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RLXXF RELX PLC

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39.489 -0.369-0.93% Close 11/30 16:00 ET
39.489High37.719Low687Volume

RELX PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)2022/12/31
(FY)2021/12/31
(FY)2020/12/31
(FY)2019/12/31
(FY)2018/12/31
(FY)2017/12/31
(FY)2016/12/31
(FY)2015/12/31
(FY)2014/12/31
(FY)2013/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
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
2.76%1.23B
3.91%1.2B
Other non cash items
20.00%72M
-3.23%60M
--62M
----
----
----
12.07%195M
7.41%174M
-17.35%162M
-13.66%196M
Change In working capital
64.42%-74M
-18.18%-208M
-245.10%-176M
26.09%-51M
-86.49%-69M
48.61%-37M
31.43%-72M
-59.09%-105M
-6,500.00%-66M
97.92%-1M
-Change in receivables
-143.69%-251M
-169.13%-103M
228.45%149M
-30.34%-116M
-340.54%-89M
125.34%37M
2.67%-146M
-127.27%-150M
-1,420.00%-66M
25.00%5M
-Change in inventory
-41.10%-103M
8.75%-73M
-471.43%-80M
-100.00%-14M
-450.00%-7M
108.33%2M
-41.18%-24M
-666.67%-17M
-70.00%3M
-52.38%10M
Cash from discontinued investing activities
Operating cash flow
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
-0.65%1.38B
-1.49%1.39B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
-29.45%-400M
3.13%-309M
4.20%-319M
-8.82%-333M
-0.99%-306M
-7.45%-303M
-16.53%-282M
-19.21%-242M
19.12%-203M
4.56%-251M
Net PPE purchase and sale
-56.52%-36M
46.51%-23M
4.44%-43M
13.46%-45M
-4.00%-52M
0.00%-50M
21.88%-50M
-12.28%-64M
-11.76%-57M
19.05%-51M
Net business purchase and sale
-509.38%-390M
92.38%-64M
-120.47%-840M
59.03%-381M
-933.33%-930M
75.94%-90M
-138.22%-374M
54.23%-157M
-1,219.23%-343M
84.05%-26M
Net investment purchase and sale
-725.00%-66M
-300.00%-8M
75.00%-2M
38.46%-8M
-30.00%-13M
-66.67%-10M
62.50%-6M
-166.67%-16M
40.00%-6M
-42.86%-10M
Cash from discontinued investing activities
Investing cash flow
-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
-78.80%-565M
33.61%-316M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
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
192.70%521M
-101.43%-562M
Net common stock issuance
-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
-25.05%-594M
-135.15%-475M
Cash dividends paid
-6.85%-983M
-4.55%-920M
-4.51%-880M
-5.78%-842M
-4.46%-796M
-11.57%-762M
-17.15%-683M
-3.19%-583M
-2.91%-565M
-5.37%-549M
Net other financing activities
---1M
----
----
--6M
----
----
----
----
---15M
----
Cash from discontinued financing activities
Financing cash flow
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
58.18%-670M
-59.72%-1.6B
Net cash flow
Beginning cash position
28.41%113M
-36.23%88M
21.05%138M
2.70%114M
-31.48%111M
32.79%162M
-55.80%122M
109.09%276M
-79.41%132M
-11.71%641M
Current changes in cash
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
126.69%142M
-638.89%-532M
Effect of exchange rate changes
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
-91.30%2M
276.92%23M
End cash Position
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
-79.41%132M
Free cash flow
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
2.69%1.11B
0.37%1.08B
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
Unqualified Opinion
Unqualified Opinion
