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WPP WPP PLC

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  • 55.560
  • +0.220+0.40%
Trading Nov 7 09:52 ET
11.98BMarket Cap46.38P/E (TTM)

WPP PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
8.43%2.13B
-11.00%2.22B
-11.00%2.22B
10.57%1.96B
-35.83%2.49B
-35.83%2.49B
-49.95%1.78B
-69.90%3.88B
-69.90%3.88B
28.36%3.55B
-Cash and cash equivalents
8.43%2.13B
-11.00%2.22B
-11.00%2.22B
10.57%1.96B
-35.83%2.49B
-35.83%2.49B
-49.95%1.78B
-69.90%3.88B
-69.90%3.88B
28.36%3.55B
-Accounts receivable
29.41%7.98B
-4.71%7.06B
-4.71%7.06B
-4.99%6.17B
12.17%7.4B
12.17%7.4B
10.46%6.49B
0.43%6.6B
0.43%6.6B
13.55%5.88B
-Taxes receivable
-72.78%146M
-12.54%485.6M
-12.54%485.6M
5.51%536.3M
25.98%555.2M
25.98%555.2M
19.40%508.3M
27.04%440.7M
27.04%440.7M
-6.09%425.7M
-Other receivables
-24.96%3.12B
-10.47%3.94B
-10.47%3.94B
-8.21%4.16B
5.06%4.41B
5.06%4.41B
19.31%4.53B
7.11%4.19B
7.11%4.19B
4.19%3.8B
Prepaid assets
----
1.01%239M
1.01%239M
3.63%305.7M
9.89%236.6M
9.89%236.6M
11.07%295M
-13.22%215.3M
-13.22%215.3M
-14.76%265.6M
Total current assets
1.85%13.38B
-7.65%13.94B
-7.65%13.94B
-3.45%13.13B
-1.55%15.1B
-1.55%15.1B
-2.24%13.6B
-36.05%15.34B
-36.05%15.34B
12.22%13.91B
Non current assets
Net PPE
-10.43%2.15B
-12.59%2.21B
-12.59%2.21B
-1.15%2.4B
10.37%2.53B
10.37%2.53B
7.02%2.42B
-0.17%2.29B
-0.17%2.29B
-15.70%2.27B
-Gross PPE
-10.43%2.15B
-13.12%3B
-13.12%3B
-1.15%2.4B
10.76%3.45B
10.76%3.45B
7.02%2.42B
-2.68%3.12B
-2.68%3.12B
-15.70%2.27B
-Accumulated depreciation
----
14.55%-788M
14.55%-788M
----
-11.85%-922.2M
-11.85%-922.2M
----
9.05%-824.5M
9.05%-824.5M
----
Goodwill and other intangible assets
-6.73%9.14B
-6.73%9.24B
-6.73%9.24B
0.94%9.8B
10.40%9.91B
10.40%9.91B
11.70%9.71B
2.21%8.97B
2.21%8.97B
-9.57%8.69B
-Goodwill
0.58%8.35B
-0.76%8.39B
-0.76%8.39B
0.72%8.3B
11.05%8.45B
11.05%8.45B
12.46%8.24B
3.02%7.61B
3.02%7.61B
-9.79%7.33B
-Other intangible assets
-47.17%793M
-41.46%849.9M
-41.46%849.9M
2.16%1.5B
6.80%1.45B
6.80%1.45B
7.67%1.47B
-2.14%1.36B
-2.14%1.36B
-8.36%1.36B
Financial assets
----
5,283.33%32.3M
5,283.33%32.3M
--15.3M
20.00%600K
20.00%600K
--0
-94.79%500K
-94.79%500K
--14.4M
Non current prepaid assets
----
-48.72%2M
-48.72%2M
-93.33%2.2M
30.00%3.9M
30.00%3.9M
--33M
7.14%3M
7.14%3M
----
Total non current assets
-6.64%12.44B
-7.62%12.68B
-7.62%12.68B
