bf/NYSE:RELX_icon.jpeg

NYSE:RELX

RELX PLC

  • Stock

USD

Last Close

43.51

15/05 20:00

Market Cap

78.42B

Beta: 0.48

Volume Today

1.11M

Avg: 785.83K

PE Ratio

39.14

PFCF: 31.71

Dividend Yield

2.07%

Payout:60.16%

Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
1.35B
-
1.37B
1.41%
1.31B
3.95%
1.71B
30.18%
1.91B
11.53%
1.96B
3.10%
2.10B
6.98%
1.52B
27.42%
1.88B
23.54%
2.32B
23.30%
1.78B
23.33%
depreciation and amortization
566M
-
519M
8.30%
520M
0.19%
599M
15.19%
585M
2.34%
651M
11.28%
683M
4.92%
843M
23.43%
724M
14.12%
713M
1.52%
793M
11.22%
deferred income tax
-753M
-
-636M
15.54%
-528M
16.98%
-786M
48.86%
-816M
3.82%
-1.64B
-
stock based compensation
31M
-
32M
3.23%
34M
6.25%
38M
11.76%
39M
2.63%
41M
5.13%
32M
21.95%
25M
21.88%
45M
80%
46M
2.22%
56M
21.74%
change in working capital
-1M
-
-66M
6,500%
-105M
59.09%
-72M
31.43%
-47M
34.72%
-69M
46.81%
-51M
26.09%
-114M
123.53%
-148M
29.82%
-74M
50%
-115M
55.41%
accounts receivables
5M
-
-66M
1,420%
-150M
127.27%
-146M
2.67%
37M
125.34%
-89M
340.54%
-116M
30.34%
149M
228.45%
-103M
169.13%
-251M
143.69%
-24M
90.44%
inventory
10M
-
3M
70%
-17M
666.67%
-24M
41.18%
2M
108.33%
-7M
450%
-14M
100%
-18M
28.57%
-13M
27.78%
-103M
692.31%
-90M
12.62%
accounts payables
-5M
-
66M
1,420%
62M
6.06%
98M
58.06%
-76M
177.55%
27M
135.53%
79M
192.59%
-245M
410.13%
-32M
86.94%
280M
975%
-1M
100.36%
other working capital
-16M
-
-3M
81.25%
-10M
-
other non cash items
196M
-
162M
17.35%
174M
7.41%
195M
12.07%
182M
6.67%
-602M
430.77%
-676M
12.29%
-683M
1.04%
-489M
28.40%
-607M
24.13%
1.60B
364.42%
net cash provided by operating activities
1.39B
-
1.38B
0.65%
1.41B
2.18%
1.68B
19.55%
1.85B
9.87%
1.99B
7.41%
2.09B
5.24%
1.60B
23.60%
2.02B
26.32%
2.40B
19.10%
2.48B
3.21%
investments in property plant and equipment
-308M
-
-270M
12.34%
-307M
13.70%
-333M
8.47%
-354M
6.31%
-362M
2.26%
-380M
4.97%
-362M
4.74%
-337M
6.91%
-436M
29.38%
-477M
9.40%
acquisitions net
-26M
-
-343M
1,219.23%
-157M
54.23%
-374M
138.22%
-97M
74.06%
-930M
858.76%
-381M
59.03%
-840M
120.47%
-64M
92.38%
-390M
509.38%
-105M
73.08%
purchases of investments
-10M
-
-6M
40%
-16M
166.67%
-6M
62.50%
-10M
66.67%
-13M
30%
-8M
38.46%
-2M
75%
-8M
300%
-66M
725%
-8M
87.88%
sales maturities of investments
-202M
-
-203M
0.50%
-242M
19.21%
-282M
16.53%
-303M
7.45%
-306M
0.99%
333M
208.82%
319M
4.20%
309M
3.13%
539M
-
other investing activites
230M
-
257M
11.74%
300M
16.73%
327M
9%
342M
4.59%
340M
0.58%
-297M
187.35%
-288M
3.03%
-284M
1.39%
33M
111.62%
-539M
1,733.33%
net cash used for investing activites
-316M
-
-565M
78.80%
-422M
25.31%
-668M
58.29%
-422M
36.83%
-1.27B
201.18%
-733M
42.33%
-1.17B
60.03%
-384M
67.26%
-859M
123.70%
-590M
31.32%
debt repayment
-915M
-
-300M
67.21%
-525M
75%
-474M
9.71%
-860M
81.43%
-211M
75.47%
-617M
192.42%
-1.67B
170.50%
-631M
62.19%
-136M
78.45%
-110M
19.12%
common stock issued
125M
-
45M
64%
24M
46.67%
23M
4.17%
32M
39.13%
21M
34.38%
29M
38.10%
16M
44.83%
32M
100%
26M
18.75%
41M
57.69%
common stock repurchased
-600M
-
-639M
6.50%
-523M
18.15%
-729M
39.39%
-739M
1.37%
-743M
0.54%
-637M
14.27%
-187M
70.64%
-1M
99.47%
-550M
54,900%
-850M
54.55%
dividends paid
-549M
-
-565M
2.91%
-583M
3.19%
-683M
17.15%
-762M
11.57%
-796M
4.46%
-842M
5.78%
-880M
4.51%
-920M
4.55%
-983M
6.85%
-1.06B
7.73%
other financing activites
337M
-
789M
134.12%
483M
38.78%
858M
77.64%
858M
0%
1.02B
18.41%
738M
27.36%
2.25B
204.34%
-86M
103.83%
309M
459.30%
-79M
125.57%
net cash used provided by financing activities
-1.60B
-
-670M
58.18%
-1.12B
67.76%
-1.00B
10.59%
-1.47B
46.37%
-713M
51.53%
-1.33B
86.40%
-474M
64.33%
-1.61B
238.82%
-1.33B
16.94%
-2.06B
54.20%
effect of forex changes on cash
23M
-
2M
91.30%
-15M
850%
31M
306.67%
-6M
119.35%
2M
133.33%
-3M
250%
1M
133.33%
-1M
200%
13M
1,400%
-10M
176.92%
net change in cash
-509M
-
144M
128.29%
-154M
206.94%
40M
125.97%
-51M
227.50%
3M
105.88%
24M
700%
-50M
308.33%
25M
150%
221M
784%
-179M
181.00%
cash at beginning of period
641M
-
132M
79.41%
276M
109.09%
122M
55.80%
162M
32.79%
111M
31.48%
114M
2.70%
138M
21.05%
88M
36.23%
113M
28.41%
334M
195.58%
cash at end of period
132M
-
276M
109.09%
122M
55.80%
162M
32.79%
111M
31.48%
114M
2.70%
138M
21.05%
88M
36.23%
113M
28.41%
334M
195.58%
155M
53.59%
operating cash flow
1.39B
-
1.38B
0.65%
1.41B
2.18%
1.68B
19.55%
1.85B
9.87%
1.99B
7.41%
2.09B
5.24%
1.60B
23.60%
2.02B
26.32%
2.40B
19.10%
2.48B
3.21%
capital expenditure
-308M
-
-270M
12.34%
-307M
13.70%
-333M
8.47%
-354M
6.31%
-362M
2.26%
-380M
4.97%
-362M
4.74%
-337M
6.91%
-436M
29.38%
-477M
9.40%
free cash flow
1.08B
-
1.11B
2.69%
1.10B
0.63%
1.35B
22.64%
1.49B
10.75%
1.62B
8.63%
1.71B
5.30%
1.23B
27.79%
1.68B
36.06%
1.97B
17.03%
2.00B
1.83%

All numbers in USD (except ratios and percentages)