.22%1M-600.00%-45M106.47%9M-197.89%-139M
Effect of exchange rate changes 60.00%-4M-176.92%-10M1,400.00%13M-200.00%-1M133.33%1M-250.00%-3M133.33%2M-119.35%-6M306.67%31M-850.00%-15M
End cash Position -23.23%119M-53.59%155M195.58%334M28.41%113M-36.23%88M21.05%138M2.70%114M-31.48%111M32.79%162M-55.80%122M
Free cash flow 7.27%2.12B0.76%1.98B17.03%1.97B36.06%1.68B-27.79%1.23B5.30%1.71B4.04%1.62B15.64%1.56B22.64%1.35B-0.63%1.1B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions --------------Unqualified OpinionUnqualified OpinionUnqualified Opinion

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