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RELX RELX PLC

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  • 46.498
  • -0.252-0.54%
Trading Nov 25 12:12 ET
86.32BMarket Cap37.05P/E (TTM)

RELX PLC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
41.41%140M
-53.59%155M
-53.59%155M
-2.94%99M
195.58%334M
195.58%334M
54.55%102M
28.41%113M
28.41%113M
-66.15%66M
-Cash and cash equivalents
41.41%140M
-53.59%155M
-53.59%155M
-2.94%99M
195.58%334M
195.58%334M
54.55%102M
28.41%113M
28.41%113M
-66.15%66M
-Accounts receivable
8.23%2.16B
-2.41%2.03B
-2.41%2.03B
0.71%1.99B
27.14%2.08B
27.14%2.08B
21.28%1.98B
-1.57%1.63B
-1.57%1.63B
-9.49%1.63B
-Taxes receivable
----
-60.00%6M
-60.00%6M
----
50.00%15M
50.00%15M
----
-77.27%10M
-77.27%10M
----
-Other receivables
----
-7.10%288M
-7.10%288M
----
-1.90%310M
-1.90%310M
----
52.66%316M
52.66%316M
----
Inventory
4.82%326M
2.91%318M
2.91%318M
8.36%311M
22.13%309M
22.13%309M
20.59%287M
5.42%253M
5.42%253M
0.42%238M
Total current assets
6.96%2.66B
-6.35%2.87B
-6.35%2.87B
4.19%2.49B
30.21%3.07B
30.21%3.07B
21.54%2.39B
3.65%2.36B
3.65%2.36B
-12.59%1.96B
Non current assets
Net PPE
-17.30%196M
-21.77%212M
-21.77%212M
-17.42%237M
-7.19%271M
-7.19%271M
-12.50%287M
-22.75%292M
-22.75%292M
-24.07%328M
-Gross PPE
-17.30%196M
-18.74%620M
-18.74%620M
-17.42%237M
161.30%763M
161.30%763M
-12.50%287M
-69.23%292M
-69.23%292M
-24.07%328M
-Accumulated depreciation
----
17.07%-408M
17.07%-408M
----
---492M
---492M
----
----
----
----
Goodwill and other intangible assets
-0.58%11.28B
-5.47%11.26B
-5.47%11.26B
-4.76%11.35B
11.64%11.91B
11.64%11.91B
14.36%11.91B
0.20%10.67B
0.20%10.67B
-9.83%10.42B
-Goodwill
0.77%8.09B
-4.35%8.02B
-4.35%8.02B
-3.17%8.03B
13.87%8.39B
13.87%8.39B
15.94%8.29B
1.97%7.37B
1.97%7.37B
-7.12%7.15B
-Other intangible assets
-3.86%3.19B
-8.12%3.24B
-8.12%3.24B
-8.40%3.32B
6.66%3.52B
6.66%3.52B
10.91%3.62B
-3.53%3.3B
-3.53%3.3B
-15.26%3.26B
Financial assets
53.85%20M
327.27%47M
327.27%47M
85.71%13M
-78.85%11M
-78.85%11M
-92.71%7M
-62.32%52M
-62.32%52M
9.09%96M
Defined pension benefit
14.20%193M
-7.75%119M
-7.75%119M
-46.52%169M
180.43%129M
180.43%129M
602.22%316M
-2.13%46M
-2.13%46M
-2.17%45M
Total non current assets
-0.99%12.05B
-5.62%12.04B
-5.62%12.04B
-5.56%12.17B
10.95%12.76B
10.95%12.76B
13.43%12.89B
-3.12%11.5B
-3.12%11.5B
-10.63%11.37B
Total assets
0.36%14.71B
-5.76%14.92B
-5.76%14.92B
-4.04%14.66B
14.22%15.83B
14.22%15.83B
14.62%15.28B
-2.03%13.86B
-2.03%13.86B
-10.93%13.33B
Liabilities
Current liabilities
Payables
3.00%3.75B
-5.60%995M
-5.60%995M
-0.44%3.64B
32.91%1.05B
32.91%1.05B
13.94%3.65B
-4.34%793M
-4.34%793M
-8.27%3.21B
-accounts payable
4.80%3.6B
32.56%171M
32.56%171M
0.03%3.44B
18.35%129M
18.35%129M
12.76%3.44B
-29.22%109M
-29.22%109M
-4.90%3.05B
