av/lloyds--big.svg

COM:LLOYDSBANKINGGROUP

Lloyds Banking Group plc

  • Stock

Last Close

55.02

22/11 19:07

Market Cap

365.37M

Beta: -

Volume Today

156.36M

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
415M
-
1.76B
324.58%
1.64B
6.70%
4.24B
157.79%
5.28B
24.47%
5.96B
12.99%
4.39B
26.29%
1.23B
72.09%
6.90B
462.97%
6.93B
0.38%
7.50B
8.30%
depreciation and amortization
1.94B
-
1.94B
0.26%
2.11B
9.15%
2.38B
12.69%
2.37B
0.42%
2.40B
1.48%
2.66B
10.60%
2.73B
2.71%
2.83B
3.40%
2.40B
15.19%
2.90B
21.24%
deferred income tax
-373M
-
stock based compensation
373M
-
change in working capital
-27.15B
-
11.12B
140.95%
22.71B
104.27%
-14.88B
165.49%
-19.77B
32.92%
-13.14B
33.52%
-7.41B
43.65%
17.09B
330.69%
-5.55B
132.47%
32.63B
688.14%
-4.88B
114.95%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
9.27B
-
-4.46B
148.17%
-10.10B
126.23%
10.33B
202.32%
8.93B
13.54%
-6.33B
170.82%
11.63B
283.89%
6.13B
47.35%
2.44B
60.14%
-19.94B
916.67%
1.28B
106.42%
net cash provided by operating activities
-15.53B
-
10.35B
166.66%
16.37B
58.14%
2.07B
87.33%
-3.19B
254.05%
-11.11B
247.64%
11.28B
201.57%
27.17B
140.86%
6.62B
75.63%
22.01B
232.44%
6.81B
69.06%
investments in property plant and equipment
-2.98B
-
-3.44B
15.43%
-3.42B
0.73%
-3.76B
10.04%
-3.65B
2.79%
-3.51B
3.86%
-3.44B
2.05%
-2.90B
15.72%
-3.23B
11.27%
-3.85B
19.42%
-5.46B
41.50%
acquisitions net
690M
-
542M
21.45%
-4.08B
852.03%
-15M
99.63%
-1.79B
11,860%
-48M
97.32%
-21M
56.25%
-3M
85.71%
-57M
1,800%
-373M
554.39%
-380M
1.88%
purchases of investments
-36.96B
-
-11.53B
68.80%
-19.35B
67.81%
-4.93B
74.53%
-7.86B
59.47%
-12.66B
60.99%
-9.73B
23.13%
-8.59B
11.73%
-8.98B
4.60%
-7.98B
11.13%
-10.31B
29.15%
sales maturities of investments
21.55B
-
4.67B
78.34%
22B
371.29%
6.33B
71.20%
18.68B
194.79%
26.81B
43.54%
9.63B
64.07%
6.35B
34.10%
8.29B
30.57%
11.17B
34.81%
5.30B
52.58%
other investing activites
2.09B
-
2.04B
2.25%
1.54B
24.77%
1.68B
9.56%
1.44B
14.25%
1.33B
7.62%
1.43B
7.35%
1.15B
19.97%
1.44B
25.39%
1.55B
7.86%
1.03B
33.74%
net cash used for investing activites
-15.61B
-
-7.72B
50.53%
-3.31B
57.14%
-686M
79.27%
6.81B
1,092.42%
11.92B
75.10%
-2.13B
117.87%
-4B
87.79%
-2.54B
36.38%
510M
120.04%
-9.82B
2,025.69%
debt repayment
-2.44B
-
-3.02B
23.79%
-3.20B
5.82%
-7.88B
146.48%
-1.01B
87.22%
-2.26B
123.81%
-818M
63.74%
-3.87B
373.59%
-1.06B
72.74%
-2.22B
109.85%
-1.75B
21.25%
common stock issued
350M
-
3M
99.14%
14M
-
102M
628.57%
36M
64.71%
144M
300%
25M
82.64%
31M
24%
86M
177.42%
common stock repurchased
-1.32B
-
-1.33B
-
-1.00B
24.21%
-1.09B
8.96%
-683M
37.63%
-897M
31.33%
-2.01B
124.41%
-1.99B
0.99%
dividends paid
-287M
-
-1.07B
272.82%
-2.01B
88.22%
-2.28B
13.41%
-2.24B
1.93%
-2.31B
3.21%
-453M
80.41%
-877M
93.60%
-1.48B
68.19%
-1.65B
11.93%
other financing activites
-976M
-
348M
135.66%
-1.99B
671.55%
-1.07B
45.95%
-415M
61.40%
1.10B
364.58%
-2.37B
315.85%
-453M
80.89%
-429M
5.30%
-940M
119.11%
1.80B
291.81%
net cash used provided by financing activities
-3.07B
-
-4.28B
39.34%
-6.26B
46.39%
-10.97B
75.36%
-5.02B
54.26%
-4.30B
14.31%
-6.56B
52.50%
-5.32B
18.91%
-3.23B
39.20%
-6.61B
104.48%
-3.50B
47.07%
effect of forex changes on cash
-53M
-
-6M
88.68%
2M
133.33%
21M
950%
3M
-
-5M
266.67%
-196M
3,820.00%
70M
135.71%
727M
938.57%
-480M
166.02%
net change in cash
-34.26B
-
-1.65B
95.18%
6.81B
512.48%
-9.56B
240.54%
-1.41B
85.30%
-3.48B
147.80%
2.59B
174.25%
17.66B
582.49%
912M
94.83%
16.64B
1,724.01%
-6.99B
142.03%
cash at beginning of period
101.06B
-
66.80B
33.90%
65.15B
2.47%
71.95B
10.45%
62.39B
13.29%
58.71B
5.90%
55.22B
5.93%
57.81B
4.68%
75.47B
30.54%
79.19B
4.94%
95.83B
21.01%
cash at end of period
66.80B
-
65.15B
2.47%
71.95B
10.45%
62.39B
13.29%
60.98B
2.25%
55.22B
9.44%
57.81B
4.68%
75.47B
30.54%
76.38B
1.21%
95.83B
25.47%
88.84B
7.30%
operating cash flow
-15.53B
-
10.35B
166.66%
16.37B
58.14%
2.07B
87.33%
-3.19B
254.05%
-11.11B
247.64%
11.28B
201.57%
27.17B
140.86%
6.62B
75.63%
22.01B
232.44%
6.81B
69.06%
capital expenditure
-2.98B
-
-3.44B
15.43%
-3.42B
0.73%
-3.76B
10.04%
-3.65B
2.79%
-3.51B
3.86%
-3.44B
2.05%
-2.90B
15.72%
-3.23B
11.27%
-3.85B
19.42%
-5.46B
41.50%
free cash flow
-18.51B
-
6.91B
137.33%
12.96B
87.45%
-1.69B
113.01%
-6.85B
306.29%
-14.62B
113.45%
7.84B
153.61%
24.27B
209.61%
3.39B
86.02%
18.16B
435.10%
1.35B
92.54%

All numbers in (except ratios and percentages)