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BCS Barclays

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  • 15.100
  • +0.310+2.10%
Close Mar 11 16:00 ET
  • 14.951
  • -0.149-0.99%
Post 16:55 ET
54.22BMarket Cap8.43P/E (TTM)

Barclays Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
23.65%8.11B
-6.49%6.56B
-14.43%7.01B
167.34%8.19B
-29.65%3.07B
24.70%4.36B
-1.33%3.49B
9.63%3.54B
181.85%3.23B
-12.65%1.15B
Other non cashItems
-77.78%2.38B
180.68%10.73B
-529.94%-13.3B
203.90%3.09B
-963.21%-2.98B
93.76%-280M
-535.31%-4.49B
105.15%1.03B
-8,960.62%-20.03B
137.98%226M
Change in working capital
71.08%-6.33B
-167.54%-21.9B
-12.46%32.42B
-26.10%37.04B
594.92%50.12B
-288.25%-10.13B
-89.60%5.38B
113.80%51.72B
174.96%24.19B
157.31%8.8B
-Change in loans
-447.20%-14.02B
127.68%4.04B
-153.27%-14.59B
264.29%27.39B
3.64%-16.67B
-6,477.19%-17.3B
-100.66%-263M
493.70%40.06B
-138.38%-10.17B
294.24%26.51B
-Change in other current assets
-129.56%-11.36B
410.73%38.43B
30.03%-12.37B
-380.48%-17.68B
9,033.33%6.3B
100.46%69M
-138.35%-15.09B
1,137.47%39.34B
58.05%-3.79B
48.53%-9.04B
-Change in other current liabilities
2.84%-2.3B
-324.74%-2.36B
-16.05%1.05B
183.47%1.25B
47.77%-1.5B
39.60%-2.87B
-117.42%-4.76B
-311.09%-2.19B
69.88%-532M
-121.82%-1.77B
Cash from discontinued operating activities
Operating cash flow
867.31%7.11B
-103.07%-927M
-38.20%30.23B
-14.93%48.92B
11,555.18%57.51B
-105.46%-502M
-84.87%9.19B
437.93%60.71B
-26.40%11.29B
247.51%15.33B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
3.64%-18.6B
3.54%-19.3B
-506.27%-20.01B
128.91%4.93B
23.59%-17.04B
-1,648.75%-22.3B
-72.15%1.44B
-86.18%5.17B
776.59%37.43B
-156.26%-5.53B
Net PPE purchase and sale
8.38%-1.57B
1.60%-1.72B
-1.51%-1.75B
-29.91%-1.72B
24.21%-1.32B
-26.23%-1.75B
-17.99%-1.38B
13.05%-1.17B
12.12%-1.35B
-331.18%-1.54B
Net business purchase and sale
80.95%-460M
---2.42B
--0
--1.06B
--0
--0
----
-217.98%-702M
--595M
--0
Net other investing changes
11,852.17%2.75B
-73.26%23M
1,128.57%86M
158.33%7M
-114.29%-12M
-92.95%84M
478.16%1.19B
543.75%206M
-93.80%32M
149.24%516M
Cash from discontinued investing activities
Investing cash flow
23.61%-17.89B
-8.03%-23.41B
-607.56%-21.67B
123.24%4.27B
23.32%-18.38B
-2,021.81%-23.97B
-64.39%1.25B
-90.46%3.5B
660.33%36.71B
-177.72%-6.55B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
122.98%6.4B
-20.38%2.87B
78.05%3.6B
-48.34%2.02B
86.65%3.92B
169.36%2.1B
-281.90%-3.03B
429.62%1.66B
-2.79%314M
1,638.10%323M
Net commonstock issuance
-67.67%-3.35B
-115.30%-2B
-66.91%-928M
-124.19%-556M
-149.21%-248M
123.95%504M
-468.48%-2.1B
274.62%571M
-154.59%-327M
231.94%599M
Cash dividends paid
-0.09%-2.26B
-14.21%-2.26B
-45.44%-1.98B
-45.30%-1.36B
51.05%-936M
-15.32%-1.91B
-30.24%-1.66B
2.38%-1.27B
12.83%-1.3B
11.37%-1.5B
Cash from discontinued financing activities
Financing cash flow
156.44%784M
-299.57%-1.39B
550.47%696M
-96.08%107M
295.94%2.73B
110.17%690M
-806.24%-6.79B
172.97%961M
-129.44%-1.32B
79.54%-574M
Net cash flow
Beginning cash position
-11.04%248.01B
7.56%278.79B
23.35%259.21B
26.13%210.14B
-14.00%166.61B
4.20%193.74B
29.02%185.93B
66.49%144.11B
10.29%86.56B
-4.01%78.48B
Current changes in cash
61.18%-9.99B
-378.04%-25.73B
-82.64%9.25B
27.32%53.3B
276.06%41.86B
-751.78%-23.78B
-94.41%3.65B
38.64%65.28B
637.02%47.08B
315.67%6.39B
Effect of exchange rate changes
52.36%-2.41B
-148.92%-5.05B
344.09%10.33B
-353.72%-4.23B
149.84%1.67B
-180.46%-3.35B
187.16%4.16B
-145.57%-4.77B
520.07%10.47B
639.62%1.69B
End cash position
-5.00%235.61B
-11.04%248.01B
7.56%278.79B
23.35%259.21B
26.13%210.14B
-14.00%166.61B
-5.31%193.74B
41.98%204.61B
66.49%144.11B
10.29%86.56B
Free cash flow
309.41%5.54B