-Total tax payable
-28.14%143M
-17.40%337M
-17.40%337M
-7.87%199M
22.52%408M
22.52%408M
36.71%216M
3.10%333M
3.10%333M
-45.52%158M
-Other payable
----
-5.80%487M
-5.80%487M
----
47.29%517M
47.29%517M
----
-0.28%351M
-0.28%351M
----
Current provisions
-21.43%11M
-27.78%13M
-27.78%13M
-61.11%14M
-61.70%18M
-61.70%18M
-48.57%36M
-56.88%47M
-56.88%47M
400.00%70M
Current debt and capital lease obligation
15.91%1.78B
50.92%1.31B
50.92%1.31B
62.85%1.53B
275.00%870M
275.00%870M
107.49%942M
-72.61%232M
-72.61%232M
-62.70%454M
-Current debt
16.95%1.73B
56.41%1.26B
56.41%1.26B
69.54%1.48B
--803M
--803M
--870M
----
----
----
-Current capital lease obligation
-10.17%53M
-14.93%57M
-14.93%57M
-18.06%59M
--67M
--67M
--72M
----
----
----
Current liabilities
6.55%5.58B
5.84%5.49B
5.84%5.49B
12.27%5.23B
38.39%5.19B
38.39%5.19B
24.89%4.66B
-14.31%3.75B
-14.31%3.75B
-21.59%3.73B
Non current liabilities
Long term provisions
-50.00%5M
-53.33%7M
-53.33%7M
-60.00%10M
-34.78%15M
-34.78%15M
400.00%25M
283.33%23M
283.33%23M
-64.29%5M
Long term debt and capital lease obligation
-1.56%5.18B
-11.54%5.18B
-11.54%5.18B
-11.63%5.26B
-1.26%5.86B
-1.26%5.86B
-1.06%5.96B
-5.43%5.94B
-5.43%5.94B
-8.92%6.02B
-Long term debt
-1.18%5.11B
-11.23%5.1B
-11.23%5.1B
-11.34%5.17B
--5.75B
--5.75B
--5.83B
----
----
----
-Long term capital lease obligation
-21.88%75M
-26.96%84M
-26.96%84M
-25.00%96M
--115M
--115M
--128M
----
----
----
Derivative product liabilities
-32.61%124M
-44.49%131M
-44.49%131M
9.52%184M
1,866.67%236M
1,866.67%236M
5,500.00%168M
300.00%12M
300.00%12M
-83.33%3M
Total non current liabilities
-3.64%5.95B
-13.07%5.99B
-13.07%5.99B
-11.42%6.18B
0.03%6.89B
0.03%6.89B
-2.88%6.98B
-10.22%6.89B
-10.22%6.89B
-11.39%7.18B
Total liabilities
1.03%11.53B
-4.94%11.48B
-4.94%11.48B
-1.93%11.41B
13.55%12.08B
13.55%12.08B
6.61%11.64B
-11.71%10.63B
-11.71%10.63B
-15.16%10.92B
Shareholders'equity
Share capital
-1.43%276M
-1.43%275M
-1.43%275M
-1.41%280M
-2.45%279M
-2.45%279M
-0.70%284M
0.00%286M
0.00%286M
0.00%286M
-common stock
-1.43%276M
-1.43%275M
-1.43%275M
-1.41%280M
-2.45%279M
-2.45%279M
-0.70%284M
0.00%286M
0.00%286M
0.00%286M
Paid-in capital
2.80%1.58B
2.70%1.56B
2.70%1.56B
2.26%1.54B
1.74%1.52B
1.74%1.52B
2.04%1.5B
2.19%1.49B
2.19%1.49B
1.66%1.47B
Less: Treasury stock
33.48%1.18B
33.57%553M
33.57%553M
-3.08%881M
-52.74%414M
-52.74%414M
3.77%909M
-1.24%876M
-1.24%876M
-1.35%876M
Total stockholders'equity
-1.83%3.21B
-8.37%3.46B
-8.37%3.46B
-10.41%3.27B
16.83%3.78B
16.83%3.78B
50.91%3.65B
53.98%3.23B
53.98%3.23B
16.40%2.42B
Noncontrolling interests
-20.83%-29M
4.55%-21M
4.55%-21M
-100.00%-24M
-175.00%-22M
-175.00%-22M
-71.43%-12M
-500.00%-8M
-500.00%-8M
-138.89%-7M
Total equity
-2.00%3.18B
-8.39%3.44B
-8.39%3.44B
-10.77%3.25B
16.44%3.75B
16.44%3.75B
