IntrinsicIntrinsic
OverviewFinancialsChartBusiness SummaryFilingsOwnershipValuation

Financial Statements — RELX

Balance Sheet

(in billions GBP)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Cash & Equivalents0.130.120.160.330.110.090.14
Total Current Assets2.963.002.873.072.362.272.44
Goodwill7.938.228.028.397.377.226.82
Total Non-current Assets11.8012.1412.0412.7611.5011.8711.34
Total Assets14.7615.1314.9215.8313.8614.1513.79
Total Current Liabilities6.005.725.495.193.75----
Total Non-current Liabilities6.375.915.996.896.897.675.65
Total Liabilities12.3711.6311.4812.0810.6312.0411.60
Total Stockholder Equity2.393.503.443.753.222.102.19

Income Statement

(in billions GBP) (except per-share rows)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Total Revenue9.599.439.168.557.247.117.87
Cost of Revenue*3.233.303.223.052.562.492.76
Gross Profit6.366.135.955.514.684.625.12
Selling, General & Admin1.861.851.851.821.631.901.77
Total Operating Expenses*3.333.273.263.192.803.103.02
Operating Income3.032.862.682.321.881.532.10
Pretax Income2.752.562.302.111.801.481.85
Tax Provision0.670.610.510.480.330.280.34
Net Income2.081.941.791.631.471.211.51
Basic EPS1.131.040.940.850.760.640.77
Diluted EPS1.121.030.940.850.760.630.77

* Derived from reported values

Cash Flow Statement

(in billions GBP)
MetricFY 2025FY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Operating Cash Flow2.842.612.462.402.021.602.09
Investing Cash Flow(0.77)(0.57)(0.57)(0.86)(0.38)(1.17)(0.73)
Financing Cash Flow(2.05)(2.06)(2.06)(1.33)(1.61)(0.47)(1.33)