-0.69%13.32B
9.49%13.72B
9.49%13.72B
8.93%13.42B
2.87%12.54B
2.87%12.54B
-9.18%12.31B
Total assets
-2.42%25.81B
-7.63%26.62B
-7.63%26.62B
-2.08%26.45B
3.41%28.82B
3.41%28.82B
3.01%27.02B
-22.94%27.87B
-22.94%27.87B
1.04%26.23B
Liabilities
Current liabilities
Payables
0.51%12.18B
-6.19%13.68B
-6.19%13.68B
-5.14%12.11B
2.40%14.58B
2.40%14.58B
8.01%12.77B
8.54%14.24B
8.54%14.24B
16.77%11.82B
-accounts payable
27.39%11.91B
-3.19%10.83B
-3.19%10.83B
-3.34%9.35B
5.52%11.18B
5.52%11.18B
8.67%9.67B
3.83%10.6B
3.83%10.6B
22.30%8.9B
-Total tax payable
-18.54%264M
-12.27%370.2M
-12.27%370.2M
-11.25%324.1M
9.27%422M
9.27%422M
16.98%365.2M
-9.00%386.2M
-9.00%386.2M
-15.92%312.2M
-Other payable
----
-16.62%2.48B
-16.62%2.48B
-10.69%2.44B
-8.59%2.98B
-8.59%2.98B
4.67%2.73B
30.87%3.26B
30.87%3.26B
5.44%2.61B
Current provisions
--77M
----
----
----
----
----
----
----
----
----
Current debt and capital lease obligation
5.24%1.46B
-14.66%1.24B
-14.66%1.24B
138.73%1.39B
71.38%1.45B
71.38%1.45B
-45.58%582.7M
-90.53%846.9M
-90.53%846.9M
61.63%1.07B
-Current debt
9.89%1.2B
-19.05%946.3M
-19.05%946.3M
278.04%1.09B
106.10%1.17B
106.10%1.17B
-64.01%289.1M
-93.42%567.2M
-93.42%567.2M
128.02%803.3M
-Current capital lease obligation
-11.80%263M
3.51%292.3M
3.51%292.3M
1.57%298.2M
0.97%282.4M
0.97%282.4M
9.76%293.6M
-13.62%279.7M
-13.62%279.7M
-13.77%267.5M
Current liabilities
0.79%14.99B
-8.23%16.25B
-8.23%16.25B
-0.08%14.87B
7.42%17.71B
7.42%17.71B
5.57%14.88B
-29.03%16.49B
-29.03%16.49B
19.20%14.1B
Non current liabilities
Long term provisions
-14.38%243M
24.49%304.5M
24.49%304.5M
15.51%283.8M
-8.90%244.6M
-8.90%244.6M
-22.39%245.7M
-12.34%268.5M
-12.34%268.5M
34.67%316.6M
Long term debt and capital lease obligation
-2.66%6.08B
-1.62%5.64B
-1.62%5.64B
-3.31%6.24B
-4.16%5.73B
-4.16%5.73B
5.92%6.46B
-12.18%5.98B
-12.18%5.98B
-14.99%6.1B
-Long term debt
-0.92%4.3B
-0.70%3.78B
-0.70%3.78B
-6.12%4.34B
-9.84%3.8B
-9.84%3.8B
7.80%4.62B
-15.25%4.22B
-15.25%4.22B
-16.54%4.29B
-Long term capital lease obligation
-6.61%1.78B
-3.42%1.86B
-3.42%1.86B
3.76%1.91B
9.43%1.93B
9.43%1.93B
1.49%1.84B
-3.84%1.76B
-3.84%1.76B
-11.09%1.81B
Derivative product liabilities
----
-71.79%91.2M
-71.79%91.2M
-19.10%318.5M
-14.99%323.3M
-14.99%323.3M
38.58%393.7M
237.74%380.3M
237.74%380.3M
134.60%284.1M
Total non current liabilities
-8.66%6.87B
-5.97%6.54B
-5.97%6.54B