50.85%3.64B
53.45%3.22B
53.45%3.22B
15.07%2.41B
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
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 41.41%140M-53.59%155M-53.59%155M-2.94%99M195.58%334M195.58%334M54.55%102M28.41%113M28.41%113M-66.15%66M
-Cash and cash equivalents 41.41%140M-53.59%155M-53.59%155M-2.94%99M195.58%334M195.58%334M54.55%102M28.41%113M28.41%113M-66.15%66M
-Accounts receivable 8.23%2.16B-2.41%2.03B-2.41%2.03B0.71%1.99B27.14%2.08B27.14%2.08B21.28%1.98B-1.57%1.63B-1.57%1.63B-9.49%1.63B
-Taxes receivable -----60.00%6M-60.00%6M----50.00%15M50.00%15M-----77.27%10M-77.27%10M----
-Other receivables -----7.10%288M-7.10%288M-----1.90%310M-1.90%310M----52.66%316M52.66%316M----
Inventory 4.82%326M2.91%318M2.91%318M8.36%311M22.13%309M22.13%309M20.59%287M5.42%253M5.42%253M0.42%238M
Total current assets 6.96%2.66B-6.35%2.87B-6.35%2.87B4.19%2.49B30.21%3.07B30.21%3.07B21.54%2.39B3.65%2.36B3.65%2.36B-12.59%1.96B
Non current assets
Net PPE -17.30%196M-21.77%212M-21.77%212M-17.42%237M-7.19%271M-7.19%271M-12.50%287M-22.75%292M-22.75%292M-24.07%328M
-Gross PPE -17.30%196M-18.74%620M-18.74%620M-17.42%237M161.30%763M161.30%763M-12.50%287M-69.23%292M-69.23%292M-24.07%328M
-Accumulated depreciation ----17.07%-408M17.07%-408M-------492M---492M----------------
Goodwill and other intangible assets -0.58%11.28B-5.47%11.26B-5.47%11.26B-4.76%11.35B11.64%11.91B11.64%11.91B14.36%11.91B0.20%10.67B0.20%10.67B-9.83%10.42B
-Goodwill 0.77%8.09B-4.35%8.02B-4.35%8.02B-3.17%8.03B13.87%8.39B13.87%8.39B15.94%8.29B1.97%7.37B1.97%7.37B-7.12%7.15B
-Other intangible assets -3.86%3.19B-8.12%3.24B-8.12%3.24B-8.40%3.32B6.66%3.52B6.66%3.52B10.91%3.62B-3.53%3.3B-3.53%3.3B-15.26%3.26B
Financial assets 53.85%20M327.27%47M327.27%47M85.71%13M-78.85%11M-78.85%11M-92.71%7M-62.32%52M-62.32%52M9.09%96M
Defined pension benefit 14.20%193M-7.75%119M-7.75%119M-46.52%169M180.43%129M180.43%129M602.22%316M-2.13%46M-2.13%46M-2.17%45M
Total non current assets -0.99%12.05B-5.62%12.04B-5.62%12.04B-5.56%12.17B10.95%12.76B10.95%12.76B13.43%12.89B-3.12%11.5B-3.12%11.5B-10.63%11.37B
Total assets 0.36%14.71B-5.76%14.92B-5.76%14.92B-4.04%14.66B14.22%15.83B14.22%15.83B14.62%15.28B-2.03%13.86B-2.03%13.86B-10.93%13.33B
Liabilities
Current liabilities
Payables 3.00%3.75B-5.60%995M-5.60%995M-0.44%3.64B32.91%1.05B32.91%1.05B13.94%3.65B-4.34%793M-4.34%793M-8.27%3.21B
-accounts payable 4.80%3.6B32.56%171M32.56%171M0.03%3.44B18.35%129M18.35%129M12.76%3.44B-29.22%109M-29.22%109M-4.90%3.05B
-Total tax payable -28.14%143M-17.40%337M-17.40%337M-7.87%199M22.52%408M22.52%408M36.71%216M3.10%333M3.10%333M-45.52%158M
-Other payable -----5.80%487M-5.80%487M----47.29%517M47.29%517M-----0.28%351M-0.28%351M----
