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RLXXF RELX PLC

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34.250 -0.350-1.01% Close 09/22 16:00 ET
35.988High32.772Low6.07KVolume

RELX PLC Key Stats

Quarterly+Annual
YOY
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(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
(FY)2020/12/31
(Q4)2020/12/31
(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments
-2.94%99M
195.58%334M
195.58%334M
54.55%102M
28.41%113M
28.41%113M
-66.15%66M
-36.23%88M
-36.23%88M
65.25%195M
-Cash and cash equivalents
-2.94%99M
195.58%334M
195.58%334M
54.55%102M
28.41%113M
28.41%113M
-66.15%66M
-36.23%88M
-36.23%88M
65.25%195M
-Accounts receivable
0.71%1.99B
27.14%2.08B
27.14%2.08B
21.28%1.98B
-1.57%1.63B
-1.57%1.63B
-9.49%1.63B
-6.33%1.66B
-6.33%1.66B
2.27%1.8B
-Taxes receivable
----
50.00%15M
50.00%15M
----
-77.27%10M
-77.27%10M
----
57.14%44M
57.14%44M
----
-Other receivables
----
-1.90%310M
-1.90%310M
----
52.66%316M
52.66%316M
----
-12.29%207M
-12.29%207M
----
Inventory
8.36%311M
22.13%309M
22.13%309M
20.59%287M
5.42%253M
5.42%253M
0.42%238M
10.60%240M
10.60%240M
10.75%237M
Total current assets
4.19%2.49B
30.21%3.07B
30.21%3.07B
21.54%2.39B
3.65%2.36B
3.65%2.36B
-12.59%1.96B
-6.99%2.27B
-6.99%2.27B
6.44%2.25B
Non current assets
Net PPE
-17.42%237M
-7.19%271M
-7.19%271M
-12.50%287M
-22.75%292M
-22.75%292M
-24.07%328M
-14.86%378M
-14.86%378M
-6.09%432M
-Gross PPE
-17.42%237M
161.30%763M
161.30%763M
-12.50%287M
-69.23%292M
-69.23%292M
-24.07%328M
-12.05%949M
-12.05%949M
-6.09%432M
-Accumulated depreciation
----
---492M
---492M
----
----
----
----
10.08%-571M
10.08%-571M
----
Goodwill and other intangible assets
-4.76%11.35B
11.64%11.91B
11.64%11.91B
14.36%11.91B
0.20%10.67B
0.20%10.67B
-9.83%10.42B
3.63%10.65B
3.63%10.65B
8.74%11.55B
-Goodwill
-3.17%8.03B
13.87%8.39B
13.87%8.39B
15.94%8.29B
1.97%7.37B
1.97%7.37B
-7.12%7.15B
5.86%7.22B
5.86%7.22B
10.03%7.7B
-Other intangible assets
-8.40%3.32B
6.66%3.52B
6.66%3.52B
10.91%3.62B
-3.53%3.3B
-3.53%3.3B
-15.26%3.26B
-0.78%3.43B
-0.78%3.43B
6.26%3.85B
Financial assets
85.71%13M
-78.85%11M
-78.85%11M
-92.71%7M
-62.32%52M
-62.32%52M
9.09%96M
137.93%138M
137.93%138M
15.79%88M
Defined pension benefit
-46.52%169M
180.43%129M
180.43%129M
602.22%316M
-2.13%46M
-2.13%46M
-2.17%45M
4.44%47M
4.44%47M
21.05%46M
Total non current assets
-5.56%12.17B
10.95%12.76B
10.95%12.76B
13.43%12.89B
-3.12%11.5B
-3.12%11.5B
-10.63%11.37B
4.65%11.87B
4.65%11.87B
6.18%12.72B
Total assets
-4.04%14.66B
14.22%15.83B
14.22%15.83B
14.62%15.28B
-2.03%13.86B
-2.03%13.86B
-10.93%13.33B
2.58%14.15B
2.58%14.15B
6.22%14.96B
Liabilities
Current liabilities
Payables
-0.44%3.64B
32.91%1.05B
32.91%1.05B
13.94%3.65B