-4.38%7.52B
-4.96%6.95B
-4.96%6.95B
7.32%7.86B
-7.27%7.32B
-7.27%7.32B
-12.38%7.33B
Total liabilities
-2.39%21.86B
-7.59%22.79B
-7.59%22.79B
-1.57%22.39B
3.61%24.66B
3.61%24.66B
6.17%22.75B
-23.51%23.8B
-23.51%23.8B
6.12%21.42B
Shareholders'equity
Share capital
-0.09%114M
0.00%114.1M
0.00%114.1M
-1.81%114.1M
-6.78%114.1M
-6.78%114.1M
-8.50%116.2M
-5.56%122.4M
-5.56%122.4M
-2.01%127M
-common stock
-0.09%114M
0.00%114.1M
0.00%114.1M
-1.81%114.1M
-6.78%114.1M
-6.78%114.1M
-8.50%116.2M
-5.56%122.4M
-5.56%122.4M
-2.01%127M
Retained earnings
-6.40%3.61B
-7.22%3.49B
-7.22%3.49B
-1.40%3.85B
-13.91%3.76B
-13.91%3.76B
-21.06%3.91B
-11.94%4.37B
-11.94%4.37B
-16.42%4.95B
Paid-in capital
0.07%577M
0.12%576.6M
0.12%576.6M
0.14%576.6M
0.21%575.9M
0.21%575.9M
0.96%575.8M
0.77%574.7M
0.77%574.7M
0.00%570.3M
Less: Treasury stock
-7.20%940M
-6.07%990.1M
-6.07%990.1M
-6.50%1.01B
-5.22%1.05B
-5.22%1.05B
-2.83%1.08B
-0.55%1.11B
-0.55%1.11B
-0.84%1.11B
Total stockholders'equity
-3.85%3.5B
-8.29%3.38B
-8.29%3.38B
-4.08%3.64B
1.78%3.68B
1.78%3.68B
-15.57%3.79B
-23.58%3.62B
-23.58%3.62B
-16.83%4.49B
Noncontrolling interests
7.74%461M
-4.69%457.1M
-4.69%457.1M
-10.57%427.9M
5.97%479.6M
5.97%479.6M
53.66%478.5M
42.28%452.6M
42.28%452.6M
-15.47%311.4M
Total equity
-2.63%3.96B
-7.88%3.83B
-7.88%3.83B
-4.81%4.07B
2.25%4.16B
2.25%4.16B
-11.08%4.27B
-19.43%4.07B
-19.43%4.07B
-16.74%4.8B
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
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 8.43%2.13B-11.00%2.22B-11.00%2.22B10.57%1.96B-35.83%2.49B-35.83%2.49B-49.95%1.78B-69.90%3.88B-69.90%3.88B28.36%3.55B
-Cash and cash equivalents 8.43%2.13B-11.00%2.22B-11.00%2.22B10.57%1.96B-35.83%2.49B-35.83%2.49B-49.95%1.78B-69.90%3.88B-69.90%3.88B28.36%3.55B
-Accounts receivable 29.41%7.98B-4.71%7.06B-4.71%7.06B-4.99%6.17B12.17%7.4B12.17%7.4B10.46%6.49B0.43%6.6B0.43%6.6B13.55%5.88B
-Taxes receivable -72.78%146M-12.54%485.6M-12.54%485.6M5.51%536.3M25.98%555.2M25.98%555.2M19.40%508.3M27.04%440.7M27.04%440.7M-6.09%425.7M
-Other receivables -24.96%3.12B-10.47%3.94B-10.47%3.94B-8.21%4.16B5.06%4.41B5.06%4.41B19.31%4.53B7.11%4.19B7.11%4.19B4.19%3.8B
Prepaid assets ----1.01%239M1.01%239M3.63%305.7M9.89%236.6M9.89%236.6M11.07%295M-13.22%215.3M-13.22%215.3M-14.76%265.6M
Total current assets 1.85%13.38B-7.65%13.94B-7.65%13.94B-3.45%13.13B-1.55%15.1B-1.55%15.1B-2.24%13.6B-36.05%15.34B-36.05%15.34B12.22%13.91B