(FY)2022/12/31(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(FY)2018/12/31(FY)2017/12/31(FY)2016/12/31(FY)2015/12/31(FY)2014/12/31(FY)2013/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 23.30%2.32B23.54%1.88B-27.42%1.53B6.98%2.1B3.10%1.96B29.33%1.91B12.27%1.47B6.75%1.31B2.76%1.23B3.91%1.2B
Other non cash items 20.00%72M-3.23%60M--62M------------12.07%195M7.41%174M-17.35%162M-13.66%196M
Change In working capital 64.42%-74M-18.18%-208M-245.10%-176M26.09%-51M-86.49%-69M48.61%-37M31.43%-72M-59.09%-105M-6,500.00%-66M97.92%-1M
-Change in receivables -143.69%-251M-169.13%-103M228.45%149M-30.34%-116M-340.54%-89M125.34%37M2.67%-146M-127.27%-150M-1,420.00%-66M25.00%5M
-Change in inventory -41.10%-103M8.75%-73M-471.43%-80M-100.00%-14M-450.00%-7M108.33%2M-41.18%-24M-666.67%-17M-70.00%3M-52.38%10M
Cash from discontinued investing activities
Operating cash flow 19.10%2.4B26.32%2.02B-23.60%1.6B5.24%2.09B3.71%1.99B13.79%1.91B19.55%1.68B2.18%1.41B-0.65%1.38B-1.49%1.39B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -29.45%-400M3.13%-309M4.20%-319M-8.82%-333M-0.99%-306M-7.45%-303M-16.53%-282M-19.21%-242M19.12%-203M4.56%-251M
Net PPE purchase and sale -56.52%-36M46.51%-23M4.44%-43M13.46%-45M-4.00%-52M0.00%-50M21.88%-50M-12.28%-64M-11.76%-57M19.05%-51M
Net business purchase and sale -509.38%-390M92.38%-64M-120.47%-840M59.03%-381M-933.33%-930M75.94%-90M-138.22%-374M54.23%-157M-1,219.23%-343M84.05%-26M
Net investment purchase and sale -725.00%-66M-300.00%-8M75.00%-2M38.46%-8M-30.00%-13M-66.67%-10M62.50%-6M-166.67%-16M40.00%-6M-42.86%-10M
Cash from discontinued investing activities
Investing cash flow -123.70%-859M67.26%-384M-60.03%-1.17B42.33%-733M-206.27%-1.27B37.87%-415M-58.29%-668M25.31%-422M-78.80%-565M33.61%-316M
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 141.36%261M-193.76%-631M220.48%673M-76.51%210M6,776.92%894M-96.75%13M1,700.00%400M-104.80%-25M192.70%521M-101.43%-562M
Net common stock issuance -1,790.32%-524M118.13%31M71.88%-171M15.79%-608M-2.12%-722M-0.14%-707M-41.48%-706M15.99%-499M-25.05%-594M-135.15%-475M
Cash dividends paid -6.85%-983M-4.55%-920M-4.51%-880M-5.78%-842M-4.46%-796M-11.57%-762M-17.15%-683M-3.19%-583M-2.91%-565M-5.37%-549M
Net other financing activities ---1M----------6M-------------------15M----
Cash from discontinued financing activities
Financing cash flow 16.94%-1.33B-238.82%-1.61B64.33%-474M-86.40%-1.33B53.82%-713M-53.63%-1.54B10.59%-1.01B-67.76%-1.12B58.18%-670M-59.72%-1.6B
Net cash flow
Beginning cash position 28.41%113M-36.23%88M21.05%138M2.70%114M-31.48%111M32.79%162M-55.80%122M109.09%276M-79.41%132M-11.71%641M
Current changes in cash 700.00%208M150.98%26M-288.89%-51M2,600.00%27M102.22%1M-600.00%-45M106.47%9M-197.89%-139M126.69%142M-638.89%-532M
Effect of exchange rate changes 1,400.00%13M-200.00%-1M133.33%1M-250.00%-3M133.33%2M-119.35%-6M306.67%31M-850.00%-15M-91.30%2M276.92%23M
End cash Position 195.58%334M28.41%113M-36.23%88M21.05%138M2.70%114M-31.48%111M32.79%162M-55.80%122M109.09%276M-79.41%132M
Free cash flow 17.03%1.97B36.06%1.68B-27.79%1.23B5.30%1.71B4.04%1.62B15.64%1.56B22.64%1.35B-0.63%1.1B2.69%1.11B0.37%1.08B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions ----------Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion
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