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RELX PLC REL.L

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RELX PLC financials (annual)

Revenue
£8.55B £9.16B £9.43B £9.59B 2022202320242025
Net income
£1.63B £1.78B £1.93B £2.06B 2022202320242025
Free cash flow
£1.97B £1.98B £2.12B £2.31B 2022202320242025

Bars are annual figures from 2022 to 2025; red bars are negative (a loss or cash outflow).

MetricFY2025FY2024FY2023FY2022
Revenue£9.6B£9.4B£9.2B£8.6B
Gross profit£6.4B£6.1B£5.9B£5.5B
SG&A expense£3.4B£3.3B£3.3B£3.2B
Operating income£3.0B£2.8B£2.6B£2.3B
Interest expense£273.0M£281.0M£300.0M£182.0M
Income tax£672.0M£613.0M£507.0M£481.0M
Net income£2.1B£1.9B£1.8B£1.6B
EPS (diluted)£1.12£1.03£0.94£0.85
Operating cash flow£2.8B£2.6B£2.5B£2.4B
Free cash flow£2.3B£2.1B£2.0B£2.0B
Cash & equivalents£131.0M£119.0M£155.0M£334.0M
Inventory£311.0M£331.0M£318.0M£309.0M
Goodwill£7.9B£8.2B£8.0B£8.4B
Total assets£14.8B£15.1B£14.9B£15.8B
Total debt£7.3B£6.5B£6.5B£6.7B
Total liabilities£12.4B£11.6B£11.5B£12.1B
Shareholders' equity£2.4B£3.5B£3.5B£3.8B
Share buybacks£1.5B£1.0B£800.0M£500.0M

Growth · year-over-year · Revenue CAGR 3.9%

MetricFY2025FY2024FY2023FY2022
Revenue growth+1.7%+3.0%+7.1%
Net income growth+6.8%+8.6%+9.0%
EPS growth+8.6%+10.1%+10.5%
Free cash flow growth+8.8%+7.3%+0.8%

Each column is the change versus the prior fiscal year. Growth off a negative or zero base is shown as “—”. CAGR is the compound annual revenue growth across the years shown.

Computed from company filings · GB · as of 2025-12-31. Figures in GBP. Facts plus Stocktoria's own computed scores — not investment advice.