COM:SC
Standard Chartered PLC
- Stock
Last Close
945.60
25/11 09:25
Market Cap
182.87M
Beta: -
Volume Today
880.07K
Avg: -
Preview
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Jan '14 | Mar '14 | Jun '14 | Sep '14 | Jan '15 | Mar '15 | Jun '15 | Sep '15 | Jan '16 | Mar '16 | Jun '16 | Jan '17 | Mar '17 | Jun '17 | Jan '18 | Mar '18 | Jun '18 | Jan '19 | Mar '19 | Jun '19 | Mar '21 | Jun '21 | Sep '21 | Dec '21 | Mar '22 | Jun '22 | Sep '22 | Dec '22 | Mar '23 | Jun '23 | Sep '23 | Dec '23 | Mar '24 | Jun '24 | ||
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net income | 1.06B - | 1.06B 0% | 1.06B - | -380.75M 135.96% | -380.75M 0% | -380.75M - | 102.25M 126.85% | 102.25M 0% | 603.75M - | 603.75M 0% | 637M - | 637M 0% | 928.25M - | 808M 12.95% | 669M 17.20% | 1.09B 63.23% | 822M 24.73% | 763M 7.18% | -362M 147.44% | 1.18B 424.86% | 913M 22.36% | 1.09B 19.06% | -228M 120.98% | 1.34B 688.16% | 1.05B 21.92% | 145M 86.15% | 936M 545.52% | 1.40B 49.89% | 975M 30.51% | ||||||
depreciation and amortization | 51.75M - | 51.75M 0% | 51.75M 0% | 51.75M 0% | 60.25M 16.43% | 60.25M 0% | 60.25M 0% | 60.25M 0% | 238M - | 122M 48.74% | |||||||||||||||||||||||||
deferred income tax | |||||||||||||||||||||||||||||||||||
stock based compensation | 58.50M - | 58.50M 0% | 58.50M 0% | 58.50M 0% | 36.50M 37.61% | 36.50M 0% | 36.50M 0% | 36.50M 0% | 25M 31.51% | 25M 0% | 25M 0% | 38M 52% | 38M 0% | 38M 0% | 41.50M 9.21% | 41.50M 0% | 41.50M 0% | 41.50M 0% | 41.50M 0% | 41.50M 0% | 99M - | 167M - | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% | 226M 301.79% | 172M - | ||||||
change in working capital | 11.42B - | 11.42B 0% | 11.42B 0% | 11.42B 0% | -8.36B 173.21% | -8.36B 0% | -8.36B 0% | -8.36B 0% | 1.20B 114.34% | 1.20B 0% | 1.20B 0% | -1.95B 262.83% | -1.95B 0% | -1.95B 0% | 5.26B 369.31% | 5.26B 0% | 5.26B 0% | -1.34B 125.45% | -1.34B 0% | -1.34B 0% | |||||||||||||||
accounts receivables | |||||||||||||||||||||||||||||||||||
inventory | |||||||||||||||||||||||||||||||||||
accounts payables | |||||||||||||||||||||||||||||||||||
other working capital | |||||||||||||||||||||||||||||||||||
other non cash items | 555.75M - | 555.75M 0% | 1.61B 190.51% | 555.75M 65.58% | 1.29B 132.48% | 1.29B 0% | 911.25M 29.47% | 1.29B 41.78% | 782.50M 39.43% | 782.50M 0% | 884.75M 13.07% | 507.75M 42.61% | 507.75M 0% | 1.11B 118.91% | 389M 65.00% | 389M 0% | 1.03B 163.75% | 173.25M 83.11% | 55.50M 67.97% | 310.50M 459.46% | -1.09B 451.69% | -921M 15.66% | -664M 27.90% | 195M 129.37% | -1.18B 703.08% | -913M 22.36% | -1.09B 19.06% | 228M 120.98% | -1.34B 688.16% | -1.05B 21.92% | -145M 86.15% | -1.16B 701.38% | -1.40B 20.74% | -1.15B 18.25% | |
net cash provided by operating activities | 13.14B - | 13.14B 0% | 13.14B 0% | 13.14B 0% | -7.35B 155.93% | -7.35B 0% | -7.35B 0% | -7.35B 0% | 2.11B 128.68% | 2.11B 0% | 2.11B 0% | -802M 138.04% | -802M 0% | -802M 0% | 6.32B 888.40% | 6.32B 0% | 6.32B 0% | -194.50M 103.08% | -194.50M 0% | -194.50M 0% | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% | ||||||||||