Current provisions -21.43%11M-27.78%13M-27.78%13M-61.11%14M-61.70%18M-61.70%18M-48.57%36M-56.88%47M-56.88%47M400.00%70M
Current debt and capital lease obligation 15.91%1.78B50.92%1.31B50.92%1.31B62.85%1.53B275.00%870M275.00%870M107.49%942M-72.61%232M-72.61%232M-62.70%454M
-Current debt 16.95%1.73B56.41%1.26B56.41%1.26B69.54%1.48B--803M--803M--870M------------
-Current capital lease obligation -10.17%53M-14.93%57M-14.93%57M-18.06%59M--67M--67M--72M------------
Current liabilities 6.55%5.58B5.84%5.49B5.84%5.49B12.27%5.23B38.39%5.19B38.39%5.19B24.89%4.66B-14.31%3.75B-14.31%3.75B-21.59%3.73B
Non current liabilities
Long term provisions -50.00%5M-53.33%7M-53.33%7M-60.00%10M-34.78%15M-34.78%15M400.00%25M283.33%23M283.33%23M-64.29%5M
Long term debt and capital lease obligation -1.56%5.18B-11.54%5.18B-11.54%5.18B-11.63%5.26B-1.26%5.86B-1.26%5.86B-1.06%5.96B-5.43%5.94B-5.43%5.94B-8.92%6.02B
-Long term debt -1.18%5.11B-11.23%5.1B-11.23%5.1B-11.34%5.17B--5.75B--5.75B--5.83B------------
-Long term capital lease obligation -21.88%75M-26.96%84M-26.96%84M-25.00%96M--115M--115M--128M------------
Derivative product liabilities -32.61%124M-44.49%131M-44.49%131M9.52%184M1,866.67%236M1,866.67%236M5,500.00%168M300.00%12M300.00%12M-83.33%3M
Total non current liabilities -3.64%5.95B-13.07%5.99B-13.07%5.99B-11.42%6.18B0.03%6.89B0.03%6.89B-2.88%6.98B-10.22%6.89B-10.22%6.89B-11.39%7.18B
Total liabilities 1.03%11.53B-4.94%11.48B-4.94%11.48B-1.93%11.41B13.55%12.08B13.55%12.08B6.61%11.64B-11.71%10.63B-11.71%10.63B-15.16%10.92B
Shareholders'equity
Share capital -1.43%276M-1.43%275M-1.43%275M-1.41%280M-2.45%279M-2.45%279M-0.70%284M0.00%286M0.00%286M0.00%286M
-common stock -1.43%276M-1.43%275M-1.43%275M-1.41%280M-2.45%279M-2.45%279M-0.70%284M0.00%286M0.00%286M0.00%286M
Paid-in capital 2.80%1.58B2.70%1.56B2.70%1.56B2.26%1.54B1.74%1.52B1.74%1.52B2.04%1.5B2.19%1.49B2.19%1.49B1.66%1.47B
Less: Treasury stock 33.48%1.18B33.57%553M33.57%553M-3.08%881M-52.74%414M-52.74%414M3.77%909M-1.24%876M-1.24%876M-1.35%876M
Total stockholders'equity -1.83%3.21B-8.37%3.46B-8.37%3.46B-10.41%3.27B16.83%3.78B16.83%3.78B50.91%3.65B53.98%3.23B53.98%3.23B16.40%2.42B
Noncontrolling interests -20.83%-29M4.55%-21M4.55%-21M-100.00%-24M-175.00%-22M-175.00%-22M-71.43%-12M-500.00%-8M-500.00%-8M-138.89%-7M
Total equity -2.00%3.18B-8.39%3.44B-8.39%3.44B-10.77%3.25B16.44%3.75B16.44%3.75B50.85%3.64B53.45%3.22B53.45%3.22B15.07%2.41B
Currency Unit GBPGBPGBPGBPGBPGBPGBPGBPGBPGBP
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

Analysis

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Price Target

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Heat List
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Symbol
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% Chg

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