RELX Plc

RDEB.DE · XETRA
Analyze with AI
12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net Income€2,861€1,781€2,323€1,884
Dep. & Amort.€706€717€713€724
Deferred Tax€0€0€0€0
Stock-Based Comp.€66€56€46€45
Change in WC-€146-€114-€74-€148
Other Non-Cash-€879€17-€607-€489
Operating Cash Flow€2,608€2,457€2,401€2,016
Investing Activities
PP&E Inv.-€20-€30-€436-€337
Net Acquisitions-€124-€112-€390-€64
Inv. Purchases-€4-€8-€66-€8
Inv. Sales/Matur.€0€0€0€309
Other Inv. Act.-€427-€419€33-€284
Investing Cash Flow-€575-€569-€859-€384
Financing Activities
Debt Repay.€155-€112€261-€524
Stock Issued-€28-€9€0€0
Stock Repurch.-€1,000-€800-€550-€1
Dividends Paid-€1,121-€1,059-€983-€920
Other Fin. Act.-€71-€77-€88-€193
Financing Cash Flow-€2,065-€2,057-€1,334-€1,606
Forex Effect-€4-€10€13-€1
Net Chg. in Cash-€36-€179€221€25
Supplemental Information
Beg. Cash€155€334€113€88
End Cash€119€155€334€113
Free Cash Flow€2,124€1,980€1,965€1,679
RELX Plc (RDEB.DE) Financial Statements & Key Stats | AlphaPilot