investments in property plant and equipment | -47.25M - | -47.25M 0% | -47.25M 0% | -47.25M 0% | -32.50M 31.22% | -32.50M 0% | -32.50M 0% | -32.50M 0% | -48.75M 50% | -48.75M 0% | -48.75M 0% | -41.25M 15.38% | -41.25M 0% | -41.25M 0% | -42.75M 3.64% | -42.75M 0% | -42.75M 0% | -54.75M 28.07% | -54.75M 0% | -54.75M 0% | |||||||||||||||
acquisitions net | |||||||||||||||||||||||||||||||||||
purchases of investments | -49.01B - | -49.01B 0% | -49.01B 0% | -49.01B 0% | -52.38B 6.87% | -52.38B 0% | -52.38B 0% | -52.38B 0% | -51.82B 1.07% | -51.82B 0% | -51.82B 0% | -66.30B 27.94% | -66.30B 0% | -66.30B 0% | -69.10B 4.22% | -69.10B 0% | -69.10B 0% | -64.87B 6.12% | -64.87B 0% | -64.87B 0% | |||||||||||||||
sales maturities of investments | 48.01B - | 48.01B 0% | 48.01B 0% | 48.01B 0% | 48.86B 1.77% | 48.86B 0% | 48.86B 0% | 48.86B 0% | 52.71B 7.88% | 52.71B 0% | 52.71B 0% | 65.33B 23.93% | 65.33B 0% | 65.33B 0% | 66.00B 1.02% | 66.00B 0% | 66.00B 0% | 60.40B 8.48% | 60.40B 0% | 60.40B 0% | |||||||||||||||
other investing activites | 1.05B - | 1.05B 0% | 1.05B 0% | 1.05B 0% | 3.55B 238.87% | 3.55B 0% | 3.55B 0% | 3.55B 0% | -847M 123.87% | -847M 0% | -847M 0% | 1.01B 219.10% | 1.01B 0% | 1.01B 0% | 3.14B 211.67% | 3.14B 0% | 3.14B 0% | 4.52B 43.86% | 4.52B 0% | 4.52B 0% | |||||||||||||||
net cash used for investing activites | -1.05B - | -1.05B 0% | -1.05B 0% | -1.05B 0% | -3.55B 238.87% | -3.55B 0% | -3.55B 0% | -3.55B 0% | 847M 123.87% | 847M 0% | 847M 0% | -1.01B 219.10% | -1.01B 0% | -1.01B 0% | -3.14B 211.67% | -3.14B 0% | -3.14B 0% | -4.52B 43.86% | -4.52B 0% | -4.52B 0% | |||||||||||||||
debt repayment | -2.13B - | -2.13B 0% | -2.13B 0% | -2.13B 0% | -1.74B 18.42% | -1.74B 0% | -1.74B 0% | -1.74B 0% | -2.28B 31.42% | -2.28B 0% | -2.28B 0% | -1.79B 21.78% | -1.79B 0% | -1.79B 0% | -2.28B 27.72% | -2.28B 0% | -2.28B 0% | -1.93B 15.47% | -1.93B 0% | -1.93B 0% | |||||||||||||||
common stock issued | 7M - | 7M 0% | 7M 0% | 7M 0% | 1.76B 25,078.57% | 1.76B 0% | 1.76B 0% | 1.76B 0% | 499.25M 71.67% | 499.25M 0% | 499.25M 0% | 252M 49.52% | 252M 0% | 252M 0% | 5.75M 97.72% | 5.75M 0% | 5.75M 0% | 146M 2,439.13% | 146M 0% | 146M 0% | |||||||||||||||
common stock repurchased | -27.50M - | -27.50M 0% | -27.50M 0% | -27.50M 0% | -17M 38.18% | -17M 0% | -17M 0% | -17M 0% | -12.75M 25% | -12.75M 0% | -12.75M 0% | -2M - | -2M 0% | -2M 0% | -303M 15,050% | -303M 0% | -303M 0% | ||||||||||||||||||
dividends paid | -337.50M - | -337.50M 0% | -337.50M 0% | -337.50M 0% | -188.75M 44.07% | -188.75M 0% | -188.75M 0% | -188.75M 0% | -134.75M - | -134.75M 0% | -134.75M 0% | -180M 33.58% | -180M 0% | -180M 0% | |||||||||||||||||||||
