Pearson plc

PSO · NYSE
Analyze with AI
6/30/2025
12/31/2024
6/30/2024
12/31/2023
Operating Activities
Net Income$164$353$157$192
Dep. & Amort.$244$322$204$280
Deferred Tax$0$0$0-$390
Stock-Based Comp.$22$21$23$11
Change in WC-$36-$8-$45$165
Other Non-Cash-$202-$136-$264$564
Operating Cash Flow$192$552$75$822
Investing Activities
PP&E Inv.-$14-$15-$18-$363
Net Acquisitions-$4-$8-$38-$13
Inv. Purchases$0$7-$14-$2
Inv. Sales/Matur.$0$0$0$4
Other Inv. Act.-$6-$34-$11$7
Investing Cash Flow-$24-$50-$81-$367
Financing Activities
Debt Repay.$8$344$456-$220
Stock Issued$0$7$0$7
Stock Repurch.-$230-$43-$315-$196
Dividends Paid-$110-$49-$107-$48
Other Fin. Act.$3-$536$2-$42
Financing Cash Flow-$329-$277$36-$499
Forex Effect-$35-$14-$7$5
Net Chg. in Cash$347$211$20-$348
Supplemental Information
Beg. Cash$0$332$312$355
End Cash$347$543$332$309
Free Cash Flow$178$446$57$459
Pearson plc (PSO) Financial Statements & Key Stats | AlphaPilot