Non current assets
Net PPE -10.43%2.15B-12.59%2.21B-12.59%2.21B-1.15%2.4B10.37%2.53B10.37%2.53B7.02%2.42B-0.17%2.29B-0.17%2.29B-15.70%2.27B
-Gross PPE -10.43%2.15B-13.12%3B-13.12%3B-1.15%2.4B10.76%3.45B10.76%3.45B7.02%2.42B-2.68%3.12B-2.68%3.12B-15.70%2.27B
-Accumulated depreciation ----14.55%-788M14.55%-788M-----11.85%-922.2M-11.85%-922.2M----9.05%-824.5M9.05%-824.5M----
Goodwill and other intangible assets -6.73%9.14B-6.73%9.24B-6.73%9.24B0.94%9.8B10.40%9.91B10.40%9.91B11.70%9.71B2.21%8.97B2.21%8.97B-9.57%8.69B
-Goodwill 0.58%8.35B-0.76%8.39B-0.76%8.39B0.72%8.3B11.05%8.45B11.05%8.45B12.46%8.24B3.02%7.61B3.02%7.61B-9.79%7.33B
-Other intangible assets -47.17%793M-41.46%849.9M-41.46%849.9M2.16%1.5B6.80%1.45B6.80%1.45B7.67%1.47B-2.14%1.36B-2.14%1.36B-8.36%1.36B
Financial assets ----5,283.33%32.3M5,283.33%32.3M--15.3M20.00%600K20.00%600K--0-94.79%500K-94.79%500K--14.4M
Non current prepaid assets -----48.72%2M-48.72%2M-93.33%2.2M30.00%3.9M30.00%3.9M--33M7.14%3M7.14%3M----
Total non current assets -6.64%12.44B-7.62%12.68B-7.62%12.68B-0.69%13.32B9.49%13.72B9.49%13.72B8.93%13.42B2.87%12.54B2.87%12.54B-9.18%12.31B
Total assets -2.42%25.81B-7.63%26.62B-7.63%26.62B-2.08%26.45B3.41%28.82B3.41%28.82B3.01%27.02B-22.94%27.87B-22.94%27.87B1.04%26.23B
Liabilities
Current liabilities
Payables 0.51%12.18B-6.19%13.68B-6.19%13.68B-5.14%12.11B2.40%14.58B2.40%14.58B8.01%12.77B8.54%14.24B8.54%14.24B16.77%11.82B
-accounts payable 27.39%11.91B-3.19%10.83B-3.19%10.83B-3.34%9.35B5.52%11.18B5.52%11.18B8.67%9.67B3.83%10.6B3.83%10.6B22.30%8.9B
-Total tax payable -18.54%264M-12.27%370.2M-12.27%370.2M-11.25%324.1M9.27%422M9.27%422M16.98%365.2M-9.00%386.2M-9.00%386.2M-15.92%312.2M
-Other payable -----16.62%2.48B-16.62%2.48B-10.69%2.44B-8.59%2.98B-8.59%2.98B4.67%2.73B30.87%3.26B30.87%3.26B5.44%2.61B
Current provisions --77M------------------------------------
Current debt and capital lease obligation 5.24%1.46B-14.66%1.24B-14.66%1.24B138.73%1.39B71.38%1.45B71.38%1.45B-45.58%582.7M-90.53%846.9M-90.53%846.9M61.63%1.07B
-Current debt 9.89%1.2B-19.05%946.3M-19.05%946.3M278.04%1.09B106.10%1.17B106.10%1.17B-64.01%289.1M-93.42%567.2M-93.42%567.2M128.02%803.3M
-Current capital lease obligation -11.80%263M3.51%292.3M3.51%292.3M1.57%298.2M0.97%282.4M0.97%282.4M9.76%293.6M-13.62%279.7M-13.62%279.7M-13.77%267.5M