-4.34%793M
-4.34%793M
-8.27%3.21B
-24.36%829M
-24.36%829M
-1.83%3.5B
-accounts payable
0.03%3.44B
18.35%129M
18.35%129M
12.76%3.44B
-29.22%109M
-29.22%109M
-4.90%3.05B
-10.98%154M
-10.98%154M
3.15%3.21B
-Total tax payable
-7.87%199M
22.52%408M
22.52%408M
36.71%216M
3.10%333M
3.10%333M
-45.52%158M
-35.53%323M
-35.53%323M
-35.98%290M
-Other payable
----
47.29%517M
47.29%517M
----
-0.28%351M
-0.28%351M
----
-16.59%352M
-16.59%352M
----
Current provisions
-61.11%14M
-61.70%18M
-61.70%18M
-48.57%36M
-56.88%47M
-56.88%47M
400.00%70M
808.33%109M
808.33%109M
0.00%14M
Current debt and capital lease obligation
62.85%1.53B
275.00%870M
275.00%870M
107.49%942M
-72.61%232M
-72.61%232M
-62.70%454M
-58.88%847M
-58.88%847M
9.94%1.22B
-Current debt
69.54%1.48B
--803M
--803M
--870M
----
----
----
-61.62%755M
-61.62%755M
----
-Current capital lease obligation
-18.06%59M
--67M
--67M
--72M
----
----
----
-1.08%92M
-1.08%92M
----
Current liabilities
12.27%5.23B
38.39%5.19B
38.39%5.19B
24.89%4.66B
-14.31%3.75B
-14.31%3.75B
-21.59%3.73B
-26.45%4.37B
-26.45%4.37B
1.13%4.76B
Non current liabilities
Long term provisions
-60.00%10M
-34.78%15M
-34.78%15M
400.00%25M
283.33%23M
283.33%23M
-64.29%5M
-72.73%6M
-72.73%6M
-51.72%14M
Long term debt and capital lease obligation
-11.63%5.26B
-1.26%5.86B
-1.26%5.86B
-1.06%5.96B
-5.43%5.94B
-5.43%5.94B
-8.92%6.02B
44.14%6.28B
44.14%6.28B
14.62%6.61B
-Long term debt
-11.34%5.17B
--5.75B
--5.75B
--5.83B
----
----
----
48.43%6.09B
48.43%6.09B
----
-Long term capital lease obligation
-25.00%96M
--115M
--115M
--128M
----
----
----
-26.51%183M
-26.51%183M
----
Derivative product liabilities
9.52%184M
1,866.67%236M
1,866.67%236M
5,500.00%168M
300.00%12M
300.00%12M
-83.33%3M
-70.00%3M
-70.00%3M
-30.77%18M
Total non current liabilities
-11.42%6.18B
0.03%6.89B
0.03%6.89B
-2.88%6.98B
-10.22%6.89B
-10.22%6.89B
-11.39%7.18B
35.70%7.67B
35.70%7.67B
13.40%8.11B
Total liabilities
-1.93%11.41B
13.55%12.08B
13.55%12.08B
6.61%11.64B
-11.71%10.63B
-11.71%10.63B
-15.16%10.92B
3.84%12.04B
3.84%12.04B
8.53%12.87B
Shareholders'equity
Share capital
-1.41%280M
-2.45%279M
-2.45%279M
-0.70%284M
0.00%286M
0.00%286M
0.00%286M
0.00%286M
0.00%286M
-1.38%286M
-common stock
-1.41%280M
-2.45%279M
-2.45%279M
-0.70%284M
0.00%286M
0.00%286M
0.00%286M
0.00%286M
0.00%286M
-1.38%286M
Paid-in capital
2.26%1.54B
1.74%1.52B
1.74%1.52B
2.04%1.5B
2.19%1.49B
2.19%1.49B
1.66%1.47B
1.11%1.46B
1.11%1.46B
1.19%1.45B
Less: Treasury stock
-3.08%881M
-52.74%414M
-52.74%414M
3.77%909M
-1.24%876M
-1.24%876M
-1.35%876M
6.35%887M
6.35%887M
-18.46%888M
Total stockholders'equity
-10.41%3.27B
16.83%3.78B
16.83%3.78B
50.91%3.65B
53.98%3.23B
53.98%3.23B
16.40%2.42B
-3.09%2.1B
-3.09%2.1B
-5.71%2.08B
Noncontrolling interests
