RELX PLC (RELX) Financial Statements

Historical financial data — 5 statements covering FY2021–FY2025

RELX is a developer of information-based analytics and decision tools designed to support research, risk assessment, legal work, and business operations. The company offers data analytics, scientif...

RELX PLC's revenue increased 1.7% year over year, from $9.43B to $9.59B.

Net income increased 6.8% over the same period, from $1.93B to $2.06B.

Over the 4-year period from FY2021 to FY2025, revenue grew by 32% in total.

Total debt increased by 11.0% to $7.27B.

The debt-to-equity ratio stands at 3.04, indicating a high leverage profile.

RELX PLC maintains a strong net profit margin of 21.5%.

Recent Financial Statements

PeriodRevenueNet IncomeGross ProfitEBITOp. Cash FlowTotal AssetsTotal DebtEquity
H2 FY2021$7.24B$1.47B$4.68B$1.88BN/A$13.86B$6.17B$3.22B
H2 FY2022$8.55B+18.1%$1.63B$5.51B$2.32BN/A$15.83B$6.73B$3.75B
H2 FY2023$9.16B+7.1%$1.78B$5.95B$2.68BN/A$14.92B$6.50B$3.44B
H2 FY2024$9.43B+3.0%$1.93B$6.13B$2.86BN/A$15.13B$6.54B$3.50B
H2 FY2025$9.59B+1.7%$2.06B$6.36B$3.03BN/A$14.76B$7.27B$2.39B

Balance Sheet Summary (Latest Period)

Total Assets
$14.76B
Total Liabilities
$12.37B
Total Equity
$2.39B
Cash & Equivalents
$131.0M
Total Debt
$7.27B
Current Assets
$2.96B
Current Liabilities
$6.00B
Retained Earnings
N/A
Current Price: $36.54
Market Cap: $63.6B
Sector: Other