Current liabilities 0.79%14.99B-8.23%16.25B-8.23%16.25B-0.08%14.87B7.42%17.71B7.42%17.71B5.57%14.88B-29.03%16.49B-29.03%16.49B19.20%14.1B
Non current liabilities
Long term provisions -14.38%243M24.49%304.5M24.49%304.5M15.51%283.8M-8.90%244.6M-8.90%244.6M-22.39%245.7M-12.34%268.5M-12.34%268.5M34.67%316.6M
Long term debt and capital lease obligation -2.66%6.08B-1.62%5.64B-1.62%5.64B-3.31%6.24B-4.16%5.73B-4.16%5.73B5.92%6.46B-12.18%5.98B-12.18%5.98B-14.99%6.1B
-Long term debt -0.92%4.3B-0.70%3.78B-0.70%3.78B-6.12%4.34B-9.84%3.8B-9.84%3.8B7.80%4.62B-15.25%4.22B-15.25%4.22B-16.54%4.29B
-Long term capital lease obligation -6.61%1.78B-3.42%1.86B-3.42%1.86B3.76%1.91B9.43%1.93B9.43%1.93B1.49%1.84B-3.84%1.76B-3.84%1.76B-11.09%1.81B
Derivative product liabilities -----71.79%91.2M-71.79%91.2M-19.10%318.5M-14.99%323.3M-14.99%323.3M38.58%393.7M237.74%380.3M237.74%380.3M134.60%284.1M
Total non current liabilities -8.66%6.87B-5.97%6.54B-5.97%6.54B-4.38%7.52B-4.96%6.95B-4.96%6.95B7.32%7.86B-7.27%7.32B-7.27%7.32B-12.38%7.33B
Total liabilities -2.39%21.86B-7.59%22.79B-7.59%22.79B-1.57%22.39B3.61%24.66B3.61%24.66B6.17%22.75B-23.51%23.8B-23.51%23.8B6.12%21.42B
Shareholders'equity
Share capital -0.09%114M0.00%114.1M0.00%114.1M-1.81%114.1M-6.78%114.1M-6.78%114.1M-8.50%116.2M-5.56%122.4M-5.56%122.4M-2.01%127M
-common stock -0.09%114M0.00%114.1M0.00%114.1M-1.81%114.1M-6.78%114.1M-6.78%114.1M-8.50%116.2M-5.56%122.4M-5.56%122.4M-2.01%127M
Retained earnings -6.40%3.61B-7.22%3.49B-7.22%3.49B-1.40%3.85B-13.91%3.76B-13.91%3.76B-21.06%3.91B-11.94%4.37B-11.94%4.37B-16.42%4.95B
Paid-in capital 0.07%577M0.12%576.6M0.12%576.6M0.14%576.6M0.21%575.9M0.21%575.9M0.96%575.8M0.77%574.7M0.77%574.7M0.00%570.3M
Less: Treasury stock -7.20%940M-6.07%990.1M-6.07%990.1M-6.50%1.01B-5.22%1.05B-5.22%1.05B-2.83%1.08B-0.55%1.11B-0.55%1.11B-0.84%1.11B
Total stockholders'equity -3.85%3.5B-8.29%3.38B-8.29%3.38B-4.08%3.64B1.78%3.68B1.78%3.68B-15.57%3.79B-23.58%3.62B-23.58%3.62B-16.83%4.49B
Noncontrolling interests 7.74%461M-4.69%457.1M-4.69%457.1M-10.57%427.9M5.97%479.6M5.97%479.6M53.66%478.5M42.28%452.6M42.28%452.6M-15.47%311.4M
Total equity -2.63%3.96B-7.88%3.83B-7.88%3.83B-4.81%4.07B2.25%4.16B2.25%4.16B-11.08%4.27B-19.43%4.07B-19.43%4.07B-16.74%4.8B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Heat List
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