-100.00%-24M
-175.00%-22M
-175.00%-22M
-71.43%-12M
-500.00%-8M
-500.00%-8M
-138.89%-7M
-91.67%2M
-91.67%2M
-33.33%18M
Total equity
-10.77%3.25B
16.44%3.75B
16.44%3.75B
50.85%3.64B
53.45%3.22B
53.45%3.22B
15.07%2.41B
-4.06%2.1B
-4.06%2.1B
-6.05%2.1B
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
(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30(FY)2020/12/31(Q4)2020/12/31(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments -2.94%99M195.58%334M195.58%334M54.55%102M28.41%113M28.41%113M-66.15%66M-36.23%88M-36.23%88M65.25%195M
-Cash and cash equivalents -2.94%99M195.58%334M195.58%334M54.55%102M28.41%113M28.41%113M-66.15%66M-36.23%88M-36.23%88M65.25%195M
-Accounts receivable 0.71%1.99B27.14%2.08B27.14%2.08B21.28%1.98B-1.57%1.63B-1.57%1.63B-9.49%1.63B-6.33%1.66B-6.33%1.66B2.27%1.8B
-Taxes receivable ----50.00%15M50.00%15M-----77.27%10M-77.27%10M----57.14%44M57.14%44M----
-Other receivables -----1.90%310M-1.90%310M----52.66%316M52.66%316M-----12.29%207M-12.29%207M----
Inventory 8.36%311M22.13%309M22.13%309M20.59%287M5.42%253M5.42%253M0.42%238M10.60%240M10.60%240M10.75%237M
Total current assets 4.19%2.49B30.21%3.07B30.21%3.07B21.54%2.39B3.65%2.36B3.65%2.36B-12.59%1.96B-6.99%2.27B-6.99%2.27B6.44%2.25B
Non current assets
Net PPE -17.42%237M-7.19%271M-7.19%271M-12.50%287M-22.75%292M-22.75%292M-24.07%328M-14.86%378M-14.86%378M-6.09%432M
-Gross PPE -17.42%237M161.30%763M161.30%763M-12.50%287M-69.23%292M-69.23%292M-24.07%328M-12.05%949M-12.05%949M-6.09%432M
-Accumulated depreciation -------492M---492M----------------10.08%-571M10.08%-571M----
Goodwill and other intangible assets -4.76%11.35B11.64%11.91B11.64%11.91B14.36%11.91B0.20%10.67B0.20%10.67B-9.83%10.42B3.63%10.65B3.63%10.65B8.74%11.55B
-Goodwill -3.17%8.03B13.87%8.39B13.87%8.39B15.94%8.29B1.97%7.37B1.97%7.37B-7.12%7.15B5.86%7.22B5.86%7.22B10.03%7.7B
-Other intangible assets -8.40%3.32B6.66%3.52B6.66%3.52B10.91%3.62B-3.53%3.3B-3.53%3.3B-15.26%3.26B-0.78%3.43B-0.78%3.43B6.26%3.85B
Financial assets 85.71%13M-78.85%11M-78.85%11M-92.71%7M-62.32%52M-62.32%52M9.09%96M137.93%138M137.93%138M15.79%88M
Defined pension benefit -46.52%169M180.43%129M180.43%129M602.22%316M-2.13%46M-2.13%46M-2.17%45M4.44%47M4.44%47M21.05%46M
Total non current assets -5.56%12.17B10.95%12.76B10.95%12.76B13.43%12.89B-3.12%11.5B-3.12%11.5B-10.63%11.37B4.65%11.87B4.65%11.87B6.18%12.72B
Total assets -4.04%14.66B14.22%15.83B14.22%15.83B14.62%15.28B-2.03%13.86B-2.03%13.86B-10.93%13.33B2.58%14.15B2.58%14.15B6.22%14.96B
Liabilities
Current liabilities
Payables -0.44%3.64B32.91%1.05B32.91%1.05B13.94%3.65B-4.34%793M-4.34%793M-8.27%3.21B-24.36%829M-24.36%829M-1.83%3.5B
-accounts payable 0.03%3.44B18.35%129M18.35%129M12.76%3.44B-29.22%109M-29.22%109M-4.90%3.05B-10.98%154M-10.98%154M3.15%3.21B
