£33.58
+ £0.74 (2.25%)
End-of-day quote: 05/03/2024
LSE:REL

RELX PLC Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2007 2006 2005 2004
Rev. Revenue
£9.16B £8.55B £7.24B £7.11B £7.87B £7.49B £7.34B £6.89B £5.97B £5.77B £6.04B £6.12B £6.00B £6.06B £6.07B £4.58B £4.51B £4.27B £4.81B
GM % Gross Margin %
64.89% 64.40% 64.63% 65.02% 65.01% 64.71% 64.20% 63.88% 64.34% 65.25% 64.90% 65.03% 64.58% 63.52% 62.91% 64.57% 64.47% 64.34% 63.99%
OM Operating Margin
28.76% 27.04% 25.66% 23.66% 26.00% 25.67% 25.24% 24.05% 23.65% 23.40% 22.00% 21.22% 18.86% 17.64% 15.50% 19.02% 18.16% 17.26% 15.57%
EPS Earnings Per Share
£0.00 £1.13 £1.02 £0.88 £0.80 £0.93 £0.84 £0.80 £0.72 £0.61 £0.56 £0.54 £0.50 £0.47 £0.43 £0.25 £0.24 £0.26 £0.21 £0.16
Div. Dividends
£0.58 £0.55 £0.50 £0.47 £0.46 £0.42 £0.39 £0.36 £0.30 £0.26 £0.25 £0.23 £0.22 £0.20 £0.20 £0.18 £0.18 £0.17 £0.15
PR % Payout Ratio %
51.33% 53.92% 56.82% 58.75% 49.46% 50.00% 48.75% 50.00% 49.18% 46.43% 46.30% 46.00% 46.81% 46.51% 80.00% 75.00% 69.23% 80.95% 93.75%
Sha. Shares
1881.53m 1909.53m 1929.43m 1926.02m 1931.78m 1961.89m 2003.71m 2042.68m 2091.89m 2128.17m 2226.56m 2278.51m 2311.07m 2,265m 2261.23m 2048.35m 2048.34m 2076.41m 2075.81m
OCF Operating Cash Flow
£2.46B £2.40B £2.02B £1.60B £2.09B £1.99B £1.91B £1.74B £1.41B £1.38B £1.39B £1.41B £1.28B £1.35B £1.19B £864.00M £974.00M £910.00M £815.00M
FCF Free Cash Flow
£2.20B £1.97B £1.91B £1.23B £1.71B £1.62B £1.54B £1.41B £1.19B £1.11B £1.08B £1.07B £932.00M £1.02B £949.00M £719.00M £780.00M £715.00M £733.00M
FCFS Free Cash Flow Per Share
£1.05 £1.02 £0.87 £0.64 £0.88 £0.82 £0.77 £0.68 £0.52 £0.51 £0.49 £0.56 £0.48 £0.54 £0.52 £0.41 £0.46 £0.42 £0.35