other financing activites | 2.49B - | 2.49B 0% | 2.49B 0% | 2.49B 0% | 181.25M 92.72% | 181.25M 0% | 181.25M 0% | 181.25M 0% | 1.80B 891.72% | 1.80B 0% | 1.80B 0% | 1.53B 14.63% | 1.53B 0% | 1.53B 0% | 2.41B 57.23% | 2.41B 0% | 2.41B 0% | 2.27B 6.09% | 2.27B 0% | 2.27B 0% | |||||||||||||||
net cash used provided by financing activities | -2.56B - | -2.56B 0% | -2.56B 0% | -2.56B 0% | -160.75M 93.73% | -160.75M 0% | -160.75M 0% | -160.75M 0% | -1.80B 1,019.44% | -1.80B 0% | -1.80B 0% | -1.53B 15.02% | -1.53B 0% | -1.53B 0% | -2.41B 57.77% | -2.41B 0% | -2.41B 0% | -2.25B 6.67% | -2.25B 0% | -2.25B 0% | |||||||||||||||
effect of forex changes on cash | 1.90B - | 1.90B 0% | 1.90B 0% | 1.90B 0% | 698.25M 63.21% | 698.25M 0% | 698.25M 0% | 698.25M 0% | 981.50M 40.57% | 981.50M 0% | 981.50M 0% | 903.50M 7.95% | 903.50M 0% | 903.50M 0% | 1.80B 99.34% | 1.80B 0% | 1.80B 0% | 1.96B 8.70% | 1.96B 0% | 1.96B 0% | |||||||||||||||
net change in cash | 11.43B - | 11.43B 0% | 11.43B 0% | 11.43B 0% | -10.36B 190.65% | -10.36B 0% | -10.36B 0% | -10.36B 0% | 2.14B 120.63% | 2.14B 0% | 2.14B 0% | -2.44B 214.00% | -2.44B 0% | -2.44B 0% | 2.57B 205.37% | 2.57B 0% | 2.57B 0% | -5.01B 295.21% | -5.01B 0% | -5.01B 0% | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% | ||||||||||
cash at beginning of period | 21.04B - | 21.04B 0% | 21.04B 0% | 21.04B 0% | 32.47B 54.32% | 32.47B 0% | 32.47B 0% | 32.47B 0% | 22.11B 31.91% | 22.11B 0% | 22.11B 0% | 24.24B 9.67% | 24.24B 0% | 24.24B 0% | 21.81B 10.05% | 21.81B 0% | 21.81B 0% | 24.38B 11.77% | 24.38B 0% | 24.38B 0% | |||||||||||||||
cash at end of period | 32.47B - | 32.47B 0% | 32.47B 0% | 32.47B 0% | 22.11B 31.91% | 22.11B 0% | 22.11B 0% | 22.11B 0% | 24.24B 9.67% | 24.24B 0% | 24.24B 0% | 21.81B 10.05% | 21.81B 0% | 21.81B 0% | 24.38B 11.77% | 24.38B 0% | 24.38B 0% | 19.36B 20.56% | 19.36B 0% | 19.36B 0% | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% | ||||||||||
operating cash flow | 13.14B - | 13.14B 0% | 13.14B 0% | 13.14B 0% | -7.35B 155.93% | -7.35B 0% | -7.35B 0% | -7.35B 0% | 2.11B 128.68% | 2.11B 0% | 2.11B 0% | -802M 138.04% | -802M 0% | -802M 0% | 6.32B 888.40% | 6.32B 0% | 6.32B 0% | -194.50M 103.08% | -194.50M 0% | -194.50M 0% | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% | ||||||||||
capital expenditure | -47.25M - | -47.25M 0% | -47.25M 0% | -47.25M 0% | -32.50M 31.22% | -32.50M 0% | -32.50M 0% | -32.50M 0% | -48.75M 50% | -48.75M 0% | -48.75M 0% | -41.25M 15.38% | -41.25M 0% | -41.25M 0% | -42.75M 3.64% | -42.75M 0% | -42.75M 0% | -54.75M 28.07% | -54.75M 0% | -54.75M 0% | |||||||||||||||
free cash flow | 13.09B - | 13.09B 0% | 13.09B 0% | 13.09B 0% | -7.38B 156.38% | -7.38B 0% | -7.38B 0% | -7.38B 0% | 2.06B 127.90% | 2.06B 0% | 2.06B 0% | -843.25M 140.94% | -843.25M 0% | -843.25M 0% | 6.28B 844.77% | 6.28B 0% | 6.28B 0% | -249.25M 103.97% | -249.25M 0% | -249.25M 0% | 122M - | -122M 200% | 199M 263.11% | 112M - | -112M 200% |
All numbers in GBP (except ratios and percentages)