-Total tax payable -7.87%199M22.52%408M22.52%408M36.71%216M3.10%333M3.10%333M-45.52%158M-35.53%323M-35.53%323M-35.98%290M
-Other payable ----47.29%517M47.29%517M-----0.28%351M-0.28%351M-----16.59%352M-16.59%352M----
Current provisions -61.11%14M-61.70%18M-61.70%18M-48.57%36M-56.88%47M-56.88%47M400.00%70M808.33%109M808.33%109M0.00%14M
Current debt and capital lease obligation 62.85%1.53B275.00%870M275.00%870M107.49%942M-72.61%232M-72.61%232M-62.70%454M-58.88%847M-58.88%847M9.94%1.22B
-Current debt 69.54%1.48B--803M--803M--870M-------------61.62%755M-61.62%755M----
-Current capital lease obligation -18.06%59M--67M--67M--72M-------------1.08%92M-1.08%92M----
Current liabilities 12.27%5.23B38.39%5.19B38.39%5.19B24.89%4.66B-14.31%3.75B-14.31%3.75B-21.59%3.73B-26.45%4.37B-26.45%4.37B1.13%4.76B
Non current liabilities
Long term provisions -60.00%10M-34.78%15M-34.78%15M400.00%25M283.33%23M283.33%23M-64.29%5M-72.73%6M-72.73%6M-51.72%14M
Long term debt and capital lease obligation -11.63%5.26B-1.26%5.86B-1.26%5.86B-1.06%5.96B-5.43%5.94B-5.43%5.94B-8.92%6.02B44.14%6.28B44.14%6.28B14.62%6.61B
-Long term debt -11.34%5.17B--5.75B--5.75B--5.83B------------48.43%6.09B48.43%6.09B----
-Long term capital lease obligation -25.00%96M--115M--115M--128M-------------26.51%183M-26.51%183M----
Derivative product liabilities 9.52%184M1,866.67%236M1,866.67%236M5,500.00%168M300.00%12M300.00%12M-83.33%3M-70.00%3M-70.00%3M-30.77%18M
Total non current liabilities -11.42%6.18B0.03%6.89B0.03%6.89B-2.88%6.98B-10.22%6.89B-10.22%6.89B-11.39%7.18B35.70%7.67B35.70%7.67B13.40%8.11B
Total liabilities -1.93%11.41B13.55%12.08B13.55%12.08B6.61%11.64B-11.71%10.63B-11.71%10.63B-15.16%10.92B3.84%12.04B3.84%12.04B8.53%12.87B
Shareholders'equity
Share capital -1.41%280M-2.45%279M-2.45%279M-0.70%284M0.00%286M0.00%286M0.00%286M0.00%286M0.00%286M-1.38%286M
-common stock -1.41%280M-2.45%279M-2.45%279M-0.70%284M0.00%286M0.00%286M0.00%286M0.00%286M0.00%286M-1.38%286M
Paid-in capital 2.26%1.54B1.74%1.52B1.74%1.52B2.04%1.5B2.19%1.49B2.19%1.49B1.66%1.47B1.11%1.46B1.11%1.46B1.19%1.45B
Less: Treasury stock -3.08%881M-52.74%414M-52.74%414M3.77%909M-1.24%876M-1.24%876M-1.35%876M6.35%887M6.35%887M-18.46%888M
Total stockholders'equity -10.41%3.27B16.83%3.78B16.83%3.78B50.91%3.65B53.98%3.23B53.98%3.23B16.40%2.42B-3.09%2.1B-3.09%2.1B-5.71%2.08B
Noncontrolling interests -100.00%-24M-175.00%-22M-175.00%-22M-71.43%-12M-500.00%-8M-500.00%-8M-138.89%-7M-91.67%2M-91.67%2M-33.33%18M
Total equity -10.77%3.25B16.44%3.75B16.44%3.75B50.85%3.64B53.45%3.22B53.45%3.22B15.07%2.41B-4.06%2.1B-4.06%2.1B-6.05%2.1B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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