-109.29%-2.65B
-39.65%28.49B
-15.99%47.2B
2,547.97%56.18B
-129.48%-2.3B
-86.86%7.79B
518.59%59.26B
-28.55%9.58B
220.93%13.41B
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
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 23.65%8.11B-6.49%6.56B-14.43%7.01B167.34%8.19B-29.65%3.07B24.70%4.36B-1.33%3.49B9.63%3.54B181.85%3.23B-12.65%1.15B
Other non cashItems -77.78%2.38B180.68%10.73B-529.94%-13.3B203.90%3.09B-963.21%-2.98B93.76%-280M-535.31%-4.49B105.15%1.03B-8,960.62%-20.03B137.98%226M
Change in working capital 71.08%-6.33B-167.54%-21.9B-12.46%32.42B-26.10%37.04B594.92%50.12B-288.25%-10.13B-89.60%5.38B113.80%51.72B174.96%24.19B157.31%8.8B
-Change in loans -447.20%-14.02B127.68%4.04B-153.27%-14.59B264.29%27.39B3.64%-16.67B-6,477.19%-17.3B-100.66%-263M493.70%40.06B-138.38%-10.17B294.24%26.51B
-Change in other current assets -129.56%-11.36B410.73%38.43B30.03%-12.37B-380.48%-17.68B9,033.33%6.3B100.46%69M-138.35%-15.09B1,137.47%39.34B58.05%-3.79B48.53%-9.04B
-Change in other current liabilities 2.84%-2.3B-324.74%-2.36B-16.05%1.05B183.47%1.25B47.77%-1.5B39.60%-2.87B-117.42%-4.76B-311.09%-2.19B69.88%-532M-121.82%-1.77B
Cash from discontinued operating activities
Operating cash flow 867.31%7.11B-103.07%-927M-38.20%30.23B-14.93%48.92B11,555.18%57.51B-105.46%-502M-84.87%9.19B437.93%60.71B-26.40%11.29B247.51%15.33B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale 3.64%-18.6B3.54%-19.3B-506.27%-20.01B128.91%4.93B23.59%-17.04B-1,648.75%-22.3B-72.15%1.44B-86.18%5.17B776.59%37.43B-156.26%-5.53B
Net PPE purchase and sale 8.38%-1.57B1.60%-1.72B-1.51%-1.75B-29.91%-1.72B24.21%-1.32B-26.23%-1.75B-17.99%-1.38B13.05%-1.17B12.12%-1.35B-331.18%-1.54B
Net business purchase and sale 80.95%-460M---2.42B--0--1.06B--0--0-----217.98%-702M--595M--0
Net other investing changes 11,852.17%2.75B-73.26%23M1,128.57%86M158.33%7M-114.29%-12M-92.95%84M478.16%1.19B543.75%206M-93.80%32M149.24%516M
Cash from discontinued investing activities
Investing cash flow 23.61%-17.89B-8.03%-23.41B-607.56%-21.67B123.24%4.27B23.32%-18.38B-2,021.81%-23.97B-64.39%1.25B-90.46%3.5B660.33%36.71B-177.72%-6.55B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 122.98%6.4B-20.38%2.87B78.05%3.6B-48.34%2.02B86.65%3.92B169.36%2.1B-281.90%-3.03B429.62%1.66B-2.79%314M1,638.10%323M
Net commonstock issuance -67.67%-3.35B-115.30%-2B-66.91%-928M-124.19%-556M-149.21%-248M123.95%504M-468.48%-2.1B274.62%571M-154.59%-327M231.94%599M
Cash dividends paid -0.09%-2.26B-14.21%-2.26B-45.44%-1.98B-45.30%-1.36B51.05%-936M-15.32%-1.91B-30.24%-1.66B2.38%-1.27B12.83%-1.3B11.37%-1.5B
Cash from discontinued financing activities
Financing cash flow 156.44%784M-299.57%-1.39B550.47%696M-96.08%107M295.94%2.73B110.17%690M-806.24%-6.79B172.97%961M-129.44%-1.32B79.54%-574M
Net cash flow
Beginning cash position -11.04%248.01B7.56%278.79B23.35%259.21B26.13%210.14B-14.00%166.61B4.20%193.74B29.02%185.93B66.49%144.11B10.29%86.56B-4.01%78.48B
Current changes in cash 61.18%-9.99B-378.04%-25.73B-82.64%9.25B27.32%53.3B276.06%41.86B-751.78%-23.78B-94.41%3.65B38.64%65.28B637.02%47.08B315.67%6.39B
Effect of exchange rate changes 52.36%-2.41B-148.92%-5.05B344.09%10.33B-353.72%-4.23B149.84%1.67B-180.46%-3.35B187.16%4.16B-145.57%-4.77B520.07%10.47B639.62%1.69B
End cash position -5.00%235.61B-11.04%248.01B7.56%278.79B23.35%259.21B26.13%210.14B-14.00%166.61B-5.31%193.74B41.98%204.61B66.49%144.11B10.29%86.56B
Free cash flow 309.41%5.54B-109.29%-2.65B-39.65%28.49B-15.99%47.2B2,547.97%56.18B-129.48%-2.3B-86.86%7.79B518.59%59.26B-28.55%9.58B220.93%13.41B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions --Unqualified Opinion----------Unqualified OpinionUnqualified OpinionUnqualified Opinion